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COURT OF APPEAL FOR ONTARIO CITATION: R. v. Xue, 2021 ONCA 308 DATE: 20210507 DOCKET: C68175 Hoy, Hourigan and Zarnett JJ.A. BETWEEN Her Majesty the Queen Respondent and Qin Xue Appellant Erin Dann, appearing as duty counsel Avene Derwa, for the respondent Heard: May 6 2021 by video conference On appeal from the conviction entered on January 22, 2020 by Justice Laura Bird of the Superior Court of Justice. APPEAL BOOK ENDORSEMENT [1] The Crown has filed an affidavit attesting to the fact that Mr. Xue is deceased, and asks that this appeal be dismissed as abated.  This appeal is dismissed as abated.
WARNING This appeal is subject to a mandatory publication ban under s. 278.95. This section of the Criminal Code provides: 278.95 (1) A person shall not publish in any document, or broadcast or transmit in any way, any of the following: (a)     the contents of an application made under subsection 278.93; (b)     any evidence taken, the information given and the representations made at an application under section 278.93 or at a hearing under section 278.94; (c)     the decision of a judge or justice under subsection 278.93(4), unless the judge or justice, after taking into account the complainant’s right of privacy and the interests of justice, orders that the decision may be published, broadcast or transmitted; and (d) the determination made and the reasons provided under subsection 278.94(4), unless (i)       that determination is that evidence is admissible, or (ii)      the judge or justice, after taking into account the complainant’s right of privacy and the interests of justice, orders that the determination and reasons may be published, broadcast or transmitted. (2)     Every person who contravenes subsection (1) is guilty of an offence punishable on summary conviction. WARNING The President of the panel hearing this appeal directs that the following should be attached to the file: An order restricting publication in this proceeding under ss. 486.4(1), (2), (2.1), (2.2), (3) or (4) or 486.6(1) or (2) of the Criminal Code shall continue.  These sections of the Criminal Code provide: 486.4(1)       Subject to subsection (2), the presiding judge or justice may make an order directing that any information that could identify the victim or a witness shall not be published in any document or broadcast or transmitted in any way, in proceedings in respect of (a)     any of the following offences; (i)         an offence under section 151, 152, 153, 153.1, 155, 159, 160, 162, 163.1, 170, 171, 171.1, 172, 172.1, 172.2, 173, 210, 211, 213, 271, 272, 273, 279.01, 279.011, 279.02, 279.03, 280, 281, 286.1, 286.2, 286.3, 346 or 347, or (ii)        any offence under this Act, as it read at any time before the day on which this subparagraph comes into force, if the conduct alleged involves a violation of the complainant’s sexual integrity and that conduct would be an offence referred to in subparagraph (i) if it occurred on or after that day; or (iii)       REPEALED: S.C. 2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49). (b)     two or more offences being dealt with in the same proceeding, at least one of which is an offence referred to in paragraph (a). (2)     In proceedings in respect of the offences referred to in paragraph (1)(a) or (b), the presiding judge or justice shall (a)     at the first reasonable opportunity, inform any witness under the age of eighteen years and the victim of the right to make an application for the order; and (b)     on application made by the victim, the prosecutor or any such witness, make the order. (2.1) Subject to subsection (2.2), in proceedings in respect of an offence other than an offence referred to in subsection (1), if the victim is under the age of 18 years, the presiding judge or justice may make an order directing that any information that could identify the victim shall not be published in any document or broadcast or transmitted in any way. (2.2) In proceedings in respect of an offence other than an offence referred to in subsection (1), if the victim is under the age of 18 years, the presiding judge or justice shall (a) as soon as feasible, inform the victim of their right to make an application for the order; and (b) on application of the victim or the prosecutor, make the order. (3)     In proceedings in respect of an offence under section 163.1, a judge or justice shall make an order directing that any information that could identify a witness who is under the age of eighteen years, or any person who is the subject of a representation, written material or a recording that constitutes child pornography within the meaning of that section, shall not be published in any document or broadcast or transmitted in any way. (4)     An order made under this section does not apply in respect of the disclosure of information in the course of the administration of justice when it is not the purpose of the disclosure to make the information known in the community. 2005, c. 32, s. 15; 2005, c. 43, s. 8(3)(b); 2010, c. 3, s. 5; 2012, c. 1, s. 29; 2014, c. 25, ss. 22, 48; 2015, c. 13, s. 18. 486.6(1)       Every person who fails to comply with an order made under subsection 486.4(1), (2) or (3) or 486.5(1) or (2) is guilty of an offence punishable on summary conviction. (2)     For greater certainty, an order referred to in subsection (1) applies to prohibit, in relation to proceedings taken against any person who fails to comply with the order, the publication in any document or the broadcasting or transmission in any way of information that could identify a victim, witness or justice system participant whose identity is protected by the order. 2005, c. 32, s. 15. COURT OF APPEAL FOR ONTARIO CITATION: R. v. Walsh, 2021 ONCA 43 DATE: 20210122 DOCKET: C66018 and C66552 Feldman, Gillese and Miller JJ.A. DOCKET: C66018 BETWEEN Her Majesty the Queen Appellant and Patrick Walsh Respondent DOCKET: C66552 AND BETWEEN Her Majesty the Queen Respondent and Patrick Walsh Appellant Rebecca De Filippis, for the appellant/respondent Her Majesty the Queen Philip Campbell, for the respondent/appellant Patrick Walsh Heard by videoconference: October 6, 2020 On appeal from the acquittal entered on September 21, 2018, by Justice Kelly P. Byrne of the Superior Court of Justice, sitting with a jury. On appeal from the conviction entered on September 28, 2018, by Justice Kelly P. Byrne of the Superior Court of Justice, sitting with a jury. Gillese J.A.: I. OVERVIEW [1] The accused was charged with sexual assault arising from an incident that took place on May 12 - 13, 2016. [2] He was also charged, under s. 162.1 of the Criminal Code , R.S.C., 1985, c. C-46, with transmitting an “intimate image” without consent by making FaceTime calls to his friends in which he allegedly showed them the complainant while she was naked and vomiting in his bathroom. Under s. 162.1(2), intimate image means a “visual recording of a person made by any means”. [3] Sections 162.1(1) and (2) read as follows: Publication, etc., of an intimate image without consent 162.1 (1) Everyone who knowingly publishes, distributes, transmits, sells, makes available or advertises an intimate image of a person knowing that the person depicted in the image did not give their consent to that conduct, or being reckless as to whether or not that person gave their consent to that conduct, is guilty (a) of an indictable offence and liable to imprisonment for a term of not more than five years; or (b) of an offence punishable on summary conviction. Definition of intimate image (2) In this section, “ intimate image’’ means a visual recording of a person made by any means including a photographic, film or video recording, (a) in which the person is nude, is exposing his or her genital organs or anal region or her breasts or is engaged in explicit sexual activity; (b) in respect of which, at the time of the recording, there were circumstances that gave rise to a reasonable expectation of privacy; and (c) in respect of which the person depicted retains a reasonable expectation of privacy at the time the offence is committed. [4] The accused was tried by judge and jury. [5] At the close of the Crown case, the trial judge directed a verdict of acquittal on the s. 162.1 count. She concluded that a FaceTime video call is not a visual “recording” for the purposes of s. 162.1(2) because the images captured during the FaceTime call do not “have the capability for reproduction”. She stated that a FaceTime call might possess features that would amount to a recording but that evidence was not before her. [6] The jury returned a verdict of guilty on the sexual assault count. [7] The Crown appeals against the acquittal. The accused appeals against conviction. To avoid confusion, I refer to the parties throughout as the Crown and the accused. [8] For the reasons that follow, I would allow the appeal against acquittal and dismiss the appeal against conviction. II. BACKGROUND [9] The sexual assault count encompassed two alleged acts of sexual activity that took place on the night of May 12 - 13, 2016. At the time, the complainant was a student at a university in Toronto and the accused was a student at a university in Detroit but was living in Toronto for the summer. [10] The accused and the complainant met briefly about a year before the incident giving rise to these appeals, when the complainant went to a party the accused was hosting at his condominium. They did not see each other again until the night in question. [11] On the evening of May 12, 2016, the complainant and the accused ran into each other at a bar in Toronto where the complainant was celebrating her birthday. The accused approached the complainant and said that he recognized her. They started talking and he invited the complainant to his mother’s nearby condominium (a different condominium than where they first met). They walked there together, were kissing, and quickly moved to the bedroom where the complainant undressed, with the help of the accused. [12] The complainant testified that the accused pushed her head to his groin, forcing her to perform oral sex on him, after which he began to penetrate her vagina, to which she repeatedly said “no”. [13] The accused testified that the complainant initiated the oral sex. He denied forcing her head and said that the oral sex was consensual. He said he then asked her if she wanted him to get a condom, she did not reply, and they continued kissing. The accused maintains that no intercourse occurred. [14] Both agree that the accused was on top of the complainant when she told him she was going to be sick. He allowed her to get up and go to the bathroom where she began throwing up into the toilet. [15] The complainant testified that while she was naked and had her head “pretty much buried” in the toilet, she heard a chiming sound that she knew signalled a FaceTime call. She had owned an iPhone for several years and knew what FaceTime was and what the FaceTime chime sounds like. She looked up and saw the accused pointing his cellphone at her and heard someone talking on the other end of the call. She heard the accused say something to the effect of “look at this” and understood, from the conversation between the accused and the others on the call, that they were making fun of her. She also heard laughing on both ends of the call. She felt scared by what had just happened and “even more scared” because others could see her in the bathroom, naked and vomiting, and she knew they could take a screenshot or record what was happening. She said, “with the internet nowadays, like anyone could see that.” [16] The complainant heard the accused walk away and then she heard another FaceTime chime. The accused returned to the bathroom and had another FaceTime call while pointing his cellphone at her. [17] The accused’s cell phone records were entered as exhibits at trial. Those records showed that three FaceTime calls were made on his cell phone between 12:54 a.m. and 1:01 a.m. on May 13, 2016. All three calls were made to friends of the accused. The first call lasted 1 minute and 36 seconds; the second call lasted 0 seconds; and the third call lasted 5 minutes and 17 seconds. The accused testified that he called three of his friends in the United States to get their advice. [18] Detective Constable Angus from the Tech Crimes Unit of the Toronto Police Service, one of the investigating officers, testified at trial. He explained that he was familiar with iPhones, has had an iPhone since they were first released, and was familiar with the FaceTime application. He was not qualified as an expert before giving his evidence. [19] DC Angus had examined the accused’s cell phone and extracted some data from it. He first explained how an extraction report sorts FaceTime calls. He then explained the FaceTime application itself. He described FaceTime as a video-calling platform or video messaging, and that those engaged in the FaceTime call see one another. He said, “so, much like a phone call, it’s like a video phone call.” [20] DC Angus also explained how the cameras on the phones are used in a FaceTime application. So every iPhone has front and back cameras. So when you are in the FaceTime application, you can choose which camera video feed you’re sending to the other person. So you can pick the selfie camera […] so the person on the other end can see you and you can see them on the screen. Or you can choose the back camera, so they can see whatever you are pointing your phone at and you can still see the person you are communicating with. III. TRIAL RULINGS [21] Three of the trial judge’s rulings are challenged in these appeals: her direction that a verdict of acquittal be entered on the s. 162.1 charge; her ruling on the defence s. 276 application [1] ; and her disposition of defence objections to the Crown closing. Each of the rulings is discussed below. A. The Directed Verdict of Acquittal on the s. 162.1 Charge 1. The Parties’ Positions at Trial [22] After the Crown closed its case, defence counsel brought an application for a directed verdict on the s. 162.1 count. He asserted that for the Crown to obtain a conviction under s. 162.1, the Crown had to show that the accused (1) knowingly disseminated (2) an intimate image of a person (3) while knowing or being reckless as to whether that person gave their consent to the dissemination. He argued that the Crown could not meet its burden on the second point – the existence of an intimate image. He contended that a successful prosecution required proof that the image was a “recording” and that the common meaning of recording is something that has “been committed to a form where it can be reviewed, referred to or reproduced at a later time, something with a degree of permanence”. [23] The Crown argued that “recording” must be read in the context of the harm that s. 162.1 was enacted to address: sexual exploitation committed through technology, including cyberbullying and revenge porn. It maintained that this harm occurs when an image of an intimate moment is shared without the complainant’s consent and that the recipient’s inability to further share or preserve the moment does not negate the harm or diminish the sender’s culpability. Moreover, the Crown argued, there was sufficient evidence that FaceTime calls were capable of reproduction because the complainant testified that recipients of the FaceTime call could have taken a screenshot of the call. 2. The Trial Judge’s Ruling [24] The trial judge gave the following reasons for allowing the application and directing a verdict of acquittal on the s. 162.1 count. [25] The issue on the application was whether a FaceTime call amounts to a “visual recording” as set out in s. 162.1(2). The trial judge said that the “ordinary common-sense definition” of visual recording is “any image captured on any device, electronic or otherwise, that has the capability for reproduction”. While there was no dispute that a FaceTime call is “visual”, the trial judge stated that she had difficulty “with the absence of evidence regarding the recording component”. She listed the three sources of evidence on that matter: that of the complainant; the accused’s cell phone records which showed that he made three FaceTime calls on his cellphone “at a time closely connected to the allegations”; and, the evidence of DC Angus. [26] The trial judge described the complainant’s testimony as follows: she saw the accused pointing a cellphone at her while she was naked and vomiting into the toilet in his bathroom; she heard laughing and someone other than the accused speaking; and she heard a chiming sound that she associated with a FaceTime call. [27] The trial judge summarized DC Angus’s evidence as: FaceTime is a video-calling platform; each person’s phone has a camera; and the sender and recipient can see each other on video. She noted his description of FaceTime as a “video phone call” and his view that using FaceTime is as easy as making a traditional phone call. [28] The judge then stated: The only evidence I have available to me is that a FaceTime call is identical to a phone call with the added component of an image. A phone call is a live real-time auditory transmission to another person. It is not a recording. A FaceTime call is also a live real-time transmission to another person, with both an auditory and a visual component. [29] The trial judge added that “it may be” that a FaceTime call possesses additional features in its transmission or in the capturing of images that would amount to a recording, but that evidence was not before her. She stated that she was “not prepared to take judicial notice of the technical workings and application of a FaceTime call”. She concluded that the deficiency in the evidence was a fatal flaw and that a directed verdict had to follow. B.      Ruling on the s. 276 Application In light of the mandatory ban on publication contained in s. 278.95 of the Criminal Code, paragraphs 30 to 35 have been redacted from the public version of this decision. C.      Defence Objections to the Crown Closing 1. Background [36] In her statement to the police, the complainant said that the accused had sex with her without her consent. She did not tell the police that she was forced to perform oral sex. She mentioned the oral sex for the first time during cross-examination at the preliminary inquiry. During that cross-examination, the complainant said that “other things” happened that night. When asked if she was referring to other sexual acts, she responded “just sex then. Yeah, penetration.” A short time later, defence counsel asked again about her statement that “other things” had happened. In the series of questions that followed, the complainant said that she was “forced to go down on” the accused – “like my head kind of being grabbed and pushed and that’s where I was kind of like – and yeah, but I didn’t say ‘no’ at that point”. [37] At trial, defence counsel cross-examined the complainant on her failure to mention the oral sex in her police interview. In his cross-examination, he put parts of the preliminary inquiry transcripts to her. She explained that she had not mentioned the oral sex earlier because she was uncomfortable talking about sexual acts in a courtroom and it was hard for her to think about what happened. She also said she thought she should focus on the acts to which she explicitly said “no” and testified that only later did she realise that she did not have to say “no” out loud for an act to constitute sexual assault. [38] Both defence counsel and the trial Crown referred to the complainant’s evidence at the preliminary inquiry in their closing submissions. [39] In his closing submissions, defence counsel reviewed the parts of the preliminary inquiry transcript that he had put to the complainant in cross-examination and argued that her answers and her late disclosure of the oral sex demonstrated that she could not be trusted. He described her answers as “profoundly dishonest” and her explanation for the inconsistency as “self-serving”. He argued that the complainant’s late disclosure of the oral sex was a sign that her evidence at trial could not be trusted. [40] The trial Crown objected to the defence counsel’s emphasis on the preliminary inquiry transcripts in his closing submissions. She stated that the preliminary inquiry transcripts were not evidence and said that they had not been read in chronological order. She also said that defence counsel had added tone and emphasis to which the transcript could not speak. She asked the trial judge for an instruction on the tone and intonation that defence counsel had added to his reading of the preliminary inquiry transcripts. The trial judge replied that the Crown could make that argument before the jury. Defence counsel did not object. [41] In her closing submissions, the trial Crown urged the jury not to place undue weight on the complainant’s evidence at the preliminary inquiry. She acknowledged that the complainant had failed to mention the oral sex until her cross-examination at the preliminary inquiry but argued that the circumstances of the complainant’s disclosure were understandable and did not undermine her credibility. [42] The trial Crown then said the following. Now, I want to go to the inconsistency that my friend raises about oral sex in the prelim transcripts. You have to be very careful about that material. First of all, [the complainant] testified in front of you, and you could look at her demeanour, she testified that that was one answer at the preliminary inquiry that was taken out of context.  She had already alluded to the other sexual act earlier in her testimony. She explained she was alluding to it when she stated “No, no, never mind. It was just penetration.” Again, while that might not have been the most eloquent account or her account might not have flowed seamlessly that’s not a signifier of deceit. Instead, as she explained to you, it’s a reflection of the reality of recounting a highly personal sexual trauma in a courtroom setting. Plus, my friend has read you the – parts of the transcript, not in chronological order, and that testimony is not evidence before you. It is incomplete. He adds his own tone. We all add tone to things. That gives it character. He’s adding that to the transcript. You cannot tell – this is why we don’t rely on transcript – on prelim transcripts as evidence.  You cannot tell her demeanour when she is giving that evidence. You don’t know if she’s crying when she’s saying that. You don’t know if she’s breaking down when she’s saying that. You don’t know if she’s completely disassociated because you didn’t see her testify at the prelim. You did not see her testify for the first time. So, nuanced pauses, crying, is lost when my friend reads in prelim transcripts with his own tone.  [Emphasis added.] [43] Defence counsel objected to two aspects of the trial Crown closing. 2. Defence Counsel’s First Objection [44] Defence counsel’s first objection was to that part of trial Crown’s closing submission in which she said that, in his closing submission, he had read parts of the transcript “not in chronological order” (the “First Impugned Comment”). He said that the First Impugned Comment left the jury with the impression that he had not gone through the preliminary inquiry transcripts in chronological order when he had. He argued that this gave the jury the impression that he was “somehow deceiving them”. [45] The trial judge said that, on her reading of the preliminary inquiry transcript, there was an issue with the chronology and that, while he was entitled to use the transcript in asking the complainant questions, she did not think she could say his use of it was “absolutely in chronological order”. She said she thought defence counsel used it “topically” in chronological order but that was not necessarily how the preliminary inquiry transcript read. Defence counsel agreed that in cross-examination he jumped “back and forth” in questioning and it was not chronological. (In fact, he was mistaken on this point because he did put the preliminary inquiry transcripts to the complainant in chronological order.)  But, he argued, when he went through the preliminary inquiry transcript in his closing submissions, he did so in chronological order. [46] The trial judge concluded that it would be unfair to tell the jury that defence counsel read excerpts from the preliminary inquiry transcript in chronological order without also telling the jury that the excerpts had not been put to the complainant in chronological order. She described the First Impugned Comment as “an incredibly minor point”. She also stated that: “diving into [the First Impugned Comment] would only serve to distract the jury”; she did not find that the First Impugned Comment negatively reflected on defence counsel; and she wasn’t sure that it required a correction. If a correction was needed, the trial judge said that it had to be balanced, with a focus on the evidence. [47] The trial judge ruled on the First Impugned Comment, saying: I have thought about your request to add an instruction to the jury to correct what you believe was an inappropriate comment by the Crown when she suggested to the jury that the prelim evidence was not in chronological order. I'm of the view that if I instruct the jury in that way, that it would also necessitate then a comment on your cross-examination of the complainant and indicate to them, that that was not in chronological order, despite the fact that what was read to them, which is not evidence, was in chronological order. But my understanding is you don't want that charge put to them. [48] Defence counsel answered, “That’s correct”. 3. Defence Counsel’s Second Objection [49] Defence counsel’s second objection related to the Crown’s comments about the complainant’s emotional state when testifying at the preliminary inquiry (the “Second Impugned Comment”). He acknowledged that the Crown was “on good footing” when she said that a witness’ demeanour is lost when you look at the preliminary inquiry transcripts but said she went too far when she said “the crying was lost” because there was no evidence that the complainant had been crying. [50] The trial judge dismissed the second objection, saying; I think you take it out of context, because what I recall of the Crown's closing was that that was in a context of you don't know what the demeanour was. You don't know if there was crying. You don't know if there were pauses, you don't know. So I don't think it was just, look, she was crying and you didn't hear it. That's not the takeaway that I took. […] I think if you cherry pick it out of the totality of her submissions, yes, but I think you can't do that. I think you have to look at the context in which it was given, and it was given in this whole section of here's what you don't know, and just - you got to know what you don't know. […] that's the way I heard it. […] I don't think that the jury's going to misunderstand that. IV. THE GROUNDS OF APPEAL A.      The Appeal against Acquittal [51] The Crown appeal against acquittal rests on a single ground: did the trial judge err in her interpretation of “recording” in s. 162.1(2)? B.      The Appeal against Conviction [52] The accused raises three grounds of appeal against conviction. He submits that the trial judge: 1.  erred in failing to address the defence objections to the Crown’s closing submissions; 2.  erred in instructing the jury that Consent is the voluntary agreement of [the complainant] to take part in the sexual activity that she said happened. In other words, [the complainant] wanted [the accused] to do what he did. [Emphasis added]; and 3.  improperly ruled on the s. 276 application. V. THE APPEAL AGAINST ACQUITTAL [53] For ease of reference, I set out ss. 162.1(1) and (2) again below. Publication, etc., of an intimate image without consent 162.1 (1) Everyone who knowingly publishes, distributes, transmits, sells, makes available or advertises an intimate image of a person knowing that the person depicted in the image did not give their consent to that conduct, or being reckless as to whether or not that person gave their consent to that conduct, is guilty (a) of an indictable offence and liable to imprisonment for a term of not more than five years; or (b) of an offence punishable on summary conviction. Definition of intimate image (2) In this section, “intimate image” means a visual recording of a person made by any means including a photographic, film or video recording, (a) in which the person is nude, is exposing his or her genital organs or anal region or her breasts or is engaged in explicit sexual activity; (b) in respect of which, at the time of the recording, there were circumstances that gave rise to a reasonable expectation of privacy; and (c) in respect of which the person depicted retains a reasonable expectation of privacy at the time the offence is committed. A.      The Parties’ Positions 1. The Crown’s Position [54] The Crown makes two overriding submissions on this issue. [55] First, the Crown says that the trial judge erred in law by interpreting “recording” in s. 162.1(2) as requiring proof that the image captured by the device is capable of reproduction. Based on the text of s. 162.1, it argues that “recording” should be interpreted as any visual display created by any means. It says that s. 162.1 was enacted to modernize the Criminal Code and criminalize sexual exploitation committed through technology. Further, it says that Parliament carefully circumscribed the parameters of the offence in s. 162.1(2)(a)-(c) based on that purpose: to make it criminal to share, by any means, an image without the subject’s consent, if that image is sexually explicit and engages the subject’s reasonable expectation of privacy. It contends that it is the content of the image that matters, not the medium used to share the image. [56] Second, the Crown submits that the trial judge erred in finding that there was no evidence on how an iPhone works. It says that, contrary to the trial judge’s view, the evidence of the complainant and DC Angus was sufficient and there was no need for the Crown to call expert evidence about how iPhones or FaceTime work, or to prove that the FaceTime images were capable of reproduction. 2. The Accused’s Position [57] The accused submits that the plain meaning of “recording” implies the creation of an image that can be stored, viewed later, and reproduced. This, he contends, excludes “evanescent” images that are transmitted and viewed a single time and are thereafter unavailable. He contends that to record something is to capture an event that happens at a point in time and to preserve it in a more lasting form. He argues that the Crown’s interpretation of recording sidesteps its essential meaning which is that an event is preserved and available for later viewing. He points to the trial judge’s comparison of a FaceTime call with a phone call to illustrate this, and says that no one thinks of a phone call as a “recording”. B. Analysis [58] In my view, the trial judge erred in her interpretation of “recording” in s. 162.1(2) and in her approach to the sufficiency of the evidence. 1. The meaning of “recording” in s. 162.1(2) [59] It is trite law that the modern approach to statutory interpretation requires that “the words of an Act must be read in their entire context, in their grammatical and ordinary sense harmoniously with the scheme of the Act , the object of the Act , and the intention of Parliament”: Bell ExpressVu Ltd. Partnership v. Rex , 2002 SCC 42, [2002] 2 S.C.R. 559, at para. 26. [60] The starting point is to determine the ordinary meaning of the text: R. v. Wookey , 2016 ONCA 611, 531 O.A.C. 13, at para. 24. At para. 25 of Wookey, quoting from Ruth Sullivan, Sullivan on the Construction of Statutes , 6th ed. (Markham, Ont.: LexisNexis Canada, 2014) , Pharmascience Inc. v. Binet , 2006 SCC 48, [2006] 2 S.C.R. 513, at para. 30, and Canadian Pacific Air Lines Ltd. v. Canadian Air Line Pilots Assn. , [1993] 3 S.C.R. 724, at p. 735, this court states that ordinary meaning “refers to the reader’s first impression meaning, the understanding that spontaneously comes to mind when words are read in their immediate context” and is “the natural meaning which appears when the provision is simply read through”. In other words, the “plain” or “ordinary” meaning of a word is not dictated by its dictionary meaning nor is it frozen in time. [61] What, then, is the ordinary meaning of the text of ss. 162.1(1) and (2)? Section 162.1(1) makes it an offence for a person to knowingly disseminate an “intimate image” of a person without their consent. Section 162.1(2) provides that “intimate image” means a “visual recording of a person made by any means including a photographic, film or video recording”. [62] On a plain reading of ss. 162.1(1) and (2), it appears to me that the non-consensual visual sharing of an intimate image is prohibited – regardless of whether the intimate image being shared has the “capability of reproduction”. Further, the natural or ordinary meaning of “visual recording” includes a FaceTime call. [63] My plain reading of these provisions begins with the observation that with traditional technology, such as a camera, the capture and display of the visual image are separate acts. But, with a livestream application such as FaceTime, the two are simultaneous. Livestream transmissions enable a caller to capture visuals (i.e. record intimate images) and share them simultaneously. Thus, a FaceTime call in which the caller’s iPhone is pointed at a person is a visual recording of that person, within the meaning of s. 162.1(2), because that person’s image is captured on the caller’s phone and transmitted to the recipient’s screen where it is displayed. How could the recipient observe the person if that person’s image had not been recorded and transmitted to them? It matters not whether the recipient reproduces the person’s image or could reproduce it; the recipient has seen the person’s image because the caller recorded it and sent it to them. Thus, the FaceTime call is the visual recording of the person. [64] In times gone by, the word “recording” may have been confined to visuals that could be reproduced and viewed at a later time or place. Photographs and videotapes are examples of that. However, five considerations militate against such a restrictive interpretation of “recording” in s. 162.1(2). [65] First, the language of s. 162.1 is intentionally broad. Section 162.1(1) prohibits a wide range of conduct, both overt acts of dissemination (i.e. publishes, distributes, transmits, sells) and the facilitation of acts of dissemination (makes available or advertises). And, s. 162.1(2) provides that a visual recording of a person can be “made by any means”. [66] Second, FaceTime calls are directly caught by the language of s. 162.1(2), in which “intimate image” is defined to mean “a visual recording including … a video recording ” (emphasis added). As I have just explained, in a FaceTime call where the caller focuses the camera in their iPhone on a person, the caller is transmitting a video recording of that person to the recipient of the call. [67] Third, there is nothing in s. 162.1 to suggest that the intimate image being shared must be capable of reproduction. The harm is in the non-consensual sharing of an intimate image – regardless of whether the recipient of the recording (call) reproduces it or can reproduce it. Even if there are no copies and no opportunity to make them, as the sentencing court observed in R. v. J.B. , 2018 ONSC 4726, at para. 44, the act of sharing the images in the first place is an attack on the victim’s privacy, basic human dignity, and sense of self-worth. [68] Fourth, restricting the meaning of “recording” to outdated technology – by requiring that it be capable of reproduction – would fail to respond to the ways in which modern technology permits sexual exploitation through the non-consensual sharing of intimate images. In so doing, it would undermine the objects of s. 162.1 and the intention of Parliament in enacting it. [69] Section 162.1 is a relatively new offence. It came into effect as part of Bill c-13, Protecting Canadians from Online Crime , enacted in 2014 and proclaimed into force on March 9, 2015. The bill – part of the federal government’s initiative against cyber-bullying – was introduced when two young women tragically took their lives after intimate images of them had been shared online without their consent. These cases and others highlighted the growing trend to use technology as a tool of harassment and sexual exploitation, and the justice system’s inability to respond because no offence existed at that time which addressed that type of conduct. [2] [70] Sexual offences are enacted to protect personal autonomy and sexual integrity of the person: R. v. Jarvis , 2019 SCC 10, at para. 122. Giving “visual recording” a broad and inclusive interpretation best accords with the objects of s. 162.1 and Parliament’s intention in enacting it. [71] Finally, I accept the Crown’s submission that the trial judge’s interpretation of s. 162.1 would base culpability on the medium used to share the intimate image, rather than on whether the conduct breached the victim’s sexual integrity and privacy. This, it submits, would lead to arbitrary and unreasonable distinctions. I agree. The following example demonstrates this. A person who takes a picture of a naked woman in a changeroom and gives the photo to one friend would be guilty of an offence under s. 162.1. However, if that person livestreamed the image of the woman on a website where it can be viewed an indefinite number of times by an indefinite number of people but never saved, on the trial judge’s interpretation, the person would not be guilty of an offence under s. 162.1. [72] In conclusion, applying the modern principles of statutory interpretation, ss. 162.1(1) and (2) make it an offence to knowingly publish, distribute, transmit, sell, make available or advertise an intimate image of a person, without the person’s consent. Intimate image means a “visual recording” of a person “made by any means”. Interpreting “visual recording” broadly and in a common-sense and purposive manner, prohibits the non-consensual visual sharing of an image, if the image is sexually explicit and engages the subject’s reasonable expectation of privacy. The ordinary meaning of “visual recording” does not require proof that the intimate image that was shared is capable of reproduction. Thus, a FaceTime call is captured by s. 162.1. [73] In reaching this conclusion, I reject my colleague’s analysis based on the voyeurism offence in s. 162 of the Criminal Code . He suggests that the accused could have been held answerable under that provision. I disagree. Section 162 applies when one person “surreptitiously” observes or makes a visual recording of another, in certain circumstances. There is nothing surreptitious about the accused’s alleged act of livestreaming images of the complainant as she vomited into a toilet, while naked. She was fully aware that the accused was pointing his iPhone at her and making a FaceTime call. She was simply too ill at the time to be able to leave the toilet. [74] I respond also to my colleague’s suggestion that we are to infer, based on the wording of s. 162, that Parliament used the word “recording” in s. 162.1(2) with the deliberate intention of excluding livestreaming. There is no basis for such an inference. First, Parliament would have no discernible purpose for excluding livestreaming from the offence. Second, this suggestion fails to consider the word “recording” within the context of each of the two provisions. In s. 162, the offence is the surreptitious observation or visual recording of a person in certain circumstances. In s. 162.1, the offence is the non-consensual sharing of an intimate image, where intimate image means a visual recording of a person made by any means. It is a false dichotomy to suggest that because Parliament provides two methods of committing the offence in s. 162, it could not have intended that the digital recording of an intimate image through a FaceTime transmission was a visual recording for the purposes of s. 162.1. As I explain above, a FaceTime call falls within the meaning of “visual recording” in s. 162.1(2). 2. Sufficiency of the Evidence [75] The trial judge said that there was “an absence of evidence” before her about how a FaceTime call captures images that would amount to a “recording” within the meaning of s. 162.1(2). She also stated that “despite the ubiquitous nature of iPhones” she was “not prepared to take judicial notice about the technical workings and application of a FaceTime call”. I do not agree with either statement. [76] There was evidence before the trial judge about how a FaceTime call works. Both the complainant and DC Angus gave evidence on this. They indicated that a FaceTime call allows a person to film their surroundings and transmit those images, instantaneously, to the recipients of the FaceTime call, who are then able to view the images. I would add that DC Angus did not testify, as the trial judge indicated, that a FaceTime call is “identical” to a telephone call except that it has a visual component, as well as an auditory one. He did make the comment that a FaceTime call is “like a phone call” with a video component. However, he made that comment in the context of explaining the ease with which FaceTime calls can be made. In his testimony, DC Angus was very clear that, in a FaceTime call, the caller can choose to show the recipient whatever the caller points their back camera at. Self-evidently, the ability to show others what is going on around you makes a FaceTime call significantly different than a telephone call. [77] There was no need for additional evidence and certainly not that of experts. In saying this, I rely on R. v. Mohan , [1994] 2 S.C.R. 9, at pp. 23-24, in which the Supreme Court explains the necessity pre-condition for the admission of expert evidence. The Court said that expert evidence is necessary when it provides information likely to be outside the experience and knowledge of a judge or jury and that information is needed to enable the trier of fact to appreciate the matters in issue due to their technical nature. In short, as the Court stated, expert evidence is necessary on matters “ordinary people are unlikely to form a correct judgment about, if unassisted by persons with specialized knowledge”. [78] The general functioning of iPhones today is not the stuff of experts. iPhone users can explain what applications are and what use they make of them. And the triers of fact do not need the assistance of persons with specialized knowledge in order to form correct judgments on matters relating to video messaging applications such as FaceTime. The fact that FaceTime sends and receives video images is uncontroversial. So, too, is the capability of the recipient of a FaceTime call to take and print out a screen shot: see, for example, Sylvestre v. Sylvestre , 2018 SKQB 105, at para. 16. [79] The only question in this case was whether there was sufficient evidence for the jury to conclude that the accused, in one or more of the FaceTime calls, made available to the recipient of the call or calls, the image of the complainant while she was naked and vomiting in the toilet. In my view, there was and the matter should have gone to the jury. [80] Accordingly, I would allow the appeal against acquittal, set aside the order for a directed acquittal, and order a new trial on the count of dissemination of intimate images contrary to s. 162.1 of the Criminal Code . VI. THE APPEAL AGAINST CONVICTION Issue #1      No error in the trial judge’s treatment of defence objections to Crown’s closing submissions A.      The Parties’ Positions 1. The Accused’s Position [81] It will be recalled that, at trial, the defence objected to two comments in the trial Crown’s closing submissions. The First Impugned Comment was the trial Crown’s comment that, in his closing submissions, defence counsel read parts of the preliminary inquiry transcript “not in chronological order”. The Second Impugned Comment was that the jurors were not in a position to assess the nuances of the complainant’s state when testifying at the preliminary inquiry, including whether she was crying, breaking down, or “completely disassociated”. The trial judge did not give a correcting instruction on either impugned comment. [82] Before this court, the accused seeks a new trial on the basis that the trial judge erred in law in failing to give a corrective instruction for those comments. [83] In respect of the First Impugned Comment, the accused submits that the trial judge’s ruling was unfair to him because it left uncorrected the Crown’s “implicit denigration of defence counsel’s fairness to the complainant”. And, he says, the First Impugned Comment was factually incorrect because defence counsel had, in fact, questioned the complainant in the sequence in which her story had emerged at the preliminary inquiry. [84] The accused submits that the trial judge’s ruling on the Second Impugned Comment was incorrect because, without an evidentiary foundation for such a claim, the Crown had no right to claim that the complainant could have been crying, breaking down or “completely disassociated” when she gave her evidence at the preliminary inquiry. 2. The Crown’s Position [85] In respect of the First Impugned Comment, the Crown submits that it did not, expressly or by implication, suggest that defence counsel had been unfair or misleading. At most, the Crown says, the First Impugned Comment contained one factual inaccuracy, namely, that defence counsel read parts of the preliminary inquiry transcript out of chronological order. The Crown says this minor misstatement – which was not inflammatory or demeaning – did not require a corrective instruction and did not cause any prejudice to the accused. [86] In relation to the Second Impugned Comment, the Crown submits that it did not invite the jury to speculate on the complainant’s emotional state. She says that the comment was made as part of the trial Crown’s direction to the jury to afford the complainant’s preliminary inquiry testimony minimal weight and, further, that it was a fair response to the accused’s arguments that the complainant should be disbelieved because of her testimony at the preliminary inquiry. B.      Analysis [87] I would reject this ground of appeal. In my view, the trial judge made no error in her treatment of the impugned comments. Neither of those comments deprived the accused of a fair trial. 1. The Governing Legal Principles [88] The following points provide the necessary structure for assessing this ground of appeal. [89] First, in R. v. Manasseri , 2016 ONCA 703, 132 O.R. (3d) 401, leave to appeal to S.C.C. refused, 37322 (April 13, 2017), at paras. 103-106, this court said the following about Crown counsel’s closing submissions in a jury trial: 1. the Crown is entitled to advance its case forcefully but, in doing so, must eschew inflammatory rhetoric, demeaning commentary, sarcasm, and legally impermissible submissions that undermine trial fairness; 2. the Crown must limit its means of persuasion to facts found in the evidence adduced before the jury; and 3. the Crown is expected to be rigorous but fair, persuasive, and responsible. [90] Second, when complaints are made that the Crown’s closing submissions exceeded permissible limits, the critical issue is whether what was said deprived the accused of a fair trial. To determine this issue, an appellate court must consider the impugned comments in the milieu in which they were said and the context of the entire trial, as well as any judicial response to them: Manasseri , at para. 106. [91] Third, the trial judge does not have an inflexible obligation to correct every misstatement of the evidence by counsel: R. v. Jones , 2011 ONCA 584, 277 C.C.C. (3d) 143, at para. 38. 2. The First Impugned Comment [92] Before placing the First Impugned Comment in context, I note that any inaccuracy in it was entirely inadvertent on the part of the Crown. This can be seen by considering the exchange between the trial judge and defence counsel after he objected to the First Impugned Comment. [93] In the “to and fro” following defence counsel’s objection, the trial judge said that defence counsel had put the preliminary inquiry transcripts to the complainant out of order (as he was entitled to). Defence counsel agreed, saying he had jumped “back and forth” in his cross-examination. As it turned out, defence counsel had put the transcripts to the complainant in chronological order and he also read the parts of the preliminary inquiry transcript in chronological order in his closing submissions. However, when the trial judge made her ruling on the First Impugned Comment, it was on the mistaken understanding – shared by defence counsel – that, during cross-examination, he put the preliminary inquiry transcript to the complainant out of order. [94] With that shared misunderstanding in mind, the trial judge ruled that if she were to give a corrective instruction to the jury and tell them that defence counsel had read from the preliminary inquiry transcript in chronological order, she would also tell the jury that those transcripts had not been put to the complainant in chronological order. As the trial judge explained, she felt such an instruction was necessary for it to be balanced and to keep the jury focussed on the evidence. Defence counsel resisted that qualification in the proposed corrective instruction. Consequently, the trial judge did not give the correcting instruction. [95] It is important to also consider the First Impugned Comment in context. Both defence counsel and the trial Crown referred to the complainant’s evidence at the preliminary inquiry in their closing submissions. Defence counsel reviewed the parts of the preliminary inquiry transcript that had been put to the complainant in cross-examination and described her answers as “profoundly dishonest” and her explanation for the inconsistency as “self-serving”. He argued that the complainant’s late disclosure of the oral sex was a sign that her evidence at trial could not be trusted. [96] In her closing submissions, the trial Crown urged the jury not to place undue weight on the complainant’s evidence at the preliminary inquiry. She acknowledged that the complainant had failed to mention the oral sex until her cross-examination at the preliminary inquiry but argued the circumstances of the complainant’s disclosure were understandable and did not undermine her credibility. [97] It is within this context that the trial judge found the First Impugned Comment to be “an incredibly minor point”. In her view, “diving into it would only serve to distract the jury”. Further, she stated, the First Impugned Comment did not negatively reflect on defence counsel and did not warrant a correcting instruction. I agree with the trial judge on all these points. [98] The First Impugned Comment was not inflammatory or demeaning, and caused no prejudice to the accused. It was a minor factual inaccuracy made within the context of a valid point: that excerpts from a transcript do not tell a complete story and that what mattered was the complainant’s explanation of the inconsistency at trial. 3. The Second Impugned Comment [99] The trial judge dismissed the defence objection to the Second Impugned Comment on the basis that defence counsel had “cherry picked” it from the Crown’s closing. The trial judge, having heard both defence counsel’s closing and that of the trial Crown, understood the Second Impugned Comment to simply be part of the Crown’s reminder to the jury that it had heard and seen the complainant give her testimony at trial but not at the preliminary inquiry and that the jury did not know what the complainant’s emotional state had been at the preliminary inquiry. [100] I accept the trial judge’s determination of this matter.  As the Supreme Court stated in R. v. Rose , [1998] 3 S.C.R. 262, at para. 126 , the trial judge is in the best position to assess the significance of the remarks of counsel, to determine if they need to be corrected and, if necessary, to correct inaccuracies and remedy any unfairness that may arise from the addresses of counsel. The trial judge did not see the trial Crown’s reference to the fact that the complainant might have been crying or breaking down at the preliminary inquiry as an invitation to the jury to speculate about the complainant’s demeanour. Rather, she viewed it as part of explaining the inability of a transcript to convey the complainant’s emotional state when testifying at the preliminary inquiry. [101] There was nothing wrong with the Crown reminding the jury that nuances and emotion are lost when considering transcripts. With transcripts, the trier of fact is unable to assess the witness’s demeanour when testifying and is therefore “left without the potentially important insights that the ability to observe the witness when testifying can afford to a fact finder in the assessment of that witness’s credibility”: R. v. Rowe , 2011 ONCA 753, 281 C.C.C. (3d) 42, at para. 43. [102] This is not a case like R. v. Iyeke , 2016 ONCA 349, where the misstatement was the centerpiece of the Crown’s closing address. In Iyeke , the accused was charged with possession of a firearm. The Crown told the jury in its closing submissions that a confidential informant had told police that the accused had a gun. The statement was wrong. In allowing the appeal, this court noted that the confidential tip was the “centerpiece” of the Crown’s closing address and repeatedly emphasized by the Crown as a powerful piece of incriminating evidence. In the present case, the Second Impugned Comment was nothing close to being the centerpiece of the Crown’s closing submission: Crown counsel mentioned it only once and then only briefly. [103] I would add that a contextual consideration of the Second Impugned Comment must include that, after the defence closing, Crown counsel asked the trial judge for a corrective instruction on the tone that defence counsel had added when reading the extracts from the preliminary inquiry transcripts. The trial judge replied that the Crown could make that argument before the jury and, significantly, defence counsel did not object. [104] I would dismiss this ground of appeal. To the extent that the Second Impugned Comment may have veered into impropriety through its reference to crying and breaking down, in the context of the whole address, it did not deprive the accused of a fair trial. Issue #2      No error in the trial judge’s instruction on consent [105] For ease of reference, I set out again the impugned instruction on consent: Consent is the voluntary agreement of [the complainant] to take part in the sexual activity that she said happened. In other words, [the complainant] wanted [the accused] to do what he did. [Emphasis added] A.      The Parties’ Positions 1.       The Accused’s Position [106] The defence made no objection to the trial judge’s instruction on consent at trial. Before this court, however, the accused submits that consent and wanting are not synonymous and, while jury instructions equating the two concepts are common, the use of the word “wanted” in the impugned instruction misled the jury into understanding that subjective desire was a necessary component of consent. He observes that a person might voluntarily agree to do acts that they do not want to perform, for a variety of motivations. For example, a partner might voluntarily agree to a sexual act she does not want out of affection or in the expectation of reciprocal pleasure. [107] As a result of the impugned instruction, the accused submits that the jury might have convicted on the basis that the complainant was strongly attracted to him and, voluntarily though unhappily, performed oral sex despite not wanting to. In support of his submission, the accused points to case law where courts have distinguished the two concepts. For example, the accused quotes from Dawe J. in R. v. S.M. , 2019 ONSC 7073, at para. 91: Although G.C. testified that he never wanted to have sex with S.M., the subjective mental state of consent under Ewanchuk is not synonymous with "subjective desire". People can consent to do something they would rather not do if they decide, on balance, that the reward they will get for doing the thing outweighs their subjective preference not to do it . [Emphasis added.] [108] And, in R. v. Shimizu , 2010 CarswellOnt 10397 , at paras. 33-34, Croll J. found that although the complainant did not want to engage in sexual activity, the Crown had failed to prove lack of consent beyond a reasonable doubt because the complainant may have engaged in the sexual activity for the purpose of career advancement. 2.       The Crown’s Position [109] The Crown acknowledges that consent was a live issue in relation to the oral sex allegation. It points to the trial judge’s lengthy instruction on the meaning of consent, in which she clearly explained that the jury had to be satisfied that the Crown had proven beyond a reasonable doubt that the complainant had not consented and that the accused knew she did not consent. [110] The Crown contends that, in this case, there was no need for the trial judge to distinguish between the closely related concepts of “voluntary agreement” and “subjective desire”. The complainant said she did not want to perform oral sex and did not consent. The accused said the complainant wanted to perform oral sex and consented. In other words, there was no interpretation of the evidence that would have allowed the jury to conclude that the Crown had proven the complainant did not want sexual contact but failed to prove that there was not voluntary agreement to sexual contact. B. Analysis [111] I would reject this ground of appeal. While in some cases a trial judge may be required to differentiate between voluntary agreement and subjective desire (i.e. wanting), this was not such a case. In the circumstances of this case, the trial judge did not err in using the word “wanted” in the impugned instruction. [112] In assessing whether the jury might have been misled by the impugned instruction, I begin by considering it in the context of the overall instruction on consent. The only time that the trial judge used the word “wanted” was in the impugned instruction. Apart from that one instance, the trial judge repeatedly instructed the jury that they had to be satisfied that the complainant voluntarily agreed to engage in the sexual activity in question. In so doing, the trial judge used the statutory definition of consent in s. 273.1(1) of the Criminal Code . For example, the trial judge instructed the jury on the meaning of consent as follows: It involves knowledge of what is going to happen, and voluntary agreement to do it or let it be done. A voluntary agreement to engage in sexual activity is not valid if what [the complainant] said or did indicated to [the accused] that she did not agree to participate in that activity. A voluntary agreement to engage in sexual activity is also not valid, if [the complainant] had originally agreed to participate in sexual activity but changed her mind and expressed in words or conduct, or both, that she did not agree to continue to participate in the same or different sexual activity. [Emphasis added] [113] Next, as the accused acknowledges, a jury instruction equating consent with “wanting” is common. In this regard, two things are worthy of note. First, in the seminal case of R. v. Ewanchuk , [1999] 1 S.C.R. 330, at paras. 23 and 48, the Court described the actus reus of the offence of sexual assault as “unwanted sexual touching” and said that, for the purposes of the actus reus , consent means that the complainant in her mind “wanted the sexual touching to take place”. Second, the charge in this case tracked the language in Watt’s Manual of Criminal Jury Instruction , 2 nd ed (Toronto: Thomson Reuters Canada, 2015, Final 271), at p. 599. [114] With these considerations in mind, I ask whether the impugned instruction might have prejudiced the accused. In my view, it could not have: there was nothing in the evidence upon which the jury could conclude that the complainant did not want to perform oral sex but she nonetheless voluntarily agreed to do so nor did defence counsel ever suggest that the complainant engaged in the sexual activity for any purpose other than subjective desire. The accused’s version of events was that the complainant initiated oral sex and that intercourse never took place. [115] The evidence only permitted the jury to make one of two findings: that the complainant did not want to perform oral sex and did not agree to do so or that she agreed to perform oral sex and wanted to do so. Accordingly, the jury could not have concluded that the Crown had proven the complainant did not want sexual contact but had not proven that there was no voluntary agreement to sexual contact. [116] The cases of S.M. and Shimizu , relied on by the accused, are readily distinguishable from the present case. In both those cases, the trial judge found that there was a possibility that the complainant agreed to the sexual activity for a reason other than pleasure or affection. In S.M. , the reason was money and in Shimizu , it was career advancement. In this case, there was no evidence that the complainant consented to engage in sexual activity for a reason other than a subjective desire nor was there a theory of the case presented to the jury that she consented for any reason other than subjective desire. [117] While the absence of defence objection is not determinative, the failure to object may be indicative of the seriousness of what is later said to be an error: R. v. R.D. , 2020 ONCA 23, [2020] O.J. No. 112, at para. 15.  In my view, it is indicative in this case. [118] Accordingly, in my view, the jury charge was clear and proper on the issue of consent and I would dismiss this ground of appeal. Issue #3      No error in the trial judge’s ruling on the s. 276 application In light of the mandatory ban on publication contained in s. 278.95 of the Criminal Code, paragraphs 119 to 127 have been redacted from the public version of this decision. [128] Accordingly, this ground of appeal fails. DISPOSITION [129] For these reasons, I would allow the appeal against acquittal, set aside the order for a directed acquittal, and order a new trial on the count of dissemination of intimate images contrary to s. 162.1 of the Criminal Code . And, I would dismiss the appeal against conviction. “E.E. Gillese J.A.” “I agree. K. Feldman J.A.” B.W. Miller J.A. (dissenting): [130] I agree with my colleague’s reasons and disposition on the conviction appeal. I would, however, dismiss the Crown appeal of the acquittal on the charge of disseminating an intimate image. [131] The centrepiece of this Crown appeal is the claim that a person who receives a FaceTime video call – a live event – is in fact viewing a recording. This is obviously wrong on any conventional understanding of the meaning of a “recording”. No one would ever speak in such a way. The Crown nevertheless advances an argument that s. 162.1 of the Criminal Code should be interpreted such that “any visual display” – including any display of unrecorded, live-streamed images – is a “visual recording”. The statutory interpretation argument fails, not simply because of the stipulation of a novel and untenable definition of “recording”. More fundamentally, as explained below, the argument contradicts basic principles of statutory interpretation. [132] In short, although the accused’s alleged actions would have grossly violated the complainant’s dignity – and he arguably would have been answerable to charges under s. 162 of the Criminal Code – the elements of s. 162.1 were not made out, the Crown is not free to reimagine the elements of the offence as though it were a common law offence, and the trial judge made no error in returning a directed verdict of acquittal on those charges. I. STATUTORY INTERPRETATION METHODOLOGY [133] I begin with this observation: legislating is reasoned activity. Legislating results in a legislative text intended to communicate the content of a lawmaking decision to the intended audience: Stéphane Beaulac, Handbook on Statutory Interpretation: General Methodology, Canadian Charter and International Law (Markham, ON: LexisNexis, 2008), at pp. 8-10; Cameron Hutchison, The Fundamentals of Statutory Interpretation (Toronto: LexisNexis, 2018), at p. 48. Legislation establishes and specifies legal rights and obligations. It is intended to guide behaviour, and in order to guide behaviour it must be intelligible to the intended audience. [134] The judicial role in interpreting legislation is obviously different in kind from the role of the legislature in enacting legislation. Statutory interpretation is a matter of ascertaining the change in the law the legislature intended to communicate through the legislative text. The task of interpretation neither contemplates nor permits judicial reordering of priorities or substituting other, perhaps better means to achieving Parliament’s purpose. Judges are not to be co-authors with the legislature, nor are they to second-guess the means that Parliament has chosen to achieve its aims, no matter how beneficial the judicial amendments may appear to be: Williams v. Canada (Minister of Public Safety and Emergency Preparedness) , 2017 FCA 252, 417 D.L.R. (4th) 173, at paras. 41-52, per Stratas J.A.; Canada v. Cheema , 2018 FCA 45, 420 D.L.R. (4th) 534, at paras. 73-75, per Stratas J.A, leave to appeal refused, [2018] S.C.C.A. No. 137. See also Elmer A. Driedger, Construction of Statutes , 2nd ed. (Toronto: Butterworths, 1983), at pp. 28-34. A. The Modern or Orthodox Principle [135] Although the practice of statutory interpretation can be difficult, the objective is not. Statutory interpretation is concerned with determining the intention of Parliament. As Driedger put it in Construction of Statutes , at pp. 105-06: In the end, therefore, as Chief Justice Tindal said in the Sussex Peerage Case “the only rule for the construction of Acts of Parliament is, that they should be construed according to the intent of the Parliament which passed the Act.” The construction of statutes means finding that intention . [Emphasis added.] [136] More recently, Professor Richard Ekins reiterated that “[o]rthodox principles of statutory interpretation centre on recognising the intended meaning of the enacting Parliament”: Richard Ekins, “Sentences, Statements, Statutes” (2016) Analisi e Diritto 321, at p. 322. See also Hutchison, at p. 48; Beaulac, at p. 8; and Ruth Sullivan, Sullivan on the Construction of Statutes , 6th ed. (Toronto: LexisNexis, 2014), at §2.5-2.6. [137] The practical methodology for ascertaining intended meaning was long established in the practice of Canadian courts before Driedger summarized it and gave it the label of modern, or orthodox, principle: Beaulac, at p. 30; see also Michael Plaxton, Sovereignty, Restraint, and Guidance: Canadian Criminal Law in the 21st Century (Toronto: Irwin Law, 2019), at pp. 95-97. The Supreme Court has expressly adopted Driedger’s formulation of the “modern principle” in hundreds of cases. In R. v. Jarvis , 2002 SCC 73, [2002] 3 S.C.R. 757, at para. 77, Iacobucci and Major JJ. distilled Driedger’s modern principle as follows: The approach to statutory interpretation can be easily stated: one is to seek the intent of Parliament by reading the words of the provision in context and according to their grammatical and ordinary sense, harmoniously with the scheme and the object of the statute ( Interpretation Act , R.S.C. 1985, c. I-21, s. 12; Bell ExpressVu Limited Partnership v. Rex , [2002] 2 S.C.R. 559, 2002 SCC 42; Rizzo & Rizzo Shoes Ltd. (Re) , 1998 CanLII 837 (SCC), [1998] 1 S.C.R. 27; R. v. Gladue , 1999 CanLII 679 (SCC), [1999] 1 S.C.R. 688; E. A. Driedger, Construction of Statutes (2nd ed. 1983), at p. 87). [138] At the Federal Court of Appeal, Stratas J.A. further distilled the modern principle to its bare essentials, providing the useful shorthand of “text, context, and purpose”: Williams , at para. 41; Cheema , at para. 73 . B. Text, Context, and Purpose [139] There is no sequential ordering of the modern principle factors, beyond beginning with the text of the statute to be interpreted. The factors are closely related and need not be addressed separately in every case: Bell ExpressVu Limited Partnership v. Rex , 2002 SCC 42, [2002] 2 S.C.R. 559, at para. 31. Their unity is in serving the same inquiry: what can the interpreter ascertain about Parliament’s intention? What changes to the rights and obligations of persons did Parliament intend through the legislation enacted? [140] As Driedger explains, at pp. 2 and 105, the first step in discerning what Parliament intended is to consider the words it used in the context it used them, giving those words their grammatical and ordinary meaning: see also Sullivan, at §3.7; Hutchison, at pp. 46-47. Absent an ambiguity, which requires the interpreter to distinguish among multiple senses of the same word, the text will normally dominate interpretation, although it may not always be sufficient: Canada Trustco Mortgage Co. v. Canada , 2005 SCC 54, [2005] 2 S.C.R. 601, at para. 10. Reading the words of a statute in the context of the legislative scheme as a whole can help with understanding Parliamentary intent, as can considering what it is that Parliament intended to achieve through the statute: Rizzo v. Rizzo Shoes Ltd. (Re) , [1998] 1 S.C.R. 27 . C. A Note About Ordinary Meaning [141] Just as with every other type of communication, in the context of legislation the same word can be used to convey vastly different meanings. Although attention to context will usually narrow the potential senses in which a word is used, there may remain more than one possibility. Even within the same sense or definition, a word can have broader and narrower meanings. When it comes to interpreting the words of a statute used in context, an interpreter is to presume that Parliament used the ordinary meaning of words, rather than some technical, arcane, or exotic sense, unless the context suggests that a non-ordinary meaning was intended. The reason for the presumption is obvious enough: because legislation is an act of communication, communication is most likely to succeed where there is a shared understanding of the meaning of the words used. As Professor Michael Plaxton explained in his text, Sovereignty, Restraint, and Guidance: Canadian Criminal Law in the 21st Century , at p. 97: Confronted with a statutory provision for the first time, we proceed on the basis that Parliament chose the text it did, not with a view to confusing or eluding its readers but intending to be understood by its audience. With that in mind, we generally assume that Parliament intended a term or phrase to be given its “ordinary meaning” and not some obscure, technical, bizarre, or idiosyncratic meaning. [142] Ordinary meaning is often expressed in terms of the natural or first impression that arises spontaneously when words are read in context: see e.g. Pharmascience Inc. v. Binet , 2006 SCC 48, [2006] 2 S.C.R. 513, at para. 30. As a matter of first impression, the context in which a word is used will prompt a reader to quickly and subconsciously discard many inapposite senses of a word. But Pharmascience should not be taken as suggesting that the ordinary meaning of a word is a function of its reader’s subjective reaction, as though a statute were a type of Rorschach test. Reading is a matter of impression, but it is the impression that ought to be formed in the mind of a competent speaker of the language by a particular text that uses the conventions of language shared between the legislature and the intended audience: Pierre-André Côté, Stéphane Beaulac & Mathieu Devinat, The Interpretation of Legislation in Canada , 4th ed. (Toronto: Carswell, 2011), at pp. 277-78. A reader is directed to consider the first impression because an accurate first impression should result from effective communication. [143] However, as Hutchison notes, at p. 45, ascertaining the ordinary meaning of a provision is not effortless: “The phrase ‘ordinary meaning’ is deceptive in the sense that uncovering the meaning of words in a statute is not a simple or routine task. Indeed, it is often a difficult and probative exercise.” Even where language is straightforward, the context may carry a more nuanced meaning than might be expected: Hutchison, at pp. 45-47. [144] Statutory interpretation is an exacting scholarly discipline. It requires a comprehensive understanding of canons of interpretation and other presumptions that help the reader understand what it is that Parliament intended. There is a rich body of law and scholarship to guide interpretation, even in “easy” cases. Accordingly, before turning to the legislative provision in question in this appeal, and the trial judge’s treatment of it, I will address three complications to assessing ordinary meaning that are potentially relevant. [145] First, dictionaries or other resources – such as other works of lexicographers and others who study language use – can be useful in ascertaining ordinary meaning. They provide some objective evidence of the shared conventions of language through which Parliament communicates. But dictionary definitions must be approached with caution. Among other reasons, this is because dictionaries aim to provide a comprehensive catalogue of all of a word’s possible uses. The legislature, however, will not have intended all of these possible uses, and the multiplicity of potential meanings can generate ambiguity and confusion. Even where no ambiguity results, simply applying a dictionary definition to a word taken out of context will result in an erroneously broad interpretation: Sullivan, at §3.31-3.32; Hutchinson, at pp. 45-46. Additionally, dictionaries can sometimes lag behind contemporary language use. It is important to avoid, on the one hand, anachronistic definitions unlikely to have been used by the legislature, and, on the other, new meanings that post-date the legislation. Dictionaries also vary widely in their quality and precision, and it is important to prefer those that are substantial works of scholarship: see “Appendix A: A Note on the Use of Dictionaries” in Antonin Scalia & Bryan A. Garner, Reading Law: The Interpretation of Legal Texts (St. Paul, MN: Thompson/West, 2012), at pp. 415-24. However, the point of the oft-repeated caution about dictionaries is to use them with care, not to neglect them in favour of untutored instinct. [146] Second, the meaning of the words used will be the meaning that Parliament intended at the time of enactment. The original meaning is fixed and does not change with any subsequent linguistic drift that might occur: Driedger, at p. 163; Sullivan, at §6.10-6.11 This is a requirement of the rule of law: that law be knowable in advance such that persons can make choices and organize their lives in ways that do not to run afoul of it. Criminal liability cannot depend on social facts – like changing linguistic conventions – that are outside the control of the legislature or unknowable to an accused at the time of the supposed offence: R. v. D.L.W. , 2016 SCC 22, [2016] 1 S.C.R. 402, at paras. 20-21, 57-61. Accordingly, when assessing the meaning of a statutory provision, an authoritative interpreter – such as a court – must be concerned with the intended meaning at the time of enactment . As Dickson J. noted in R. v. Perka , [1984] 2 S.C.R. 232, at pp. 264-65: “The words of a statute must be construed as they would have been the day after the statute was passed…” Sharpe v. Wakefield (1888), 22 Q.B.D. 239, at p. 242 ( per Lord Esher, M.R.). See also Driedger, Construction of Statutes (2nd ed. 1983) at p. 163: “Since a statute must be considered in the light of all circumstances existing at the time of its enactment it follows logically that words must be given the meanings they had at the time of enactment, and the courts have so held”; Maxwell on the Interpretation of Statutes , supra , at p. 85: “The words of an Act will generally be understood in the sense which they bore when it was passed”. [147] Third, words vary in their level of generality, and the generality of the words chosen by a legislature impacts the breadth of the discretion a legislature intends courts to have in interpreting the legislation. Generality is a key tool that legislatures use in ensuring that legislation is able to address unforeseen or changed circumstances. [148] In this regard, the discussion in R. v. Perka is instructive. In that case, Parliament had made it an offence to prohibit the possession of Cannabis sativa L . At the time the legislation was passed, the scientific consensus was that there was only a single species of cannabis, and the intention of Parliament in proscribing the possession of Cannabis sativa L. was to proscribe the possession of all species of cannabis. Subsequent developments in botany suggested that what was previously thought to have been a sub-strain of Cannabis sativa L. was actually a different strain. Dickson J. held that Parliament had used Cannabis sativa L . in the Narcotic Control Act , R.S.C. 1970, c. N-1, to denote a category encompassing all strains of cannabis. Parliament’s use of the term to denote all strains of cannabis was not impacted by a subsequent change in botanical knowledge and terminology: at pp. 265-66. [149] Conversely, broad or open-textured language can sometimes be used to establish a category the membership in which is not fixed at the time of enactment and may come to later include things unknown at the time the statute was enacted. In R. v. Perka , at p. 265, Dickson J. gives the example of the Engraving Copyright Act of 1735, which prohibited unauthorized engraving or “in any other manner” copying prints and engravings. In Gambert v. Ball (1863), 32 L.J.C.P. 166, it was held that copying prints “in any other manner” applied to photographic reproduction of prints, even though that process was invented more than a hundred years after the statute was enacted. The key in Gambert was to discern what the legislature intended by the words it used. D. What Comes Next [150] Ascertaining the ordinary meaning is not the whole of statutory interpretation, but it is a necessary beginning. Although Parliament is presumed to use the ordinary meaning of words, this presumption can be displaced if there is good reason – supplied by the context or the purpose of the legislation – to believe that Parliament intended some other meaning. But it must be stressed that this is not a free-standing authority to substitute some better meaning for the one that Parliament intended, even if, to the judicial mind, substitution would better accomplish Parliament’s purpose. Throughout, the judicial responsibility is to identify what Parliament intended the words to mean, not what it ought to have said but did not. I. THE TRIAL DECISION A. The Legislation [151] The accused was charged with disseminating an intimate image of another person, contrary to s. 162.1 of the Criminal Code . Section 162.1(1) provides: 162.1 (1) Everyone who knowingly publishes, distributes, transmits, sells, makes available or advertises an intimate image of a person knowing that the person depicted in the image did not give their consent to that conduct, or being reckless as to whether or not that person gave their consent to that conduct, is guilty (a) of an indictable offence and liable to imprisonment for a term of not more than five years; or (b) of an offence punishable on summary conviction. [152] A definition of “intimate image” is provided in s. 162.1(2): (2) In this section, intimate image means a visual recording of a person made by any means including a photographic, film or video recording, (a) in which the person is nude, is exposing his or her genital organs or anal region or her breasts or is engaged in explicit sexual activity; (b) in respect of which, at the time of the recording, there were circumstances that gave rise to a reasonable expectation of privacy; and (c) in respect of which the person depicted retains a reasonable expectation of privacy at the time the offence is committed. B. The Trial Judge’s Reasoning [153] The accused brought a motion for a directed verdict of acquittal on the basis that the Crown had failed to meet its burden of establishing that the “image” that was alleged to have been transmitted was an “intimate image” as defined in s. 162.1(2): “a visual recording of a person made by any means”. The trial judge allowed the motion on the basis that, as a matter of statutory interpretation, “visual recording” means “any image captured on any device, electronic or otherwise, that has the capability for reproduction.” She concluded that a FaceTime call, as “a live real-time transmission to another person, with both an auditory and a video component” is not a visual recording. It is “identical to a phone call with the added component of an image.” The trial judge was open to the possibility that despite the evidence before her, it was possible that FaceTime operated by recording images. But she was unwilling to take judicial notice of this technical aspect of the operation of FaceTime, and required evidence on this point. II. Analysis [154] Having surveyed the appropriate methodology and reviewed the impugned legislation, I turn to considering how the Crown’s arguments accord with the text, context, and purpose of s. 162.1. A. Text [155] The Crown argues that the trial judge misinterpreted s. 162.1(2) in understanding a visual recording as an image of some permanence that is capable of reproduction. The Crown argues that a visual recording should be interpreted as “any visual display created by any means”. [156] The Crown faults the trial judge for simply asserting an ordinary or common sense meaning of visual recording without providing any source or explaining how she arrived at that conclusion. [157] If this was how the trial judge reasoned, it would have been a methodological error. Where there is a genuine dispute as to the meaning of a key term, a judge may not resolve the dispute by simply stipulating a definition. [158] But although the Crown makes much of the fact that the trial judge did not provide a source for her definition of “visual recording” in her oral reasons, there is no real mystery here. The transcript of the oral submissions makes matters abundantly clear. Counsel for the accused had put definitions before the trial judge from two dictionaries, both of which defined “recording” in terms of a degree of permanence and capacity for reproduction. One could also consider a more authoritative source, such as the Oxford English Dictionary , which provides (among other definitions): “a series of sounds (esp. a musical performance) or video images stored in permanent form for later reproduction ” (emphasis added). [159] Ironically, it is the Crown that makes the methodological error it attributes to the trial judge: it simply asserts a definition – “a visual display created by any means” – for which there is no lexicographic support. No support is offered from any dictionary, or the work of any lexicographer, or anyone else who studies contemporary language use. The term does not appear to have ever been used in such a way by any identifiable person or group. Yet the Crown offers this invented meaning as the basis for a criminal conviction. [160] This is remarkable. [161] The submission would be all the more remarkable had the Crown followed the argument to its terminus and concluded that this newly minted ordinary meaning – one never before used by any person – is the meaning that Parliament intended when the statute was enacted in 2015. [162] The Crown is not unaware of the difficulties of arguing for an ordinary meaning that does not correspond to actual language use. But as explained below, the argument it mounted to blunt the objection does not succeed. From the Crown’s factum: However, the “plain” or “ordinary” meaning of a word is not necessarily synonymous with its dictionary definition. A word’s ordinary meaning is “the reader’s first impression meaning, the understanding that spontaneously comes to mind when words are read in their immediate context.” This meaning is not frozen. Rather, a word’s ordinary meaning will change with time and context. The word “technology”, for example, means something very different today than it did 100 years ago. [Citing Wookey , at para. 25.] The definition of “recording” has changed over time. Recordings were historically confined to visuals that were recorded and could be viewed at a later time or place, such as photographs and videotapes. However, live transmissions, such as FaceTime [ sic ], permit visuals to be captured by a device and broadcast simultaneously. It is now commonly understood that visual recordings can be broadcast from one location and viewed in another simultaneously. The ordinary meaning of recording must encompass these new forms of technology. [163] The problem of relying on an “impressionistic” reading that contradicts established linguistic conventions has been explained above. The argument from the capacity of semantic meaning to change over time also fails, but this requires greater explanation as the Crown’s argument equivocates between two propositions: one inherently unsound and one sound but misapplied. 1.       The Unsound Proposition [164] The unsound proposition is that because the meaning of words can change, the meaning of a statute necessarily changes with them. Out of the gate, this argument stumbles over first principles: as explained in para. 146 above, statutory interpretation is a matter of ascertaining what Parliament intended to communicate through the statutory text at the time of enactment. Accordingly, any subsequent change in the meaning of the words that Parliament used has no effect on the intended meaning. [165] It would be arguable, were there any evidence of such usage, that although the semantic meaning of “recording” entailed preservation, the meaning changed prior to the enactment of s. 162.1 such that it would be reasonable to conclude that Parliament was cognizant of such a meaning and intended to use the word in this way. But there is no evidence of such usage and the proposition that the definition of “recording” has, as a matter of semantic meaning, changed to include a “any visual display created by any means” is untenable. 2.       The Sound Proposition [166] But much depends on the meaning of “change”. The sound proposition within the Crown’s submission is that where Parliament uses broad classes and concepts to denote its meaning, it necessarily assigns to subsequent interpreters the task of determining whether some instance comes within the enumerated class or concept: Hutchison, at pp. 45, 50-52; see also Sullivan, at §6.10. With such drafting, Parliament intends to accommodate changed circumstances that it did not, and perhaps could not, foresee. As Driedger explained, at p. 163, “words must be given the meanings they had at the time of enactment”, however, “the ordinary original meaning of words may be held to embrace things unknown when the words were used.” [167] Thus, when the Crown asserts that “[t]he definition of ‘recording’ has changed over time”, it can perhaps be understood as advancing a proposition about technological change rather than linguistic change. Accordingly, in the circumstances of this appeal, the question is whether a FaceTime transmission is a technology that comes within the broad category of “recording”, as that term was used in the context of s. 162.1(2). [168] The short answer is no. [169] FaceTime is not a technology that postdates the enactment of s. 162.1(2). It was ubiquitous technology well before the enactment of the subsection in 2015. More significantly, the concept of live video transmission was well known and well established long before that time, though not on handheld devices. Given that the distinction between the transmission of a live event and the transmission of a recording was well known, s. 162.1(2)’s specific focus on the transmission of a recording is significant and cannot be dismissed with the argument that the concept of recording or archiving, though once a necessary precondition to transmission, is now obsolete. [170] Indeed, the surrounding context in the Criminal Code makes it obvious that Parliament was well aware of the distinction between live-stream transmissions and transmissions of recordings, particularly when one considers the nuanced vocabulary Parliament used. For example, the offence for voyeurism under s. 162 explicitly distinguishes between the action of observing ( i.e. “observes”) using electronic means, and making a visual recording , both of which are proscribed. As with s. 162.1, Parliament specifically defines a “visual recording” as including “a photographic, film or video recording made by any means”. The context, listing “video recording” with photographic and film recordings, confirms the archival nature of “video recording”, and thereby “visual recording”. In contrast, under s. 163.1, Parliament uses the broad category of “video or other visual representation ” (emphasis added), rather than the narrower category of “visual recording”. Between ss. 162 and 163.1, which flank either end of s. 162.1, electronically observing a person, making an electronic representation , and making a recording are all distinguished as separate actions. These provisions demonstrate Parliament was alive to the distinction between transmitting video data (e.g. observing through electronic means or creating a video representation) and making a recording. [171] Consequently, there has been no relevant technological change that bears on the meaning of s. 162.1. What the Crown is left with is the proposition that a reauthoring of the provision would better achieve s. 162.1’s purpose, being to protect human dignity and privacy by prohibiting the transmission of intimate visual images. But where Parliament chooses specific means to achieve its ends, the court is not permitted to choose different means any more than it would be permitted to choose different ends. The interpretive question is not what best promotes the section’s purpose, such that courts can modify the text to best bring about that result, but rather how Parliament chose to promote its purpose. Courts are required to respect chosen means as well as ends. Had Parliament only enacted s. 162.1(1), leaving “intimate image” undefined, the Crown’s case would be plausible. But by specifying that an “intimate image” is a recording, courts must give effect to that choice. [172] To sum up, the argument that the ordinary meaning of a “visual recording” includes – as a matter of contemporary linguistic use – “any visual display created by any means” must be rejected. There is no evidence in the record before this court that “visual recording” has ever been used in this way. Often, debates over statutory interpretation revolve around which of several possible meanings is apt. In this case, there is no contest between rival meanings. What the Crown has proffered as the ordinary meaning of a “visual recording” is not only not the ordinary meaning, it is an invented meaning. Although the Crown’s argument is framed in terms of ascertaining the conventional, ordinary meaning of language, it is actually an argument about what meaning ought to be imposed on s. 162.1, so as to best achieve the purpose of the section. B. Context [173] Ascertaining ordinary meaning does not exhaust the task of statutory interpretation, although it greatly structures and to some extent confines it. There remain additional inquiries. First, is there reason to believe that Parliament intended some other meaning? This is resolved by further resort to firstly, context, and secondarily, purpose. Second, are there exceptional, unforeseen circumstances that would allow a court to conclude that there is some gap between Parliament’s purpose and the intended meaning of the statute? That is, are there unforeseen circumstances where the intended meaning of the statute and the reasoned choice behind the legislation have been pulled apart? Such exceptional, unforeseen circumstances could authorize a corrective exception or extension, as the case may be: see Richard Ekins, The Nature of Legislative Intent (Oxford: Oxford University Press, 2012), at pp. 275ff (“Ekins, Legislative Intent ”). [174] One can quickly dispose of the suggestion that Parliament did not intend to use “recording” in the phrase “visual recording” in the ordinary sense with its archival denotation. The context provides no reason to attribute some other meaning, nor does anything in the context suggest that the invented meaning of “any visual display” is what was intended. Instead, as I already discussed above, at paras. 170-71, the context surrounding s. 162.1 supports understanding “recording” in its ordinary sense with an archival denotation. [175] The Crown glosses over the interpretive significance of s. 162 of the Code . That section establishes the offence of voyeurism and is helpful to understanding s. 162.1. It provides: 162 (1) Every one commits an offence who, surreptitiously, observes — including by mechanical or electronic means — or makes a visual recording of a person who is in circumstances that give rise to a reasonable expectation of privacy, if (a) the person is in a place in which a person can reasonably be expected to be nude, to expose his or her genital organs or anal region or her breasts, or to be engaged in explicit sexual activity; (b) the person is nude, is exposing his or her genital organs or anal region or her breasts, or is engaged in explicit sexual activity, and the observation or recording is done for the purpose of observing or recording a person in such a state or engaged in such an activity; or (c) the observation or recording is done for a sexual purpose. Definition of visual recording (2) In this section, visual recording includes a photographic, film or video recording made by any means. [Emphasis in original.] [176] The voyeurism provision uses much of the same language as s. 162.1. Crucially, the section distinguishes between visually observing a person through electronic means and making a visual recording. It is an offence under s. 162(1) to do either. But the distinction suggests that using an electronic device to observe a person (whether the observation is, for example, done by the person placing a FaceTime video call or the person receiving it) is not the same thing as making a visual recording. Visual observation by electronic means – that is, observation of a visual display – does not entail the making of a visual recording. It would be both counter-intuitive for Parliament to have used “visual recording” in two different senses in adjacent sections of the Criminal Code and contrary to the presumption of consistent usage: Thomson v. Canada (Deputy Minister of Agriculture) , [1992] 1 S.C.R. 385, at pp. 400-01. C. Purpose [177] Finally, how does the purpose of s. 162.1 assist in its interpretation? This inquiry is often referred to as a purposive interpretation or analysis, and it serves to ensure that in construing the meaning of words, the interpreter takes legislative purpose into account: Plaxton, at pp. 102-03; Sullivan, at §9.3. [178] While engaging in purposive interpretation, one must be careful not to conflate purpose and meaning. The consideration of purpose as an interpretive guide is in helping resolve what Parliament intended by the statute it enacted. It is not a question of whether a differently worded statute would – in the mind of the interpreter – better achieve the purpose. We must not “take the ends for which the legislature acts to license the substitution of alternative means”: Ekins, Legislative Intent , at pp. 251, 254-55. The danger in purposive interpretation is that it can easily be misused by taking an abstract statement of statutory purpose – say, the protection of privacy or human dignity – and then concluding that the statute enacts whatever propositions would best achieve this aim. This would subordinate the legislature’s actual reasoning and the actual plan chosen to achieve its aim: Ekins, Legislative Intent , at pp. 249-55; Plaxton, at pp. 106-07; and Sullivan, at §10.25, 15.5. [179] It is common ground that in enacting s. 162.1, Parliament intended to protect human dignity and privacy by prohibiting the transmission of intimate visual images. It was responding specifically to instances of great personal harm caused by persons who had uploaded or distributed intimate images of women and girls. Although it was already an offence under s. 162(4) to distribute voyeuristic recordings, s. 162.1 created an additional offence of distributing intimate visual recordings that had been made non-voyeuristically. The type of visual recordings caught by this provision was intended to be extremely broad: “visual recording of a person made by any means”. Thus, s. 162.1 captures not only means of recording that existed at the time of enactment, or those that were specifically enumerated, but all means of recording, present and future. [180] It cannot be concluded that because Parliament intended to capture all means of making a recording and a very broad class of means of distribution, it therefore also intended to define “intimate image” as broadly as the Crown contends. The text and context both suggest otherwise. Parliament did not need to define “intimate image” in terms of a “visual recording”. Had intimate image been left undefined by s. 161.1(2), it would arguably have been broad enough to include live-streamed images. However, Parliament chose to specify the meaning as “visual recording” rather than “visual display”, “visual depiction”, or “visual representation”, as in s. 163.1(1)(a). All of these options were open to Parliament, and it instead chose the more restrictive category of visual recording. [181] I reiterate that the existence of FaceTime video calling is not an unforeseen circumstance. FaceTime existed before 2015, and live video transmission generally existed long before FaceTime. Parliament was aware of both the existence of this technology and the language used to describe it. A recording is not a necessary precondition for the transmission of every type of image. But even if the Crown was correct on this point, it would not follow that the transmission of non-recorded, live-streamed images and the transmission of recorded images, would therefore now both be known as the transmission of recordings. There is no basis upon which to find that any change in technology or circumstance warrants reinventing the meaning of “recording”. [182] After considering the text, context, and purpose of s. 162.1, it can only be concluded that the section does not apply to live-streamed images. But for the prescribed definition, there would be an ambiguity in the meaning of “image”, in which case it could have indicated something that can be seen (e.g. a visual display) or recorded (and, typically, capable of repeated viewing). But the definition resolves the ambiguity in favour of the latter. This is a reasoned choice by Parliament, and this court is required to respect chosen means as well as ends. D. Absurd Consequences [183] Notwithstanding my conclusion about the intended meaning of s. 162.1, is there good reason to conclude that Parliament’s purpose in enacting the legislation and the intended meaning of s. 162.1(2) have diverged in the application to FaceTime video calls? That is, does the above interpretation result in absurd consequences? [184] I do not think so. The harm Parliament had before it was the damage to persons whose privacy and dignity would be terribly abused by the unauthorized sharing of intimate images. Parliament enacted legislation to protect against this particularly serious violation of human dignity. But it did not intend s. 162.1 to stand as a complete code. It is supplemental to the voyeurism offences in s. 162. Section 162.1 does not capture, and was not intended to capture, every act by which one person injures others by exposing them to the view of third parties. It did not, for example, criminalize acts such as the accused opening the bathroom door and exposing the complainant to the view of the friends he invited into his apartment. Each of these friends was in the same position to record the complainant as any of his other friends who received a FaceTime call. Had they done so, each would have faced the same potential jeopardy under s. 162. [185] There would be nothing irrational or unreasonable about Parliament choosing to criminalize the transmitting of live, unrecorded images through s. 162.1. But it did not do so, and there is no good reason to conclude that this decision was unintended or that it undermines Parliament’s purpose in enacting the legislation it did. The proper interpretation of s. 162.1 does not impair its functioning in prohibiting the dissemination of recordings. [186] The conduct complained of in this case is reprehensible. But exposing a person to the view of others is different than placing a recording that is capable of publication in the hands of third parties. A recording can be viewed an infinite number of times, by an unlimited number of people. A live-stream transmission cannot. It is not irrational or arbitrary for the criminal law to differentiate between them. Of course, a live-stream transmission is capable of being recorded, requiring only the simultaneous decision of the recipient of a FaceTime video call to record it. But such a recording would likely violate s. 162, and any sharing of that recording would violate s. 162.1. [187] The accused is not a sympathetic figure. On the facts alleged, he not only grossly violated the dignity of the complainant, he facilitated others in doing the same. He should have known what he was doing was seriously wrong. Although he was not charged under s. 162, the reason why is not immediately obvious. [3] However, even if there was no criminal prohibition corresponding to the accused’s conduct, it would not be a reason to distort the meaning of s. 162.1. As Stratas J.A. reminded in Williams , at para. 47, moral evaluation of the accused’s conduct cannot be allowed to displace the interpretation of the statute. Criminal offences have elements, and where those elements are not made out, judges are not authorized to substitute new ones. [188] To sum up, there is a methodology intended to structure and guide judicial interpretation of statutes. It directs judges to a body of law that places primacy on understanding the intended meaning of Parliament in enacting the statutory text that it did. The application of the modern principle in this case leads to the conclusion reached by the trial judge: s. 162.1 prohibits the transmission of a recording. It does not prohibit the transmission of images that are not recordings. A FaceTime video call operates by transmitting images that have not first been recorded and are never recorded in the course of transmission, although they are capable of being recorded by a recipient. The trial judge made no erroring in allowing the application for a directed verdict of acquittal. III. SUFFICIENCY OF THE EVIDENCE [189] One final point. The trial judge understood as well as the next person how an iPhone works. She did not require expert evidence to explain its user-level functioning. But by this point in her reasons, the trial judge had rejected the Crown’s invitation to redefine a recording as a live-stream transmission, preferring the definition used by everyone else. The Crown thus faced an evidential hurdle. In order to defeat the directed verdict application, the Crown needed to establish that a FaceTime video call transmitted “a recording” as that word is ordinarily understood: a depiction that outlasts the event it depicts – for however long – allowing the event to be viewed at some later time, whether once or multiple times. [190] But FaceTime, as far as the trial judge could tell, does not work in this way. (Note that this is not the question of whether a recipient of a FaceTime video call can make a recording of it. The fact that a transmission of a live-stream image can be recorded by its recipient does not mean it was a transmission of a recording rather than a previously unrecorded, live event.)  For the Crown to succeed, it would need to provide evidence that FaceTime functioned in a way contrary to what is commonly understood. The trial judge insisted that the Crown prove the elements of the offence. If the Crown’s case rested on the technical – and highly doubtful – claim that FaceTime operated by recording or saving images somewhere and then transmitting them, then the Crown needed to produce some evidence of this. It did not. The trial judge made no error in requiring evidence on this point. IV. DISPOSITION [191] I would dismiss both the appeal against conviction and the Crown’s appeal of the directed verdict of acquittal. Released: January 22, 2021 (“K.F.”) “B.W. Miller J.A.” [1] The trial judge heard and decided this application in September 2018. Section 276(2) was amended effective December 13, 2018: S.C. 2018, c. 29, s. 21. When the trial judge decided the application, s. 276(2) read: (2) In proceedings in respect of an offence referred to in subsection (1), no evidence shall be adduced by or on behalf of the accused that the complainant has engaged in sexual activity other than the sexual activity that forms the subject-matter of the charge, whether with the accused or with any other person, unless the judge, provincial court judge or justice determines, in accordance with the procedures set out in sections 276.1 and 276.2, that the evidence (a) is of specific instances of sexual activity; (b) is relevant to an issue at trial; and (c) has significant probative value that is not substantially outweighed by the danger of prejudice to the proper administration of justice. [2] Canada, Department of Justice, Report to the Federal/Provincial/Territorial Ministers Responsible for Justice and Public Safety: Cyberbullying and the Non-Consensual Distribution of Intimate Images (June 2013), at pp. 14-15. [3] In commenting on this observation at para. 73 of her reasons, m y colleague argues that s. 162 could not apply in the circumstances of the present case because the accused was not acting surreptitiously. It should be noted, again, that because there was no charge brought under s. 162, there were no submissions on this point and no adjudication. This court has not yet pronounced on the meaning of “surreptitious” in the context of s. 162. The interpretation of that section, when it is provided, must be determined using the methodology required by the modern principle. But although an authoritative statement about the meaning of “surreptitious” in the context of s. 162 therefore cannot be given in these reasons, I reiterate that it is not obvious that a man who opens a bathroom door and livestreams someone in the position of the complainant while her attentions are concentrated elsewhere, is not acting surreptitiously. This remains the case even if the person who is being observed electronically soon becomes aware of it but is powerless to stop it.
COURT OF APPEAL FOR ONTARIO CITATION: R. v. Windebank, 2021 ONCA 118 DATE: 20210202 DOCKET: M52172 (C68874) Fairburn A.C.J.O. BETWEEN Her Majesty the Queen Appellant and Jason Windebank Respondent Stacey D. Young and Jennifer Stanton, for the appellant Anil K. Kapoor and Dana C. Achtemichuk, for the respondent James Foy and Michelle Psutka, for the proposed intervener, the Criminal Lawyers’ Association of Ontario Heard: February 1, 2021 via videoconference REASONS FOR DECISION [1] The Crown appeal in R. v. Windebank (C68874) is scheduled to be heard on February 22, 2021. The respondent’s factum is due on February 10, 2021. [2] This appeal raises an issue of statutory interpretation. Section 535 of the Criminal Code , R.S.C., 1985, c. C-46, sets out when an accused is entitled to a preliminary inquiry. Section 535 reads: If an accused who is charged with an indictable offence that is punishable by 14 years or more of imprisonment is before a justice and a request has been made for a preliminary inquiry under subsection 536(4) or 536.1(3), the justice shall , in accordance with this Part, inquire into the charge and any other indictable offence, in respect of the same transaction …. [Emphasis added.] [3] The issue on appeal is whether s. 535 of the Criminal Code should be interpreted so as to entitle an accused to a preliminary inquiry in those circumstances where he or she is informed by the Crown, ahead of his or her election, that the Crown may pursue a dangerous offender finding in the face of a conviction. Owing to the potential indeterminate nature of the custodial term that could flow upon a dangerous offender finding, despite the fact that he is not “charged” with an offence that is punishable by 14 years of imprisonment or more, Mr. Windebank argues that he is entitled to a preliminary inquiry under s. 535 of the Criminal Code . [4] This case rests on a narrow factual foundation. Mr. Windebank stands charged with one count of assault causing bodily harm contrary to s. 267(b) and one count of assault by choking contrary to s. 267(c) of the Criminal Code . When tried by indictment, these crimes are punishable by not more than ten years imprisonment. This brings squarely into focus whether an informal prosecutorial notice that a dangerous offender designation may be sought upon conviction, should entitle Mr. Windebank to a preliminary inquiry. [5] Mr. Windebank has taken the position that s. 535 should be interpreted broadly, permitting him resort to a preliminary inquiry because of the potential jeopardy that he now knows he faces. He has found favour with that argument at two levels of court, first in the Ontario Court of Justice and then in response to the Crown’s attempt to seek relief by way of prerogative writs: 2020 ONCJ 567, [2020] O.J. No. 5284; 2020 ONSC 8107, [2020] O.J. No. 5771. [6] The Criminal Lawyers’ Association of Ontario (“CLA”) seeks leave to intervene in this appeal that is only three weeks away. In the normal course, it is expected that intervener applications will be brought in a reasonable amount of time prior to the hearing of the appeal so that there is no disruption to the court or the parties. Indeed, the timing of any such application is a factor to be taken into account in determining whether a potential intervener should be granted that status. [7] In this case, the scheduling of the appeal has been substantially accelerated in light of its subject matter. Therefore, I do not take the timing of this application into account in determining its proper disposition. [8] The CLA wishes to make three arguments on appeal: (a)     If an accused faces a potential total sentence of 14 years or more, he or she should be entitled to a preliminary inquiry. (b)     Section 718.3(8) of the Criminal Code allows for the imposition of a term of imprisonment that is more than the maximum term of imprisonment provided for the offence in circumstances involving repeat intimate partner violence. In specific, s. 718.3(8)(c) allows for a maximum term of 10 years imprisonment to be increased to 14 years imprisonment in circumstances involving repetitive conduct as defined in that provision. The CLA argues that any accused who is given informal notice of the Crown’s intention to invoke s. 718.3(8)(c) at the sentencing stage of the proceedings, should a conviction flow, should also be entitled to a preliminary inquiry . (c)     “Except where impracticable”, the Crown should be required to provide the accused with pre-election notice as to whether a dangerous offender proceeding upon conviction will be pursued or an increased penalty will be requested pursuant to s. 718.3(8)(c) of the Criminal Code . [9] The respondent on appeal consents to the CLA’s intervention on all proposed issues. [10] The Crown consents to the CLA’s intervention on the first proposed argument: whether s. 535 of the Criminal Code extends to those situations where the accused faces a potential total sentence of 14 years or more. The Crown opposes the intervention on the other proposed arguments. [11] In my view, the CLA’s first proposed position serves to add a useful and different perspective to the appeal, one that will not cause an injustice to the parties. The CLA’s first position is somewhat different from Mr. Windebank’s, in the sense that the CLA will argue that when determining whether the accused is “charged” with an offence that is punishable by 14 years or more, that calculation must be approached from the perspective of totality. To use Mr. Windebank’s situation as an example, the CLA’s position is that, because he is charged with two offences that are each punishable by up to 10 years, he is theoretically susceptible to a total sentence of 20 years imprisonment. Therefore, based upon the plain meaning of the provision, and consistent with its spirit, the CLA will argue that s. 535 of the Criminal Code affords a preliminary inquiry upon request in circumstances such as the one that Mr. Windebank finds himself in . [12] The CLA’s second position is more problematic. The CLA has focussed in on s. 718.3(8)(c) of the Criminal Code . That provision reads as follows: 718.3(8) If an accused is convicted of an indictable offence in the commission of which violence was used, threatened or attempted against an intimate partner and the accused has been previously convicted of an offence in the commission of which violence was used, threatened or attempted against an intimate partner, the court may impose a term of imprisonment that is more than the maximum term of imprisonment provided for that offence, but not more than (c)    14 years, if the maximum term of imprisonment for the offence is 10 years or more but less than 14 years …. [13] In their written materials, the CLA has argued that, because an accused “may face a sentence higher than the statutory maximum after conviction for the offence for which they are charged” in circumstances of consecutive convictions for intimate partner related crimes, the “accused should also be entitled to a preliminary inquiry”. [14] To the extent that the CLA is asking this court to rule that the potential applicability of s. 718.3(8)(c) of the Criminal Code , at a potential sentencing stage of a proceedings, entitles an accused to a preliminary inquiry, the CLA is raising a new issue that has not been decided in the courts of first and second instance. This statutory provision was not even addressed in either of the decisions that form the backdrop for this appeal. To allow an intervener at this stage to request this court to make a definitive statement about the operation of s. 718.3(8)(c), such that it entitles an accused to a preliminary inquiry, is entirely outside the scope of this appeal. [15] This case is about the interpretation of s. 535 of the Criminal Code in the face of an informal notice about potential dangerous offender proceedings that may occur following a potential conviction. While there is nothing to preclude the CLA from pointing to s. 718.3(8)(c) as an interpretative aid in advancing their argument as to the scope of s. 535, it would well exceed the bounds of this appeal to request this court to embark upon an exercise in determining whether the potential applicability of s. 718.3(8)(c) is a definitive gateway to a preliminary inquiry. In my view, to permit the CLA to advance this argument, would introduce a completely new issue into the appeal. [16] This is equally true when it comes to the final proposed argument made by the CLA: the timing of Crown notice. The CLA contends that, except in “exceptional” cases, the Crown should be required to provide notice, prior to the accused’s election, of its intention to pursue a dangerous offender application or the application of s. 718.3(8)(c) of the Criminal Code . Again, to permit the CLA to raise this argument on appeal would inject a significant new and previously untested issue into the appeal. [17] Prior to his election, Mr. Windebank was given informal notice of the Crown’s intention to seek a s. 752.1 remand for an assessment should he be convicted. That assessment acts as a precursor to bringing a dangerous or long-term offender application. The Crown was under no statutory obligation to provide that notice in this case. Indeed, Part XXIV of the Criminal Code only requires seven days notice before an application is brought: s. 754(1)(b). Of course, proceedings under Part XXIV of the Code typically occur post-conviction, a long time following the election having been made. [18] The CLA advances a similar argument with respect to s. 718.3(8)(c) of the Criminal Code . The CLA wishes to advance the argument that there should be a near-mandatory pre-election notice obligation placed on the Crown in those circumstances where, in the event that the accused is convicted, the Crown intends to resort to s. 718.3(8)(c) of the Criminal Code at the sentencing proceeding. [19] To allow the CLA to advance this position would inject a significant issue into the appeal. In my view, not only would it result in prejudice to the parties at this late stage, but it could result in prejudice to the administration of justice. [20] As before, s. 754(1)(b) of the Criminal Code does not require pre-election notice. If this argument were permitted, not only would it raise a new issue, but it would serve to contradict the statutory notice provision in the context of dangerous offender proceedings. The argument raised by the CLA raises serious questions about the constitutionality of that notice provision, ones that could only be properly explored in the court of first instance, permitting the parties an opportunity to develop an evidentiary record addressing the issue. This court is without the benefit of that record or the considered views of the jurists from whom this appeal is taken. [21] This case is about the interpretation of s. 535 of the Criminal Code . The record reflects litigation rooted in a discretionary notice having been given. To allow an intervener at this stage to argue that this court should create a requirement that notice be given in all but exceptional cases, would not only serve as an implicit attack on the statutory provision(s) involving post-election notice, 0F [1] but would also risk deciding a critical issue without a proper factual record, including reference to the broad implications that could result form any such approach. [22] Respectfully, the latter two proposed arguments advanced by the CLA are not a simple matter of bringing a unique perspective to bear on the appeal. The CLA has historically provided this court with important assistance, including in matters involving the new legislation relating to preliminary inquiries, Bill C-75, An Act to amend the Criminal Code , the Youth Criminal Justice Act and other Acts and to make consequential amendments to other acts , 1st Sess., 42nd Parl., 2019, c. 25: R. v. R.S. , 2019 ONCA 906, [2019] O.J. No. 5773. The CLA’s intervention in this appeal is equally welcome. That intervention cannot, though, become a platform to add issues which have potentially far-reaching implications, upon which there has been no decision, and that are without a factual record to allow for a proper adjudication: Bedford v. Canada (Attorney General) , 2011 ONCA 209, [2011] O.J. No. 1111, at paras. 9-10. [23] Accordingly, the CLA’s intervention is granted on the following terms: (a) The CLA is granted leave to intervene on the basis   set out in these reasons; (b) The CLA’s submissions will not repeat the submissions of the respondent, Mr. Windebank; (c)   The CLA will file a factum no later than February 10, 2021 of no more than 10 pages in length; (d)   The CLA will be granted 15 minutes to make oral argument at the hearing of the appeal; and (e)   In response to the CLA’s factum, the parties may each file a factum of no more than 5 pages in length, to be served and filed no later than February 17, 2021. “Fairburn A.C.J.O.” [1] See also: s. 727(1) of the Criminal Code .
COURT OF APPEAL FOR ONTARIO CITATION: R. v. Zamora, 2021 ONCA 354 DATE: 20210526 DOCKET: C68052 & C68065 Hoy, Hourigan and Zarnett JJ.A. BETWEEN C68052 Her Majesty the Queen Respondent and Sebastian Zamora Appellant AND BETWEEN C68065 Her Majesty the Queen Respondent and Nicholas Poku Appellant Chantelle M. LaFitte and Jacob D. Roth, for the appellant, Sebastian Zamora Nicholas Poku, acting in person Amanda Webb, for the respondent Heard: May 4, 2021 by video conference On appeal from the order of Justice Gisele M. Miller of the Superior Court of Justice, dated January 28, 2020, granting the application for certiorari and mandamus to set aside the order of Justice Hafeez S. Amarshi of the Ontario Court of Justice, dated August 7, 2019, discharging the appellants. Hoy J.A.: Overview [1] The appellants, Mr. Poku and Mr. Zamora, were charged with possession of heroin for the purpose of trafficking, contrary to s. 5(2) of the Controlled Drugs and Substances Act , S.C. 1996, c. 19 (the “CDSA”). Mr. Zamora was also charged with importing heroin, contrary to s. 6(1) of the CDSA. [2] The preliminary inquiry judge discharged the appellants at their preliminary inquiry. The Crown applied for, and the reviewing judge granted, an order in certiorari quashing the preliminary inquiry judge’s decision and mandamus ordering that both appellants be committed for trial on the charges against them. [3] The appellants argue that the reviewing judge erred in doing so. Mr. Zamora also argues that the preliminary inquiry judge and the reviewing judge erred in concluding that the actus reus of the offence of importing was not complete before Mr. Zamora took possession of the package containing the heroin. Mr. Zamora urges this court to clarify the law as to when the actus reus of the offence of importing is complete. [4] For the following reasons, I would affirm the order of the reviewing judge. [5] Below, I briefly outline the relevant principles as to roles of a preliminary inquiry judge and a judge faced with an application to quash the decision of a preliminary inquiry judge and the evidence at the preliminary inquiry. Then I review the reasons of the preliminary inquiry judge and the reviewing judge and explain why I conclude that the reviewing judge did not err in quashing the preliminary inquiry judge’s decision. Finally, I explain why I decline to address the issue of when the actus reus of the offence of importing is complete on this appeal. The roles of the preliminary inquiry judge and a reviewing judge [6] The law as to the jurisdiction of a preliminary inquiry judge and the role of a reviewing judge is not at issue. Both the preliminary inquiry judge and the reviewing judge adverted to the key legal authorities as to the jurisdiction of a preliminary inquiry judge and the reviewing judge directed herself as to the limited role of a reviewing judge. The appellants take no issue with their articulation of the relevant principles. This appeal concerns the application of those principles. However, a brief outline of the relevant principles, drawing heavily on the reasons of the reviewing judge, provides context for the issues on appeal. [7] As the reviewing judge noted, a preliminary inquiry judge’s jurisdiction is derived from s. 548(1) of the Criminal Code , R.S.C., 1985, c. C-46 . When a preliminary inquiry judge acts outside of s. 548(1), he or she commits jurisdictional error. [8] Section 548(1) provides as follows: 548 (1) When all the evidence has been taken by the justice, he shall (a) if in his opinion there is sufficient evidence to put the accused on trial for the offence charged or any other indictable offence in respect of the same transaction, order the accused to stand trial; or (b) discharge the accused, if in his opinion on the whole of the evidence no sufficient case is made out to put the accused on trial for the offence charged or any other indictable offence in respect of the same transaction. [9] In R. v. Arcuri , 2001 SCC 54, [2001] 2 S.C.R. 828, McLachlin C.J., writing for the court, reaffirmed what s. 548(1) requires a preliminary inquiry judge to do and when a preliminary judge acts outside of s. 548(1). A preliminary inquiry judge must determine whether there is sufficient evidence to permit a properly instructed jury, acting reasonably, to convict. This does not require the judge to assess credibility or draw inferences from the facts. That is the role of the jury. Where, as in this case, the evidence is circumstantial, the preliminary inquiry judge must engage in a limited weighing of the whole of the evidence to determine whether the evidence, if believed, could reasonably support an inference of guilt: Arcuri, at paras. 23, 29. In doing so, the preliminary inquiry judge does not draw inferences from facts: Arcuri , at para. 30. If the evidence could result in a conviction, the accused must be committed: Arcuri , at para. 33. [10] If a preliminary inquiry judge weighs the evidence beyond the limits established in Arcuri , he or she commits jurisdictional error: M.M. v. United States of America , 2015 SCC 62, [2015] 3 S.C.R. 973, at para. 47; R. v. Kamermans , 2016 ONCA 117, 346 O.A.C. 31, at para. 15. [11] At paras. 13-15 of her reasons, the reviewing judge summarized other relevant principles: A preliminary inquiry judge may not weigh the evidence for competing inferences in determining whether there is sufficient evidence for committal. That role is reserved for the trier of fact. R. v. Deschamplain , [2004] 3 SCR 601 at paragraph 15. If more than one inference may be drawn from the evidence, then only the inference(s) that favour committal are to be considered. Sazant at paragraph 18. Where there are competing inferences, and one of those inferences supports committal, then that inference must be favoured at a preliminary inquiry. R. v. Magno , [2006] O.J. No. 2590 (C.A.), at paragraphs 21-23. [12] In reviewing the decision of a preliminary inquiry judge, the reviewing judge’s role is limited to whether the preliminary inquiry judge exceeded or declined to exercise his or her jurisdiction in arriving at that decision. The reviewing judge does not simply redo the limited weighing of the evidence in which the preliminary inquiry judge was permitted to engage, nor attempt to determine the correctness of the preliminary inquiry judge’s decision. R. v. Manasseri , 2010 ONCA 396, 276 C.C.C. (3d) 406, at para. 28. The evidence at the preliminary inquiry [13] The preliminary inquiry judge noted that for the most part the facts were not contentious. [14] On February 21, 2018, a Canadian Border Services Agent discovered 1.347 kg of heroin concealed in the lining of computer bags shipped from Pakistan. The RCMP removed the heroin and replaced it with a controlled sample. The shipment was then returned to the Air Cargo International (“ACI”) warehouse on airport property in Mississauga. [15] Through the customs broker who called to inquire about the status of the bags, the RCMP determined that the account with the customs broker associated with the bags was in fact that of Chukwuemeka Madumelu, who had been using a pseudonym in his dealings with the customs broker. Mr. Madumelu was known to the RCMP because he had previously been charged with importing a Schedule I substance. [16] When he called, the customs broker advised Mr. Madumelu that all funds needed to be paid before the shipment would be released. That day – February 27, 2018 – the required fee was paid. [17] On February 28, 2018, a controlled delivery of the package was unsuccessful: the person who answered the door at the residential address that Mr. Madumelu had provided to the customs agent refused delivery. [18] On March 1, 2018, Mr. Madumelu advised the broker that he or Sebastian, whom he told the customs broker was his cousin, would pick up the package at ACI. Later that day, Mr. Zamora attended at ACI to collect the package. He identified himself as Sebastian. Mr. Poku, who came with him, waited in Mr. Zamora’s car. Mr. Zamora asked if the package was heavy. When asked if he needed assistance carrying the package, Mr. Zamora declined, stating that there was “nothing fragile inside”. In the process of the delivery, a waybill was handed to Mr. Zamora. The waybill indicated that the package contained “empty bags”. [19] Mr. Zamora carried the package to his car and placed it in the backseat. Then he and Mr. Poku drove directly to a restaurant. They left the package in open view in the backseat of the car and entered the restaurant. They exited the restaurant approximately 20 minutes later with Mr. Madumelu. Mr. Zamora and Mr. Poku left in their car, and Mr. Madumelu left in his. The cars left the restaurant in opposite directions. They reconvened at a nearby apartment building. [20] Mr. Madumelu and Mr. Poku removed the package from the backseat of the car driven by Mr. Zamora and entered the apartment building, where they were arrested. Mr. Zamora was arrested while waiting in the car. [21] Upon his arrest, Mr. Madumelu was found with a slip of paper upon which were written, among other things, the waybill number and Mr. Zamora’s phone number with the name “Seb” – a short form for Mr. Zamora’s first name, Sebastian – noted beside it. The preliminary inquiry judge’s reasons [22] The preliminary inquiry judge rejected Mr. Zamora’s argument that the offence of importing heroin had been completed before he took possession of the package at the ACI warehouse on March 1, 2018. However, he was not persuaded that the evidence supported a reasonable inference that Mr. Zamora or Mr. Poku had the requisite knowledge of the drugs in their possession. [23] The preliminary inquiry judge concluded that the “trusted agent argument” advanced by the Crown – namely that such a valuable quantity of drugs would not be entrusted to anyone who did not know the nature of the contents of the package – did not support a reasonable inference of knowledge. The fact that Mr. Madumelu, who had clearly organized the retrieval of the package, had to scribble down Mr. Zamora’s name and number on a slip suggested “a superficial relationship between the parties as opposed to fellow drug conspirators”. Also, the fact that the appellants left the package unattended for 20 minutes in the restaurant parking lot undermines the Crown argument that the package would only be left with trusted insiders. [24] The preliminary inquiry judge found that Mr. Zamora’s utterance that the contents were not fragile did not support a reasonable inference that he was aware of the contents. Standing alone, it did little. And the value of the inference was diminished by the fact that the waybill handed to Mr. Zamora during his pickup indicates empty bags as the contents. A cursory review of the waybill would have grounded his belief that the shipment was not fragile. Also, Mr. Zamora’s first question to the undercover officer who was acting as an ACI agent was whether the package was heavy, undermining the Crown’s suggestion that Mr. Zamora knew what the contents were. [25] Further, while the fact that all three met at the restaurant before proceeding to the apartment building is somewhat suspicious, absent additional evidence, it does not rise past the level of speculation that they are connected to a drug conspiracy. The reviewing judge’s reasons [26] The reviewing judge reviewed the evidence and the parties’ positions on the application before her. The Crown argued that the preliminary inquiry judge engaged in a prohibited weighing of competing inferences, making two arguments. [27] First, the Crown submitted that Mr. Zamora’s utterance that there was nothing fragile in the package clearly gave rise to an inference that he had knowledge of the package’s contents. The Crown argued the preliminary inquiry judge balanced this inference with another, namely that Mr. Zamora could have learned from the waybill that the contents of the packages were empty bags, and did so in the absence of any evidence from the defence that Mr. Zamora had looked at the waybill. [28] Second, in rejecting the Crown’s trusted agent argument, the preliminary inquiry judge failed to consider that Mr. Zamora and Mr. Poku left the package in the car to meet Mr. Madumelu, the undisputed organizer of the importation scheme; that the meeting was brief; and that during this meeting period, Mr. Madumelu also left the package unattended. [29] In response, the appellants argued that the inferences that the Crown asked the preliminary inquiry judge to draw were no more than speculative. [30] The reviewing judge concluded that the preliminary inquiry judge went beyond the limited weighing of the evidence permitted by Arcuri and instead engaged in a weighing of competing inferences prohibited by it. Analysis [31] On appeal, the appellants argue that the reviewing judge exceeded the proper role of a reviewing judge and impermissibly substituted her own assessment of the evidence and decision with respect to the reasonableness of the Crown-sought inferences for that of the preliminary inquiry judge. [32] They renew the argument they made to the reviewing judge, namely that the preliminary inquiry judge did not weigh competing inferences. Rather, they argue, the inferences favourable to the appellants were the only inferences available to the preliminary inquiry judge after he rejected the Crown’s inferences as unreasonable and nothing more than speculation. [33] I reject this argument. I agree with the reviewing judge that the preliminary inquiry judge committed jurisdictional error: he drew inferences from facts, effectively chose from among competing inferences, and failed to give effect to inferences that favoured the Crown. The reviewing judge did not exceed her role. [34] Turning first to Mr. Zamora’s utterance that there was “nothing fragile” in the package, it is reasonable to infer that a person who volunteers information about the contents of a package knows what is contained in the package. Contrary to the appellants’ assertion, the preliminary inquiry judge did not reject this inference as unreasonable. Rather, the preliminary inquiry judge effectively acknowledged that the inference was available but concluded that, on its own, “it did little”. He then diminished the significance of this inference favouring the Crown by weighing it against the inference he impermissibly drew from the fact that the waybill had been given to Mr. Zamora, namely that Mr. Zamora would have learned the contents of the package from a cursory review of the waybill. There was no evidence that Mr. Zamora reviewed the waybill. [35] As to the preliminary inquiry judge’s rejection of the Crown’s trusted agent argument, this court has held that where an accused is alleged to be in possession of a controlled substance of significant value, it may be open to a jury to infer that such a valuable quantity of drugs would not be entrusted to anyone who did not know the nature of the contents of the package: R. v. Pannu , 2015 ONCA 677, 127 O.R. (3d) 545, leave to appeal refused, [2015] S.C.C.A. No. 498, at paras.  157, 173. [36] Apart from the significant value of the drugs, a constellation of facts supported the availability of an inference that Mr. Madumelu entrusted the collection of the package to persons who were part of the scheme and knew that they were collecting drugs, including that: directly after the appellants collected the drugs, they went to meet with Mr. Madumelu, the undisputed organizer of the importation; and after meeting Mr. Madumelu, the appellants continued in possession of the valuable drugs until they again met up with Mr. Madumelu at the apartment complex, having taken different routes to get there. [37] The preliminary inquiry judge impermissibly drew a competing inference, namely that the appellants were not drug conspirators, from the fact that Mr. Madumelu had written Mr. Zamora’s phone number on a slip of paper and weighed that inference against the available competing inference favouring the Crown. The drawing of inferences is the role of the jury. It might draw a different inference from the fact that Mr. Madumelu had a slip of paper with Mr. Zamora’s phone number on it. A person need not be a long-standing conspirator to be a conspirator. And Mr. Zamora might simply have been using a newly acquired phone number. [38] Similarly, the preliminary inquiry judge effectively impermissibly inferred that the appellants did not know the package contained drugs because they left the package in the car for approximately 20 minutes, while they met Mr. Madumelu at the restaurant. But, as the Crown argued before the reviewing judge, Mr. Madumelu knew the package contained valuable drugs and presumably knew that the appellants had left it in Mr. Zamora’s car. Leaving the drugs in the car does not necessarily mean the appellants did not have knowledge of the contents of the package. Again, the inference to be drawn from this evidence is a matter for the jury. [39] I agree with the reviewing judge that there is sufficient evidence to permit a properly instructed jury, acting reasonably, to convict the appellants of the offences with which they are charged. I would affirm the order of the reviewing judge. The completion of the actus reus of the offence of importing [40] Relying on R. v. Bell , [1983] 2 S.C.R. 471, and R. v. Okojie , 2019 ONSC 1526, Mr. Zamora argued before the preliminary inquiry judge and the reviewing judge that the actus reus of the offence of importing was complete on February 27, 2018. At that point, the requisite fees had been paid and the shipment of heroin had cleared customs. And, since on the evidence before the preliminary inquiry judge Mr. Zamora was not involved until March 1, 2018, Mr. Zamora argues that there was no evidence that he committed the offence of importing. [41] The Crown, relying on R. v. Onyedinefu , 2018 ONCA 795 and R. v. Foster , 2018 ONCA 53, 360 C.C.C. (3d) 213, leave to appeal refused, [2018] S.C.C.A. No. 127, (and also on R. v. Buttazzoni , 2019 ONCA 645, when before the reviewing judge), argued that the offence of importing was only completed on March 1, 2018, when Mr. Zamora took possession at the ACI warehouse of the package containing the heroin. [42] The preliminary inquiry judge was persuaded by this court’s decisions that the offence of importing heroin was complete in law when it entered Canada, but only factually completed when Mr. Zamora took possession of the package at the ACI warehouse on March 1, 2018. The reviewing judge came to the same conclusion. [43] Mr. Zamora argues that this court’s decisions as to when the offence of importation is completed are inconsistent with Bell , and, moreover, that recent decisions of this court broaden the definition of the actus reus of importation established in earlier decisions of this court. He urges this panel to provide guidance on when the actus reus of the offence of importing is complete, and to conclude that, in this case, the importing offence was complete before he became involved and there was therefore no evidence to support his committal on the importing charge. Further, he says that Sazant is authority that this court can do so on appeal from an order for certiorari . [44] I decline to do so. [45] This case is different from Sazant , where Major J., writing for a majority of the Supreme Court, found that one of the three ways the preliminary inquiry judge exceeded his jurisdiction was that “the exercise of weighing the evidence proceeded on an entirely erroneous basis in law”: Sazant , at para. 25 (emphasis added). In contrast, decisions of this court support the conclusions of the preliminary inquiry judge and the reviewing judge that the importation of the heroin had not been completed before Mr. Zamora took possession of it. An appeal from certiorari heard by a three-judge panel is not the forum to reconcile what Mr. Zamora characterizes as the inconsistency between this court’s jurisprudence and Bell and the broadening of the definition of the actus reus of importation by recent decisions of this court. An error of law, possibly short of the type of jurisdictional error identified in Sazant at para. 25, is not reviewable on certiorari : R. v. Deschamplain , 2004 SCC 76, [2004] 3 S.C.R. 601, at para. 17; R. v. Russell , 2001 SCC 53, [2001] 2 S.C.R. 804, at paras. 19-20. As the Supreme Court stated in R. v. Awashish , 2018 SCC 45, [2018] 3 S.C.R. 87, at para. 10, certiorari is “tightly limited by the Criminal Code and the common law so as to ensure that it is not used to do an “end-run” around the rule against interlocutory appeals.” Moreover, a five-judge panel of this court currently has decisions under reserve on two appeals which raise the issue of when the actus reus of the offence of importing is complete. Disposition [46] For these reasons, I would dismiss the appeal. Released: May 26, 2021 “A. H.” “Alexandra Hoy J.A.” “I agree. C.W. Hourigan J.A.” “I agree. B. Zarnett J.A.”
WARNING The President of the panel hearing this appeal directs that the following should be attached to the file: An order restricting publication in this proceeding under ss. 486.4(1), (2), (2.1), (2.2), (3) or (4) or 486.6(1) or (2) of the Criminal Code shall continue. These sections of the Criminal Code provide: 486.4(1)       Subject to subsection (2), the presiding judge or justice may make an order directing that any information that could identify the victim or a witness shall not be published in any document or broadcast or transmitted in any way, in proceedings in respect of (a)     any of the following offences; (i)      an offence under section 151, 152, 153, 153.1, 155, 159, 160, 162, 163.1, 170, 171, 171.1, 172, 172.1, 172.2, 173, 210, 211, 213, 271, 272, 273, 279.01, 279.011, 279.02, 279.03, 280, 281, 286.1, 286.2, 286.3, 346 or 347, or (ii)      any offence under this Act, as it read at any time before the day on which this subparagraph comes into force, if the conduct alleged involves a violation of the complainant’s sexual integrity and that conduct would be an offence referred to in subparagraph (i) if it occurred on or after that day; or (iii)     REPEALED: S.C. 2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49). (b)     two or more offences being dealt with in the same proceeding, at least one of which is an offence referred to in paragraph (a). (2)     In proceedings in respect of the offences referred to in paragraph (1)(a) or (b), the presiding judge or justice shall (a)     at the first reasonable opportunity, inform any witness under the age of eighteen years and the victim of the right to make an application for the order; and (b)     on application made by the victim, the prosecutor or any such witness, make the order. (2.1) Subject to subsection (2.2), in proceedings in respect of an offence other than an offence referred to in subsection (1), if the victim is under the age of 18 years, the presiding judge or justice may make an order directing that any information that could identify the victim shall not be published in any document or broadcast or transmitted in any way. (2.2) In proceedings in respect of an offence other than an offence referred to in subsection (1), if the victim is under the age of 18 years, the presiding judge or justice shall (a) as soon as feasible, inform the victim of their right to make an application for the order; and (b) on application of the victim or the prosecutor, make the order. (3)     In proceedings in respect of an offence under section 163.1, a judge or justice shall make an order directing that any information that could identify a witness who is under the age of eighteen years, or any person who is the subject of a representation, written material or a recording that constitutes child pornography within the meaning of that section, shall not be published in any document or broadcast or transmitted in any way. (4)     An order made under this section does not apply in respect of the disclosure of information in the course of the administration of justice when it is not the purpose of the disclosure to make the information known in the community. 2005, c. 32, s. 15; 2005, c. 43, s. 8(3)(b); 2010, c. 3, s. 5; 2012, c. 1, s. 29; 2014, c. 25, ss. 22,48; 2015, c. 13, s. 18. 486.6(1)       Every person who fails to comply with an order made under subsection 486.4(1), (2) or (3) or 486.5(1) or (2) is guilty of an offence punishable on summary conviction. (2)     For greater certainty, an order referred to in subsection (1) applies to prohibit, in relation to proceedings taken against any person who fails to comply with the order, the publication in any document or the broadcasting or transmission in any way of information that could identify a victim, witness or justice system participant whose identity is protected by the order. 2005, c. 32, s. 15. COURT OF APPEAL FOR ONTARIO CITATION: R. v. Z.W.C., 2021 ONCA 116 DATE: 20210225 DOCKET: C65451 Strathy C.J.O., Watt and Zarnett JJ.A. BETWEEN Her Majesty the Queen Respondent and Z.W.C. Appellant Mark C. Halfyard, for the appellant Tanya M. Kranjc, for the respondent Heard: November 12, 2020 by video conference On appeal from the convictions entered by Justice Suhail A.Q. Akhtar of the Superior Court of Justice, sitting with a jury, on March 8, 2018. Strathy C.J.O.: A. overview [1] The appellant was convicted by a jury on three counts of sexual assault against his wife, C.Q., and one count each of sexual assault and sexual interference against his daughter, C.L. The offences were alleged to have occurred in the City of Toronto between December 29, 2009 and December 19, 2014. [2] The appellant appeals his convictions on the ground that the trial judge erred in admitting evidence of the appellant’s alleged prior sexual and physical abuse of the complainants. The appellant submits that the volume and extent of this evidence had significant prejudicial effect on the jury, particularly, but not exclusively, by way of reasoning prejudice. He asserts that the trial judge failed to properly weigh the prejudicial effect of the evidence against its probative value. Had that balancing occurred, he argues that the trial judge would not have admitted the evidence, or would have curtailed the evidence and given the jury a more appropriate instruction about its permitted and prohibited uses. [3] For the reasons that follow, I would allow the appeal. B. background [4] The appellant and his wife, C.Q., were married in China in 1995. They have two daughters: C.L., born in July 1995, and L.L., born in October 2001. [5] C.Q. came to Canada in March 2006 to work as a live-in nanny. She later sponsored the appellant and their daughters, who emigrated from China in December 2009. [6] Both C.Q. and C.L. claim that the appellant abused them, physically and sexually, before and after the family moved to Canada. Some of their allegations of sexual abuse in Canada formed the basis of the indictment. However, most of the evidence of uncharged prior discreditable conduct related to events that occurred in China. I will describe the acts referred to in the indictment before I turn to (1) the Crown’s application to admit the evidence of uncharged prior discreditable conduct, and (2) the evidence that was eventually admitted pursuant to the trial judge’s ruling. (1) Allegations of C.Q. [7] C.Q. alleged that the appellant regularly forced intercourse upon her during their marriage. Most of these acts occurred when C.Q. was menstruating and had made it known to the appellant that she did not wish to have intercourse. Allegations relating to such acts in Canada after 2009 formed count three, a global count of sexual assault. [8] The other two counts of sexual assault in relation to C.Q. concerned discrete incidents. The first was the subject of count four and occurred in the spring of 2011. C.Q. alleged that she was two months pregnant and asleep in bed when the appellant initiated intercourse. She asked him to stop because she was in pain. The appellant was not deterred and concluded the act some minutes later. The next morning, C.Q. felt pain in her abdomen and noticed that she was bleeding. She called an ambulance and was taken to Toronto East General Hospital, where doctors told her that she had suffered a miscarriage. [9] The second incident was the subject of count five and occurred in early 2014. C.Q. was in bed when the appellant lay on top of her and initiated intercourse. C.Q. was menstruating and asked the appellant to stop because she was in pain. The appellant ignored her pleas. As C.Q. continued to resist, the appellant held her hands above her head. The appellant eventually finished and fell asleep. The following morning, C.Q. found blood in her urine. She experienced abdominal pain for one month afterwards. [10] C.Q. did not report these assaults to police. However, in December 2014, when she was visiting C.L. at the Centre for Addiction and Mental Health (“CAMH”) in Toronto, she read a leaflet about sexual assault and learned that non-consensual sex is illegal in Canada. This convinced her to report the abuse to police. (2) Allegations of C.L. [11] C.L. alleged that the appellant regularly sexually assaulted her after the family moved to Toronto in December 2009. This conduct was the subject of counts one and two. [12] According to C.L., at nighttime, the appellant frequently came into the bedroom she shared with her sister. He read to L.L. until she fell asleep, and then moved to C.L.’s bed and lay on top of her. The appellant kissed C.L. “vigorously” as he rubbed his body up and down hers. Although there was a blanket separating them, C.L. said that she could feel his penis between her thighs. C.L. sometimes called for her mother, but the appellant got off her before her mother arrived. [13] In 2010, C.L. called 911 to report the appellant’s abusive behaviour. She recanted her allegations when the police arrived because her mother had expressed fear that the family would be deported. [14] The assaults ended when C.L. was approximately 16 or 17 years old. C.L. asked the appellant what a future husband would think about his abuse of her. The appellant warned C.L. that if she told anyone about his conduct, she would suffer devastating consequences. [15] In December 2014, C.L. disclosed the sexual abuse to a psychiatrist after she was admitted to CAMH. She subsequently reported it to police. On March 31, 2017, the appellant was charged with the offences at issue. C. THE UNCHARGED PRIOR DISCREDITABLE CONDUCT EVIDENCE [16] The Crown brought an application at the opening of the trial seeking to admit evidence of the appellant’s uncharged prior discreditable conduct. The Crown’s application record, if there was one, was not made an exhibit at trial. We were, however, provided with a copy of the Crown’s factum on the application. The appellant does not appear to have filed any materials in response to the Crown’s application. [17] The parties did not adduce viva voce or other evidence on the voir dire . The evidence that the Crown proposed to admit was set out in its factum on the application as a short point-form summary. This evidence related primarily to instances of physical and sexual abuse in China, but included some events in Canada. (1) The uncharged prior discreditable conduct in relation to C.Q. [18] The Crown proposed to introduce the following evidence of the appellant’s conduct towards C.Q., all of which occurred in China before 2006: · In 1998, the appellant placed a “butcher knife” under his pillow and told C.Q. that she “belonged” to him; · Between 1998 and 2006, the appellant regularly sexually assaulted C.Q. when she was menstruating; · In 2001, the appellant sexually assaulted C.Q. within ten days of her giving birth to L.L.; and · Shortly after L.L.’s birth, the appellant slapped C.Q. on the ear. [19] In March 2006, C.Q. moved to Canada on a two-year work permit. In July 2008, she visited China and stayed at the family home. The Crown proposed to introduce the following evidence of the appellant’s conduct towards C.Q. and C.L. during her visit to China between 2008 and 2009: · C.Q. witnessed the appellant grab C.L.’s hair, push her to the ground, and step on her head. When C.Q. asked the appellant why he was doing this, he shoved her; and · The appellant resumed sexually assaulting C.Q. when she was menstruating. [20] The Crown also proposed to introduce the following evidence of the appellant’s conduct towards C.Q. in Canada between 2009 and 2014: · In 2010, after C.L.’s 911 call, C.Q. learned about C.L.’s abuse and confronted the appellant, who not only denied the allegations but threatened to assault C.L. if she ever called police again; and · In 2014, C.Q. saw the appellant cut himself on the edge of a table in their family home, and he responded by chopping off the edge of the table using a “cleaver.” (2) The uncharged prior discreditable conduct in relation to C.L. [21] The Crown proposed to adduce the following evidence of the appellant’s conduct towards C.L. in China between 2006 and 2009: · In 2006 or 2007, the appellant asked C.L. to sleep in the bed he shared with L.L. He subsequently climbed on top of C.L., positioned his penis between her legs, and moved around; · On one occasion, the appellant got into the shower with C.L. and embraced her from behind, such that she felt his penis against her; · When C.L. threated to tell her friends and teachers about the appellant’s inappropriate touching, he told her that they would think she was a “dirty whore”; and · In July 2008, when C.Q. returned to China for a visit, the appellant grabbed C.L.’s hair, pushed her into a wall, and hit her face. [22] The Crown also proposed to adduce the following evidence of the appellant’s conduct towards C.L. in Canada between 2009 and 2014: · In 2010, C.L. called 911 after the appellant overheard a conversation that she was having with her sister. C.L. had told L.L. that the appellant was not the kind of person L.L. imagined him to be. The appellant interrupted C.L., pinched her arm, and hit her shoulder. C.L. ultimately recanted her allegations at C.Q.’s insistence, but informed her mother about the appellant’s abusive conduct; and · Following the 911 call, the appellant repeatedly entered C.L.’s bed at night and, after L.L. fell asleep, climbed on top of C.L. and rubbed his penis against her thighs. Two of these instances were the subject of counts one and two on the indictment. D. THE TRIAL JUDGE’S RULING TO ADMIT THE EVIDENCE [23] The Crown’s application to admit the evidence of uncharged prior discreditable conduct hinged on three grounds. First, the Crown argued the evidence was necessary to establish “ animus ,” specifically “a pattern of control [and] a pattern of possessiveness … to do the very acts that [the appellant] is alleged to have done.” Second, the Crown argued that the evidence would help contextualize the reason why C.Q. stayed in a relationship with the appellant. Finally, the Crown asserted that the evidence would explain why the complainants did not report the abuse to police. The Crown stated that the point of the evidence was to avoid “an antiseptic record” that left the jury without a “real sense” of the parties’ relationship. [24] Defence counsel objected to the application, claiming that the Crown had not given formal notice of its intention to adduce this evidence. He also argued that the evidence was highly prejudicial to the appellant and that he had no opportunity to properly challenge the complainants’ allegations. Defence counsel asserted that the appellant denied both the counts in the indictment and the evidence of prior discreditable conduct. [25] In brief oral reasons, the trial judge granted the Crown’s application. The trial judge found that defence counsel had been aware of the Crown’s intention to adduce the evidence since the pre-trial conference. With respect to the actual content of the evidence, he observed that there was an “overwhelming body of case law” permitting the introduction of such evidence to flesh out the narrative, to show animus , and, depending on how the evidence unfolded, to explain why the complainant spouse may have stayed in the marriage and delayed her reporting the abuse. The trial judge mentioned that, depending on the issues raised by the defence, he might be required to instruct the jury about the limited use of some aspects of the evidence. [26] The trial judge subsequently gave written reasons for his ruling on the application and for his ruling on the Crown’s application to admit cross-count similar fact evidence: R. v. C.W.Z. , 2018 ONSC 4080. [27] He began by reviewing the complainants’ allegations in relation to both the uncharged prior discreditable conduct and the counts on the indictment. He noted that the Crown sought admission of the former to explain: (a) the nature of the relationship, and the appellant’s animus in relation to the complainants; (b) the complainants’ fear of the appellant, specifically to explain why they had not previously reported their allegations; and (c) the reason why C.Q. had remained in the marital relationship. [28] The trial judge referred to R. v. Handy , 2002 SCC 56, [2002] 2 S.C.R. 908, as the leading case on the admission of similar act evidence. He recognized that the Crown bore the onus of establishing, on the balance of probabilities, that the probative value of the evidence outweighed its prejudicial effect. In particular, the evidence must show more than a general propensity to commit the offence and must be of significance to a live issue in the charges before the court. [29] After identifying some of the factors to be considered when assessing the probative value of the evidence, the trial judge observed, at para. 51: These factors must be evaluated through the lens of prejudice. A court must consider whether the issue to be proven by the evidence can be established by evidence of a lesser prejudicial nature. In addition, the court must be mindful of the risk that the evidence becomes a distraction drawing focus away from the actual offence and consuming a disproportionate amount of time ("reasoning prejudice"). [30] The trial judge appreciated that this was not a case in which the similar act evidence was tendered to establish the identity of the offender. The question for the jury was whether the appellant had committed the actus reus of the offence. In a case such as this, the Supreme Court pointed out that “the drivers of cogency in relation to the desired inferences” will not be the same as they are in a case where the identity of the accused is in issue: Handy , at para. 78. The trial judge also referred to the observations of Watt J.A. in R. v. J.M. , 2010 ONCA 117, 251 C.C.C. (3d) 325, at para. 91: Where the evidence of similar acts is summoned in support of proof of the actus reus , it is not an invariable requirement that there be a strong peculiarity or unusual distinctiveness underlying the events being compared: Handy , at para. 81. The cogency of evidence of similar acts may arise from the repetitive and predictable nature of an accused’s conduct in closely defined circumstances. [31] The trial judge then reviewed several of this court’s decisions in domestic violence cases, stating that the admission of uncharged prior discreditable conduct “has long been seen as a valuable tool in assessing the nature of the relationship between an accused and the complainant as well as providing a clearer picture of the context in which the allegations took place. It is on this basis that it often derives strong probative value”: see R. v. Batte (2000), 49 O.R. (3d) 321 (C.A.); R. v. F. (D.S.) (1999), 43 O.R. (3d) 609 (C.A.); R. v. R. (B.S.) (2006), 81 O.R. (3d) 641 (C.A.). The trial judge cited this court’s decision in R. (B.S.) , at para. 38, to explain that: The evidence was admissible to explain the nature and dynamic of the relationship between the appellant and [the complainant], to demonstrate the appellant's animus toward [the complainant], to assist in explaining [the complainant]’s delay in fully disclosing the assaultive acts of her husband, and to rebut the appellant's claim of fabrication by [the complainant]. Moreover, unlike the facts in Handy , the evidence in this case was provided by [the complainant] herself, and not by a third party. [32] The trial judge concluded that the evidence the Crown sought to adduce was an essential part of the narrative of events, and that without the evidence, the jury would be left with an incomplete and misleading account of the relationship between the appellant and the complainants. The jury might speculate on why the abuse only began in Canada. The trial judge noted the observation of Hill J. in R. v. S.B. , [1996] O.J. No. 1187 (Gen. Div.), at para. 31, that denying the jury this evidence “runs the risk of presenting an entirely sterile and antiseptic record devoid of the realities of the individual circumstances of the participants.” The evidence was highly relevant, and while it was undoubtedly prejudicial, the prejudice was significantly outweighed by the probative value. The trial judge said that he would give a limiting instruction to the jury, informing them of the proper use of the evidence. E. THE TRIAL [33] To fully appreciate the appellant’s submissions concerning the prejudicial effect of the evidence at issue, it is necessary to examine the dynamics of the trial and the way in which the evidence unfolded. [34] Jury selection took place on February 20, 2018, after the appellant had been arraigned before the jury panel. The next day was taken up with the Crown’s application to admit the evidence. The evidentiary portion of the trial began on February 22, a Thursday. There were only four days of evidence, three of which were largely occupied by the complainants’ evidence. Two police officers testified on the third day about their response to C.L.’s 911 call. The appellant testified on the fourth day. (1) The trial judge’s preliminary instructions [35] The trial began with the trial judge’s instructions to the jury, which were brief and generic. The trial judge did not inform the jury that they might be hearing evidence that was to be considered for a specific purpose in deciding the case and that they would be given an instruction about how to use the evidence in deciding the case at the time the evidence was introduced. (2) The Crown’s opening [36] The Crown’s [1] opening was brief, but dramatic. It began as follows: Get off. That’s painful. Stop. It hurts. These are words [C.Q.] will tell you she said to her husband too many times to count. Her husband is the accused. And this case is about how he controlled his wife and their daughter [C.L.] through sexual and physical violence and threats of further violence in the privacy of their family home. [37] The Crown proceeded to describe some of the evidence that the jury would hear. She identified the following evidence in relation to the complainants in China: · the evidence of the appellant placing a knife under his pillow and threatening C.Q.; · the sexual assaults of C.Q. while she was menstruating; · the sexual assault of C.Q. after the birth of L.L.; and · the “brutal assault” of C.L. in front of her mother. [38] The Crown asked rhetorically, “why not call police?”, and indicated that C.Q. would explain her own understanding of how police dealt with domestic matters in China. [39] The Crown said that after C.Q. came to Canada, “[the appellant] no longer had his wife at his disposal”, and he began to sexually assault C.L. When C.L. was around 11 or 12 years old, the appellant gave her an allowance, but only after he had touched her inappropriately. [40] The Crown informed the jury that after the appellant and the children were reunited with C.Q. in Canada, the appellant continued to assault C.Q. when she was menstruating. The Crown also referred to a sexual assault in May 2011, when C.Q. was pregnant and the appellant “assaulted her sexually so forcefully that the following morning the pain and vaginal bleeding drove her to call for an ambulance”. The Crown then described a “particularly violent sexual assault while C.Q. was menstruating” in February 2014, which required medical attention. [41] The Crown informed the jury that the sexual assaults of C.L. also continued in Canada. The Crown noted that the appellant told “[C.L.] that she was ‘dirty’ so often she began to believe it was true.” The Crown described C.L. having called “911” after her father hit her particularly hard on one occasion, but said that C.L. recanted after her mother told her they might be deported. [42] The Crown’s opening did not explain that some of the acts described were the subject of the charges against the appellant, and that some of the acts were only proffered to provide “context” or “background.” She did not specify which acts were the subject of the particular counts. [43] Defence counsel raised no objection to the Crown’s opening at the time. However, when the trial continued the following Monday, and C.Q. was still being examined-in-chief, defence counsel expressed “some lingering concern” about the Crown’s opening, describing it as “sensational.” He argued that the Crown had not flagged for the jury that her opening remarks were not evidence, and he expressed concern that the opening was not presented “in a dispassionate and neutral way.” [44] The trial judge did not give effect to this objection. He observed that while there was some rhetoric in the Crown’s opening, it did not cross the line into argument. He pointed out that he had already instructed the jury that anything said by counsel was not evidence. (3) The evidence [45] As the Crown’s case went in at trial, the jury heard a significant body of evidence from the complainants concerning the appellant’s uncharged prior discreditable conduct. Some of that evidence was anticipated by the trial judge’s ruling on the Crown’s application, but much was not. It is necessary to review that evidence in order to appreciate its potential impact on the jury, and the risk of both moral prejudice and reasoning prejudice. The Testimony of C.Q. [46] After the trial judge’s preliminary instructions to the jury and the Crown’s opening, C.Q. was the first Crown witness. Her evidence-in-chief began on the morning of Thursday, February 22. It was not completed that day, and the trial was adjourned to Monday, February 26. [47] In response to a series of open-ended questions from the Crown, C.Q. described the following conduct of the appellant: · The appellant had been “lying all through until the day I registered our marriage”; · The appellant had lied about his age, saying he was three years older than her when he was actually younger; · The appellant told C.Q. that his mother was a doctor when he was really from a farming family; · C.Q. did not confront the appellant about “these lies” because she was already two months pregnant; · During her 20-year marriage to the appellant, she had “all kinds of gynecological diseases”; · Between the time C.Q. gave birth to L.L. in 2001 and when she came to Canada in 2006, her relationship with the appellant was “not good.” The appellant “smashed things at home, he cursed people at him [sic], and hit people”; and · When C.Q. was staying at the hospital after L.L.’s birth, the appellant did not bring any food to her, despite the fact that he was off work, and hospitals in China do not feed their patients. C.Q. was discharged one or two days later. The appellant apparently came home at midnight, drunk: “I didn’t know whether he was really drunk. He was sleeping on the floor. He was crying and screaming. He was swearing. He was smashing things. And then my baby [L.L.] was crying. I was worried that the baby would be scared, so I was holding my baby standing.… [T]he next morning I felt that I had a lot of pain in both my knees and elbows. I didn’t know what happened, and I went to see a doctor. The doctor said that I had rheumatic arthritis after giving birth.” [48] Interspersed with this evidence, which was unrelated to the charges and had not been contemplated by the trial judge’s ruling, C.Q. testified about several matters that had been envisaged by the ruling, namely: · The relationship was “not good.” C.Q. described the appellant bringing a knife to their bed, and said that “if I wanted to divorce, he would kill me, that I could only belong to him. And he also threatened that he would kill my family”; and · The appellant forced intercourse on C.Q. when she was menstruating, and she got sick for almost a year. [49] At some point, the Crown asked the following question: Q. And [C.Q.], is there any particular incident that stands out in your mind that causes you to describe the relationship at that time as not good? [50] In response to this question, C.Q. referred to another incident that had not been contemplated, either by the Crown’s application or by the trial judge’s ruling: A. I remember very well one day he was off from work. [C.L.] was six years old at the time, and she wanted to go out and play. She said to me, because I have to take care of little [L.L.], I told her to go look for her dad. He went to bed the night before and slept until two or three in the afternoon the next day. [C.L.] went to wake him. I don’t know how he hit … my daughter … I remember this incident during a psychological therapy. So, I remember this all of a sudden during a session. [C.L.’s] face was covered with blood. I was standing there dumbfounded looking at her. [51] Before the Crown could continue with C.Q.’s examination-in-chief, the trial judge called the morning break. Once the jury had left the court room, the trial judge expressed concern to the Crown about the manner in which the evidence had come out, “because the whole point of allowing this evidence in is to show the relationship between the two of them. And I’m concerned about this idea that we’ll be hearing evidence that he’s brutally beating his daughter, she’s covered in blood.” He reminded the Crown that the purpose of the evidence was to show the parties’ relationship, “not to have [the appellant’s] acts somehow in front of the jury.” He said to the Crown, “[y]ou painted this danger of showing that he’s this brutal assaulter, which I don’t think is, was the purpose of my ruling.” [52] The Crown agreed, saying that the incident described by the complainant was “sadly unanticipated” on her part. [53] The trial judge responded: Just keep it general. That’s, I mean, the point of, just keep it general because it’s not, this is not something that, again, that’s not the point of this evidence. The point of the evidence is to show that they had a rocky marriage .… It’s being adduced just to show the state of the relationship, not to make him out to be a bad man . So, that’s why I cut you off, cut the sentence off when I did because I don’t think it’s, it’s certainly not what it was meant to be admissible for. So, just control your witness a little bit .” [Emphasis added.] [54] After a break of about 40 minutes, the jury returned, and the trial judge gave them a brief mid-trial instruction. He pointed out that the evidence heard to that stage of the trial related to events that had occurred before the counts on the indictment. He told them that the object of the evidence was to show them the nature of the relationship between the appellant and C.Q., and the state of their marriage prior to December 2009. He instructed that, [W]hat you’re not supposed to do and what you cannot do is take the evidence you’ve just heard and use it to say ‘Well, because he did that he must be the type of person that committed the offences, the sexual assault contained in the indictment.’ … What you can use it for is to see what the state of the relationship was like prior to the sexual assault. [55] The Crown continued to lead the evidence of C.Q. Crown counsel asked whether there were any other incidents between the birth of C.Q.’s two children that stood out in her mind. C.Q. proceeded to describe the incident contemplated by the trial judge’s ruling when the appellant had struck her on the ear: When [C.L.] was around two or three years old, I took my daughter to go out to take milk, to pick up milk. When I came in, I didn’t know why, he hit me all of a sudden on my face, slapped my face and my right ear. I lost hearing in the right ear for about a week. He used his left hand. [56] For the remainder of the morning, most of the evidence that the jury heard was related to the appellant’s uncharged prior discreditable conduct. Some of this was contemplated by the trial judge’s ruling, but some was not: · The appellant forced intercourse on C.Q. in China, only 10 days after the birth of their second child, L.L.: “I was still bleeding. But he wouldn’t listen, I said get off.… He grabbed my hands with, both my hands and forced my hands to the back. And he was stronger than me. He was on top of me. He was moving really fast I remember. I wasn’t free until he was done with himself”; · While C.Q. was in Canada working as a nanny, and the appellant was living in China with her children, the appellant forced C.Q.’s mother to leave their house because she could not look after their children: “He kicked my mother out. He wouldn’t allow my mother coming to visit the children. In 2008 when I went back to China to visit my family, I saw that my home was very messy and dirty”; · When C.Q. visited China in 2008, she recalled an assault of her daughter, C.L.: “I remember one day I was staying home with my two daughters. He came back. The three of us didn’t say anything. He just grabbed [C.L.’s] hair, my older daughter’s hair, and smashed her on the floor. And he was wearing leather shoes and he was stepping on my child, not only stepping on my daughter’s body but also on her head. I wanted to go protect my child. He pushed me away. I didn’t know how he pushed me, but my spinal cord, my vertebrae was broken”; · After the appellant came to Canada, he didn’t have a job and stayed at home playing computer games: “[H]e cursed me at home. He asked me to go look for a job for him. He smashed things at home”; and · In or around 2013, the appellant scraped his thigh on the family’s living room table. The appellant respondent by retrieving a kitchen knife and chopping off the corner of the table: “I felt he was a crazy man.… Because when we were in China, he told me that he punched a man and broke the man’s nose.” [57] Eventually, C.Q.’s evidence turned to the events that had occurred in Canada and were the subject of the indictment. The Crown asked C.Q. to listen carefully to her question and to only answer what was asked. The Crown observed that C.Q. had identified an incident in China when the appellant forced intercourse upon her while she was menstruating, and asked whether something similar had happened in Canada. C.Q. replied affirmatively, and the Crown asked her to describe the assault in further detail. C.Q. proceeded to give an unresponsive answer that related to count four. C.Q. described an event in 2011, when she was two months pregnant, and the appellant forced intercourse on her. She told him it hurt and asked him to stop, but he was undeterred. The next day, C.Q. felt a pain in her abdomen and noticed that she was “bleeding a little.” She called an ambulance and was taken to the hospital where she was told by doctors that she had suffered a miscarriage. [58] The Crown returned to the question that prompted this response and asked C.Q. whether the appellant had ever forced intercourse on her in Canada while she was menstruating. C.Q. replied by stating that the appellant had told her that if he did not have sex regularly, he would “feel hurt” and “have [a] prostate infection or something like that.” He was “really intimidating.” C.Q. recounted that the appellant would assault her when she was menstruating, every month. [59] After the lunch recess, the Crown asked C.Q. about an assault by the appellant in early 2014 (apparently, count five). C.Q. recalled that the appellant had been watching something on his computer, “something weird maybe”, when she went to bed. At some point, in the middle of the night, the appellant got on top of her. C.Q. asked the appellant to get off and informed him that she was having her period. The appellant did not stop. The next day, C.Q. had blood in her urine, “not period blood,” and abdominal pain. [60] The Crown subsequently directed C.Q. to the incident of the 911 call in 2010. C.Q. recounted that C.L. called her to say that the appellant had assaulted her, and that C.L. had called police. C.Q. immediately spoke to a friend who told her not to engage with the police because they were new immigrants, and her family could be sent back to China. [61] C.Q. testified that she relayed her friend’s information to C.L. After the police left the family home, C.Q. remembered that C.L. disclosed the appellant’s abuse to her. When C.Q. confronted the appellant, he became angry, smashed his computer mouse, and told C.Q. to “take [C.L.] to the hospital to check if she is still a virgin.” [62] C.Q. admitted that she had observed the appellant lying in the bed with C.L. on one occasion. C.Q. had heard C.L. yelling about the appellant being in her bed and went to see what was happening in her daughters’ bedroom. C.Q told the appellant to leave the bedroom and said that because the children were growing up, he had to be careful with his behaviour. C.Q. testified that the appellant threw a “temper tantrum.” He responded that “he would beat [C.L.] until she is handicapped … until she is mentally retarded.” [63] C.Q.’s examination-in-chief ended with an explanation of how she came to speak to police about her allegations against the appellant. According to C.Q., the appellant was ordered by the Children’s Aid Society to leave the family home in December 2014. Around the same time, C.Q. learned that her daughter, C.L., had become a patient at CAMH. C.Q. visited C.L. at the CAMH facility in Toronto and read a leaflet that explained that non-consensual sex was illegal in Canada. C.Q. testified that she ultimately reported her abuse to police in January 2015. [64] The cross-examination of C.Q. by defence counsel was relatively brief. C.Q. was a difficult witness, and she was not directly challenged in relation to her evidence concerning the appellant’s uncharged prior discreditable conduct or the counts contained in the indictment. Defence counsel suggested that C.Q. and C.L. had conspired to convict the appellant so that he would be put in jail and would not be able to access the proceeds of a house sale in China. He also suggested that C.Q. would not have left the children with the appellant if the appellant was really the abusive and violent person she had described. Defence counsel put to C.Q. that she had relatives in China who were police officers, presumably to imply that she could have reported the appellant’s conduct to police if it had actually occurred. In addition, defence counsel drew the jury’s attention to C.Q.’s pre-existing medical conditions to provide an explanation for her symptoms and doctors’ visits after the alleged assaults. The Testimony of C.L. [65] The trial judge did not give the jury an additional mid-trial instruction before they heard the evidence of C.L. [66] It was apparent from the outset of C.L.’s evidence that she bore considerable hostility towards the appellant. After eliciting some general background information, the Crown asked, “[P]rior to you being around 10 years old and your mom coming to Canada what was your relationship like with your dad?” The complainant replied: [I]t’s been a disgusting memory from an experience and, like, the relationship, it’s, like, retarded. He’s retarded. Um, I, I don’t know. How do you want to me to describe it? [67] The Crown then asked an open-ended question: “Prior to your mother coming to Canada are there any incidents involving you and [the appellant] that stand out in your mind?” [68] In response, C.L. described an incident, not referred to in the Crown’s application or the trial judge’s ruling, saying that the appellant punished her when she got low marks at school. C.L. recalled that on one occasion, the appellant had woken her up during the night and made her sit on her knees until morning. [69] The Crown prompted C.L. to speak about her relationship with the appellant after her mother had left for Canada. C.L. said that when she reached puberty around the age of 12, she “learned nasty things from him that I wish I could have not.” C.L. described a particular incident in China that she “remember[ed] really well.” The appellant had asked her to sleep in the bed that he shared with her sister, L.L. After L.L. fell asleep, the appellant moved on top of C.L. claiming to look at the clock on the wall. C.L. said that she could feel his penis between her thighs. [70] During her testimony, C.L. revealed that similar assaults had occurred on multiple occasions. She said that one night, she panicked and threatened to tell her teacher about what the appellant was doing. The appellant replied that her teachers would not believe her and would think she was dirty. C.L. stated that “in the Chinese culture it’s, like, the victims are always blamed.” [71] C.L. also described two discrete incidents that took place in China while her mother was in Canada. The first occurred in the kitchen of their family home. The appellant kissed C.L. on the mouth and touched her “all over the place”, and she suddenly realized that her underpants were halfway down her thighs. The defence objected at this point to the evidence on the basis that it was detailed rather than “general.” The trial judge did not give effect to the objection, stating that the evidence simply showed how the assaults started happening before the family immigrated to Canada, and, as a result, was admissible pursuant to his ruling. [72] C.L. then described the second discrete incident in China. According to C.L., the appellant came into the bathroom when she was taking a shower and began to wash her back. He proceeded to hug her from behind, and she saw his penis coming out from his briefs. [73] C.L. explained that she did not tell anyone about the abuse in China because she was afraid how she would be perceived. In addition, C.L. started to receive an allowance after the appellant touched her inappropriately, and she was unsure whether “everybody goes through [it] or is it just me?” C.L. recalled that she wanted to protect her sister and simply did not have the mental energy to fight with the appellant. [74] The Crown subsequently directed C.L. to 2008, when C.Q. visited her family in China. C.L. confirmed an incident when the appellant became angry at her for siding with her mother, and started pulling her hair and hitting her head on the bed or the wall. [75] As the Crown began to turn to the events in Canada, the trial judge interrupted, excused the jury, and noted that “there is a lot of editorial comments now coming out”. The trial judge instructed C.L. to “listen to the questions that are being asked … and [to] just answer them directly.” [76] Upon the jury’s return, C.L. described the 911 incident in Canada. C.L. recounted that the appellant had overheard her conversation with L.L. The appellant came into the bathroom where the sisters were, and pinched C.L.’s arm, “squeezing all of the blood out of my vein.” C.L. called 911, but she recanted her allegations because C.Q. was afraid that they would get deported. [77] C.L. testified that, in Canada, the appellant continued to enter the bedroom she shared with her sister and get into her bed. When L.L. was asleep, the appellant would lie on top of her, kiss her, and move up and down on her body so that she could feel his penis. C.L. said that this occurred approximately once a week. [78] C.L. believed that the assaults stopped when she was approximately 16 or 17 years old, when she asked the appellant what her future husband would think about his behaviour. Although the appellant warned her not to tell anyone what had happened, he did not abuse her again. [79] C.L. confirmed C.Q.’s allegation that the appellant chopped off the corner of their living room table one night. She also confirmed that she was staying at CAMH in December 2014 when she was encouraged by a psychiatrist to report the abuse to police. [80] C.L. proved to be a combative witness in cross-examination. At one point, the trial judge interrupted defence counsel because his exchange with C.L. was getting “heated.” [81] C.L. rejected defence counsel’s suggestions that she had fabricated her allegations to make herself feel like she belonged in her family and to justify her bad grades in university. She also rejected defence counsel’s suggestion that she had lied in her 911 call about the appellant’s abuse of her. The Testimony of the Appellant [82] The appellant testified. He denied having abused his wife and daughter. He stated that he was fearful of his wife, C.Q., because she came from a “powerful family” in China. He also claimed that his daughter hated him because he was strict, would not permit her to date, and disciplined her to make sure she did well at school. He mentioned that he was not entirely certain about why C.Q. and C.L. had made up the allegations against him, but he insisted that they were lying. (4) Closing submissions [83] In closing, defence counsel suggested to the jury that the complainants’ allegations, both the uncharged prior discreditable conduct and the substantive offences, “never happened.” C.L. had fabricated a story to explain her bad grades, to hurt her father, and to establish her worth in the family. Defence counsel posited that C.Q. had made up her own stories of abuse to make C.L.’s evidence more believable. C.Q. wanted to have the appellant put in jail so that she could have sole access to the proceeds of the sale of a house that the couple owned in China. [84] The Crown’s closing recapped the evidence in order to demonstrate that the complainants’ testimonies were credible and reliable. The Crown urged the jury to find that the appellant had sexually assaulted the complainants in the manner they had described. (5) Jury instructions [85] In his charge to the jury, the trial judge gave an additional instruction regarding the limited use of the evidence of uncharged prior discreditable conduct. He explained that the evidence of events before the appellant’s move to Canada in 2009 had been adduced for a limited purpose: The purpose is: (1) to allow you to understand the nature of and the state of the family relationship prior to the sexual assault allegations and the sexual interference allegations contained in the indictment; (2) to demonstrate [the appellant’s] animus or dislike of [C.Q.] and [C.L.]; and (3) to explain why their allegations were not reported earlier. [86] The trial judge cautioned the jury that these were the only uses they could make of this evidence. He also explained the uses they could not make of the evidence: [Y]ou cannot use the evidence of that conduct to conclude or help you conclude that the offences with which [the appellant] is actually charged, likely took place because [the appellant] is simply a person of bad character or disposition, who likely committed the offences charged because of that character or disposition. In other words, you cannot rely on that evidence as proof that [the appellant] is the sort of person who would commit the offences charged. And on that basis, infer that [the appellant] is guilty. [87] As I will discuss below, in the circumstances of this case, the trial judge’s instruction ought to have included a caution against reasoning prejudice. F. THE JURY’S VERDICT AND SENTENCE [88] The appellant was convicted on all five counts. He was sentenced to six years’ imprisonment, three years consecutive in relation to each complainant. G. THE PARTIES’ SUBMISSIONS ON APPEAL (1) The Appellant [89] The appellant concedes that the evidence in question had probative value in relation to three issues: (1) animus ; (2) the complainants’ failure to report their allegations; and (3) C.Q.’s decision to remain in the marital relationship. He submits, however, that the trial judge erred in law by focusing almost exclusively on the probative value of the evidence of uncharged prior discreditable conduct, failing to consider the potential for prejudice, particularly reasoning prejudice, and failing to balance that prejudice against the probative value of the evidence. [90] The appellant contends that in assessing the prejudicial effect of the evidence, the trial judge should have considered the volume and extent of the evidence and its impact on the jury. The evidence consumed approximately one-third to one-half of both complainants’ evidence-in-chief. In addition, the allegations were unproven and spanned an eight-year period in China. The nature and the volume of the evidence, taken together with the unstructured manner in which it was presented at trial, could have distracted the jury’s attention from the offences with which the appellant was charged. The evidence could have also “inflamed their passions”, with the result that the appellant was tried, not on the counts in the indictment, but on his uncharged prior discreditable conduct. The appellant asserts that the trial judge’s limiting instruction was insufficient to deal with reasoning prejudice. He argues that his right to a fair trial was impaired, and a new trial is now required. (2) The Respondent [91] The Crown submits that the trial judge made no error in his analysis of the probative value and the prejudicial effect of the evidence. According to the Crown, the trial judge articulated the correct test and turned his mind to the possibility that both types of prejudice might arise. He ultimately determined that the probative value of the evidence outweighed its prejudicial effect. The Crown reminds us that the trial judge’s decision is owed substantial deference. [92] The Crown maintains that the manner in which the evidence was adduced at trial did not distract the jury. The trial was relatively brief, the evidence came from the complainants rather than from a third party, and the uncharged conduct was no more heinous than the offences with which the appellant was charged. The Crown points out that the trial judge intervened in the examinations of witnesses as needed and provided two limiting instructions to the jury, one mid-trial and the other in his final instructions. In the Crown’s submission, the trial judge took all the necessary steps to ensure that the appellant’s rights were not infringed. The Crown requests that the appeal be dismissed. H. ANALYSIS (1) The governing principles [93] A judge at a criminal jury trial acts as a gatekeeper to ensure that only relevant, material, and admissible evidence is put before the jury. Evidence is relevant if it tends to prove what it is offered to prove. It is material if what it tends to prove is something with which the law is concerned. And it is admissible if it meets the other two requirements, its reception does not offend an exclusionary rule of evidence, and its probative value exceeds its prejudicial effect : R. v. J.H. , 2020 ONCA 165, at para. 52, citing R. v. Calnen , 2019 SCC 6, [2019] 1 S.C.R. 301, at paras. 107-9; R. v. J.A.T. , 2012 ONCA 177, 288 C.C.C. (3d) 1, at para. 49. [94] One of the greatest challenges faced by a trial judge is a request by the Crown to introduce evidence of an accused’s uncharged prior discreditable conduct – sometimes called “extrinsic” discreditable conduct evidence, because it is extrinsic to the conduct on which the indictment is based. In a judge-alone trial, experience and training enables the judge to appreciate the purposes for which such evidence is proffered, and to self-instruct on its limited use(s). A jury obviously does not have the benefit of that training and experience to assist them in discriminating between permitted and prohibited logical thought processes when judging the conduct of an accused. The jury can all too readily use the evidence for an improper purpose. For example, the jury may conclude that the accused is a bad person who did bad things and ought to be punished, whether or not they committed the offences with which they are charged. And, as will be described below, there is a risk that evidence of uncharged allegations will confuse the jury and cause them to lose track of what the trial is all about – whether the prosecution has proven each of the counts on the indictment beyond a reasonable doubt. [95] For these reasons, a trial judge must take great care to ensure that such evidence goes before the jury only after a determination that its probative value outweighs its prejudicial effect. If the evidence is admitted, the jury must be instructed, in an appropriate and timely way, about the proper and improper use(s) of the evidence. In order to make that distinction, the jury must be clearly informed of the purpose for which specific pieces of evidence may be used. [96] The starting point, however, is that evidence of the accused’s uncharged prior discreditable conduct is presumptively inadmissible . This is due to the exclusionary rule against evidence of general propensity, disposition, or bad character: Handy , at para. 36. See also Morris v. The Queen , [1983] 2 S.C.R. 190, at pp. 201-2, per Lamer J. (dissenting, but not on this point); R. v. Morin , [1988] 2 S.C.R. 345, at pp. 367-68; R. v. B. (C.R.) , [1990] 1 S.C.R. 717, at pp. 734-35; and R. v. Arp , [1998] 3 S.C.R. 339, at para. 40. Evidence of general propensity, disposition, or bad character is inadmissible if it only goes to establishing that the accused is the type of person likely to have committed the offence(s) in question: Handy , at para. 53, citing Arp , at para. 41. See also J.A.T. , at para. 51; R. v. R.O. , 2015 ONCA 814, 333 C.C.C. (3d) 367, at para. 15. Such evidence is also generally inadmissible when it is tendered to establish character, as circumstantial proof of the accused’s conduct: Handy , at para. 31; R. v. Luciano , 2011 ONCA 89, 267 C.C.C. (3d) 16, at para. 221. [97] This rule of exclusion does, however, yield on “exceptional” occasions: Handy , at paras. 60, 64. Evidence of uncharged prior discreditable conduct may be admitted if it is relevant, material, and the Crown establishes, on the balance of probabilities, that its probative value outweighs its prejudicial effect: J.H. , at para. 54, citing Handy , at para. 55; Luciano , at para. 222; and J.A.T. , at para. 51. In J.H. , at paras. 56-60, Watt J.A. described the procedure to determine the admissibility of such evidence on a Crown application. [98] The assessment of the probative value of the evidence requires the trial judge to consider: (a) the strength of the evidence that the extrinsic acts in question occurred; (b) the connection between the accused and the similar acts, and the extent to which the proposed evidence supports the inferences the Crown seeks to make (sometimes referred to as the “connectedness” between the similar act evidence and the “questions in issue”); and (c) the materiality of the evidence – that is, the extent to which the matters the evidence tends to prove are live issues in the proceeding: see David Paciocco, Palma Paciocco & Lee Stuesser, The Law of Evidence , 8th ed. (Toronto: Irwin Law, 2020), at pp. 74-75. [99] The second and third factors must not be glossed over. The Crown must be prepared to establish exactly what inferences it will be asking the jury to draw from the evidence, and the extent to which the evidence tends to permit those inferences. [100] Defence counsel should also be prepared to identify, to the extent possible, the issues that will actually be in play at trial. This may serve to eliminate the Crown’s need to adduce the evidence, or to limit the evidence required. [101] Having assessed the probative value of the evidence, and the issues to which it is relevant, the trial judge must examine the prejudicial effect of the proffered evidence and balance it against its probative value. It is well-established that “prejudice” in this context comes in two forms: so-called “moral prejudice” and “reasoning prejudice.” [102] Moral prejudice refers to the risk that the jury may convict the accused on the basis of “bad personhood”: R. v. McDonald , 2017 ONCA 568, 351 C.C.C. (3d) 486, at para. 83, citing Handy , at paras. 31, 71, 100, and 139. That is, not on the basis of the evidence, but on the basis that the accused is a bad person who is likely to have committed the offences with which they are charged. There is a related concern that the jury may punish the accused for their “prior bad acts” as revealed in the evidence of the uncharged prior discreditable conduct: R. v. D.(L.E.) , [1989] 2 S.C.R. 111, at pp. 127-28. [103] Reasoning prejudice, in contrast, diverts the jury from its task, and describes the risk that the jury will give the evidence more weight than is logically justified: see R. v. Bent , 2016 ONCA 651, 342 C.C.C. (3d) 343, at para. 46; R. v. Lo , 2020 ONCA 622, at para. 111; Handy , at para. 31. Reasoning prejudice may include the following: · The jury becomes confused by evidence extrinsic to the charges on the indictment. Specifically, the jury “may become confused by the multiplicity of incidents, and become distracted by the cumulative force of so many allegations from their task of deciding carefully each charge one by one”: R. v. Shearing , 2002 SCC 58, [2002] 3 S.C.R. 33, at para. 68; · The jury is distracted from the actual charges, and confused about which evidence relates to the crime charged and which evidence relates to the “similar fact” incidents: Handy , at para. 100; · The evidence awakens in the jury sentiments of revulsion and condemnation that deflect them from “the rational, dispassionate analysis upon which the criminal process should rest”: Calnen , at paras. 176, 180, per Martin J. (dissenting in part, but not on this point); · The accused cannot properly respond to the extrinsic evidence due to the passage of time, surprise, and/or the collateral nature of the inquiry: Paciocco, at p. 70; and · Trial time is consumed by unduly focusing on whether the similar acts occurred: Handy , at paras. 83, 144. See also R. v. Grant , 2015 SCC 9, [2015] 1 S.C.R. 475, at para. 39. [104] In assessing the prejudicial effect of the evidence, the trial judge may consider a variety of factors, including: (a) how discreditable the conduct is – the more inflammatory and egregious the conduct, the greater the likelihood of moral prejudice: Lo , at para. 114, citing Handy , at paras. 83, 100, and 140; (b) the extent to which the evidence may support an inference of guilt based solely on bad character; (c) the extent to which the evidence may confuse the jury; and (d) the ability of the accused to respond to the evidence: Luciano , at para. 233, citing R. v. B. (L.) (1997), 35 O.R. (3d) 35 (C.A.), leave to appeal refused, [1997] S.C.C.A. No. 254. [105] After considering the prejudicial effect of the evidence, the trial judge is required to engage in the familiar task of balancing the prejudicial effect against the probative value. (2) Uncharged prior discreditable conduct evidence in intimate partner violence cases [106] As the trial judge accurately observed, evidence of uncharged prior discreditable conduct has frequently been admitted in domestic violence cases to describe the nature of the parties’ relationship, sometimes referred to as “context” or “background.” It is on this basis that the evidence is said to have probative value. [107] Evidence of uncharged prior discreditable conduct has also been used to establish “ animus ,” which may be relevant to both the actus reus and the mens rea of the offence(s). As described by the authors in the Law of Evidence , at p. 90: Where such evidence demonstrates a “strong disposition” to act violently or sexually towards the victim, it is not being used to prove the bad character of the accused but, as R. v. Batte explained, to support the specific inferences that the accused is disposed to act violently (or sexually) towards the victim and that the accused had that disposition on the occasion in question. [108] In J.H. , at paras. 54-55, Watt J.A. observed that the exercise of whether or not to admit the uncharged prior discreditable conduct evidence in domestic assault trials is inherently case-specific. He described this as follows: Whether the evidence will be admitted by exception or excluded under the general rule is a function of the circumstances of each case. These circumstances determine where the balance as between probative value and prejudicial effect will settle, not some prefabricated rule or exclusive list of exceptions: J.A.T. , at para. 54. Despite the absence of any such rule or list of exceptions, evidence of uncharged disreputable conduct has often been received in prosecutions alleging assaultive behaviour in a domestic relationship, including charges of sexual assault. Among the issues upon which this evidence has been admitted are these: i. as part of the narrative of relevant events; ii. to provide context for other evidence; iii. to facilitate understanding of the nature of the relationship between the principals; iv. to demonstrate motive or animus on the part of the accused for committing the offences; v. to explain the failure of the complainant to leave the relationship or to report the abuse earlier; and vi. to rebut a claim of fabrication. See also F. (D.S.) , at pp. 616-17; R. (B.S.) , at para. 38. [109] If evidence of uncharged prior discreditable conduct has probative value, for one of the reasons described above, and is admitted, the trial judge is required to instruct the jury on its use. That instruction should identify the evidence in question, and explain the permitted and prohibited uses of the evidence: R. v. Largie , 2010 ONCA 548, 101 O.R. (3d) 561, at para. 107, leave to appeal refused, [2010] S.C.C.A. No. 460, [2011] S.C.C.A. No. 119. [110] Ultimately, the trial judge’s balancing of the probative value and the prejudicial effect of the evidence is entitled to significant deference, absent an error in law or principle, a misapprehension of material evidence, or a decision that is plainly unreasonable: Lo , at para. 116, citing R. v. Araya , 2015 SCC 11, [2015] 1 S.C.R. 581, at paras. 31, 38; Shearing , at para. 73. See also R. v. James (2006), 84 O.R. (3d) 227 (C.A.), at para. 33, leave to appeal refused, [2007] S.C.C.A. No. 234. [111] There may be situations where, having assessed the prejudicial effect of the proposed evidence, the trial judge determines that the evidence is so prejudicial that it must be excluded in its entirety. If, however, the trial judge determines that the probative value of the evidence outweighs its prejudicial effect, then the trial judge is required to take measures to minimize the prejudicial effect of the evidence and to prevent its misuse. In addition to a limiting instruction, there are several options. [112] The trial judge does not have to admit all the evidence tendered by the Crown. As the trial judge here noted, one “must consider whether the issue to be proven by the evidence can be established by evidence of a lesser prejudicial nature”: see Handy , at para. 83. The trial judge may thus limit the volume and extent of evidence that the Crown is permitted to adduce. [113] In addition, or alternatively, the trial judge may admit the evidence, but only on the condition that it is edited, or it is adduced in a more restricted form, such as a statement or through excerpts of evidence at the preliminary hearing: see Paciocco, at p. 95, referring to Shearing , at para. 142; R. v. McLean (2002), 170 CCC (3d) 330 (Ont. C.A.), at para. 20. (3) Application of the Principles [114] While evidence of uncharged prior discreditable conduct has been routinely and properly admitted in cases of intimate partner violence, this is not by way of a categorical exception to the presumptive inadmissibility of such evidence: see J.H. , at para. 55. Its well-known dangers must be kept front and centre in a case-specific analysis, balancing the probative value and the prejudicial effect of the evidence. This analysis requires a close look at the evidence the Crown proposes to admit, the issues to which it will be directed, and the manner in which it will be presented. [115] Although the trial judge acknowledged the need to assess both moral prejudice and reasoning prejudice, and found that the evidence was undoubtedly prejudicial, he did not actually consider the nature and extent of the reasoning prejudice that could arise, or balance that prejudice against the probative value of the evidence. Returning to the factors identified earlier in the assessment of the prejudicial effect of the evidence of uncharged prior discreditable conduct, we see that: (a) the evidence was highly discreditable, and included the alleged sexual assault of C.Q. when she was recovering from childbirth, a physical assault of C.L. as a young child, and multiple sexual assaults of both C.Q. and C.L. in China; (b) the evidence gave rise to significant moral prejudice, and a risk that the jury would infer the appellant’s guilt based on bad character; (c) the evidence introduced the real risk of reasoning prejudice by confusing the jury about which acts the appellant was being tried for; and (d) the evidence limited the appellant’s ability to respond, because the events occurred many years earlier in China, and any attempt to challenge the complainants’ allegations would likely have simply emphasized them in the jury’s eyes. [116] A proper consideration of the evidence and its potential prejudicial effect should have led the trial judge to consider whether there were ways in which to mitigate its impact while preserving its probative value. It might have persuaded him to give a more timely and effective mid-trial instruction that prepared the jury for the reception of the evidence, explained how the evidence should be used, and cautioned them against its misuse. [117] As the trial progressed, however, the prejudice was amplified by the manner in which the Crown presented the evidence – priming the jury with a dramatic opening statement, and front-end loading the trial with C.Q.’s lengthy and graphic recitation of various sexual and physical assaults allegedly perpetrated by the appellant in China, distinct in time from the offences with which the appellant was charged. [118] I agree with the submission of appellant’s counsel that the volume and extent of this evidence was significant. Much of it went well beyond the parameters contemplated by the Crown’s application and the trial judge’s ruling. Moreover, the mid-trial instruction (which occurred after some of the most prejudicial evidence had been admitted) did not provide the jury with an adequate framework in which to understand the permitted use of this evidence, and to protect against its improper use. Neither the mid-trial instruction nor the trial judge’s final instruction identified the serious risk of reasoning prejudice in this case, or explained to the jury how it could be avoided. [119] I conclude that the trial judge’s failure to assess and balance the prejudicial effect of this evidence was an error of law. It allowed the probative value to overwhelm his analysis, and led to a body of highly prejudicial evidence being admitted at trial, unfiltered and uncontrolled. The prejudice was significant, in part due to the Crown’s failure to lay an appropriate foundation for the jury’s reception of the evidence, and in part due to the manner in which the evidence unfolded at trial. There is a real risk that the jury convicted the appellant for his uncharged prior discreditable conduct, and not for the offences with which he was charged. [120] The risk was not attenuated by the jury instruction, which was focused on moral prejudice rather than reasoning prejudice. In the result, a new trial is required. I. ADDITIONAL OBSERVATIONS [121] Experience shows that trials all too often go off the rails due to the admission of unnecessary or excessive evidence of an accused’s prior discreditable conduct. As this appeal demonstrates, such evidence can prolong the trial, confuse the jury, and result in unfairness to the accused. The benefit of hindsight permits me to suggest how some of the challenges in this trial might have been addressed. (1) The responsibility of the Crown [122] In considering whether to proffer evidence of prior discreditable conduct, the Crown must start from the principle that such evidence is presumptively inadmissible, and its introduction is exceptional. It must be confined to cases in which the evidence is necessary, and where its probative value exceeds its prejudicial effect, having regard to both moral prejudice and reasoning prejudice. Vague terms, such as “narrative”, “context,” and “background,” cannot be permitted to serve as a substitute for a careful assessment of how the evidence will assist the jury in understanding other admissible evidence, what inferences the jury may properly draw from the evidence, and how impermissible reasoning can be prevented. [123] The Crown must also provide a specific foundation for the admission of the evidence, to enable the trial judge to appreciate the nature and scope of the evidence it proposes to adduce, and to assess whether the probative value of the evidence exceeds its prejudicial effect. [124] In this case, the trial judge may not have had the benefit of a full evidentiary record on the Crown’s application to admit evidence of the appellant’s uncharged prior discreditable conduct. There is no reference to a record in the Crown’s factum in the court below, no reference to it in the parties’ submissions on the voir dire , and no reference to it in the trial judge’s reasons. An appropriate record could have included extracts from the complainants’ evidence at the preliminary hearing or possibly other prior statements. This might have prompted the trial judge to press the Crown on whether the volume and extent of evidence could have been reduced, or whether the evidence could have been adduced in a more controlled manner. [125] If the evidence is admitted, the Crown must take care to control the flow of the evidence so that it comports with the trial judge’s ruling and minimizes the risk of prejudice. It is apparent from the trial record in this case that the evidence of both complainants went well beyond the scope of the trial judge’s ruling. (2) Eliminating or minimizing prejudicial effect [126] Both the Crown and defence must turn their minds to whether the necessity for the evidence can be eliminated, or its prejudicial effects reduced, by appropriate admissions or undertakings. The trial judge should press them to explore alternatives to the admission of the evidence, or to reduce its impact. [127] In this case, the trial judge found that the evidence was admissible for three reasons: (a) to prove animus and the nature of the relationship; (b) to explain why the complainants had not reported their allegations; and (c) to explain why C.Q. had remained in the marital relationship. In response to the Crown’s application, defence counsel stated that he was not intending to cross-examine the complainants on why they had not reported the abuse earlier or why C.Q. had remained in the marital relationship. This commitment, had it been pursued, might have undermined a substantial part of the prosecution’s rationale for the admission of the evidence. [128] Moreover, as the evidence unfolded at trial, both complainants’ explanations came up naturally and did not require reference to the prior abuse. C.Q. only discovered that non-consensual marital sex was illegal in Canada when she read a brochure at CAMH, which led to her reporting the abuse. And C.L. did not disclose the abuse because she was afraid that others would believe she was “dirty” and because of her mother’s fear they would be deported. An appropriate focus on eliminating or reducing prejudice might have foreseen this line of questioning and obviated the need for much of the contentious evidence. (3) Jury instructions [129] If defence counsel’s concessions and the complainants’ carefully tailored evidence were insufficient to address the three reasons for which the Crown sought to adduce evidence of the appellant’s prior discreditable conduct, then jury instructions could have served as an appropriate caution against inappropriate reasoning. For example, the trial judge could have instructed the jury that (a) they were not allowed to draw an adverse inference from the complainants’ delay in reporting: see R. v. D.D. , 2000 SCC 43, [2000] 2 S.C.R. 275; and (b) they could not rely on the discredited myth that complainants always leave their abusive relationships. [130] The same applies to the trial judge’s concern that without the evidence of prior abuse, the jury might speculate about why the abuse only began in Canada. If impermissible and speculative reasoning was a concern, then the better course of action was to explain that such reasoning was inappropriate, that the jury was not to speculate, and that they were to decide the case solely on the evidence. [131] The trial judge might have invited the Crown to consider at what point in the trial the evidence was to be introduced, how it was to be introduced, and whether a contemporaneous mid-trial instruction would have been advisable, either before or immediately after the jury heard the evidence. Such an instruction might have, for example: (a) identified specifically, by date and with a brief synopsis, the uncharged prior discreditable conduct; (b) identified the jury’s permitted use of the evidence; and (c) identified the prohibited use of the evidence. In connection with the prohibited use of the evidence, the trial judge might have instructed the jury that they could not convict the appellant on the basis of “bad personhood” (i.e. “moral prejudice”), but also that they could not convict the appellant because they wanted to punish him for his uncharged prior discreditable conduct (i.e. “reasoning prejudice”). He might have instructed them that their task was to “keep their eye firmly on the ball” – namely, to determine whether the appellant was guilty, beyond a reasonable doubt, of the counts in the indictment, and not whether he was guilty of the uncharged prior discreditable conduct. [132] Finally, great care must be taken in crafting final instructions to explain to the jury how they are to use, and how they are not to use, the evidence. It is not clear to me what the jury was expected to take from the instruction that the purpose of the evidence was to allow them to understand the nature and state of the family relationship prior to the allegations at issue, and to demonstrate the appellant’s “ animus or dislike” of the complainants. If the evidence is being introduced as “narrative” – that is, as evidence that was not relevant and material in its own right, but to assist the jury in understanding admissible evidence – then it is incumbent on the trial judge to clearly instruct the jury on exactly how the evidence is to be used. J. DISPOSITION [133] For these reasons, I would allow the appeal and order a new trial. Released: February 25, 2021  “G.R.S.” “George R. Strathy C.J.O.” “I agree. David Watt J.A.” “I agree. B. Zarnett J.A.” [1] Ms. Kranjc was not the trial Crown, and Mr. Halfyard was not defence counsel at trial.
COURT OF APPEAL FOR ONTARIO CITATION: Rooplal v. Fodor, 2021 ONCA 357 DATE: 20210528 DOCKET: C68481 Rouleau, Benotto and Thorburn JJ.A. BETWEEN Bibi Saffora Rooplal Plaintiff (Respondent) and Leslie Patrick Fodor , Toronto Transit Commission , John Doe Driver, John Doe Owner and Novex Insurance Company Defendants ( Appellants / Respondent ) J. Thomas Curry, Adam H. Kanji, and Chad Townsend, for the appellants, Leslie Patrick Fodor, Toronto Transit Commission, and Toronto Transit Commission Insurance Robert R. Patterson and Naresh C. Misir, for the respondent, Bibi Saffora Rooplal Maseeh M. Sidky, for the respondent, Novex Insurance Company Heard: February 3, 2021 by video conference On appeal from the order of the Divisional Court (Justices Harriet E. Sachs, Todd Ducharme, and William M. LeMay), dated December 11, 2019, with reasons reported at 2019 ONSC 7211, 59 M.V.R. (7th) 40, affirming the order of Justice Victoria R. Chiappetta of the Superior Court of Justice, dated August 20, 2018, with reasons reported at 2018 ONSC 4985, 143 O.R. (3d) 149. Thorburn J.A.: OVERVIEW [1] The respondent, Bibi Saffora Rooplal, was injured while riding a Toronto Transit Commission (“TTC”) bus. She was told by the bus driver that the accident was caused by an unidentified motorist. [2] Ms. Rooplal brought a claim against the unidentified motorist, the TTC, and the bus driver, Leslie Fodor, for damages resulting from the accident. In the same action she brought a claim against her insurer, Novex Insurance Company (“Novex”), for declaratory relief and to indemnify her for damages caused by the unidentified motorist. [3] She later sought to add the appellant Toronto Transit Commission Insurance (“TTC Insurance”) as a party defendant, seeking declaratory relief and indemnification for damages caused by the unidentified motorist pursuant to s. 265 of the Insurance Act , R.S.O. 1990, c. I.8 and Uninsured Automobile Coverage , R.R.O. 1990, Reg. 676 (“Regulation 676”). TTC Insurance took the position that this should not be permitted as the claim against TTC Insurance was statute-barred by s. 4 of the Limitations Act, 2002 , S.O. 2002, c. 24, Sch. B (“the Limitations Act ”). [4] The motion judge permitted the claim against TTC Insurance to proceed on the basis that the two-year limitation period for commencing a claim set out in s. 4 of the Limitations Act had not expired as, under the criteria set out in s. 5, Ms. Rooplal had not yet discovered her claim against the insurer. [5] The motion judge held that the limitation period for the indemnification claim against TTC Insurance does not begin to run until “the day after [Ms. Rooplal] made an indemnification claim which [TTC Insurance] failed to satisfy. Since [Ms. Rooplal] made her motion to add [TTC Insurance] as a defendant before making a claim that [TTC Insurance] failed to satisfy, the limitation period has not expired.” That decision was upheld by the Divisional Court, adopting the reasons of the motion judge. [6] Leslie Fodor, the TTC, and TTC Insurance appeal the decision of the Divisional Court. [7] The issue on this appeal is when the limitation period begins to run on the claim for indemnification against TTC Insurance. [8] TTC Insurance submits that the limitation period begins to run when Ms. Rooplal knew or ought to have known the unidentified motorist was at fault. TTC says this was when she received the police report. [9] Ms. Rooplal claims the two-year limitation period does not begin to run until the insurer denies her claim for indemnification under the contract of insurance. In the alternative, she claims that even if the limitation period began to run when she knew or ought to have known there was a tort claim against the unidentified motorist, she did not have evidence of how the accident happened until the TTC bus driver was examined for discovery. Ms. Rooplal served her motion to add TTC Insurance less than two years thereafter. Novex makes no submissions on the appeal. [10] For the reasons that follow, I find that the limitation period for bringing a claim against TTC Insurance for declaratory relief and indemnification for damages caused by the unidentified motorist has not expired. [11] Before conducting the legal analysis, I will briefly outline the underlying accident, the pleadings, the terms of insurance, and the relevant provisions of the Limitations Act . BACKGROUND (1) The Accident [12] On May 4, 2012, Ms. Rooplal was a passenger in a TTC bus driven by Leslie Fodor. The bus braked sharply, causing Ms. Rooplal to be propelled forward and strike her head on an interior bar pole. She was told by the TTC that the bus stopped suddenly as another car cut it off. [13] On February 24, 2014, Ms. Rooplal’s counsel received the accident report from the Toronto Police Service. The report cites the information provided by the TTC driver and provides that the accident occurred when an unidentified vehicle caused the TTC bus to brake suddenly to avoid a collision. [14] At the time of the accident, Ms. Rooplal had a valid motor vehicle insurance policy with Novex, which included a family protection coverage endorsement under Ontario Policy Change Form 44R (“OPCF-44R”). TTC was self-insured by TTC Insurance. (2) The Pleadings [15] On March 26, 2014, Ms. Rooplal filed her Statement of Claim against the unidentified motorist, the unidentified owner, the TTC, and the TTC bus driver for damages caused by the accident. She also sought a declaration and indemnification from her insurer, Novex, “ up to the full policy limits, including but not limited to OPCF-44R family protection coverage, for any and all damages, injuries and losses resulting from the motor vehicle accident ”. Ms. Rooplal claims she suffered permanent and serious injuries as a result of the accident and seeks damages in the amount of $800,000. [16] Ms. Rooplal claimed that her Family Protection Coverage endorsement with Novex, under the OPCF-44R, “provides coverage to persons insured under the contract for loss and injuries sustained as a result of the actions of an unknown operator of an unidentified motor vehicle pursuant to section 265(1) of the Insurance Act , R.S.O. 1990, c. 1.8.” She also pleads that “the incident was caused or contributed to by the negligence of the owner and/or operator of the [unidentified] Doe Vehicle.” [17] On September 11, 2014, Novex served its Statement of Defence and Crossclaim against the TTC and its driver denying Ms. Rooplal’s claim for unidentified motorist insurance. At para. 5 of the Statement of Defence (para. 7, in the amended pleading) Novex pleads that Ms. Rooplal has no “cause of action as against it, until she obtains judgment as against any of the co-defendants, a determination is made that any of the co-defendants are uninsured and the plaintiff is unable to satisfy the said judgment as against the assets of any of the other co‑defendants.” [18] On May 7, 2015, examinations for discovery were completed. On December 10, 2015, counsel for Novex wrote to Ms. Rooplal’s counsel, copying TTC’s counsel, and stated that “it was my understanding that plaintiff’s counsel would be amending his client’s claim to include the TTC insurer to the action. Can you please confirm that this is the case?” [19] On March 16, 2017, Novex amended its Statement of Defence and Crossclaim to plead that: 5. This defendant specifically denies that it is the insurer for the purposes of coverage for incidents or accidents caused by or contributed to by the negligence of the owner and/or operator of an unidentified and/or uninsured motor vehicle. 6. Further, this defendant states that the plaintiff was a passenger/occupant in the co-defendant TTC vehicle and any claims pursuant to unidentified and uninsured provisions and/or section 265 of the Insurance Act , R.S.O. 1990, c. I.8 ought to be against the co-defendant TTC vehicle's policy and not this defendant. [Emphasis omitted.] [20] Shortly thereafter, Ms. Rooplal brought a motion to amend her Statement of Claim to add TTC Insurance as a party defendant. TTC Insurance opposed the motion on the grounds that the limitation period had expired. [21] The proposed claim against TTC Insurance is for a declaration that, at the time of the accident, Ms. Rooplal was an occupant of a vehicle insured by TTC Insurance and an insured pursuant to that policy, and that TTC Insurance must indemnify her for all damages caused by the unidentified motorist up to the policy limits. (3) The Terms of Insurance [22] Where an unidentified motorist is at fault, there may be no means of securing compensation for an injury from the unidentified motorist, as the motorist and the motorist’s insurer may never be identified. In Ontario, there are two means of addressing this gap in coverage: (i) mandatory uninsured/unidentified motorist coverage, under s. 265 of the Insurance Act ; and (ii) optional OPCF-44R family protection coverage. Section 265 unidentified automobile insurance [23] The Insurance Act requires that all automobile insurance policies provide coverage for accidents involving an unidentified motorist. Section 265(1) of the Insurance Act provides that: Every contract evidenced by a motor vehicle liability policy shall provide for payment of all sums that , (a) a person insured under the contract is legally entitled to recover from the owner or driver of an uninsured automobile or unidentified automobile as damages for bodily injuries resulting from an accident involving an automobile; subject to the terms, conditions, provisions, exclusions and limits as are prescribed by the regulations . [Emphasis added.] [24] Section 265(2) of the Insurance Act defines “person insured under the contract” for the purpose of a claim for bodily injuries as, among other things, “any person while an occupant of the insured automobile”. Regulation 676 of the Insurance Act [25] Regulation 676 sets out additional obligations on insureds seeking to pursue a claim for indemnification pursuant to s. 265 Insurance Act in the attached Schedule “Uninsured Automobile Coverage” (“the Schedule”): R.R.O. 1990, Reg. 676. [26] Section 1 of Regulation 676 provides that: The terms, conditions, provisions, exclusions and limits set out in the following Schedule apply to payments under a motor vehicle liability policy under subsection 265 (1) of the Act and shall be attached to or included in every motor vehicle liability policy, as a Schedule in or to the policy. [27] The Schedule referred to in s. 1 of Regulation 676 provides, at s. 8 (“Limitations”), that “[n]o person is entitled to bring an action to recover an amount provided for under the contract, as required by subsection 265 (1) of the Act, unless the requirements of this Schedule with respect to the claim have been complied with”. The requirements include the following: · Section 2(1)(c): The s. 265 insurer is not liable to pay the claim if the insured “is entitled to recover money under the third-party liability section of a motor vehicle liability policy.” This is known as “the 1% rule” as, if another insured is found to be even 1% liable for the accident, the s. 265 insurer is exempt from liability. In other words, the s. 265 insurer is only liable in the last resort. · Section 3: The person injured in an unidentified motorist accident must report the accident to police in a timely manner and notify the s. 265 issuer within 30 days of the accident or as soon as is practicable and provide certain details to the s. 265 insurer. · Section 4(1)(c): The determination of whether the insured is entitled to damages and, if so, the amount, may be determined by the courts. Unless a liability determination has already been made by another court, the insurer may defend both liability and damages. · Section 5(1): Where an insured commences a tort action for damages against a person involved in the accident, a copy of the writ of summons or other proceeding shall be delivered or sent by registered mail immediately to the insurer . · Section 5(2): If the claimant obtains a judgment against the other person but is unable to recover or fully recover the amount of that judgment, subject to the 1% rule discussed above, the s. 265 insurer must make the claimant whole. This section also permits the s. 265 insurer to require the assignment of the judgment prior to paying the claimant. · Section 6: A person making a claim shall do so by (i) giving written notice to the insurer within 30 days of the accident or as soon as is practicable after that date; (ii) giving the insurer proof of the accident, the resulting loss, and the claim within 90 days of the accident or as soon as is practicable; (iii) providing the insurer with a certificate stating the cause of injury or death and the nature of the injury, and the expected duration of any disability; and (iv) providing the details of any other insurance policy, other than life insurance, to which the claimant may have recourse. [28] Any claim brought pursuant to s. 265 of the Insurance Act must comply with the notification requirements set out in the Schedule contained in Regulation 676. OPCF-44R Family Protection Coverage [29] In addition to the mandatory statutory unidentified motorist insurance, an insured may elect to purchase OPCF-44R insurance coverage, which may be purchased as an endorsement to the standard Ontario motor vehicle insurance Owner’s Policy. [30] The OPCF-44R endorsement provides additional coverage for the named insured and their family, including for unidentified motorist claims. As “the occupant of any other vehicle” in an accident caused by an unidentified motorist, an insured may seek indemnification under an OPCF-44R policy for the injuries sustained in an accident caused by an unidentified motorist. [31] However, and importantly for the purpose of the underlying action, s. 7 of the OPCF-44R provides that coverage under this policy is excess to any amount received elsewhere and to other amounts available from uninsured automobile coverage under any other valid motor vehicle policy. (4) The Limitations Act [32] Section 4 of the Limitations Act, 2002 provides that “a proceeding shall not be commenced in respect of a claim after the second anniversary of the day on which the claim was discovered”, unless the Act provides otherwise. [33] Section 5(1) of the Act provides that: A claim is discovered on the earlier of (a) The day on which the person with the claim first knew, (i) that the injury, loss or damage had occurred, (ii) that the injury, loss or damage was caused by or contributed to by an act or omission, (iii) that the act or omission was that of the person against whom the claim is made, and (iv) that, having regard to the nature of the injury, loss or damage, a proceeding would be an appropriate remedy to seek to remedy it; and (b) the day on which a reasonable person with the abilities and in the circumstances of the person with the claim first ought to have known of the matters referred to in clause (a). [34] The requirements under s. 5(1)(a) are conjunctive, and all must be met for a claim to be discovered: Longo v. MacLaren Art Centre Inc. , 2014 ONCA 526, 323 O.A.C. 246, at para. 41; Apotex Inc. v. Nordion (Canada) Inc. , 2019 ONCA 23, 431 D.L.R. (4th) 262, at para. 78. THE ISSUE [35] The issue for this court is a narrow one: Is Ms. Rooplal’s claim against TTC Insurance for unidentified motorist coverage, statute-barred by ss. 4 and 5 of the Limitations Act ? Resolving this question requires this court to determine when Ms. Rooplal discovered, or ought to have discovered, her claim against the purported s. 265 insurer, TTC Insurance. In other words, what is the act or omission of TTC Insurance that caused the plaintiff’s loss? THE DECISION BELOW [36] The motion judge considered this court’s pre- Limitations Act jurisprudence and then outlined the changes occasioned by the Limitations Act . [37] The motion judge referred to July v. Neal (1986), 32 D.L.R. (4th) 463 (Ont. C.A.), a case heard before the changes to the Limitations Act . July was a passenger in a three-party collision including an unidentified motorist. MacKinnon A.C.J.O, for the majority, held that the limitation period began when “the cause of action against the insurer arose” meaning “when the material facts on which the claim is based have been discovered or ought to have been discovered by the plaintiff by the exercise of reasonable diligence”: p. 469. [38] The motion judge in this case noted that the test changed with the 2002 enactment of the Limitations Act . [39] She referred to Markel Insurance Company of Canada v. ING Insurance Company of Canada , 2012 ONCA 218, 109 O.R. (3d) 652, the leading case interpreting the limitation period under s. 4 of the Limitations Act in the context of the Insurance Act . Markel was a loss-transfer claim between two insurers, for indemnification for statutory accident benefits paid to an insured. In that case, the limitation period did not begin until the first insurer’s request for indemnification was received by the second insurer. [40] She also referred to the decision of this court in Schmitz v. Lombard General Insurance Company of Canada , 2014 ONCA 88 , 118 O.R. (3d) 694 , leave to appeal refused, [2014] S.C.C.A. No. 143, a case involving an insured’s claim against their own insurer under the OPCF-44R endorsement. The court in Schmitz held that the reasoning in Markel was “dispositive” of the limitations issue s uch that claim for indemnity under the OPCF-44R did not start to run until there is a demand for indemnity and default of the obligation to indemnify the insured. [41] After reviewing the changes in the law, the motion judge observed, at para. 29, that: The Limitations Act discoverability provisions are based upon the common law principles of discoverability. However, the statute provides a discoverability definition that is much more nuanced and complex. The detailed discoverability definition was not before the Court of Appeal nor contemplated by it in July . While the general discoverability doctrine set out in July remains unchanged by the Limitations Act pronouncement, the discoverability definition in the test enunciated by MacKinnon J. must now be interpreted in accordance with the Limitations Act 's definition of "discovered" . In this regard, the Court of Appeal's analysis in Markel and Schmitz cannot be ignored. It is binding on this court. [Emphasis added.] [42] The motion judge held that, although this is not a loss-transfer case or a claim against the OPCF-44R insurer, the analysis in Markel and Schmitz applies. In her view, Ms. Rooplal could not be said to know that there is a loss “caused” by an “omission” of the unidentified motorist insurer, i.e. TTC Insurance, until she asserted a claim for indemnification against TCC Insurance: see Limitations Act , ss. 5(1)(a)(i)-(iii). The motion judge concluded that “the limitation period begins to run … on the first day of default after the demand for indemnification is made.” Accordingly, Ms. Rooplal’s claim against TTC Insurance was not statute-barred. [43] The appeal to the Divisional Court was dismissed for the reasons of the motion judge. ANALYSIS (1) The Standard of Review [44] Whether Ms. Rooplal’s claim against TTC Insurance is statute-barred requires this court to interpret both the Limitations Act and the Insurance Act ’s unidentified motorist provisions. All parties agree that this is a question of law, subject to correctness review: Housen v. Nikolaisen, 2002 SCC 33, [2002] 2 S.C.R. 235, at paras. 8-9. (2) The Parties’ Positions [45] The appellant TTC Insurance’s position is that the motion judge and the Divisional Court erred in finding that this court’s pre- Limitations Act jurisprudence no longer governs a claim brought against a s. 265 insurer for unidentified motorist coverage. TTC Insurance submits that the framework developed in Markel and Schmitz was not meant to apply to such claims and both cases are readily distinguishable. Moreover, in TTC Insurance’s view, “[t]o hold that the limitation period does not commence until the Plaintiff has made an indemnification demand to the TTC Insurance would produce an absurd result”, namely that the plaintiff could potentially lie in wait indefinitely before bringing a claim against the s. 265 insurer. [46] Several other lower court decisions applied the same reasoning as the motion judge and TTC submits these decisions are wrongly decided: see e.g. Chahine and Al-Dahak v. Grybas , 2014 ONSC 4698, 38 C.C.L.I. (5th) 282; Platero v. Pollock , 2015 ONSC 2922, 49 C.C.L.I. (5th) 212; Sukhu v. Bascombe , 2018 ONSC 2878. [47] The respondent, Ms. Rooplal, submits that the analysis in Markel and Schmitz applies and no absurdity arises from the motion judge’s decision. First, this is not a stale claim as TTC Insurance and the TCC are effectively indistinguishable, sharing the same premises and counsel. Furthermore, s. 6 of the Schedule contained in Regulation 676 sets out notice requirements for any claim brought against a s. 265 insurer. (3) The pre- Limitations Act Jurisprudence [48] Before the Limitations Act , the courts applied a limitation period contained in the then-current regulations to the Insurance Act . Section 8(2) of the relevant schedule held that the limitation period for claims for damages caused by an unidentified motorist was “two years from the date on which the cause of action against the insurer arose”. [1] This court found that the plaintiff discovered that “the cause of action arose” when the material facts on which an action is based were discovered or ought to have been discovered by the plaintiff’s exercise of reasonable diligence: see July; Johnson v. Wunderlich (1986), 34 D.L.R. (4th) 120 (Ont. C.A.); Hier v. Allstate Insurance Co. of Canada (1988), 51 D.L.R. (4th) 1 (Ont. C.A.); and Chambo v. Musseau (1993), 106 D.L.R. (4th) 757 (Ont. C.A.). [49] In July v. Neal , the plaintiff was a passenger in a vehicle owned and operated by a family member named Neal. Neal’s vehicle was in an accident involving two other vehicles. The driver of one of those other vehicles was unidentified. The accident report stated that an unidentified vehicle was involved in the accident. After the examinations for discovery, counsel for the plaintiff wrote the plaintiff’s insurer to advise that the plaintiff would be looking to it for the “loss that may be found to be caused by the hit and run driver”. [50] The plaintiff brought a claim against Neal within two years of the accident but waited more than two years to bring a claim for unidentified motorist coverage against the insurer. MacKinnon, A.C.J.O. observed at pp. 466-7 that in cases where both an unidentified driver and a third-party identified driver may be at fault: I have had great difficulty in interpreting the intended effect of the relevant legislation and regulation. It seems to me that the drafters of the legislation were considering the usual case of an insured motorist involved in an accident with a hit-and-run driver. There is no difficulty in such cases in requiring the motorist to commence his action within the two-year-time-limit from the date of the accident. The complicating factor in the instant case … is the existence of an identified motorist, Neal, who was involved in the accident and who is a defendant. [51] He concluded that the limitation period begins to run, “when the material facts on which the claim is based have been discovered or ought to have been discovered” and held that it would be up to the trial judge, after hearing the evidence, to determine when the material facts, including the potential liability of an unidentified motorist or its insurer, ought to have been discovered. Under the 1% rule, if any liability rested with another defendant, the s. 265 insurer would not be required to indemnify the plaintiff. [52] Later that year, in Johnson v. Wunderlich (1986), this court applied a similar analysis to an uninsured motorist accident. The plaintiffs, Lionel and David Johnson, were involved in an accident with a vehicle owned by Linda Wunderlich and operated by Michael Wunderlich. Both Johnsons and Mr. Wunderlich were killed in the accident and no appearance was entered by the defendants. The defendants’ motor vehicle was uninsured. The plaintiffs moved to add their insurer as a party more than two years after the accident. The insurer sought a declaration that the claim was time-barred. [53] Morden J.A. (as he then was) rejected the plaintiffs’ argument that the plaintiffs were simply enforcing the judgment against the tortfeasor in seeking indemnity from the insurer, such that the limitation period did not begin to run until all of the conditions precedent for a claim against the insurer had been satisfied, namely: submission of the notice and proof of claim; determination of legal liability and the amount of damages; a finding that the plaintiffs were entitled to damages from the owner or driver of the uninsured automobile; the judgment remained unsatisfied; and a request for payment from the insurer had been made and refused. Instead, at pp. 128-129, he held that this was a ‘direct action’ against the insurer, and that: [T]he elements of this cause of action are (1) a person insured (2) who is legally entitled to recover damages from the owner or driver of (3) an uninsured or unidentified automobile. (Implicit in this is that the damages have resulted from an accident involving the automobile.) The cause of action accrues when the plaintiff (the person insured) has discovered these material facts or ought to have discovered them by the exercise of reasonable diligence. See July v. Neal (1986), 57 O.R. (2d) 218, 44 M.V.R. 1, 19 C.C.L.I. 230, 12 C.P.C. (2d) 303, (Ont. C.A.). [T]he appellants did not submit that the cause of action does not arise until the insurer has denied liability on the contract. Notwithstanding that the form of the insurer’s obligation is contractual (legislatively imposed) I do not read the relevant provisions as making a denial of liability a constituent element of the direct claim. In other words, an action commenced before denial of liability would not be premature from a cause-of-action perspective. [54] Morden J.A. concluded, however, that “it cannot be determined that an action for recovery is barred by the terms of s. 8(2) of the Schedule,” because it was unclear whether the plaintiffs’ action was for declaratory relief or for recovery against the insurer, and actions for declaratory relief were not subject to the two-year limitation period in s. 8(2) of the Schedule at that time. Accordingly, he dismissed the insurer’s argument on the limitation period. [55] Finlayson J.A. agreed in the result but would have found that the limitation period had not expired. At p. 137, he explained: While the matter is not free from doubt, it is my opinion that an action against the insurer is an action for breach of contract and the cause of action arises from the date of the breach. This breach occurs when the insurer denies liability or the insured knows or ought to know that his claim will not be honoured. [56] The case of Hier v. Allstate Insurance Co. of Canada (1988), involved a two‑party hit-and-run accident. There was no question that the insured knew on the day of the accident that his vehicle was hit and was entitled to damages from the unidentified motorist. Goodman J.A. held, at p. 12, that: In the case at bar the respondent (plaintiff) was insured by Allstate's policy, he was according to the trial judge, legally entitled to recover damages from the unidentified automobile, and he was aware on the date of the accident that the other motor vehicle involved, its owner and operator were all unidentified. On those facts, it is my opinion, that the limitation period commenced to run from the date of the accident and the respondent’s action was barred under s. 8(2) . [Emphasis added.] All of the necessary elements to establish a “cause of action” were established and as such, the action against the insurer, brought more than two years after the accident, was time-barred. [57] Finally, in Chambo v. Musseau (1993), the plaintiff was injured in an accident she claimed was caused by another driver who was uninsured. Her claim against the insurer was brought more than two years after the accident. In that case, Osborne J.A. allowed the plaintiff’s appeal and order that the action proceed to trial. In so doing, he distinguished an action against the uninsured motorist from an action for coverage brought against the insurer. At p. 765, he explained: [I]t makes no difference whether the insurer and the tortfeasor are sued in the same action, or whether the insurer alone is named as a defendant (as happened here). Nor does it matter if, as occurred in Johnson v. Wunderlich , the insurer is added as a defendant after the commencement of the action against the tortfeasor. If the uninsured owner/driver and the insurer are both sued, the cause of action asserted against the tortfeasor is different from the cause of action asserted against the insurer. The former is in negligence; the latter is for payment under a contract, albeit one imposed by statute. Different limitation periods apply . … The s. 8(2) limitation period [for a claim against the insurer] is two years from the date on which the insured person knew, or with the exercise of reasonable diligence could have established, that the tortfeasor’s motor vehicle was uninsured. [Emphasis added; see also p. 766.] [58] In sum, prior to the Limitations Act, 2002, the two-year limitation period for a claim for indemnification was triggered when the person knew or ought to have known the material facts giving rise to the cause of action, namely: (1) the plaintiff was injured and (2) was legally entitled to recover damages from the owner or driver of (3) an uninsured or unidentified automobile. It was recognized that determining when the cause of action arose on a claim for indemnification was more difficult where there were multiple possible tortfeasors one of whom was unidentified or uninsured. The claim against the insurer is a claim founded in the insurance contract imposed by statute, not a tort action, and dependant on the plaintiff knowing or with reasonable diligence being able to establish that no other tortfeasor is even 1% liable. As such, (except in Hier , where the insured knew on the day of the accident that he was entitled to damages only from the unidentified motorist and therefore a claim could be brought against the insurer), the appellate cases from this court found that the commencement of the limitation period was a factual matter to be resolved by the trial judge. (4) The Limitations Act and Related Jurisprudence [59] The Limitations Act, 2002 supersedes the limitation period set out in s. 8(2) of the Schedule contained in Regulation 676: see Limitations Act , s. 19(1). The two-year limitation period set out in s. 4 of the Limitations Act does not refer to “when the cause of action arises”. Rather, the wording is when the “claim [is] discovered.” [60] Section 5 of Act determines when a claim is discovered. It provides that a claim is discovered when the plaintiff knows or ought to have known (i) that they have suffered injury or loss (ii) by an act or omission that is (iii) “that of the person against whom the claim is made” and (iv) it is appropriate to commence a legal proceeding. [61] Of particular note is the requirement of s. 5(1)(a)(iii): the claim discovered only when a plaintiff learns that their injury was caused by the acts or omissions of the person against whom the claim is made . In other contexts, this court has held it is an error to overlook this particular requirement imposed by s. 5(a)(iii): see Morrison v. Barzo , 2018 ONCA 979, 144 O.R. (3d) 600, at paras. 35, 47. [62] The consequences of this requirement are illustrated by Markel Insurance Company of Canada v. ING Insurance Company of Canada (2012) and Schmitz v. Lombard General Insurance Company of Canada (2014). Those cases stand for the proposition that the plaintiff suffers a loss when the insurer fails to satisfy its legal obligation under the policy. [63] Markel concerned two collisions, both of which involved an automobile and a tractor-trailer. In both cases, the insureds’ right to insurance benefits was not in issue. The dispute was which insurer was responsible for payment of the benefits to the insured under s. 275 of the Insurance Act . [2] The plaintiff drivers’ insurers asked the tractor-trailers’ insurers to indemnify them for some of the payments made to the insured. The tractor-trailer insurers did not make the payments requested. Both tractor-trailer insurers claimed that the limitation period for the loss-transfer claims had passed. [64] Sharpe J.A. reviewed the discoverability requirements of the Limitations Act . He noted that the new limitations regime required him to focus his analysis on the four elements of s. 5(1)(a). At para. 24, he observed: Items (ii) and (iii) require that the second party insurer must have done or omitted to do something that can be said to have caused a loss. The second party insurer cannot be said to have omitted to indemnify if there was no request for indemnification. It follows that items (ii) and (iii) cannot be satisfied until the first party insurer has asserted the loss transfer claim against the second party insurer to trigger a legally enforceable claim or obligation. [65] With this in mind, he reasoned that, once the request for indemnification has been sent, “[a]ll the facts are present to trigger the legal obligation of the part of the second party insurer to indemnify the first party insurer for the loss. The situation has crystallized into a complete and valid legal claim that is immediately enforceable against the second party insurer.” According, he held, at para. 27, that the first-party insurer ‘discovers’ the loss caused by the second-party insurer “the moment the second party insurer can be said to have failed to satisfy its legal obligation to satisfy the loss transfer claim … [which is] the day after the Request for Indemnification is made.” [66] In other words, the party demanding indemnification did not know it had a loss resulting from the second insurer’s wrongdoing and that it was appropriate to commence a proceeding until a demand for indemnification was made that was not satisfied by the insurer. Until then, the claim was not “discovered” within the meaning of the Limitations Act . [67] Schmitz involved a claim for indemnity for underinsured motorist coverage pursuant to an optional OPCF-44R endorsement. The plaintiff brought a claim against the underinsured tortfeasor in a timely manner but did not bring a claim against the OPCF-44R insurer for excess damages until nearly four years after the accident. On appeal, the OPCF-44R insurer argued that two-year limitation period under s. 4 of the Limitations Act began to run at the time the plaintiff knew or ought to know that their claim against the uninsured tortfeasor exceeded the limitations of the tortfeasor’s coverage. [68] The court rejected the insurer’s argument, holding that “this court’s recent decision in Markel is dispositive of the issue of when the s. 5 limitation period begins to run in respect of a claim under the OPCF 44R.” The court did not accept that this would result in prejudice to the insurer, observing that “[t]here are a number of ways in which underinsurers can protect their interests including … a provision requiring the insured to provide timely notice to the insurer when he knew or ought to have known he was underinsured.” (5) Analysis and Application of the Law [69] TTC Insurance asks this court to distinguish Markel and Schmitz. Notwithstanding the language in s. 5 of the Limitations Act , they argue that Ms. Rooplal discovered her claim against TTC Insurance when she learned of the involvement of an unidentified driver who was potentially liable for her injuries. [70] TCC Insurance urges that Markel and Schmitz “are appropriate for their own unique contextual circumstances” but inapt for claims against s. 265 insurers. TTC Insurance points out that this case is different from Markel as there the only issue to be determined was which of two insurers was responsible for the payment. Similarly, Schmitz concerned a contractual dispute between insured and insurer, not the statutory provisions in s. 265, so the contract-based framework articulated in Markel was arguably more appropriately adopted there than in this case. [71] In July and this case, by contrast, tort liability had not been determined among the defendants and the s. 265 insurer’s liability depended on a finding that no other party was even 1% liable. In July , this court held that discovery of the cause of action could only be decided by the trial judge after hearing evidence. [72] Section 5 of the Limitations Act, 2002 was enacted to bring greater clarity and certainty to the determination of when a limitation period commences, as described in the recommendations of Limitations Act Consultation Group : see Recommendations for a New Limitations Act (Toronto: Ministry of the Attorney General of Ontario, 1991). Unless the Limitations Act provides otherwise, a proceeding must be commenced within two years of when “a claim is discovered”, that is, when the plaintiff knows, or ought to have known they have suffered loss, injury or damage caused by or contributed to by the acts or omissions “of the person against whom the claim is made ” (emphasis added) and that it is appropriate to commence a proceeding: ss. 4 and 5(1). [73] The importance of isolating the wrongful act of each particular defendant has been emphasized by this court. It is not enough that the plaintiff has suffered some loss from some act or omission. As Strathy C.J.O. explained in Apotex , at para. 86, discovery requires that the person with the claim “know that the ‘injury, loss or damage had occurred ’ (s. 5(1)(a)(i)), that it was caused or contributed to by the act or omission (the breach of contract) (s. 5(i)(a)(ii)), and that the act or omission was that of the defendant (s. 5(1)(a)(iii))” (emphasis in original). Has Ms. Rooplal discovered her claim under s. 5 of the Limitations Act? [74] Ms. Rooplal’s proposed Amended Statement of Claim asserts a claim in negligence against the unidentified motorist, the TTC, and the TTC driver; and a claim for declaratory relief and indemnity in contract against TTC Insurance for damages resulting from the actions of the unidentified motorist up to the s. 265 policy limit. [75] There is a distinction to be drawn between knowledge of the act or omission of the unidentified motorist, for which (but for practical impediments) damages in tort may be sought, and the act or omission of the insurer for which indemnification pursuant to the insurance policy is sought. TTC Insurance suggests that this court should ignore this distinction as, in effect, “the insurer stands in the shoes of the uninsured or unidentified tortfeasor” in a claim brought under s. 265 of the Insurance Act : quoting Kosanovic v. Wawanesa Mutual Insurance Co. (2004), 237 D.L.R. (4th) 441 (Ont. C.A.), at para. 7. TTC Insurance also directs this court’s attention to several other post- Limitations Act, 2002 decisions from the lower courts, which have applied the July discovery rules to unidentified motorist cases: see Galego v. Pereira (2005), 207 O.A.C. 384 (Div. Ct.); Bhatt v. Doe , 2018 ONSC 950; Wilkinson v. Braithwaite , 2011 ONSC 2356. [76] I disagree. [77] Section 5(1)(a)(iii) of the Limitations Act makes clear that Ms. Rooplal only “discovers” her claim against TTC Insurance when she knows or ought to know that TTC Insurance did or omitted to do something that caused her loss or damage. Only then is her claim “discovered” such that the two-year limitation period under s. 4 of the Limitations Act begins to run. The requirements of s. 5(1)(a) are conjunctive: Longo at para. 41. In this case, there is no evidence Ms. Rooplal has made any demand for indemnification. [78] I note that Kosanovic does not assist TTC Insurance as that case did not concern limitation periods and the quoted language was only a shorthand summary of the s. 265 scheme. Nor does Galego address the Limitations Act . Bhatt and Wilkinson do not address the s. 5 criteria for discovery of a claim. Does public policy warrant the maintenance of the July framework? [79] In resisting this conclusion, TTC Insurance invites this court to depart from the wording of the Limitations Act and suggests that “[p]ublic policy surrounding the use of limitation period favours using the tortfeasor’s ‘act or omission’ … as the relevant benchmark for the discover of a claim under s. 265.” [80] I do not accept this submission. [81] The modern principle of statutory interpretation provides that “the words of an Act are to be read in their entire context and in their grammatical and ordinary sense harmoniously with the scheme of the Act, the object of the Act, and the intention of Parliament”: Rizzo & Rizzo Shoes Ltd. (Re) , [1998] 1 S.C.R. 27, at para. 21, quoting Elmer A. Driedger, Construction of Statutes , 2nd ed. (Toronto: Butterworths, 1983), at p. 87. [82] The ordinary sense of s. 5(1) of the Limitations Act is clear. A claim is discovered when plaintiff knows, or ought to have known, that the act or omission causing the plaintiff’s loss “was that of the person against whom the claim is made ” (emphasis added). Ms. Rooplal’s claim is not against the unidentified tortfeasor, it is against TTC Insurance. [83] The Limitations Act was intended to provide a comprehensive limitations scheme that applies to all court proceedings “[u]nless this Act provides otherwise”: s. 4. There is no evidence that the legislature intended to permit exceptions to the s. 5 discovery rules other than those identified by the Act. Indeed, some provisions in the Insurance Act are specifically excluded from the Limitations Act ’s ambit: see Limitations Act , s. 19(1) and schedule. There is no such exclusion for claims under the contractual provisions mandated by s. 265. [84] This court is not free to depart from the Limitations Act simply because it may reflect poor policy. There is however a presumption against absurdity. [85] TTC Insurance claims the requirements of s. 5 of the Limitations Act may, at first glance, appear to create a seemingly undesirable outcome: The plaintiff could control the limitation period by delaying her demand to indemnify. Further, as noted above, the insurer need only indemnify the plaintiff if no other party is even 1% liable. TTC Insurance asserts that, if the limitation period on the plaintiff’s claim against the s. 265 insurer does not begin to run until the plaintiff demands indemnification, the plaintiff can delay bringing the claim against the insurer until after the tort action against other potentially liable parties has been determined. This could result in a multiplicity of proceedings, as TTC Insurance is permitted to defend liability on the request for indemnification under Regulation 676: Schedule, s. 4(1)(c). [86] However, the consequences of the limitation analysis must be considered harmoniously with the scheme of the Insurance Act as a whole. In this case, the requirements set out in s. 8(1) of the Schedule contained in Regulation 676 provide that: No person is entitled to bring an action to recover an amount provided for under the contract, as required by subsection 265 (1) of the [ Insurance Act ] unless the requirements of this Schedule with respect to the claim have been complied with. [87] Whether or not a party chooses to commence a claim against the insurer, insurers must be provided with knowledge of the underlying accident, as Regulation 676 and the Schedule are terms and conditions of the contract of insurance. Among other things, the Schedule requires a potential claimant for unidentified motorist coverage to provide the purported s. 265 insurer with: (a) a statement setting out the details of the accident including whether it was caused by an unidentified motorist and what damages were suffered within 30 days or as soon as practicable (s. 3); (b) written notice of the claim against the insurer and the circumstances thereof within 30 days or as soon as practicable (s. 6). [88] Read as a whole, therefore, the statutory scheme provides some safeguards against the threats identified by TTC Insurance. As Hoegg J.A. for the Newfoundland and Labrador Court of Appeal observed in Tucker v. Unknown Person , 2015 NLCA 21, 365 Nfld. & P.E.I.R. 307, leave to appeal refused, [2015] S.C.C.A. No. 250, at paras. 22-23, an insurer faced with a potential unidentified motorist claim may begin the limitation period by refusing to indemnify a s. 265 claimant after receipt of timely notice, as required by the regulation. In this manner, the insurer retains control of the limitation period. [89] Ms. Rooplal served her motion to add TTC Insurance as a defendant to the action on May 4, 2017, five years after the accident and three years after she commenced her claim against the TTC, the TTC driver, and her own insurer. [90] Although the two-year limitation period for her claim against TTC Insurance has not expired, it is not clear from the record whether Ms. Rooplal fulfilled the notice obligations set out in the Schedule contained in Regulation 676 and Ms. Rooplal’s compliance with those requirements is not before this court. SUMMARY AND DISPOSITION [91] Ms. Rooplal pleads that she is an insured under the TTC Insurance policy for unidentified motorist coverage pursuant to s. 265 of the Insurance Act . [92] Section 5 of the Limitations Act determines when a claim is discovered. It provides that a claim is discovered when the plaintiff knows or ought to know: (a) she has suffered a loss or injury, (b) by an act or omission that is, (c) “that of the person against whom the claim is made”, and (d) it is appropriate to commence a legal proceeding. [93] In her tort claim against the unidentified motorist “John Doe”, the unidentified owner “John Doe”, the TTC, and the TTC driver, Ms. Rooplal pleaded that “the incident was caused or contributed to by the negligence of the owner and/or operator of the [unidentified] Doe vehicle”. [94] If either the TTC or the TTC bus driver is in any way contributorily negligent for even 1% of her losses, Ms. Rooplal has no right to declaratory relief or indemnification from TTC Insurance. [95] Ms. Rooplal “discovers” her claim against TTC Insurance when she knows or ought to know that TTC Insurance did or omitted to do something that caused her loss or damage. The act or omission is the failure to indemnify her for the damage caused by the unidentified driver as required by the policy of insurance. [96] The public policy concerns expressed by TTC Insurance are addressed in the Schedule contained in Regulation 676 which requires an insured who commences a legal action for damages against any person owning or operating an automobile involved in the accident provide a copy of the writ of summons to the insurer and written notice of the claim within thirty days after the accident or as soon as is practicable after that date: Regulation 676, Schedule, ss. 5 and 6. The insurer is therefore apprised of the claim against unidentified motorist and can take appropriate steps to protect its interests in the proceeding. [97] For the above reasons, the limitation period has not expired and, as a result, I would dismiss the appeal. [98] In accordance with the agreement between the parties to this appeal, costs to the respondent Ms. Rooplal in the amount of $15,000 for the appeal on the merits in addition to $800 for the leave to appeal. Released: May 28, 2021 “P.R.” “J.A. Thorburn J.A.” “I agree. Paul Rouleau J.A.” “I agree. M.L. Benotto J.A.” CORRECTED DECISION Corrections made June 4, 2021: The title of proceedings was amended to include Novex Insurance Company as a respondent. Paragraph 9 was amended to indicate that Novex made no submissions on the appeal and para. 98 was amended to clarify that costs are payable only to the respondent Bibi Saffora Rooplal. Correction made July 5, 2021: Paragraph 98 was corrected to award costs of $800 to the respondent Ms. Rooplal for the leave to appeal, in accordance with the agreement between the parties. Correction made October 28, 2021: Paragraph 56 was amended to move the following sentence from the quotation to the paragraph: All of the necessary elements to establish a “cause of action” were established and as such, the action against the insurer, brought more than two years after the accident, was time-barred. [1] Prior to the enactment of Regulation 676 in 1990, the relevant regulation was R.R.O. 1980, Reg. 535. [2] Section 275 and the regulations permit the payor insurer to recover from the insurer of the other vehicle involved in the collision where that other vehicle is a heavy commercial vehicle at fault.
COURT OF APPEAL FOR ONTARIO CITATION: Ross v. Canada Trust Company, 2021 ONCA 161 DATE: 20210316 DOCKET: C67677 van Rensburg, Hourigan and Brown JJ.A. BETWEEN John Gordon Ross Responding Party (Appellant/Respondent by cross-appeal) and The Canada Trust Company, Executor and Trustee of the Estate of Sarah McMahon Grafton, deceased, Stewart Graeme Ross, James Grafton Ross and James Henry Ross Responding Parties (Respondents/ Appellants by cross-appeal ) Lisa S. Toner, for the appellant/respondent by cross-appeal Mark A. Radulescu, for the respondents/appellants by cross-appeal Jeramie Gallichan, for the respondent, The Canada Trust Company, Executor and Trustee of the Estate of Sarah McMahon Grafton, deceased Heard: November 18, 2020 by video conference On appeal from the judgment of Justice David A. Broad of the Superior Court of Justice, dated October 10, 2019. BROWN J.A.: I.        OVERVIEW [1] The issue on this appeal and cross-appeal is the interpretation of the provisions in the May 14, 1968 will of the late Sarah McMahon Grafton (the “Will”) regarding the disposition of her cottage property (the “Cottage Property”), which the estate trustee, The Canada Trust Company (“Canada Trust”), has sold. Sarah’s four surviving grandchildren, the ultimate beneficiaries under her Will of the proceeds of the Cottage Property’s disposition, disagree over how the Will directs the distribution of the proceeds. Canada Trust moved before the court for an interpretation of the Will. [2] The motion judge interpreted the Will as directing the proceeds be distributed equally amongst the four grandchildren of Sarah McMahon Grafton (“Sarah”) alive at the end of the life interests in the Cottage Property created by the Will: namely, the appellant, John Gordon Ross (“Gordon”), and his brothers, the respondents Stewart Graeme Ross (“Graeme”), James Grafton Ross (“Grafton”), and James Henry Ross (“James”). [3] Gordon appeals, submitting that the motion judge erred in his interpretation of the Will. Gordon argues that the proper interpretation of the Will requires the net proceeds from the Cottage Property be divided into five equal shares, with distribution of two of the five shares to him. As a result, Gordon would receive 40% of the net sale proceeds, instead of the 25% which would result from the motion judge’s decision, subject to the result in other litigation between Gordon and his brothers. [1] [4] The Respondents cross-appeal. While they agree with the motion judge’s judgment, they disagree with how he reasoned to his conclusion. [5] For the reasons set out below, I would dismiss the appeal and the cross-appeal. II.       THE FACTS [6] The material facts are not in dispute. The family [7] Sarah was an astute and successful businesswoman who first ran a chain of men’s apparel stores and then a real estate business. [8] Sarah had two daughters: Sarah Margaret Ross (“Margaret”) and Mary Elizabeth Grafton (“Mary”). [9] Margaret married and had 5 children: Sarah Mary Jane Ross (“Jane”); Gordon; Graeme; Grafton; and James. [10] Mary never married and had no children. [11] Sarah died in 1971. At the time of her death, all of Sarah’s grandchildren were alive. [12] In 1992, Jane unexpectedly died, intestate and without a spouse or issue. As a result, Jane’s mother, Margaret, and her father were the beneficiaries of Jane’s estate. Margaret’s husband died in 1997. Under Margaret’s will, her entire estate, including any residue in Jane’s estate, passed to Gordon. However, the Respondents are challenging the validity of that will. The Cottage Property [13] Sarah’s Cottage Property on Lake Rosseau was the family’s central gathering place. It was a focal point of Sarah’s life and she strove to make it a family compound. All of her grandchildren spent their summer vacations at the Cottage Property. [14] Sarah died in 1971. Under her Will, [2] her two daughters, Mary and Margaret, were given life interests in the Cottage Property. [15] Mary died in 2002, unmarried and without issue. [16] Margaret continued to use the Cottage Property following her sister’s death. Margaret was unable to meet her responsibility to pay the Cottage Property’s expenses. On April 19, 2013, Canada Trust, as estate trustee, obtained an order permitting the sale of the Cottage Property. The Cottage Property was sold in August 2013. Net proceeds of approximately $1.66 million were realized, from which Canada Trust paid certain Cottage Property expenses. The balance was held by Canada Trust in a Cottage Trust account. [17] Margaret died on December 15, 2015, and her life interest in the Cottage Property ended. As of the date of Margaret’s death, approximately $1.138 million remained in the Cottage Trust for distribution. [18] Canada Trust proposed to distribute the net sale proceeds equally to the four grandchildren of Sarah then alive. Gordon objected. In 2016, Canada Trust made interim distributions to the four surviving grandchildren of $200,000 each. [19] At the time Canada Trust moved before the court for an interpretation of the Will and directions, roughly $340,000 remained in the Cottage Trust. The Will [20] Clause 3(C) of the Will deals with Sarah’s Cottage Property. It is a lengthy clause. For ease of reference, I have taken the liberty of dividing the relevant parts of clause 3(C) into separate paragraphs, followed by the Will’s general residue provision, clause 3(I)(iii): Clause 3(C): To hold my [Cottage Property] [ ... ] during the lifetime of my daughter, MARY ELIZABETH GRAFTON, and to permit my said daughter, MARY ELIZABETH GRAFTON, to use and enjoy the cottage [ ... ] and further providing that my said daughter, SARAH MARGARET ROSS, may use and enjoy the cottage [ ... ] Upon the death of the survivor of my said daughters , MARY ELIZABETH GRAFTON and SARAH MARGARET ROSS, t o convey and transfer the said property to my grandchildren as joint tenants and not as tenants in common provided however failing unanimous agreement among my grandchildren to accept transfer of the property in their names as joint tenants and not as tenants in common my Trustees are directed to sell the property , but not to any of my grandchildren but to strangers and to hold the residue of the sale of the said property in trust for my said grandchildren in equal shares to be distributed to them in accordance with the provision of the residue to which my said grandchildren are entitled under Clause 3(I)(iii) of this Will. I further empower my Trustees should they in their absolute discretion deem advisable in the light of future events or circumstances not at this time determinable to sell such real property and to invest the proceeds and the income derived therefrom is to be paid equally to my daughters, MARY ELIZABETH GRAFTON and SARAH MARGARET ROSS, during their lifetime or all to the survivor and on the death of the survivor of my said daughters to hold the residue of the sale of such property in trust for my said grandchildren in equal shares to be distributed to them in accordance with the provision of the residue to which my said grandchildren are entitled under Clause 3(i)(iii) of this my Will . [Emphasis added.] Clause 3(I): To divide the rest and residue of my Estate into six equal parts to be dealt with as follows: (i)      To pay or transfer three of such equal parts to my daughter, the said MARY ELIZABETH GRAFTON (ii)      To pay two of such equal parts to my daughter, the said SARAH MARGARET ROSS (iii) To divide one of such equal parts among the issue of my daughter, the said SARAH MARGARET ROSS, living at my death, in equal shares per stirpes [21] No evidence was led on the motion from the file of the solicitor who drafted the Will. III.      THE REASONS OF THE MOTION JUDGE [22] Before the motion judge, the Respondents argued that the Will required the net proceeds of the sale of the Cottage Property to be divided amongst those grandchildren alive at the time of the sale of the Cottage Property. Since Jane had died prior to that event, the proceeds should be divided equally amongst the four surviving grandchildren. [23] In opposing his brothers’ position, Gordon argued that the proceeds should be distributed in accordance with clause 3(I)(iii) of the Will, which requires the residue of Sarah’s estate to be divided in a way that would include the issue of Margaret living at Sarah’s death “per stirpes”. That would include Jane and the beneficiaries of her estate, arguably Gordon. As a result, the net proceeds should be divided into five equal shares and then distributed, with two of the shares going to Gordon as the beneficiary of Margaret’s estate, which would include any interest of Jane in her grandmother’s estate. [24] The motion judge held that the Will, interpreted with the assistance of the “armchair rule”, disclosed that Sarah intended the net sale proceeds of the Cottage Property to benefit only those grandchildren alive at the end of the life interests of Sarah’s daughters, Mary and Margaret. [25] I propose to summarize the motion judge’s reasons in some detail as I intend to refer back to the summary when examining the grounds of appeal. In reaching his conclusion, the motion judge reasoned as follows: (i) Clause 3(C) of the Will provided that upon the death of the survivor of Sarah’s daughters, the Trustees were to convey the Cottage Property to Sarah’s grandchildren as joint tenants and not as tenants in common. Such a conveyance would only occur if the grandchildren unanimously agreed to accept the transfer “in their names”. The motion judge reasoned that this arrangement evidenced an intention that only Sarah’s grandchildren alive at the end of the daughters’ life interests could be the recipients of the conveyance. Consequently, the estate of a grandchild who had died prior to the end of the life interests could not hold an interest in the Cottage Property as a joint tenant: at para. 29; (ii) Clause 3(C) stipulated that if the grandchildren did not agree to accept transfer of the Cottage Property as joint tenants, the Cottage Property was to be sold to “strangers”, with the “residue of the sale of the said property” to be held in trust for “my said grandchildren” in equal shares. The “said grandchildren” were those alive at the end of the life interests: at para. 33; (iii) Clause 3(C) also empowered the Trustees in their absolute discretion to sell the Cottage Property in circumstances other than the death of the survivor of Mary and Margaret. In that case, the Trustees were to invest the proceeds in trust for her daughters during their lifetimes and, upon the death of the survivor of them, hold the “residue of the sale of such property” on the same trust as the “residue” resulting from a sale to a “stranger” after a failure of the grandchildren to agree to take title as joint tenants, namely for “my said grandchildren.” In the motion judge’s view, the use of the word “said” in reference to “my grandchildren” must be taken to refer to an earlier mention of “my grandchildren.” The use of the words “my grandchildren” immediately preceding the use of the phrase “my said grandchildren” was in reference to the prohibition of any conveyance to “any of my grandchildren” in the event that there was no unanimous agreement “among my grandchildren” to accept a transfer in their names as joint tenants. Accordingly, this referred only to those grandchildren alive at the end of the life interests: paras. 32 and 33; (iv) Most of the language in clause 3(C) evidenced that Sarah intended the beneficiaries of the trust of the “residue of the sale” of the Cottage Property following either a sale to a stranger or a sale by the Trustees in their discretion to be the grandchildren who survived the end of the life interests, which would not include Jane: at para. 34; (v) However, the motion judge found that the two references in clause 3(C) to clause 3(I)(iii) created an interpretative difficulty. One reference was located at the end of that part of clause 3(C) dealing with a sale to a stranger in the event the grandchildren refused to take as joint tenants; [3] similar language appeared at the end of clause 3(C) that dealt with a sale prior to the death of the last daughter; [4] (vi) Since clause 3(I)(iii) directed a division “among the issue” of Margaret “living at my [Sarah’s] death”, this would include Jane, who was alive when Sarah died but passed away prior to the end of the life interests: at paras. 35 and 36; (vii) A conflict therefore arose between the directions in clauses 3(C) and 3(I)(iii) in a situation where one of Sarah’s grandchildren had died after her but before the last to die of the life tenants. Consequently, the motion judge was unable to ascertain Sarah’s intention solely from the plain meaning of the language used in the Will: at paras. 28 and 37. [26] At this point, the motion judge applied the “armchair rule”, which calls on the court to put itself in the position of the testator when she made her Will, armed with the same knowledge that she had, based upon the evidence available: at para. 40. [27] As formulated by the motion judge, the proper question to ask was whether at the time Sarah made her Will, she intended to permit the beneficiaries of one or more deceased grandchildren, whoever they might be, including a spouse, to take an interest in the Cottage Property or its sale proceeds: at para. 42. Based on his review of the circumstances surrounding the creation of the Will, he concluded Sarah had not: at para. 46. [28] The motion judge directed that Canada Trust distribute the residue of the Cottage Trust amongst the four surviving grandchildren – the appellant and the Respondents – in equal shares: at para. 47. IV.     THE ISSUES [29] The appeal and cross-appeal raise two issues: (i) Did the motion judge err in resorting to the “armchair rule” in interpreting clauses 3(C) and 3(I)(iii) of the Will? (ii) Did the motion judge err by failing to apply the presumption of early vesting to the grandchildren’s interests in the Cottage Property? V.      STANDARD OF REVIEW [30] Relying on the 2004 decision of this court in Noik v. Noik (2004), 186 O.A.C. 104 (C.A.), Gordon submits that correctness is the proper standard of review for the interpretation of the language in a will. In Noik , this court stated at para. 5: I begin with several points of agreement between the parties. First they both say that the proper standard of review in this court is that of correctness. I agree since the central issue is the interpretation of the wording of the contested provision in the will. [31] The Respondents submit that the errors Gordon alleges the motion judge made involve questions of mixed fact and law, subject to review for palpable and overriding error. [32] In Alberta Giftwares Ltd. v. R ., [1974] S.C.R. 584, the Supreme Court stated that the legal effect to be given to the language employed in a will is a question of law. However, the court did so in the context of a more general statement that “in construing a will, deed, contract, prospectus or other commercial document, the legal effect to be given to the language employed, is a question of law …”: at p. 588.  In Sattva Capital Corp. v. Creston Moly Corp., 2014 SCC 53, [2014] 2 S.C.R. 633, the Supreme Court changed the standard of review for written contracts, adopting a deferential standard for the interpretation of the language in a written contract: at paras. 50-53. [33] Sattva was decided a decade after Noik. Sattva ’s deferential standard of review has been applied to the interpretation of a will by this court in Trezzi v. Trezzi , 2019 ONCA 978, 150 O.R. (3d) 663, at para. 15, the Court of Appeal of Manitoba in Zindler v. The Salvation Army et al. , 2015 MBCA 33, 319 Man. R. (2d) 16, at para. 10, and the Court of Appeal of Alberta in Hicklin Estate v. Hicklin , 2019 ABCA 136, 85 Alta. L.R. (6th) 1, at paras. 10 and 94-95. As this court stated in Trezzi , at para. 15: Just as the interpretation of a contract in light of its surrounding circumstances is now subject to review (absent an extricable error of law) only for palpable and overriding error, in my view, the same is true for the interpretation of a will in light of its surrounding circumstances. [34] Accordingly, the decision of this court in Trezzi has superseded that in Noik , in light of the decision of the Supreme Court in Sattva . VI.     FIRST ISSUE: THE APPLICATION OF THE ARMCHAIR RULE The issue stated [35] Both Gordon and the Respondents submit that the motion judge erred in finding that the directions in clauses 3(C) and 3(I)(iii) of the Will were irreconcilable and there was a need to resort to the “armchair rule”. In their view, Sarah’s intention can be discerned from her Will’s plain language, although they advance diametrically opposed interpretations of that language. The governing principles [36] When interpreting a will, a court’s task can be stated simply: it is to determine the testator’s actual or subjective intention as to how she intended to dispose of her property : Trezzi , at para. 13. [37] The basic approach to the construction of a will was described by this court in Burke (Re), [1960] O.R. 26 (C.A.), at p. 30: Each Judge must endeavour to place himself in the position of the testator at the time when the last will and testament was made. He should concentrate his thoughts on the circumstances which then existed and which might reasonably be expected to influence the testator in the disposition of his property. He must give due weight to those circumstances in so far as they bear on the intention of the testator. He should then study the whole contents of the will and, after full consideration of all the provisions and language used therein, try to find what intention was in the mind of the testator. When an opinion has been formed as to that intention, the Court should strive to give effect to it and should do so unless there is some rule or principle of law that prohibits it from doing so. [38] While a key element of Burke ’s approach to will interpretation is, of course, studying the document’s contents – not only the provisions in dispute but the entire will – its approach also includes the use of what is known as the “armchair rule”. Ian Hull and Suzana Popovic-Montag, Feeney’s Canadian Law of Wills , 4th ed. (Toronto: LexisNexis, 2020) at §§10.45 and 10.46, describes the “armchair rule” as follows: In the first instance, the court may not be convinced that the testator’s intention can be discerned from the will itself. In such a situation, since the testator must be taken to have used the language of the will in view of the surrounding circumstances known to him or her when he or she made his or her will, evidence of such circumstances is necessarily admissible, at least insofar as it corresponds to the facts and circumstances referred to in the will. It seems obvious that a court might conclude that admissible evidence of surrounding circumstances is not helpful in determining meaning. The court puts itself in the position of the testator at the point when he or she made his or her will, and, from that vantage point, reads the will, and construes it, in the light of the surrounding facts and circumstances. This approach is commonly referred to as the “armchair rule”. [39] Sitting in the place of the testator, the court assumes the same knowledge the testator had, at the time of making the will, in regard to the nature and extent of her assets, the makeup of her family, and her relationship to its members: Stuart v. Stuart , 2019 ONSC 4328, 49 E.T.R. (4th) 306, at para. 9; Dobson Estate v. Dobson (2000) , 32 E.T.R. (2d) 62 (Ont. S.C.), at para. 8; Shamas (Re) , [1967] 2 O.R. 275 (C.A.), at p. 279, citing Perrin v. Morgan , [1943] A.C. 399 (U.K. H.L.), at pp. 420-21. [40] In the past, courts usually have resorted to the “armchair rule” where the testator’s intention cannot be ascertained from the plain meaning of the will’s language: Dice v. Dice Estate , 2012 ONCA 468, 111 O.R. (3d) 407, at para. 37. [41] More recently, courts are treating the “armchair rule” as an over-arching framework within which a judge applies the various tools for will construction at his or her disposal. As put by the Court of Appeal of Manitoba in Zindler , at para. 14: Feeney’s [ Canadian Law of Wills ] concludes that “the most recent trend in Canadian cases seems to indicate that evidence of surrounding circumstances should be taken into account in all cases before a court reaches any final determination of the meaning of words” (at para. 10.54).  This is true even if the words, themselves, do not appear to be ambiguous or unclear Analysis [42] Both parties submit that the motion judge erred by resorting to the “armchair rule”, although they propose conflicting ways to rectify that error. I am not persuaded by their submissions. [43] First, the interpretative methodology applied by the motion judge was sound. He tried to discern Sarah’s intention from the plain meaning of the Will’s language. Finding himself unable to do so, he then took a step back to consider the “bigger picture” of the surrounding circumstances, applying the “armchair rule”. That methodology tracked the approach described by this court in Dice , at paras. 36-38. [44] Second, I am not persuaded by either party’s submission that the motion judge erred in perceiving an inconsistency, or irreconcilability, between clauses 3(C) and 3(I)(iii). [45] Gordon submits that no inconsistency exists because clause 3(C) contemplates two different scenarios. In the first, the Cottage Property remains unsold until Sarah’s surviving daughter dies; in the second, the trustees sell the Cottage Property before the surviving daughter dies. In the first scenario, the testator’s use of the words “said grandchildren” refers to grandchildren alive at the end of the daughters’ life interests; in the second, it refers to any grandchildren alive at the testator’s death. [46] For their part, the Respondents argue that Sarah’s specific direction to convey the Cottage Property to her grandchildren as joint tenants precludes the possibility that one of her grandchildren’s estates could hold an interest in the Cottage Property under either scenario advanced by Gordon. [47] I do not agree with either submission on the plain meaning of clause 3(C)’s language. As to Gordon’s submission, I agree with the motion judge’s reasoning, summarized above in paras. 25(i)-(iv), that apart from the two references in clause 3(C) to the general residue clause 3(I)(iii), the language used in the rest of the clause shows that Sarah intended the beneficiaries of the trust of the Cottage Property’s sale proceeds to be her grandchildren alive at the end of her daughters’ life interests. The testator’s first reference to “my grandchildren” in clause 3(C) is found in the direction to transfer the Cottage Property “to my grandchildren as joint tenants”. That direction is premised on a conveyance only to the grandchildren alive at the end of the daughters’ life interests, a point the motion judge noted that Gordon conceded: at para. 30. If those grandchildren will not all take as joint tenants, then the trustees are to sell the Cottage Property to a stranger, “not to any of my grandchildren”, which means those alive to take a conveyance as joint tenants. [48] The four subsequent references to grandchildren in clause 3(C) are to “my said grandchildren”: two are used in the scenario where the trustees must deal with the proceeds of a sale to a stranger following the death of the last daughter; the other two are used in the scenario where the trustees sell the Cottage Property before the death of the last daughter. All four of the references to “my said grandchildren” plainly refer back to the initial reference to “my grandchildren as joint tenants”, namely those alive at the end of the daughters’ life interests. [49] As to the Respondents’ submission, it fails to deal with the Will’s references in clause 3(C) to the distribution directions contained in clause 3(I)(iii), the general residue clause. Although Sarah gave discrete directions to her trustees in clause 3(C) about how to deal with the Cottage Property, as distinct from the rest of her estate, she resorted to her Will’s general residue clause to deal with the proceeds from any sale of the Cottage Property. The general residue clause directed the distribution of part of the residue “among the issue of my daughter, the said SARAH MARGARET ROSS, living at my death”. I agree with the motion judge that incorporating the distribution directions contained in the general residue clause, clause 3(I)(iii), within the specific provisions of clause 3(C) dealing with the Cottage Property, created a patent inconsistency. [50] Given that inconsistency, the motion judge resorted to the “armchair rule”, stating at paras. 43-46: The affidavit evidence filed by Gordon indicated that it was the Testator's wish that the Cottage Property stay in the family and she was emphatic that her grandchildren, and not their spouses, maintain control of it. It is evident from a review of para. 3(C) of the Will that the Testator, by directing that her grandchildren ultimately receive the Cottage Property as joint tenants and not as tenants in common, sought to ensure, to the extent possible, that it remain in her immediate family. The Testator’s desire to keep the Cottage Property in the family would be potentially frustrated if the estate of a deceased grandchild could receive an interest in it. There is nothing in the available evidence, and nothing to be discerned from the Will as drafted, that would support a finding that the Testator intended the estate of a deceased grandchild to receive an interest in the Cottage Property or in its proceeds of sale. To the contrary, I find from the available evidence and a review of the Will as drafted, that the Testator intended to so benefit only those grandchildren alive at the end of the life interests. [51] I see nothing in that reasoning that would justify appellate intervention. The motion judge’s conclusion does not reveal any palpable and overriding error and is well supported by the evidence. [52] Finally, the Respondents have advanced by way of a cross-appeal their complaint that the motion judge failed to rely solely on the plain meaning of the will. They do not cross-appeal the Judgment; they agree with it. Instead, they purport to cross-appeal from the motion judge’s reasons, contending that he erred in ruling that Sarah’s intent could not be determined having regard to the plain and ordinary meaning of the words in the Will. They seek a judgment that the Cottage Trust proceeds be divided into four equal shares “based on the Testator’s intent as determined from the plain and ordinary meaning of the words in the Will.” [53] The Respondents’ cross-appeal reflects a misunderstanding of the nature of an appeal. As s. 6(1)(b) of the Courts of Justice Act , R.S.O. 1990, c. C.43, states, an appeal lies to this court from a “final order” of a judge of the Superior Court of Justice, save for orders from which appeals lie to the Divisional Court. The authorities are clear: an appeal lies from the order or judgment, not the reasons for them: R. v. Sheppard , 2002 SCC 26, [2002] 1 S.C.R. 869, at para. 4. This important distinction is explained succinctly in John Sopinka, Mark Gelowitz & W. David Rankin, Sopinka and Gelowitz on the Conduct of an Appeal , 4th ed. (Toronto: LexisNexis, 2018), at § 1.11: It is a fundamental premise in the law of appellate review that an appeal is taken against the formal judgment or order, as issued and entered in the court appealed from, and not against the reasons expressed by the court for granting the judgment or order. Although the appellate court will frequently discover in the reasons for judgment errors of law that ultimately ground the reversal of the judgment or order, it is the correctness of the judgment or order that is in issue in the appeal, and not the correctness of the reasons. [54] Accordingly, the Respondents’ cross-appeal is misconceived and without merit. It was open to the Respondents to take issue with the reasoning of the motion judge in their factum, while making the point that the alleged error in reasoning did not taint the motion judge’s ultimate conclusion. [55] For these reasons, I would not accede to this ground of appeal. VII.    SECOND ISSUE: THE PRESUMPTION OF EARLY VESTING The issue stated [56] In his factum, Gordon raises an issue not set out in his notice of appeal. He contends that the motion judge failed to apply the “presumption of early vesting” to determine when the grandchildren’s interests in the cottage vested. According to Gordon, had he done so, the motion judge should have concluded that the Cottage Property vested in the grandchildren alive at Sarah’s death because when a gift made in a will is deferred due to a life interest given to another person, vesting takes place at the death of the testator. Analysis [57] The law presumes that a testator intends for interests to vest at his or her death or at the earliest moment thereafter as is consonant with the terms of the will: Albert H. Oosterhoff et al., Oosterhoff on Wills, 8th ed. (Toronto: Thomson Reuters, 2016), at §17.3.2. An instance of the application of this presumption, upon which Gordon relies, is where there is a direction to pay the income of a fund to one person during his lifetime and to divide the capital among certain other named and ascertained persons on his death, even though there are no direct words of gift either of the life interest or of the capital. In those circumstances the rule is that vesting of the capital takes place in the remaindermen at the time of the testator’s death : Browne v. Moody , [1936] O.R. 422 (U.K. P.C.), at p. 427. [58] However, the presumption of early vesting is just that – a presumption. Like any presumption, it may be displaced by a finding regarding the actual intention of the testator as reflected in her will. As put in Feeney’s Canadian Law of Wills , at §§17.7 and 17.8: The courts are inclined to hold a gift as vested rather than contingent wherever the particular words used, and the will as a whole, admit of a construction that will result, as is said, in “early vesting”. That inclination has always been said to be particularly strong where the property is land. It is accurate to refer to the tendency of courts to call gifts “vested” as a presumption to that effect, so it can be said that gifts are to be held to be vested unless there is a clear condition precedent. Accordingly, a gift, whether a devise or a legacy, that makes no reference to the time of vesting should always be held to take effect at the testator’s death, unless that date of vesting would disturb provisions already made in the will, or unless the will, as a whole, evinces a clear intention that the gift operate contingently and at a later date. The recent trend of jurisprudence has been to strive to establish and implement the actual intentions of the will-maker. Consequently, the presumption in favour of early vesting as well as any other “rules” of construction may be applied only if the courts have some doubt about the will-maker’s intention. [59] The reasons of the motion judge disclose that he understood Gordon was arguing that Sarah’s gift of the Cottage Property vested in all her grandchildren, including Jane, who were alive at Sarah’s death, whereas the Respondents were contending that the words used by Sarah in her Will indicated an intent to postpone the vesting of the grandchildren’s interest until the death of the last life tenant: at paras. 19 and 26. In the result, after applying the “armchair rule”, the motion judge found that Sarah did not intend the estate of any grandchild who died after her and prior to the end of the daughters’ life interests to receive an interest in the Cottage Property or the proceeds of its sale. Central to that conclusion was the motion judge’s finding that Sarah desired to keep the Cottage Property in the family, a desire that potentially would be frustrated if the estate of a deceased grandchild could receive an interest in it: at para. 45. That finding rested heavily on the language of clause 3(C) that the grandchildren receive the Cottage Property as joint tenants, not tenants in common: at para. 44. Given the motion judge’s certainty about Sarah’s intention, there was no need for the motion judge to resort to the presumption of early vesting. [60] For these reasons, I am not persuaded by this ground of appeal. VIII.   DISPOSITION [61] For the reasons set out above, I would dismiss the appeal and cross-appeal. [62] In accordance with the agreement of the parties, Gordon shall pay the Respondents their costs of the appeal fixed in the amount of $15,000, inclusive of disbursements and applicable taxes. Released: March 16, 2021 “K.M.v.R.” “David Brown J.A.” “I agree. K. van Rensburg J.A.” “I agree. C.W. Hourigan J.A.” [1] Gordon and his brothers are engaged in litigation regarding their mother’s will. [2] Sarah made three codicils to the Will: June 21, 1968; February 24, 1970; and September 14, 1970. Their provisions do not play a role in this case. [3] “[T]o hold the residue of the sale of the said property in trust for my said grandchildren in equal shares to be distributed to them in accordance with the provision of the residue to which my said grandchildren are entitled under Clause 3(I)(iii) of this Will.” [4] “[T]o hold the residue of the sale of such property in trust for my said grandchildren in equal shares to be distributed to them in accordance with the provision of the residue to which my said grandchildren are entitled under Clause 3(i)(iii) of this my Will.”
COURT OF APPEAL FOR ONTARIO CITATION: Royal Bank of Canada v. 1643937 Ontario Inc., 2021 ONCA 98 DATE: 20210219 DOCKET: C67540 Doherty, Roberts and Harvison Young JJ.A. BETWEEN Royal Bank of Canada Plaintiff (Respondent) and 1643937 Ontario Inc. , Lorraine MacDonald , Shawn McHale, Patrick McHale , and Beverly McHale Defendants ( Appellants ) Jonathan C. Lisus and Zain Naqi, for the appellants J. Ross Macfarlane, for the respondent Heard: November 25, 2020 by video conference On appeal from the judgment of Justice Heather J. Williams of the Superior Court of Justice, dated September 16, 2019, with reasons reported at 2019 ONSC 5145, and from the costs order, dated January 2, 2020, with reasons reported at 2020 ONSC 44. Roberts J.A.: A. OVERVIEW [1] The appellants, Lorraine MacDonald, Patrick McHale, and Beverly McHale, appeal from the judgment for the payment of monies owing under the personal guarantees they provided to the respondent, the Royal Bank of Canada, following their competing motions for summary judgment. [2] At the commencement of oral submissions, the appellants abandoned their appeal from the motion judge’s dismissal of their counterclaims and further narrowed the issues on appeal. [3] The issue put forward by the appellants on this appeal was: did the motion judge err in granting the respondent’s motion for summary judgment because there was no genuine issue requiring a trial about the scope of the appellants’ liability to the respondent under their personal guarantees? The appellants submit that there was a genuine issue requiring a trial, as the respondent misrepresented to them that their liability under their personal guarantees was joint and several with a collective exposure limited to $600,000. [4] For the reasons that follow, I agree that the motion judge erred and would remit for trial the narrow issue of determining the amount that each appellant owes to the respondent under their respective personal guarantees. B. Background (1) Facts [5] The appellants provided personal guarantees as security for several million dollars in loan advances made by the respondent to Ottawa Valley Glass Enterprises Ltd., later named OVG Inc. (“OVG”), a family business in which the appellants had been directors and shareholders. Ms. MacDonald (whose husband, Jack MacDonald, founded and then sold his shares in and retired from the business), Shawn and Patrick McHale are siblings. Patrick and Beverly McHale are spouses. Ms. MacDonald resigned as a director of OVG in 2006 and sold her shares to her siblings, Patrick and Shawn, in 2006 and 2011, respectively. Although they held 51 percent of the shares in OVG, Patrick and Beverly McHale had relatively little involvement with OVG. Shawn McHale actually operated the business. [6] The appellant’s personal guarantees came about after Shawn McHale approached the respondent with a request for new financing. On September 28, 2007, the respondent offered a credit facility in the amount of $1,000,000. As security for the loan, the respondent required a general security agreement over OVG’s assets, together with a personal guarantee and postponement of claim in the amount of $300,000, signed by Ms. MacDonald on October 10, 2007, as well as a postponement and assignment of claims in favour of the respondent from each of Shawn, Patrick, and Beverly McHale, which they executed around the same time. [7] In the fall of 2008, Shawn McHale requested and obtained a further increase to OVG’s operating line of credit from $1,000,000 to $1,500,000. The respondent and OVG entered into a new credit facilities letter, dated December 9, 2008. At the request of the respondent, Shawn McHale executed a personal guarantee in the amount of $600,000 on December 11, 2008, and Patrick and Beverly McHale executed personal guarantees in the amount of $600,000 on December 15, 2008. Ms. MacDonald did not sign a new personal guarantee. [8] OVG struggled financially and began to default on its loan obligations to the respondent in the fall of 2012. In January 2013, the respondent proposed a forbearance agreement with stringent conditions that was rejected by OVG and the appellants. On February 12, 2013, the respondent demanded payment from OVG under its various loan agreements and from the appellants under their personal guarantees. [9] As a result of the respondent’s demand, on February 22, 2013, OVG filed a notice of intention to make a proposal under the Bankruptcy and Insolvency Act , R.S.C. 1985, c. B-3. In an attempt to restructure OVG, between February and December 2013, Patrick McHale indicated that he and his wife, Beverly, invested $1,958,498 of their own money into OVG. The restructuring did not succeed. On December 12, 2013, OVG made an assignment into bankruptcy. (2) Court Proceedings [10] The respondent brought an action to recover over $3 million owing under the guarantees of OVG’s indebtedness. Patrick and Beverly McHale counterclaimed, alleging the respondent improvidently realized on OVG’s assets, thereby triggering the bankruptcy of OVG. Shawn McHale made an assignment into bankruptcy, and the respondent’s action was stayed against him. Examinations for discovery were held. The parties brought competing motions for summary judgment. In support of its motion, the respondent filed the affidavit of its manager in the department of Special Loans and Advisory Services, Peter Gordon. Ms. MacDonald, Patrick, and Shawn McHale filed affidavits. No cross-examinations on the affidavits were held, but the parties relied on the transcripts from the various discovery examinations. [11] On her examination for discovery, dated December 15, 2015, Ms. MacDonald deposed that she believed she signed her personal guarantee in the presence of Kevin Bossy, an account manager with the respondent. Although she could not remember during her examination the conversations she had with Mr. Bossy, she said it had always been her understanding that the personal guarantee she signed in 2007 was joint and several and thereby limited to $300,000 with Shawn, Patrick, and Beverly McHale, and that she did not sign an increased guarantee to $600,000 in 2008 because, by then, she had left OVG and disposed of the majority of her shares. [12] Shawn McHale’s examination for discovery occurred on December 14, 2015. His understanding was that the personal guarantees were for a total of $600,000, although he could not recall the bank representative telling him whether they were joint and several or individual guarantees. He deposed that he was told that the guarantees could be signed in counterpart and would still be binding, which informed his assumption that the guarantees were joint and several. He also relied on the language in the guarantee that “the undersigned and each of them (if more than one) hereby jointly and severally agree(s) with the bank as follows”. He believed the guarantees were joint and several among him, Patrick, and Beverly McHale because of the language of the guarantee that said the guarantees were joint and several and could be signed in counterparts. In his affidavit, sworn on November 5, 2017, Shawn McHale stated the following, at para. 13: Again, based on discussions I had with Mr. Bossy of the [respondent’s] Renfrew branch, I understood that the total liability under the Replacement Guarantees [was] limited to $600,000 joint and severally between Pat, Bev, and I. Lorraine [MacDonald] never signed the document. This understanding is reflected in OVG’s financial statements for year-end March 31, 2009 and all subsequent year-ends. [13] On his examination for discovery, dated December 14, 2015, Patrick McHale testified that he signed his guarantee in a Tim Horton’s restaurant where he met the respondent’s representative. He said he understood the guarantee was for a total indebtedness of $600,000 as between him and his wife, Beverly, and that the respondent’s representative told them it was for $600,000. They were never told anything different than that, and if they had been told otherwise, they would not have signed the guarantees. In his affidavit, sworn on November 3, 2016, Patrick McHale stated the following, at para. 11: Based on information provided and representations made by Mr. Kevin Bossy of the [respondent], it was my understanding and belief that my personal liability under the Replacement Guarantee was joint and several with my wife Bev, Shawn and Lorraine. I understood and believed that the collective maximum personal exposure against all of us was $600,000 and not $600,000 each, as the [respondent] is claiming. [14] Beverly McHale deposed during her examination for discovery, held on December 14, 2015, that she and Patrick met with Mr. Bossy or his successor, “Milton”, at a Tim Horton’s restaurant to sign the guarantee. She understood that the $600,000 guarantee was a total amount shared by Patrick, Shawn, and her, and that it was never explained to them that it would be $600,000 for each of them. Unlike Patrick and Shawn McHale, and Ms. MacDonald, Beverly McHale did not file an affidavit on the motions for summary judgment. [15] The respondent filed no affidavit from Mr. Bossy in response to the appellants’ evidence concerning their understanding of the scope of liability under their personal guarantees and their discussions with the respondent’s representatives. The respondent did not cross-examine Ms. MacDonald, Patrick, or Shawn McHale on their affidavits. (3) The Motion Judge’s Reasons [16] The motion judge held that there was no genuine issue requiring a trial in respect of the validity and enforceability of the personal guarantees and that they were valid and enforceable. She rejected the appellants’ allegations that the respondent, through its employee, Mr. Bossy, who was the account manager for their bank accounts, had misrepresented the scope of the liability under their personal guarantees, which they maintained was joint and several with a collective exposure limited to $600,000. [17] At paras. 55-56 of her reasons, the motion judge explained why she rejected the appellants’ allegations of misrepresentation: There is no evidence to suggest that any of these circumstances [of non est factum , unconscionability, fraud, misrepresentation, or undue influence] existed in this case. Although [Patrick] said in his affidavit that Mr. Bossy of [the respondent] had made representations that left [Patrick] with the understanding and belief that his $600,000.00 liability under the guarantee was shared with his wife and his brother, I cannot accept that Mr. Bossy made any misrepresentations to this effect to [Patrick]. [Patrick] provided no particulars of what Mr. Bossy said to him. [Patrick] did not give evidence at his examination for discovery that he had relied on any representations made by Mr. Bossy and there was no evidence that [Patrick] had ever corrected his examination for discovery evidence. [Patrick’s] evidence about Mr. Bossy was not corroborated by [Beverly], who signed her guarantee at the same time and who had an opportunity to file an affidavit in response to [the respondent’s] motion and in support of her own but did not do so. [18] The motion judge went on to determine that even if she had accepted the appellants’ allegations of misrepresentation, the entire agreement clause contained in para. 13 of the guarantees precluded the appellants from relying on any representations that were not set out in the guarantees themselves. [19] Further, having rejected the allegations of misrepresentation, the motion judge did not accept the appellants’ argument that their liability was shared, given that each of the appellants signed a separate guarantee that made no reference to a guarantee or guarantees signed by anyone else, and that para. 9 of the guarantees provided that each guarantee was “in addition to and not in substitution for any other guarantee, by whomsoever given”. [20] The motion judge allowed the respondent’s motion for summary judgment and granted judgment to the respondent against Ms. MacDonald in the amount of $300,000, Patrick McHale in the amount of $600,000, and Beverly McHale in the amount of $600,000, plus prejudgment and postjudgment interest. [1] The motion judge found that Patrick and Beverly McHale’s counterclaims of improvident realization of OVG’s assets was an alleged wrong to OVG that they had no capacity to assert. She therefore dismissed the counterclaims. She ordered that the appellants jointly and severally pay costs to the respondent on a substantial indemnity basis in the all-inclusive amount of $84,490.38. C. The parties’ positions [21] The appellants submit that the motion judge erred in granting summary judgment against the appellants in the total amount of $1,500,000, plus interest. They do not challenge that the loan advances were made, and they concede some indebtedness to the respondent under their personal guarantees. However, they say that the motion judge erred in failing to find that there was a genuine issue requiring a trial as to whether the respondent misrepresented the scope of the appellants’ liability under their personal guarantees. The appellants maintain that their total joint and several liability under the guarantees is limited to $600,000. They argue that the motion judge’s reasons are insufficient, as she did not direct herself to key pieces of evidence. Further, they argue that she failed to recognize that summary judgment was not appropriate for this issue, as the record before her contained real credibility issues that required careful study. As such, some form of oral hearing was required to determine this issue and make the required credibility findings. [22] The respondent argues that the motion judge made no error, as she based her decision on the clear wording of the personal guarantees signed by the appellants. According to the respondent, the appellants failed to put their best evidentiary foot forward. As such, their evidence about misrepresentations made by the respondent to the appellants was simply insufficient and not accepted by the motion judge. The appeal should therefore be dismissed. D. Analysis (1) The Framework for Summary Judgment [23] At the heart of this appeal is the motion judge’s approach to summary judgment and, specifically, her treatment of the evidence and record before her. Absent an error of law, a misdirection, or the creation of an injustice through a decision that is clearly wrong, a motion judge’s determination of these questions is generally entitled to considerable deference on appeal: Hryniak v. Mauldin , 2014 SCC 7, [2014] 1 S.C.R. 87, at paras. 81-84. However, here, appellate intervention is required, as the motion judge fell into error and misdirected herself because she failed to determine whether summary judgment was appropriate, having regard to the entire evidentiary record and the Hryniak analytical framework. [24] This determination required the motion judge to follow the analytical approach set out in Hryniak , at para. 66, which is summarized as follows: 1. First, the motion judge should have determined if there was a genuine issue requiring a trial based only on the evidence before her, without using the enhanced fact-finding powers under r. 20.04(2.1) of the Rules of Civil Procedure , R.R.O. 1990, Reg. 194. 2. Second, if there appeared to be a genuine issue requiring a trial, the motion judge should have determined if the need for a trial could be avoided by using the enhanced powers under r. 20.04(2.1) – which allowed her to weigh evidence, evaluate the credibility of a deponent, and draw any reasonable inference from the evidence – and under r. 20.04(2.2) to order that oral evidence be presented by one or more parties. [25] While summary judgment is an important tool for enhancing access to justice and achieving proportionate, timely, and cost-effective adjudication, there is no imperative on the court to use it in every case: Trotter Estate , 2014 ONCA 841, 122 O.R. (3d) 625, at para. 49; Lesenko v. Guerette , 2017 ONCA 522, 416 D.L.R. (4th) 349, at para. 30. As affirmed by the Supreme Court in Hryniak , at para. 28, the overarching goal remains to have “a fair process that results in a just adjudication of disputes.” [26] Indeed, notwithstanding the parties’ agreement that the action and counterclaims could be determined by summary judgment, it is still incumbent on the motion judge to decide whether it is appropriate to grant summary judgment: Rules of Civil Procedure , r. 20.04(2)(b). [27] In determining whether summary judgment is appropriate, motion judges are required to engage with the Hryniak analytical framework process, as described above, look at the evidentiary record, determine whether there is a genuine issue requiring a trial, and assess, in their discretion, whether resort should be taken to the enhanced powers under rr. 20.04(2.1) and (2.2) of the Rules of Civil Procedure . To do otherwise runs the risk that, in an effort to dispose of a case in a summary fashion, motion judges will not properly analyze the evidence: Trotter , at para. 49. Unfortunately, that is what occurred here. (2) The Motion Judge’s Approach [28] The motion judge’s sole brief self-direction about the applicable analytical framework appears at para. 5 of her reasons: Rule 20.04(2) of the Rules of Civil Procedure provides that the court shall grant summary judgment if it is satisfied that there is no genuine issue requiring a trial with respect to a claim or defence. A trial is not required if a summary judgment motion can achieve a fair and just adjudication, if the process allows the judge to make the necessary findings of fact and apply the law to those facts and if the motion is a proportionate, more expeditious and less expensive means to achieve a just result. [29] It was, of course, unnecessary for the motion judge to recite verbatim the applicable principles from Hryniak , so long as she applied them throughout her decision. However, her reasons do not demonstrate that she did. The motion judge did not set out an adequate analysis leading to her conclusion at para. 100(1) that “there is no genuine issue requiring a trial in respect to the validity and enforceability of the guarantees.” [30] In order to come to this conclusion, the motion judge was required to analyze the entirety of the evidentiary record before her and determine whether there was a genuine issue requiring a trial with respect to the appellants’ allegations of misrepresentation and, if so, whether the need for a trial could be avoided by using the enhanced powers under rr. 20.04(2.1) and (2.2) of the Rules of Civil Procedure . Unfortunately, she failed to do so. [31] Specifically, the motion judge’s reasons do not adequately explain why she rejected the appellants’ unchallenged evidence that, if accepted, would support their allegation of misrepresentation, particularly in the absence of any evidence to the contrary by the respondent. The appellants’ and Shawn McHale’s unequivocal and unchallenged evidence was that they gave their guarantees on the understanding that their total obligation was $600,000, joint and several, and that this understanding came from the guarantees themselves and discussions with the respondent’s representatives. Further, according to Shawn McHale’s affidavit, at para. 13, the understanding of the appellants was recorded in the year-end financial statements of OVG. While Mr. Gordon gave evidence regarding his interpretation of the guarantees in an examination for discovery, dated September 21, 2015, he was unable to indicate whether the liability was properly explained to the appellants, as he said the account manager would possess that information. [32] The motion judge failed to reference Shawn McHale’s evidence, and her apparent rejection of the evidence given by Patrick and Beverly McHale was conclusory and in part appears to be based on a misapprehension of their evidence. Other than the guarantee documents and the evidence of Mr. Gordon, the respondent filed no other evidence challenging the appellants’ and Shawn McHale’s understanding of the scope of the guarantees, nor were Patrick and Shawn McHale, or Ms. MacDonald cross-examined on their affidavits. The motion judge failed to address this absence of evidence. [33] With respect to Patrick McHale’s evidence, while the motion judge was entitled to reject it, she erred by failing to provide adequate reasons for doing so. Notably, she failed to explain why she labelled Patrick McHale’s evidence as lacking particularity and why her observation that certain particulars from his affidavit were not mentioned on his examination for discovery apparently led her to reject his unchallenged evidence. The motion judge’s concerns about Patrick McHale’s evidence that she did identify, as noted above at para. 17 of these reasons, were not sufficient to reject his evidence out of hand, especially given he had not been cross-examined on his affidavit and there was evidence that, if accepted, could corroborate his evidence. Moreover, his evidence was not speculative and provided some particulars of his dealings with the respondent that were corroborated by his brother and wife. [34] However, even if the motion judge did not err in rejecting Patrick McHale’s evidence, she was required to go beyond it and assess it together with the other evidence in the record that, if accepted, would support the appellants’ version of events and corroborate Patrick McHale’s evidence. She failed to do so. [35] Notably, Shawn McHale’s evidence was that the respondent had misrepresented the nature of the guarantees and indicated the guarantees could be signed in counterparts, and that the appellants’ understanding was reflected in OVG’s year-end financial statements. Similarly, while Beverly McHale did not file an affidavit on the motions, the parties relied on her discovery transcript in which she provided some corroboration of her husband’s evidence concerning the place of the meeting with the respondent’s representative and the appellants’ understanding of the scope of their liability under their guarantees as a result of discussions with the respondent’s representative. The motion judge’s reasons are silent with respect to Shawn McHale’s evidence and do not explain why she determined that Beverly McHale’s evidence did not corroborate her husband’s evidence. [36] Simply put, if the motion judge rejected Shawn McHale’s evidence, she was required to give her reasons. Given that Beverly McHale’s examination for discovery did corroborate her husband’s evidence in some particulars, the motion judge erred by stating that it did not, without explaining why it did not. It was not necessary for Beverly McHale to repeat her evidence in an affidavit, as the motion judge appears to suggest. [37] While each piece of evidence by itself may not have been sufficient to establish the appellants’ allegations of misrepresentation, the motion judge was required to consider the evidence as a whole to determine whether, in all of the circumstances of the case, based on the entire record before her, she was able to determine the material issues in dispute without requiring a trial. She failed to do so. [38] As part of this balancing exercise that she was required to undertake, the motion judge further erred in failing to address the absence of evidence by the respondent to challenge the appellants’ affidavits and transcripts. Rather, in evaluating Patrick McHale’s evidence, she simply stated that she could not accept that Mr. Bossy had made the misrepresentations to Patrick. This was an error. In this case, the respondent’s choice not to cross-examine Patrick or Shawn McHale or Ms. MacDonald on their respective affidavits, and not to tender evidence in response to the appellants’ evidence of misrepresentation, ought to have been taken into consideration by the motion judge before she rejected the appellants’ evidence and accepted the respondent’s position on the key disputed factual issues: 2212886 Ontario Inc. v. Obsidian Group Inc. , 2018 ONCA 670, 83 B.L.R. (5th) 186, at para. 49, leave to appeal refused, [2018] S.C.C.A. No. 391. [39] Since the evidence adduced by the appellants was capable of supporting an allegation of misrepresentation and was unchallenged by the respondent in cross-examination, it was incumbent upon the motion judge to explain why she rejected the evidence: Neuberger v. York , 2016 ONCA 191, 129 O.R. (3d) 721, at para. 124, leave to appeal refused, [2016] S.C.C.A. No. 207; Trotter , at para. 54; Lesenko , at para. 19. Her conclusory statements were insufficient. While she recited the evidence, she did not weigh it, evaluate it, or make findings of credibility as she was required to do in this case. She could not simply prefer one position over another without providing an explanation that is sufficient for appellate review: Gordashevskiy v. Aharon, 2019 ONCA 297, at para. 6. [40] Rather, s he was required to undertake a credibility analysis pursuant to the expanded judicial powers under r. 20.04(2.1) of the Rules of Civil Procedure to weigh the evidence, evaluate the credibility of the appellants’ deponents, and draw reasonable inferences: Trotter , at para. 54. Further, if the motion judge determined she could not assess credibility solely on the written record, she should have considered whether oral evidence or a trial were required: Trotter , at para. 55. [41] While summary judgment may have been appropriate had the motion judge carried out the requisite analysis under r. 20.04(2.1) of the Rules of Civil Procedure and exercised her powers to hear oral evidence pursuant to r. 20.04(2.2), she did not seek to do so. [42] I agree that fairness requires a trial of the narrow issue framed by the appellants before another judge of the Superior Court of Justice. [43] While not pressed in argument by the parties, for the purposes of the trial of the narrow issue, it is important to address the motion judge’s related alternative conclusion. As earlier noted, the motion judge concluded that even if she had found that the respondent had made the alleged misrepresentations to the appellants, the effect of the entire agreement clause in the personal guarantees precluded the appellants from relying on any such representations that were not set out in the guarantees themselves. In my view, this conclusion was erroneous. It is well-established that the defence of misrepresentation is not precluded or diminished by reason only of the existence of an entire agreement clause: Bank of Nova Scotia v. Zackheim (1983), 3 D.L.R. (4th) 760 (Ont. C.A.), at pp. 761-62; Beer v. Townsgate I Ltd. (1997), 152 D.L.R. (4th) 671 (Ont. C.A.), at paras. 25-32, leave to appeal refused, [1997] S.C.C.A. No. 666. I would not uphold the motion judge’s finding on this issue. E. Disposition [44] I would allow the appeal and set aside paras. 1, 3 and 4 of the motion judge’s judgment, dated September 16, 2019, and the costs order, dated January 2, 2020. However, for greater certainty, I would not disturb the motion judge’s conclusions at paras. 100 1. and 2. of her reasons that there is no genuine issue requiring a trial in respect of the validity and enforceability of the appellants’ personal guarantees and that the guarantees are valid and enforceable. [45] The narrow issue requiring a trial is the scope of the appellants’ liability under their personal guarantees, having regard to the appellants’ allegations of misrepresentations that they say were made by the respondent. [46] As agreed in oral submissions, I would allow the appellants their partial indemnity costs of the appeal in the amount of $15,000, which is inclusive of disbursements and applicable taxes. [47] I would also direct that if the parties cannot agree on the disposition of the costs before the motion judge, they should forward brief written submissions of no more than two pages, plus a costs outline, within seven days of the release of these reasons. Released: February 19, 2021 (“D.D.”) “L.B. Roberts J.A.” “I agree. Doherty J.A.” “I agree. Harvison Young J.A.” [1] Judgment was also granted against 1643937 Ontario Inc., however, it did not appeal the judgment or take any position on the appeal.
COURT OF APPEAL FOR ONTARIO CITATION: Royal Bank of Canada v. 1643937 Ontario Inc., 2021 ONCA 178 DATE: 20210322 DOCKET: C67540 Doherty, Roberts and Harvison Young JJ.A. BETWEEN Royal Bank of Canada Plaintiff (Respondent) and 1643937 Ontario Inc. , Lorraine MacDonald , Shawn McHale, Patrick McHale , and Beverly McHale Defendants ( Appellants ) Jonathan C. Lisus and Zain Naqi, for the appellants J. Ross Macfarlane, for the respondent Heard: in writing On appeal from the judgment of Justice Heather J. Williams of the Superior Court of Justice, dated September 16, 2019, with reasons reported at 2019 ONSC 5145, and from the costs order, dated January 2, 2020, with reasons reported at 2020 ONSC 44. COSTS ENDORSEMENT [1] On February 19, 2021, we allowed the appeal in part from the dismissal of the appellants’ action with costs to the appellants of $15,000 as agreed by the parties. With respect to the appellants, we set aside the $84,490.38 costs award that was granted by the motion judge to the respondent jointly and severally against the appellants and 1643937 Ontario Inc. We remitted for trial the narrow issue of the scope of the appellants’ liability under their personal guarantees, having regard to the appellants’ allegations of misrepresentations that they say were made by the respondent. We otherwise dismissed the appeal. [2] The parties have not reached an agreement on the disposition of the costs from their respective motions for summary judgment. We invited the parties to provide brief written submissions, plus costs outlines, which they have delivered, and we have reviewed. [3] The appellants seek partial indemnity costs on the motions in the amount of $30,000. The respondent submits that it is entitled to its costs on the motions in the amount of $37,500, less the $15,000 appeal costs award granted to the appellants. The respondent says that the balance of the costs of the action to‑date should be reserved to the trial judge. [4] The disposition of the costs on the motions and the action to-date should be reserved to the trial judge. While the appellants prevailed on the narrow issue remitted for trial, the motions below also concerned several other issues, including the appellants’ counterclaims, that were not pursued on appeal. The trial judge will be best placed to assess these costs in the context of the final disposition of the action. [5] Accordingly, we order that the costs on the parties’ respective motions for summary judgment and the action to-date are reserved to the trial judge. [6] In response to the respondent’s inquiry, we clarify that the motion judge’s $84,490.38 costs order was set aside in relation to the appellants only but still stands as against 1643937 Ontario Inc. [7] The respondent has invited us to revisit paragraph 44 of our reasons. We see no basis to do so. “Doherty J.A.” “L.B. Roberts J.A.” “A. Harvison Young J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: Royal Bank of Canada v. Azkia, 2021 ONCA 89 DATE: 20210212 DOCKET: C67753 Rouleau, Benotto and Thorburn JJ.A. BETWEEN Royal Bank of Canada Plaintiff/Defendant to Counterclaim (Respondent) and Baharak Azkia, Diana Nekonam and Nader Zanddizari also known as Nader Zand Defendants/Plaintiffs by Counterclaim (Appellants) Hossein Niroomand, for the appellants Jeffrey Kukla, for the respondent Heard: February 3, 2021 by videoconference On appeal from the order of Justice Markus Koehnen of the Superior Court of Justice, dated November 11, 2019, with reasons reported at 2019 ONSC 5894. REASONS FOR DECISION The order sought [1] This is an appeal of the order: a) granting summary judgment in favour of the respondent, Royal Bank of Canada (“RBC”) in three separate actions, and ordering payment of the sums owing by the plaintiffs to RBC; b) dismissing the appellants’ counterclaim in one action; c) granting RBC possession of the premises; and, d) vacating the certificates of pending litigation (“CPLs”) on the two properties at 56 Hawksbury Drive and 326 St. Clements Avenue (“the two properties”). [2] The appellants seek to overturn the dismissal of their counterclaim and stay the judgments pending the trial of the appellants’ counterclaim. They also seek leave to adduce new evidence on this appeal. The basis for the claims [3] RBC lent money to the appellants by way of mortgages, demand loans, lines of credit, overdrafts and credit cards. The total principal and interest owing as of October 5, 2018 was approximately $4,852,286.02. [4] RBC commenced three separate actions on the various debts. The actions relate primarily to mortgages made in favour of RBC secured by the two properties, and a demand loan which the bank claimed was secured by a second mortgage on one of those properties. [5] The appellants filed a counterclaim in the third action seeking damages in the amount of $3,650,000 in connection with RBC’s registration of cautions and two certificates of pending litigation on the two properties (“the CPLs”). The motions for summary judgment [6] RBC brought a motion for summary judgment in each of the three actions. [7] The appellants did not dispute the debt, but opposed the request for summary judgment on the basis that there was a sufficiently close connection among the three actions that it would be inequitable to allow RBC to obtain summary judgment in respect of the three claims without first deciding the counterclaim and permitting the appellants to set off any award in the counterclaim against amounts owing in the other actions. [8] The appellants also took the position that the CPLs were improperly granted resulting in damage to the appellants which damage should be assessed prior to the granting of any order for summary judgment. [9] The motion judge summarized the appellants’ position at para. 46 of his decision as follows: The gist of the defence is that the defendants were renovating 326 St. Clements in order to sell it. They had a buyer, but the sale did not close because the certificate of pending litigation prevented the [appellants] from obtaining a small amount of additional financing from a third party which would have enabled them to complete the renovations. [10] On November 11, 2019, the motion judge granted summary judgment in favour of RBC in all three actions. Although he vacated the CPLs because of RBC’s failure to make proper disclosure in the course of obtaining the CPLs on an ex parte motion, he dismissed the appellants’ counterclaim. [11] He held that the appellants had not demonstrated that there is any issue that requires a trial, as the counterclaim for damages was “implausible and the defendants have not provided any evidence at all about their damages, let alone sufficient evidence to demonstrate that a trial is required on damages.” [12] His reasons for so finding, at paras. 49-56, are set out below: If it is true that [the appellant] Mr. Zanddizari needed only $100,000 to complete the renovation of 326 St. Clements, one might have expected Mr. Zanddizari to explain that to RBC and try to arrange additional financing. RBC had a material interest in completing the sale of 326 St. Clements because that would free up money to repay the demand loan. There is no evidence of any efforts by Mr. Zanddizari to enter into arrangements like this with RBC and no explanation for his failure to do so. If Mr. Zanddizari had two other lenders whose loans would fund the renovation and bring the demand loan into good standing, one might expect him to advise RBC of that fact and try to enter into an arrangement whereby the additional loan to complete construction of 326 St. Clements would have priority over the certificate of pending litigation. Once again there is no evidence to suggest that Mr. Zanddizari tried to make such an arrangement and no explanation for his failure to do so. Mr. Zanddizari provides no information about these other lenders. He does not disclose the lenders' names, the loan documentation or the terms of the loans. Mr. Zanddizari does not describe what work was left to be completed on 326 St. Clements Avenue beyond describing it a “small amount of work and appliances”. He has not produced any photographs that would allow me to compare the renovations that had already been completed with the work that remained. While he was discussing bringing the demand loan back into good standing between September 2017 and January 2018, Mr. Zanddizari sent the bank a screenshot of an account he had at CIBC showing a balance of $137,016.05. Mr. Zanddizari told RBC that when this deposit cleared within a few days, he would transfer the money into his RBC account to cover his overdue loan balance of $70,000. He never did so. If Mr. Zanddizari was being honest in his statements to RBC, he in fact had funds that exceeded the approximately $100,000 he needed to finish off the renovations on 326 St. Clements Avenue. Mr. Zanddizari provided no explanation for why the funds in his CIBC account could not be used to complete the renovations on St. Clements. Mr. Zanddizari also made no efforts to set aside the certificate of pending litigation. If this were truly a case of losing a sale of St. Clements Avenue, Mr. Zanddizari had ample time to set aside the certificate of pending litigation. According to Mr. Zanddizari, the purchaser extended the closing to February 28, 2019. This gave Mr. Zanddizari just short of 12 months to set the certificate of pending litigation aside, obtain additional funds and sell the property. He took no steps to set aside the certificate of pending litigation until the end of January 2019. Even then he did so only in response to RBC's motion for summary judgment. Similarly, Mr. Zanddizari has provided no explanation for his damage claim of $3,500,000. On the record before me, it is simply a number that has been inserted into a counterclaim. [13] However, the motion judge dismissed RBC’s request for an order for a legal or equitable mortgage in respect of the demand loan over the two properties. RBC had not established on a balance of probabilities that there was a mutual intention by the parties to grant a mortgage on those properties as security for the demand loan. The issues on this appeal [14] The issues on this appeal are (1) whether the motion judge erred in finding that there was no genuine issue requiring a trial in respect of the appellants’ counterclaim and refusing to order a stay of execution on the judgments, and (2) whether the appellants should be permitted to adduce new evidence on appeal. Analysis and conclusion [15] As explained in Hryniak v. Mauldin , 2014 SCC 7, [2014] 1 S.C.R. 87, at para. 49: There will be no genuine issue requiring a trial when the judge is able to reach a fair and just determination on the merits on a summary judgment motion. This will be the case when the process (1) allows the judge to make necessary findings of fact, (2) allows the judge to apply the law to the facts, and (3) is a proportionate, more expeditious and less expensive means to achieve a just result. [16] The appellants take issue with the motion judge’s finding that there is no genuine issue for trial. [17] Although parties are required to present the best version of their case on a motion for summary judgment, the appellants adduced no evidence from lenders that they would have advanced funds even if the CPLs had not been placed on title. It was therefore open to the motion judge to reject the appellants’ evidence regarding damages. His findings are owed deference. [18] The motion judge accepted the appellants’ submission that the CPLs should not have been placed on the properties and ordered that the CPLs be vacated. However, he held that the appellants had not suffered damages as a result of the CPLs, as pleaded in the appellants’ counterclaim. [19] On this appeal, the appellants seek leave to introduce an exhibit of documents most of which were not before the motion judge. The exhibits are not appended to an affidavit and consist of letters and other documentation regarding refinancing. In oral submissions, counsel for the appellants claimed that two letters, one to a possible lender and the other to RBC, were provided in support of the appellants’ cost submissions and should therefore be allowed to be introduced on appeal. [20] This evidence does not meet the test for the introduction of new evidence on appeal: see Palmer v. R. , [1980] 1 S.C.R. 759, at p. 775; Sengmueller v. Sengmueller , 111 D.L.R. (4th) 19 (Ont. C.A.), at p. 23. [21] The appellants were represented at trial and this evidence should and could have been obtained prior to the motion, through the exercise of reasonable diligence. Moreover, it was not attached to a sworn affidavit and there has been no opportunity for the respondent to examine or cross-examine on this evidence. In any event, this new evidence, like the evidence proffered to the motion judge, does not demonstrate any quantifiable damages suffered by the appellants and thus, could not reasonably have affected the result . [22] As set out above, the motion judge gave ample reasons for his finding that the appellants: a) did not satisfy him that they were unable to sell the property; b) did not take appropriate steps to address the CPLs with RBC; and, c) did not adduce evidence to outline the steps taken to complete the renovations required to sell the property. [23] We see no error in these findings, nor do we accept that the motion judge erred by failing to consider the defence of equitable set-off. [24] As such, the appeal – seeking to set aside the order dismissing the counterclaim and, if such an order is granted, requesting that the execution of the judgment in favour of RBC be stayed, pending resolution of the counterclaim – is dismissed. [25] We order costs payable to the RBC in the amount of $15,000, all inclusive. “Paul Rouleau J.A.” “M.L. Benotto J.A.” “J.A. Thorburn J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: Rusinek & Associates Inc. v. Arachchilage, 2021 ONCA 112 DATE: 20210223 DOCKET: C68306 Strathy C.J.O., Rouleau and Coroza JJ.A. In the Matter of the Bankruptcy of Roshan Singho Dasanayaka Arachchilage, of the City of Toronto, in the Province of Ontario BETWEEN Rusinek & Associates Inc., Licensed Insolvency Trustee for the Estate of Roshan Singho Dasanayaka Arachchilage Applicant (Appellant) and Roshan Singho Dasanayaka Arachchilage and Jayalukxhmi Baliah Respondents ( Respondent ) Sharon Sam and Mark Ross, for the appellant David A. Schatzker and Richard D. Howell, for the respondent Jayalukxhmi Baliah Heard: November 26, 2020 by video conference On appeal from the judgment of Justice Cory A. Gilmore of the Superior Court of Justice, dated February 19, 2020, with reasons reported at 2020 ONSC 1090. Rouleau J.A.: A. OVERVIEW [1] The question raised in the present appeal is whether a trustee in bankruptcy can initiate an equalization claim under the Family Law Act , R.S.O. 1990, c. F.3 (“ FLA ” ). The answer to this question lies in the proper interpretation of ss. 5 and 7 of the FLA . [2] Section 5 of the FLA provides for the equalization of net family properties. This entitlement is, however, described as “personal as between the spouses” by s. 7(2) of the FLA . What this latter expression means and what limits, if any, it places on the entitlement provided in s. 5 is central to this appeal. [3] As I will explain, I conclude that the entitlement provided in s. 5 of the FLA , once it has crystalized, falls within the broad definition of property as found in s. 2 of the Bankruptcy and Insolvency Act , R.S.C. 1985, c. B-3 (“ BIA ” ), without regard to whether an application has been initiated. However, with the limited exception provided in s. 7(2)(b) that has no application to trustees in bankruptcy, the limitation placed on this entitlement in s. 7(2) to the effect that it is “personal as between the spouses” operates to prevent anyone other than a spouse from starting an application for the equalization of net family properties. As a result, while an unexercised equalization entitlement constitutes property under the BIA for vesting purposes, a trustee in bankruptcy cannot initiate a claim for recovery of that equalization entitlement. [4] Therefore, for the reasons that follow, I would dismiss the appeal. B. FACTS [5] On March 15, 2003, Roshan Singho Dasanayaka Arachchilage (“Roshan”) and Jayalukxhmi Baliah, the respondent, were married. During their marriage, the matrimonial home was purchased and placed in the respondent’s name. According to the respondent, she paid the down payment and legal fees, made the mortgage payments, and paid all taxes and expenses related to the matrimonial home. She maintains that it was never the intention of the parties that Roshan would acquire an interest in the matrimonial home, as he never contributed to its acquisition or maintenance. Title to the matrimonial home is solely in her name. [6] In February 2015, the parties separated, and in October 2015, Roshan left the matrimonial home and has never returned. Their separation is permanent but neither party has commenced an application for the equalization of net family properties. The respondent continues to reside in the matrimonial home with the couple’s two children. [7] On November 30, 2015, Roshan made an assignment in bankruptcy, and Rusinek & Associates, the appellant, were appointed as bankruptcy trustee. Roshan remains an undischarged bankrupt. His declared unsecured liabilities total $282,700. [8] The appellant applied to the Superior Court for a declaration that the right to commence an equalization claim under the FLA has vested in it as Roshan’s trustee in bankruptcy. [9] The application judge determined that unless and until the right to commence an equalization claim is exercised by a spouse, the equalization claim is “inchoate” and does not constitute “property” for the purposes of the BIA . Therefore, the right to commence such a claim is not assignable and does not vest in the trustee in bankruptcy, as the decision remains “personal as between the spouses”. C. ISSUES [10] The issues raised on this appeal are as follows: 1. Was this appeal properly brought before this court pursuant to s. 6(1)(b) of the Courts of Justice Act , R.S.O. 1990, c. C.43 (“ CJA ”) ; 2. Is the unexercised entitlement to equalization of net family properties considered “property” for the purposes of the BIA , and if it is, can an application for equalization be initiated by a trustee in bankruptcy; and 3. If s. 7(2) of the FLA prevents a trustee in bankruptcy from initiating an application for equalization, is s. 7(2) rendered inoperative pursuant to the doctrine of federal paramountcy? D. ANALYSIS (1) Was this appeal properly brought before this court pursuant to s. 6(1)(b) of the CJA ? [11] The appellant brought the present appeal pursuant to s. 6(1)(b) of the CJA . The respondent argues that the appeal ought to have been brought under s. 193 of the BIA and only after leave to appeal had been obtained by a judge of the Court of Appeal. [12] Section 6(1)(b) of the CJA provides as follows: 6 (1) An appeal lies to the Court of Appeal from, (b) a final order of a judge of the Superior Court of Justice, except an order referred to in clause 19 (1) (a) or an order from which an appeal lies to the Divisional Court under another Act[.] [13] The relevant parts of s. 193 indicate the following: 193 Unless otherwise expressly provided, an appeal lies to the Court of Appeal from any order or decision of a judge of the court in the following cases: (c) if the property involved in the appeal exceeds in value ten thousand dollars; (e) in any other case by leave of a judge of the Court of Appeal. [14] The respondent relies on Business Development Bank of Canada v. Astoria Organic Matters Ltd. , 2019 ONCA 269, 69 C.B.R. (6th) 13, at paras. 66-67, in support of the proposition that where there is jurisdiction for an appeal under both the BIA and CJA , the appellant must comply with the more restrictive provisions of the BIA . According to the respondent, where, as here, a matter of procedure is at issue, s. 193(c) does not apply because the proceeding is not about a sum of money. Therefore, leave to appeal is required pursuant to s. 193(e) of the BIA . [15] I would not give effect to this submission. First, the application was brought by the appellant before the Superior Court pursuant to r. 14.05(3)(d) of the Rules of Civil Procedure , R.R.O. 1990, Reg. 194, wherein the appellant sought to determine whether it had the right to commence an equalization claim by interpreting the FLA and the BIA . Furthermore, the final order was not one made in a bankruptcy proceeding nor was the application judge exercising a power conferred on her by the BIA . [16] Second, these proceedings involve the respondent, who is a stranger to the bankruptcy. When determining the issue of jurisdiction in cases involving a stranger to the bankruptcy, the court should answer the following question: “will the [stranger to the bankruptcy] be a creditor of the bankrupt estate as a result of losing the application?”: see L.W. Houlden, G.B. Morawetz & Janis Sarra, Bankruptcy and Insolvency Law of Canada , loose-leaf (2009-Rel. 5), 4th ed. (Toronto: Thomson Reuters, 2013), vol. 3, at Part VII, I § 7, p. 7-19. If the answer is in the negative, the bankruptcy court does not have jurisdiction to hear the matter. Here, the respondent is not a creditor of the bankrupt estate. She has not commenced any claim for equalization. Therefore, this is a matter of property and civil rights that was properly brought before an ordinary civil court. [17] I conclude that this appeal was properly brought before this court pursuant to s. 6(1)(b) of the CJA . (2) Is an unexercised entitlement to equalization of net family properties considered “property” for the purposes of the BIA , and if it is, can an application for equalization be initiated by a trustee in bankruptcy? (a) The Relevant Legislation [18] “Net family property” is defined in s. 4(1) of the FLA as: [T]he value of all the property, except property described in subsection (2), that a spouse owns on the valuation date, after deducting, (a) the spouse’s debts and other liabilities, and (b) the value of property, other than a matrimonial home, that the spouse owned on the date of the marriage, after deducting the spouse’s debts and other liabilities, other than debts or liabilities related directly to the acquisition or significant improvement of a matrimonial home, calculated as of the date of the marriage[.] [19] In s. 5 of the FLA , the Ontario legislature provided spouses with an entitlement to equalization of net family properties in certain circumstances. Sections 5(1), (2), and (3) are as follows: 5 (1) When a divorce is granted or a marriage is declared a nullity, or when the spouses are separated and there is no reasonable prospect that they will resume cohabitation, the spouse whose net family property is the lesser of the two net family properties is entitled to one-half the difference between them. (2) When a spouse dies, if the net family property of the deceased spouse exceeds the net family property of the surviving spouse, the surviving spouse is entitled to one-half the difference between them. (3) When spouses are cohabiting, if there is a serious danger that one spouse may improvidently deplete his or her net family property, the other spouse may on an application under section 7 have the difference between the net family properties divided as if the spouses were separated and there were no reasonable prospect that they would resume cohabitation. [20] Section 7(1) of the FLA provides for the commencement of an application for equalization. Section 7(2) of the FLA indicates that the entitlements created in ss. 5(1), (2), and (3) are “personal as between the spouses”. This section also provides the estate of the deceased spouse with certain rights to initiate or continue an application for the equalization of net family properties. Those sections read as follows: 7 (1) The court may, on the application of a spouse, former spouse or deceased spouse’s personal representative, determine any matter respecting the spouses’ entitlement under section 5. (2) Entitlement under subsections 5 (1), (2) and (3) is personal as between the spouses but, (a) an application based on subsection 5 (1) or (3) and commenced before a spouse’s death may be continued by or against the deceased spouse’s estate; and (b) an application based on subsection 5 (2) may be made by or against a deceased spouse’s estate. [21] The BIA provides that, with limited exceptions, all of a bankrupt’s property passes to and vests in the trustee in bankruptcy. The relevant provisions of the BIA are as follows: 2 In this Act, property means any type of property, whether situated in Canada or elsewhere, and includes money, goods, things in action, land and every description of property, whether real or personal, legal or equitable, as well as obligations, easements and every description of estate, interest and profit, present or future, vested or contingent, in, arising out of or incident to property[.] 40 (1) Any property of a bankrupt that is listed in the statement of affairs referred to in paragraph 158(d) or otherwise disclosed to the trustee before the bankrupt’s discharge and that is found incapable of realization must be returned to the bankrupt before the trustee’s application for discharge, but if inspectors have been appointed, the trustee may do so only with their permission. 67 (1) The property of a bankrupt divisible among his creditors shall not comprise (a) property held by the bankrupt in trust for any other person; (b) any property that as against the bankrupt is exempt from execution or seizure under any laws applicable in the province within which the property is situated and within which the bankrupt resides; but it shall comprise (d) such powers in or over or in respect of the property as might have been exercised by the bankrupt for his own benefit. 71 On a bankruptcy order being made or an assignment being filed with an official receiver, a bankrupt ceases to have any capacity to dispose of or otherwise deal with their property, which shall, subject to this Act and to the rights of secured creditors, immediately pass to and vest in the trustee named in the bankruptcy order or assignment, and in any case of change of trustee the property shall pass from trustee to trustee without any assignment or transfer. 72 (1) The provisions of this Act shall not be deemed to abrogate or supersede the substantive provisions of any other law or statute relating to property and civil rights that are not in conflict with this Act, and the trustee is entitled to avail himself of all rights and remedies provided by that law or statute as supplementary to and in addition to the rights and remedies provided by this Act . (b) The Positions of the Parties [22] The appellant argues that the right to payment of an equalization claim vests in both spouses as soon as the right under s. 5(1) of the FLA , in this case permanent separation, has crystalized. The unexercised equalization claim then constitutes property in the hands of a spouse. No further steps are required on the part of a spouse to vest the equalization claim. [23] Because the unexercised equalization claim is property in the hands of a spouse on separation, it should, in the appellant’s view, also be property in the hands of the trustee in bankruptcy. [24] Notably, the definition of property in s. 2 of the BIA is broad and includes present or future, vested or contingent interests, whether in, arising out of, or incident to property. It also includes “things in action”, otherwise known as “choses in action”: Meisels v. Lawyers Professional Indemnity Company , 2015 ONCA 406, 126 O.R. (3d) 448, at para. 12. The trustee in bankruptcy is therefore not limited to the choses in action that have been initiated by the bankrupt prior to bankruptcy. [25] In the appellant’s submission, it is well established that a trustee in bankruptcy has the right to commence any proceeding otherwise belonging to the bankrupt, except for claims that are “personal in nature” such as claims for mental distress, pain and suffering, or reputational damage: Wallace v. United Grain Growers Ltd. , [1997] 3 S.C.R. 701, at para. 38; Meisels , at paras. 11-13. [26] In addition, the appellant maintains that there is no support in the jurisprudence for the application judge’s conclusion that an equalization claim is inchoate and does not constitute property for the purposes of the BIA until the claim is initiated, when it then takes on a new form as “property”. In the appellant’s submission, the procedural step of commencing an application pursuant to s. 7 of the FLA does not render the equalization claim inchoate beyond the realm of contingent actions or choses in action that constitute property under the BIA . An equalization claim is no different than any other cause of action requiring the issuance of a statement of claim. [27] Lastly, the appellant argues that the stipulation in s. 7(2) of the FLA that the equalization entitlement is “personal as between the spouses” does not have the significance developed by the application judge and the respondent. Rather, the appellant submits that the use of the word “personal” simply distinguishes these claims from proprietary entitlements. Therefore, the expression “personal as between the spouses” is in no way intended to prevent the trustee in bankruptcy from commencing a claim to recover the property of the bankrupt. [28] For her part, the respondent supports the application judge’s determination that an equalization claim does not constitute property for the purposes of the BIA until an application has been commenced by a spouse. This, the respondent argues, flows from the Ontario legislature having qualified the entitlement to equalization of net family properties as one that is “personal as between the spouses”. [29] The respondent maintains that describing the entitlement to an equalization claim as “personal as between the spouses” means more than explaining that it is a non-proprietary claim. This language provides that the entitlement to an equalization claim is “personal”, in the sense that it can only be exercised by the spouses themselves, subject to the specific exceptions for estates set out in ss. 7(2)(a) and (b) of the FLA . [30] In this regard, the respondent references Robert A. Klotz, “Who Gets the Matrimonial Property Claim – And Then What?” in Professor Jill Corraini & The Honourable D. Blair Nixon, eds., Annual Review of Insolvency Law 2019 (Toronto: Thomson Reuters, 2020) 471, at pp. 476-77 , wherein Klotz explained the following: The term “personal” or “personal right” is in common use in debtor-creditor law, having two related but distinct meanings. In a priority dispute involving third parties, a personal right is one that gives to the holder of the right, the ability to seek a court order declaring and enforcing that right; but until the order is made, gives no enforceable property right or priority over any given asset. In that sense, a personal right requires a triggering event, in the second sense above, to become a property right, a real right, a right in specie , or a claim having priority over another. The other meaning of “personal”, as in “personal cause of action”, describes a right that has no existence independent of its holder, such that it cannot be bought or sold, cannot be exercised by anyone else, is non-assignable and cannot be stripped from its holder under debtor-creditor or bankruptcy law. For example, a driver’s licence affords its holder the right to drive on public roads. It is personal in the sense that it cannot be sold or assigned; it cannot be seized by a creditor; it is useless to anyone else. [31] The respondent argues that the interpretation advanced by the appellant would state the obvious, as spouses do not have a claim to a proprietary interest in any particular property as a result of s. 5(1) of the FLA . In addition, such an interpretation is illogical and incoherent, as it would give no meaning to the phrase “personal as between the spouses”. According to the respondent, the only reasonable interpretation, therefore, is the one adopted by the application judge. (c) The Entitlement to an Equalization Claim is Property that Vests in the Trustee in Bankruptcy [32] It is well established in the case law that once a spouse has brought an application for the equalization of net family properties, that claim will vest in the trustee in bankruptcy upon that spouse’s assignment in bankruptcy: see Blowes v. Blowes (1993) , 16 O.R. (3d) 318 (C.A.); Green v. Green , 2015 ONCA 541, 338 O.A.C. 279, at para. 40. Once initiated by a spouse, an equalization claim constitutes property under the BIA and the trustee in bankruptcy has control over the claim and the proceeds. There is no limiting provision in the BIA or at the common law, nor does s. 7(2) of the FLA prevent the trustee in bankruptcy from pursuing the claim once a spouse has commenced an application. [33] It is apparent, therefore, that an entitlement to equalization is not, as suggested by the respondent, a “personal cause of action”, in the sense of “a right that has no existence independent of its holder”, as described by Klotz, at p. 477 of his chapter. Personal causes of action do not vest in the trustee in bankruptcy and the bankrupt remains free to pursue such an action in his or her own right: see Wallace , at para. 38; Meisels , at para. 13. If the entitlement to equalization were such a personal cause of action, it could not be stripped from the bankrupt spouse upon assignment in bankruptcy and passed to the trustee in bankruptcy. Unlike true personal causes of action, a trustee in bankruptcy is entitled to the proceeds of an exercised equalization claim: see Blowes . [34] I do not, however, accept the appellant’s interpretation of what “personal as between the spouses” means. Interpreting these words as the Ontario legislature simply noting that a claim for equalization is non-proprietary would give little or no meaning to s. 7(2) of the FLA . A provision in legislation should not be given an interpretation that defeats the purpose of the statute or renders a provision pointless or futile: Rizzo & Rizzo Shoes Ltd. (Re) , [1998] 1 S.C.R. 27, at para. 27; Jackson v. Stephen Durbin and Associates , 2018 ONCA 424, 142 O.R. (3d) 379, at para. 26. Nor should an interpretation render the provision illogical, incoherent, or incompatible with other provisions or the object of the enactment: see R. v. Stipo , 2019 ONCA 3, 370 C.C.C. (3d) 311, at para. 177. I say that the appellant’s interpretation gives little or no meaning to s. 7(2) of the FLA for three reasons. [35] First, the legislature would simply be stating the obvious. The fact that the claim is non-proprietary is clear from the wording of s. 5(1) of the FLA , where the entitlement itself is granted, and the definition of “net family property” in s. 4(1) of the FLA that speaks only of “value” and not of interests in any particular property. Indeed, s. 10(1) of the FLA establishes that a person may apply to the court to determine a question as to the ownership interest in any particular property “other than a question arising out of an equalization of net family properties under section 5”. In addition, case law establishes that such interests in property must be established before undertaking the equalization of net family properties. As the Supreme Court of Canada articulated in Rawluk v. Rawluk , [1990] 1 S.C.R. 70, at p. 90, Sections 4 and 5 of the Family Law Act, 1986 create a two-step property division process that emphasizes the distinction between the determination of legal and equitable ownership and the equalization of net family property. These sections require a court first to determine individual “ownership piles” and then to equalize the spouses’ assets by ordering the spouse with the larger ownership pile to pay money to the spouse with the smaller pile. [Emphasis added.] [36] Second, such an interpretation would be incompatible with the balance of the section. If it were a non-proprietary claim like any other, there would be no need for ss. 7(2)(a) and (b) to specify the persons who can exercise the right. Those clauses have nothing to do with the entitlement to equalization being proprietary or not. [37] Third, the words “personal as between the spouses” did not originate with the introduction of the FLA . Subsection 7(2) is a modified version of s. 4(3) of the Family Law Reform Act , R.S.O. 1980, c. 152, which was subsequently repealed in 1986 to make way for the FLA . Because those words existed in a property division legislative scheme, they must do more than simply inform that the claims spouses have against one another are personal claims instead of proprietary claims. [38] How, then, are the words “personal as between the spouses” in s. 7(2) of the FLA to be interpreted where, as here, a spouse’s equalization claim has crystalized but an application to court has not been made by either spouse? [39] As noted earlier, the respondent argues that the application judge correctly found that the words “personal as between the spouses” in s. 7(2) of the FLA operate to make an unexercised but crystalized equalization claim an inchoate right that does not constitute property for the purposes of the BIA until it is exercised by one of the spouses . [40] I disagree with the respondent’s submission. [41] In my view, such an interpretation is inconsistent with the intention and purpose of the BIA and with the established jurisprudence. “Property”, as it is defined in s. 2 of the BIA , has been given a broad interpretation. As explained by Binnie J. in Saulnier v. Royal Bank of Canada , 2008 SCC 58, [2008] 3 S.C.R. 166, at para. 44: The terms of the definition [of property] are very wide. Parliament unambiguously signalled an intention to sweep up a variety of assets of the bankrupt not normally considered “property” at common law. This intention should be respected if the purposes of the BIA are to be achieved. [42] Nothing in the BIA suggests that property is restricted to choses in action that have been commenced. As noted earlier, the definition of “property” includes choses in action, even where the claim has not yet been initiated by the bankrupt prior to bankruptcy. There is simply no precedent for the respondent’s suggestion that until the spouse’s equalization claim is commenced by a spouse, it is an inchoate right that does not come within the broad definition of property for the purposes of the BIA . No other claim is dealt with this way. Either the claim is property for the purposes of the BIA and vests in the trustee in bankruptcy, or it is personal in nature and the trustee in bankruptcy can neither advance the claim nor receive the proceeds from such a claim. [43] As explained earlier, if the claim were personal in nature, this would mean that a bankrupt spouse not only retained the capacity to initiate the claim during the currency of the bankruptcy but also to retain the proceeds of such a claim: Wallace , at para. 38; Meisels , at para. 13. However, this court has already determined that a bankrupt spouse is not entitled to receive any proceeds from an application for equalization once it has been commenced, as it constitutes property and is vested in the trustee in bankruptcy: see Blowes . [44] I therefore reject the suggestion that the entitlement to an equalization claim is an inchoate right that does not constitute property until it is exercised by a spouse. Once a right to equalization has crystalized due to permanent separation, it has value to that spouse. The fact that a spouse has not taken the procedural step of commencing an application for the equalization claim does not take it outside the broad definition of property in the BIA . The equalization claim is like any other chose in action. Therefore, it vests in the trustee in bankruptcy. [45] Lastly, in oral submissions, the respondent advanced a somewhat nuanced position. She acknowledged that the bankrupt could not make an equalization claim following discharge from bankruptcy, as “the claim itself does go to the trustee to the extent that it can be exercised”. This suggests that the unexercised equalization claim is something different than a personal cause of action, as described in Klotz’s chapter, at p. 477. This, in effect, was a concession that the right to commence the equalization claim had vested in the trustee in bankruptcy. It follows, therefore, that if the right to make the claim vested in the trustee in bankruptcy, an unexercised right to claim equalization falls within the broad definition of property under the BIA . I agree with this interpretation. (d) The Entitlement to Equalization Cannot be Initiated by the Trustee in Bankruptcy [46] Finding that the entitlement to an equalization claim is property and properly vests in the trustee in bankruptcy does not, as the appellant suggests, end the matter. The question remains as to whether, as argued by the respondent, s. 7(2) of the FLA operates to prevent the trustee in bankruptcy from initiating the claim to recover that property. Put another way, what is the effect of s. 7(2) of the FLA on an unexercised equalization claim during the estate-administration stage of the bankruptcy? [47] As explained by Gonthier J. in Royal Bank of Canada v. North American Life Assurance Co. , [ 1996 ] 1 S.C.R. 325, at paras. 44-49, the Supreme Court of Canada recognized two distinct stages in a bankruptcy: the property-vesting stage, or the “property-passing stage”; and the estate-administration stage. At the time of the assignment in bankruptcy, by operation of s. 71 of the BIA , the trustee in bankruptcy is obligated to take possession of the bankrupt’s assets, and the bankrupt’s property passes to and vests in the trustee in bankruptcy. Once the bankrupt’s property has passed into the possession of the trustee in bankruptcy, the BIA provides the trustee in bankruptcy with the power to administer the estate. In Royal Bank of Canada , at para. 47, the Supreme Court gave the example of assets that are made exempt from execution or seizure under provincial laws, specifically citing life insurance annuities under ss. 2(kk)(vii) and 158(2) of The Saskatchewan Insurance Act , R.S.S. 1978, c. S-26, as repealed by The Insurance Act , S.S. 2015, c. I-9.11, s. 11-1. Such assets vest in the trustee at the time of bankruptcy at the property-vesting stage. However, the exemption under s. 67(1)(b) of the BIA then operates at the estate-administration stage to bar the trustee from distributing exempt items to the creditors. Section 40(1) of the BIA then requires the trustee in bankruptcy to return unrealizable property to the bankrupt prior to the trustee in bankruptcy’s application for discharge. [48] The issue for this court to determine is, therefore, whether the qualification the Ontario legislature has imposed on the right granted in s. 7 of the FLA limits the trustee in bankruptcy’s ability to initiate the equalization claim during the estate-administration stage of bankruptcy. In my view, this is precisely the effect of the words “personal as between the spouses” in s. 7(2) of the FLA . A spouse makes the decision to initiate a claim for equalization, as it is something that is personal to the spouses, and that decision cannot be made by a trustee in bankruptcy or any other assignee. [49] In Rondberg Estate v. Rondberg Estate (1989) , 62 D.L.R. (4th) 379 (Ont. C.A.), Grange J.A. considered the wording in s. 7(2) of the FLA , albeit in that case, it involved an executor of an estate making an election pursuant to s. 6 of the FLA rather than advancing a claim by a trustee in bankruptcy. The executor in that case sought to elect to make an equalization claim on behalf of a deceased spouse. In reaching the conclusion that the executor could not make such an election, Grange J.A., at p. 383, explained that: I have come to the conclusion that Reid J. was right and that the Legislature of Ontario must be presumed to have intended to restrict the election (as opposed to the application) to a surviving and living spouse. The failure to specify any right of election in the personal representative under s. 6 coupled with the rights given them under s. 7 and the statement in the latter section that entitlement under s. 5 is “personal between the spouses” lead inevitably to that conclusion. Reid J. thought the omission was deliberate. As he put it, he “could think of few things more personal than the consideration by a surviving spouse whether to respect or to override the wishes of the deceased”. While the procedure to enforce the decision could be entrusted to a stranger to the marriage, the decision itself could not. [Citations omitted.] [50] That statement is apposite. There can be no doubt that the decision to advance an equalization claim is deeply personal. The respondent argues that, in the present case, if an equalization claim is made by the trustee in bankruptcy, it may result in the respondent and her children having to leave the matrimonial home, as it would likely have to be sold to fund the equalization claim. [51] Such a decision may create further conflict between the spouses by involving them in litigation and causing them to incur legal fees they may well not be able to afford. Conflict between spouses often has an impact on the children of the marriage. There is, of course, no obligation under the FLA for a spouse to make an equalization claim, and parties are encouraged to settle their affairs without resorting to the courts. As stated in the Preamble of the FLA , “it is desirable to encourage and strengthen the role of the family” and “it is necessary to provide in law for the orderly and equitable settlement of the affairs of the spouses”. This interpretation of “personal as between the spouses” is consistent with these overall purposes of the FLA . [52] If a spouse has already taken the step of commencing an application for the equalization of net family properties, the concerns outlined in the paragraph above are substantially reduced, as the parties are already in a situation of conflict. In such a case, the trustee in bankruptcy steps into the shoes of the bankrupt spouse and continues the claim that has already commenced. [53] Lastly, such an interpretation of “personal as between the spouses” is consistent with the rights the Ontario legislature has provided to estate trustees to administer claims for equalization after a spouse’s death. The interplay between ss. 5 and 7 of the FLA makes it clear that an estate trustee can continue an equalization claim that has commenced before the spouse’s death. However, a claim for equalization by a spouse having the lesser of the two net family properties cannot be initiated by the estate trustee after the spouse’s death. [54] In other words, an estate trustee cannot make the personal decision to exercise a right to recovery from a surviving spouse of the deceased spouse’s entitlement to equalization. There is, in my view, no principled reason why “personal as between the spouses” should be applied any differently to trustees in bankruptcy as to estate trustees. While the unexercised claim “vests” in the trustee in bankruptcy, absent the personal decision by a spouse to initiate an application for equalization of net family properties as provided in s. 7(2) of the FLA (the “triggering event”), the trustee in bankruptcy is unable to commence that claim for the purpose of distributing the proceeds of the litigation to creditors. [55] However, unlike exempt property, an unexercised equalization claim does not automatically become unrealizable property that must be returned to the bankrupt prior to the trustee in bankruptcy’s application for discharge, pursuant to s. 40(1) of the BIA . As Klotz points out, at pp. 531-39, a trustee may have other options for realizing value from that cause of action during the estate-administration stage, for example, a sale of the claim under s. 30 of the BIA . However, because third parties would similarly be unable to initiate an unexercised equalization claim, the practical effect of s. 7(2) of the FLA is to limit the potential buyer’s market. What steps a trustee in bankruptcy may or should take in realizing value from an unexercised equalization claim that has vested in the trustee in bankruptcy is not a question that is before the court. I leave that issue for another day. (e) Conclusions [56] In conclusion, I am of the view that the unexercised but crystalized claim for equalization is a chose in action that, on bankruptcy, constitutes property at the property-vesting stage of a bankruptcy. However, s. 7(2) of the FLA prevents a trustee in bankruptcy from initiating the claim for the recovery of the equalization entitlement during the estate-administration stage of a bankruptcy. This is because the required triggering event pursuant to s. 7(2) of the FLA , the initiation of the application by a spouse, has not occurred. (3) Does the doctrine of federal paramountcy render s. 7(2) of the FLA inoperative ? [57] The appellant argues that if s. 7(2) of the FLA prevents a trustee in bankruptcy from commencing a claim for equalization, then the doctrine of federal paramountcy renders it constitutionally inoperative. In the appellant’s submission, where, as here, a federal and a provincial statute are independently valid, but a conflict prevents compliance with both laws, then the provincial law, the FLA , will be read down to not conflict with the federal statute, the BIA : see Alberta (Attorney General) v. Moloney , 2015 SCC 51, [2015] 3 S.C.R. 327, at paras. 17-18, 29 . [58] The appellant explains that, by interpreting s. 7(2) of the FLA as preventing the trustee in bankruptcy from initiating a claim for equalization, the trustee in bankruptcy is prevented from realizing on an asset of the estate, the crystalized but unexercised right to equalization, for the benefit of the bankrupt’s creditors. This frustrates the equitable distribution of the bankrupt’s assets among the bankrupt’s creditors, which is one of the purposes of the BIA : Moloney , at para. 32. [59] Where the BIA tells the trustee in bankruptcy to do something and the FLA prevents it, the provision of the FLA is incompatible with the purpose of the BIA , and the provisions are in conflict. The laws cannot operate concurrently, and, as a result, the appellant submits that s. 7(2) of the FLA should be declared constitutionally inoperative by reason of the doctrine of federal paramountcy. [60] I disagree. The right to equalization is a creation of the provincial legislature. The province that created the right is free to limit the circumstances in which an application for equalization can be commenced. As I have explained, by providing that the right to commence an equalization application is personal as between the spouses, the province has made this equalization right subject to a triggering event. Only a spouse can choose to commence that application. In a sense, this is no different than the conditions imposed in s. 5(1) of the FLA , whereby the equalization of net family properties can only occur if there is a divorce, a declaration of nullity of marriage, or a separation with no reasonable prospect of resumed cohabitation. [61] The trustee in bankruptcy takes the property during the property-vesting stage of bankruptcy in the form it was given by the province, which is a property right that is subject to the triggering event. A statutorily created asset subject to a condition over which the trustee in bankruptcy has no control does not, in my view, make the section creating the limitation incompatible with the purpose of the BIA , as suggested by the appellant. Upon bankruptcy, the trustee in bankruptcy gets no more than what any other assignee, such as an estate trustee, would receive: that is, a right to pursue an equalization claim once the decision is made by a spouse, and only a spouse, to initiate the claim. Such an interpretation does not conflict with the BIA . [62] As stated earlier, while s. 7(2) of the FLA prevents a trustee in bankruptcy from initiating an unexercised equalization claim, it does not necessarily prevent a trustee in bankruptcy from realizing value from that cause of action during the estate-administration stage, although its practical effect is to limit the trustee in bankruptcy’s options. In this sense, there is no operational conflict between s. 7(2) of the FLA and the scheme and purpose of the BIA . [63] I conclude that s. 7(2) of the FLA is not in operational conflict with the BIA , nor does it frustrate the purpose of the BIA . Therefore, the doctrine of federal paramountcy is not applicable in the present appeal. E. DISPOSITION [64] For these reasons, I would dismiss the appeal. I would award costs to the respondent in the agreed amount of $10,000, inclusive of disbursements and applicable taxes. Released: February 23, 2021 “GRS” “Paul Rouleau J.A.” “I agree G.R. Strathy C.J.O.” “I agree S. Coroza J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: Scala v. Toronto (Police Services Board), 2021 ONCA 297 DATE: 20210505 DOCKET: C66893 Feldman, Harvison Young and Thorburn JJ.A. BETWEEN Felice Scala and Catarina Scala Appellant and Toronto Police Services Board, Detective Todd Hall, Police Officer(s) John Doe and Police Officer(s) Jane Doe Respondents Jonathan Shulman, for the appellant Douglas O. Smith and Sarah Sweet, for the respondents Heard and released: April 16, 2021 by videoconference On appeal from the judgment of Justice Andrew A. Sanfilippo of the Superior Court of Justice, dated July 18, 2019, with reasons reported at 2019 ONSC 2239 and 2019 ONSC 4359. REASONS FOR DECISION Basis for the Appeal [1] The appellant, Felice Scala, appeals the judgment in which the trial judge denied his claim for damages resulting from the alleged excessive use of force by police and the award of costs. [2] The key issue was whether the respondents, Toronto Police Services Board, Detective Todd Hall, and other unidentified police officers (together “the Police Respondents”) acted “on reasonable grounds, [and were therefore] justified in doing what [they are] required or authorized to do and in using as much force as is necessary for that purpose” within the meaning of s. 25(1) of the Criminal Code and, if so, they are protected from liability. [3] The appellant claims the trial judge made numerous errors of fact in dismissing his claim for damages resulting from alleged excessive police force. He claims the police respondents ought to have known of his health conditions, were not justified in using force, and should reasonably have known the grounding manoeuvre would cause him harm. They further claim that the trial judge erred in determining that Mr. Scala did not comply with a demand to surrender, and that police therefore used proper procedures and were justified in using force to overcome resistance, and that Mr. Scala did not report injuries to police. The Law of Excessive Use of Force and the Standard of Review [4] There is no dispute over the applicable law. In brief, in order to obtain protection from civil liability, police must establish that the level of force used to arrest was necessary, meaning that it was objectively reasonable in the circumstances presented to the police at the time of the arrest: Wilsdon v. Durham Regional Police , 2011 ONSC 3419, at para 85; R. v. Nasogaluak , [2010] 1 S.C.R. 206 , at paras. 34-35. “Objectively reasonable” has been defined as reasonable given the nature and quality of the threat, the force used in response to it, and the characteristics of the parties: R. v. Power , 2016 SKCA 29, 335 C.C.C. (3d) 317, at para 35. [5] The contested findings that form the basis of the judge’s conclusion are all issues of fact for which the standard of review is palpable and overriding error. In addition, a trial judge’s credibility assessments are entitled to a high degree of deference. The Positions of the Parties Uncontested Facts [6] On July 10, 2008, the appellant Felice Scala and his son, Ralph, were arrested while walking their pit-bull terrier. At the time, the appellant was sixty-two years old. [7] As noted by the trial judge in his reasons, Mr. Scala was arrested on charges of breach of recognizance and criminal harassment. He conceded at trial that the police had probable cause for his arrest, were required or authorized by law to perform the arrest and acted on reasonable grounds in doing so. The Appellant’s Position [8] Mr. Scala and his wife, Catarina, commenced an action in 2010 alleging that police used excessive force during Mr. Scala’s arrest, were negligent and breached their fiduciary duty to him, and that he suffered damages as a result. [1] [9] Mr. Scala claims the police did not tell him he was being arrested; threw him to the ground; and punched, kicked, and beat him while he was facedown on the ground for 2-3 minutes. He said he asked the officers to stop and denied that he resisted arrest or assaulted officers. [10] A witness, who was also a friend of Mr. Scala, testified that he saw police kick and punch the two men for 2-3 minutes and that Mr. Scala asked the officers to stop but they did not. [11] Mr. Scala claims that after he was taken to the police station, he asked to be taken to the hospital, asked repeatedly to use the washroom but was ignored, had to urinate on the floor of the detention room, was ordered to wipe it clean with his sweater, and was deprived of his medication. Mr. Scala also alleged that the police failed to complete required forms and reports. The Respondents’ Position [12] The Police Respondents deny that any officers kicked, punched, or kneed Mr. Scala. The officers testified that they told Mr. Scala he was being arrested and he was non-compliant. He was therefore taken to the ground in a controlled manner by taking hold of one arm, thrusting Mr. Scala forward suddenly so he would lose his balance, and then guiding him to the ground in a controlled fall. His hands were taken from under his chest so that he could be handcuffed. [13] The Police Respondents said Mr. Scala did not complain of any injuries and was not refused permission to use the washroom. One officer testified he accompanied Mr. Scala to the washroom. Another testified that he attended Mr. Scala’s house and obtained his medication from Ms. Scala. The Trial Judge’s Decision [14] The trial took place some ten-and-a-half years after Mr. Scala’s arrest. In addition to the testimony of witnesses, the trial judge considered and reviewed the booking video and the medical records from the days following the arrest. He found many inconsistencies and inaccuracies in Mr. Scala’s evidence and concluded that Mr. Scala’s account of the arrest and detention was neither credible nor reliable. He found the evidence of the police officers, on the other hand, to be credible and reliable, and he therefore accepted their evidence. [15] The trial judge offered reasons for his rejection of Mr. Scala’s evidence, which included the following internal inconsistencies: (i) In examination for discovery, Mr. Scala testified that he was kneed and punched in the head, whereas at trial he denied that any of the blows were administered to his head. He testified earlier that he had sustained a head injury, but admitted at trial that he had not; (ii) In discovery, he stated that he was beaten by two police officers, whereas at trial he testified that the beating was administered by three police officers. In the video of his booking, taken within a half-hour of the arrest, Mr. Scala stated: “They six guys and me”; and, (iii) Mr. Scala testified at discovery that the police officers kneed him on the top of his upper body and head and punched him in his shoulders and head. At trial he stated that he was struck only on his back and legs. [16] The trial judge found that “[t]hese inconsistencies are incapable of being explained as the by-product of the passage of time, or Mr. Scala’s qualities as an historian. They are fundamental and foundational to the veracity of his explanation of what happened on July 10, 2008, so much so that I had to question which version of the Plaintiff’s account of events I was being asked to accept.” [17] The trial judge further held that there were aspects of Mr. Scala’s account of events that were inherently not plausible, including the following: (i) When the police officers approached him, they did not utter a single word; (ii) He was not told that he was being arrested at any time from his apprehension to his transportation to the police station; (iii) He was not handcuffed after being apprehended, and when transported to the police station; and, (iv) After being placed in the police cruiser, he was driven “up and down” the street, with the police stating loudly that “Scala is in the car”. [18] The trial judge found these statements were inconsistent with an operation conducted in daylight in public view on a residential street. [19] The trial judge also held that there were elements of Mr. Scala’s testimony that were simply shown to be inaccurate, including the following: (i) His testimony that he was bleeding when he was taken to the police station. There was no evidence of this on the booking video, or in the examination by the medical caregivers; (ii) He testified that when he was taken to the police station, his pants were torn. This was not borne out by the booking video; (iii) His evidence that he asked the booking officer to be taken to the hospital to obtain care for his injuries. The booking video shows that Mr. Scala did not make any such request to the booking officer. Indeed, when asked directly by that officer whether he had any injuries, he did not mention any; (iv) His statement that he was forced to clean up a soiled floor in the detention area with his sweater, when the booking video shows that he did not have a sweater; (v) At trial, Mr. Scala stated that he did not drink any alcoholic beverages on the day of the arrest and did not have a knife in his possession. The video shows that, at the time of booking, Mr. Scala stated that he had a glass of wine with his lunch, and a small knife was found in his possession; (vi) Mr. Scala testified that he did not have any medical issues with his back or leg prior to the arrest and denied that he had undergone any medical diagnostic assessments in relation to any such issues. The medical records show that Mr. Scala complained to his physicians of back pain and left leg pain as much as three years before the arrest, and had previously undergone a nerve conduction study to assist in the diagnosis of these issues; and, (vii) Mr. Scala testified that he had never been convicted of a criminal offence. Police records show that he was convicted, on June 1, 2009, for failing to comply with a peace bond and, on June 3, 2010, for failing to comply with a recognizance. [20] Lastly, he held that Mr. Scala’s evidence was not corroborated by the booking video or the photographs, neither of which support the extent of injury that he alleges. [21] By contrast, the trial judge found the evidence of the several police officers to be credible and reliable, corroborated by the testimony of the other police officers, internally consistent, plausible and consistent with the recorded evidence. [22] The trial judge therefore found that the officers did not punch, kick, knee, or beat Mr. Scala; that they told Mr. Scala he was under arrest and why; that Mr. Scala resisted arrest; and that the officers executed a takedown and controlled fall, pulled Mr. Scala’s hands out to handcuff him, and drove him directly to the police station. He found that Mr. Scala was not denied access to a washroom, but rather that he was accompanied to the washroom, he was not ordered to clean up urine, and he was not deprived of medications. The trial judge accepted that, in the course of the arrest, Mr. Scala had suffered some trauma that resulted in bruising on his right thigh and calf, which were the only injuries caused by the officers during the arrest. [23] The trial judge also held that the takedown would not have been required but for the lack of compliance, handcuffing Mr. Scala was reasonable, and the amount of force used was necessary, justified, and not excessive. [24] While not necessary to the determination, the trial judge would have drawn an adverse inference from Mr. Scala’s failure to call his wife and son, who witnessed the arrest. [25] The trial judge therefore held that, on the evidence before him, Mr. Scala’s claims of excessive use of force should be dismissed. He also rejected Mr. Scala’s submission of breach of fiduciary duty, because it was not pleaded and only raised in closing submissions. If Mr. Scala had established liability, the trial judge would have awarded general damages of $15,000 for pain and suffering. [26] The trial judge also considered all of the arguments made by the parties on the issue of costs and exercised his discretion in awarding costs of the trial to the police respondents. Conclusion [27] The trial judge’s conclusion to dismiss the claim for excessive force and damages resulting therefrom was based largely on his findings of fact and credibility which are reviewed on a standard of palpable and overriding error. [28] The appellant claims that most of the important aspects of the story as recounted by police should not have been accepted and that the trial judge erred in rejecting most of his evidence as being neither credible nor reliable. [29] We disagree. [30] The trial judge carefully evaluated the evidence led at trial, made determinations as to which witnesses he found credible and which witnesses he did not, properly instructed himself as to the applicable law and then applied that law to the facts as found by him. In so doing, he committed no reviewable error. His findings were amply supported by the evidence and there is no basis to overturn those conclusions. [31] As noted at the outset, the appellant also raised the issue of trial costs in his notice of appeal and during his oral submissions. He claims this is public interest litigation and that the quantum of costs ordered by the trial judge is unreasonable and unfair in these circumstances given Mr. Scala’s medical conditions and the allegation that he did not resist arrest, and that it would be inconsistent to hold Ms. Scala jointly and severally liable for the costs while also ordering her alone to pay $5,000 in costs. [32] We note that the trial judge did not in fact hold Ms. Scala jointly and severally liable. [33] The trial judge ordered Mr. Scala pay costs in the amount of $50,000, inclusive of HST, and $17,419.40 in disbursements; and Ms. Scala pay costs in the amount of $5,000, all inclusive. [34] We see no basis to interfere with the exercise of the trial judge’s discretion in making this award. [35] For these reasons the appeal is dismissed. [36] Partial indemnity costs are payable to the police respondents by the appellant, Felice Scala, in the amount of $10,000 inclusive of HST and disbursements. “K. Feldman J.A.” “A. Harvison Young J.A.” “J.A. Thorburn J.A.” [1] Catarina Scala withdrew her claims at trial and did not participate in the trial.
COURT OF APPEAL FOR ONTARIO CITATION: Segura Mosquera v. Ottawa Public Library, 2021 ONCA 275 DATE: 20210428 DOCKET: C67308 Huscroft, Nordheimer and Harvison Young JJ.A. BETWEEN Gladys M. Segura Mosquera Appellant and Ottawa Public Library Respondent Gladys M. Segura Mosquera, in person Stuart J. Huxley, for the respondent Heard: April 26, 2021 by video conference REASONS FOR DECISION [1] Ms. Segura Mosquera appeals from the order of Parfett J. of the Superior Court of Justice dated July 2, 2019 that dismissed her application for directions along with other interlocutory and injunctive relief. The appellant had brought a Notice of Application seeking directions and relief respecting a proposed class action that had yet to be commenced. [2] A preliminary jurisdiction issue arose. After hearing submissions from the parties, we quashed the appeal for lack of jurisdiction, with reasons to follow. We now provide our reasons. [3] This court has jurisdiction to hear appeals from final orders of the Superior Court of Justice, with certain exceptions, pursuant to s. 6(1)(b) of the Courts of Justice Act , R.S.O. 1990, c. C.43. [4] The order in issue here is not a final order. It did not dispose of a proceeding nor did it finally determine an issue in a proceeding: Ball v. Donais (1993), 13 O.R. (3d) 322 (C.A.). The order simply dismissed the appellant’s request for directions and other relief under r. 37.17 of the Rules of Civil Procedure , R.R.O. 1990, Reg. 194 in advance of commencing a proceeding. The appellant submits that this is a mere technicality, but it is not. It goes to the central issue whether this court has jurisdiction to hear the matter. We do not. [5] Consequently, the appeal is quashed. The respondent did not seek costs and no costs are ordered. “Grant Huscroft J.A.” “I.V.B. Nordheimer J.A.” “A. Harvison Young J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: Shaver-Kudell Manufacturing Inc. v. Knight Manufacturing Inc., 2021 ONCA 202 DATE: 20210330 DOCKET: M52214, M52240 van Rensburg J.A. (Motions Judge) BETWEEN Shaver-Kudell Manufacturing Inc. Plaintiff (Respondent/Responding Party on M52214/ Moving Party on M52240) and Knight Manufacturing Inc., Lucy Shaver, Dusko Ballmer and Alexander Knecht Defendants ( Appellant / Moving Party on M52214/ Responding Party on M52240) Ian Klaiman, for the appellant Charles Hammond, for the respondent Heard: March 11, 2021 by video conference REASONS FOR DECISION I Introduction [1] The appellant, Alexander Knecht, is an undischarged bankrupt. He moved for an extension of time to file a notice of appeal from the order of M. Smith J. (the “motion judge”), dated December 9, 2020. That order declared that his debts and liabilities in certain proceedings with the respondent, Shaver-Kudell Manufacturing Inc. (“Shaver-Kudell”), would survive his discharge from bankruptcy. It also lifted the stay of proceedings to permit Shaver-Kudell to continue proceedings against him. Knecht required an extension of time as a result of an administrative issue that arose when he tried to file his notice of appeal. [2] Shaver-Kudell opposed the motion primarily on the basis that there is no right to appeal without leave under s. 193 of the Bankruptcy and Insolvency Act , R.S.C. 1985, c. B-3 (the “BIA”). Shaver-Kudell also argued that the extension should be refused because the appeal is lacking in merit. [3] Knecht asserted that he had the right to appeal and, in the alternative, sought leave to appeal under s. 193(e) of the BIA. He argued that he had met the test for an extension of time. At the conclusion of the oral hearing of the motion I granted the requested extension, with reasons to follow. These are my reasons. [4] These are also my reasons in respect of Shaver-Kudell’s cross-motion for security for costs. For the reasons that follow, that motion is dismissed. II Relevant Facts [5] The parties were involved in litigation in the Superior Court (the “Action”). On August 7, 2018, following a trial on liability, R. Smith J. concluded, among other things, that Knecht and other defendants committed a breach of confidence and misappropriated Shaver-Kudell’s trade secrets. He awarded costs against the defendants for a prior summary judgment and costs of the trial (a total of $390,521). [6] The Action was scheduled to continue with a trial on the issue of damages in April 2020. In the interim, on March 2, 2020, Knecht filed a Notice of Intention to Make a Proposal under s. 50.4(1) of the BIA. The proposal was refused by his creditors, and he was assigned into bankruptcy on April 27, 2020. Pursuant to s. 69(1) of the BIA, all proceedings against Knecht are stayed during the bankruptcy. [7] Shaver-Kudell brought a motion for an order declaring that Knecht’s discharge from bankruptcy would not release any debts or liabilities arising from its claims against him in the Action, including any outstanding or future costs awards. Shaver-Kudell relied on s. 178(1)(e) of the BIA, which provides that an order of discharge does not release the bankrupt from “any debt or liability resulting from obtaining property or services by false pretences or fraudulent misrepresentation...”. Shaver-Kudell also sought an order under s. 69.4 of the BIA lifting the stay. [8] The motion judge found that R. Smith J.’s findings in the trial on liability pointed to Knecht’s “deceitful and dishonest conduct which engages section 178(1)(e)”. Knecht participated in a scheme to copy Shaver-Kudell’s trade secrets and make unauthorized use of this property for his financial gain. In this way, he had obtained property by false pretences. Accordingly, the motion judge found that Knecht’s debts arising from claims in the Action—including the outstanding costs award—would survive his bankruptcy discharge. [9] Having found that Knecht’s debts and liabilities in the Action would not be released by his bankruptcy discharge, the motion judge determined that Shaver-Kudell would be prejudiced if it could not proceed to judgment against Knecht regarding damages. On this basis, the motion judge also declared that the stay under s. 69(1) of the BIA would no longer operate with respect to the Action. [10] Knecht served his notice of appeal of the motion judge’s order on December 17, 2020. Assuming that the order under appeal was an order under the BIA, Knecht’s counsel attempted to file the notice of appeal with the Registrar of the court appealed from, the Superior Court in Ottawa, in accordance with the Bankruptcy and Insolvency General Rules , C.R.C., c. 368, r. 31(1). The Ottawa court refused to accept the filing because there was no bankruptcy court file number. While attempting to sort out this administrative problem, Knecht’s counsel tried to file the notice of appeal directly in this court. However, because more than ten days had passed from the date of service of the notice of appeal, an extension of time was required. III The Extension of Time Motion [11] The test for an extension of time is whether it is in the interests of justice that the extension be granted. Relevant factors include: whether there was a bona fide intention to appeal during the appeal period; the length of and explanation for the delay; prejudice to the opposing party; and the merits of the proposed appeal. The enumerated factors are not exhaustive and may vary in importance depending on the circumstances. The overriding consideration is whether the justice of the case requires an extension: Denomme v. McArthur , 2013 ONCA 694 (In Chambers), at para. 7. [12] As I have indicated, the motion for an extension was opposed by Shaver-Kudell primarily on the basis that there is no appeal as of right. I turn to consider this issue first. Does the appellant have the right to appeal the motion judge’s order? (1) The governing appeal route [13] If the motion judge’s order was made under the BIA, the appeal route would be governed by s. 193 of the BIA, which provides for appeals as of right in some cases and requires leave to appeal in others. Section 193 provides as follows: 193 Unless otherwise expressly provided, an appeal lies to the Court of Appeal from any order or decision of a judge of the court in the following cases: (a) If the point at issue involves future rights; (b) If the order or decision is likely to affect other cases of a similar nature in the bankruptcy proceedings; (c) If the property involved in the appeal exceeds in value ten thousand dollars; (d) From the grant of or refusal to grant a discharge if the aggregate unpaid claims of creditors exceed five hundred dollars; and (e) In any other case by leave of a judge of the Court of Appeal. [14] The proper appeal route is under s. 193 where the order sought to be appealed is granted in reliance on jurisdiction under the BIA: Business Development Bank of Canada v. Astoria Organic Matters Ltd. , 2019 ONCA 269, 69 C.B.R. (6th) 13, at para. 21. If the motion judge’s order was not made in reliance on jurisdiction under the BIA, it would be appealable to this court under s. 6(1) of the Courts of Justice Act , R.S.O. 1990, c. C.43. [15] The question of jurisdiction arises in this case because the motion judge’s order has two components: the declaration under s. 178(1)(e) of the BIA and the lift-stay order. The lift-stay order could only be made under s. 69.4 of the BIA. By contrast, declaratory orders under s. 178(1) do not engage the exercise of a power under the BIA. They are made in the exercise of the court’s general jurisdiction: see e.g. Water Matrix Inc. v. Carnevale , 2018 ONSC 6436, 65 C.B.R. (6th) 109, at para. 22; Beneficial Finance Co. v. Durward (1961) , 2 C.B.R. (N.S.) 173 (Ont. Co. Ct.), at para. 14; and Graves v. Hughes , 2001 NSSC 68, 25 C.B.R. (4th) 255, at paras. 3-12. As such, orders declaring that a debt or liability survives a bankruptcy discharge typically are appealed directly to the Court of Appeal, without leave under the BIA: see e.g. Gray (Re) , 2014 ONCA 236, 119 O.R. (3d) 710; Korea Data Systems (USA), Inc. v. Aamazing Tehnologies Inc. , 2015 ONCA 465, 126 O.R. (3d) 81; H.Y. Louie Co. Limited v. Bowick , 2015 BCCA 256, 25 C.B.R. (6th) 221; and Lawyers’ Professional Indemnity Company v. Rodriguez , 2018 ONCA 171, 139 O.R. (3d) 641, leave to appeal refused, [2018] S.C.C.A. No. 128. [16] The determination of whether a debt survives bankruptcy can also be made in bankruptcy proceedings and not in a separate civil action, particularly where the moving party also seeks leave to commence or continue an action against the bankrupt: see Re McKee (1997), 47 C.B.R. (3d) 70 (Alta. Bankruptcy Registrar), where such a declaration was made while bankruptcy proceedings were pending, but prior to the discharge hearing. See also Re Mariyanayagam (1998), 10 C.B.R. (4th) 105 (Ont. Gen. Div.), at para. 4; Re Bissonette , 2006 CarswellOnt 7023 (Bankruptcy Registrar), at para. 3; Re Di Paola (2006), 84 O.R. (3d) 554 (C.A., In Chambers), at para. 5; Re Berger , 2010 ONSC 4376, 70 C.B.R. (5th) 225, (Bankruptcy Registrar), at para. 2. [17] This court has previously considered the question of jurisdiction where the order under appeal was made only partly in reliance on jurisdiction under the BIA. In Dal Bianco v. Deem Management Services Limited , 2020 ONCA 585, 82 C.B.R. (6th) 161, part of the order under appeal (indeed the substantive issue on the appeal) would have been appealable directly to this court under the Construction Act , R.S.O. 1990, c. C.30, but the order was made in an application for directions in a receivership. This court held that the substance of the order was in proceedings authorized by the BIA: “it responded to a motion for the court’s directions brought under s. 249 of the [BIA] to help the receiver distribute the remaining funds in the receivership”. Because the BIA was a source of jurisdiction for the court’s order, the appeal route was under s. 193: at para. 12. See also Third Eye Capital Corporation v. Ressources Dianor Inc./Dianor Resources Inc. , 2019 ONCA 508, 70 C.B.R. (6th) 181, at para. 129 (where jurisdiction for an appeal from an order approving a receiver’s sale of assets, of which a vesting order was a component, was under the BIA). [18] Applying these authorities, I conclude that the appeal route for the motion judge’s order is under s. 193 of the BIA. The order was made on a motion during the currency of Knecht’s bankruptcy, and, as part of the order the motion judge lifted the stay under s. 69(1) of the BIA to permit the Action to continue against the bankrupt. [19] I turn now to consider whether there is an appeal as of right of the order or whether leave to appeal is required. (2) Does a right to appeal lie under s. 193? [20] Knecht submits that he has a right to appeal the motion judge’s order under ss. 193(a), (b) and (c). I agree that the order is appealable under s. 193(c). While it is unnecessary to consider other provisions of s. 193, I suggest that the order is also appealable under s. 193(a). [21] Section 193(c) provides for a right of appeal “if the property involved in the appeal exceeds in value ten thousand dollars”. I recognize that the scope of that provision is a matter of debate among appellate courts. In 2403177 Ontario Inc. v. Bending Lake Iron Group Ltd. , 2016 ONCA 225, 35 C.B.R. (6th) 102 (In Chambers), Brown J.A. construed s. 193(c) narrowly, and held that it would not provide a right of appeal from orders that (i) are procedural in nature; (ii) do not bring into play the value of the debtor’s property; or (iii) do not result in a gain or loss (in the sense of involving some element of a final determination of the economic interests of a claimant in the debtor): at paras. 53, 61. This approach has been followed by a number of decisions of this court, but has been called into question in the decisions of some other appellate courts: see e.g., MNP Ltd. v. Wilkes , 2020 SKCA 66, 80 C.B.R. (6th) 1, interpreting s. 193(c) as applying when, on the evidence, there is at least $10,000 “at stake” in the appeal: at para. 63. [22] I am satisfied that, irrespective of the approach taken, the motion judge’s order falls within s. 193(c). In the circumstances of this case, I would follow the approach taken by Nordheimer J.A. in Royal Bank of Canada v. Bodanis , 2020 ONCA 185, 78 C.B.R. (6th) 165 (In Chambers). He distinguished cases like Bending Lake that involved proposed appeals of orders made in receivership proceedings, and he determined that an appeal of bankruptcy orders in two proceedings where the debts relied on exceeded $10,000 fell under s. 193(c). Nordheimer J.A. explained that s. 193(c) “clearly applies… where the appellant’s entire property ha[s] been taken out of their control and placed into the hands of a Trustee in Bankruptcy, who has the right to dispose of that property and distribute it among the creditors, without further court intervention”: at para. 9. [23] Similarly, the debts and liabilities that will survive Knecht’s discharge under the motion judge’s order exceed $10,000. And the effect of the order under appeal is that Knecht’s property exceeding $10,000 in value will be subject to Shaver-Kudell’s enforcement of its judgment in the Action, including the costs order already made, following his discharge from bankruptcy. [24] In short, the property involved in the appeal of the motion judge’s declaration under s. 178 exceeds in value $10,000. Since the lift-stay provision is part of the motion judge’s order and dependent on that declaration, the entire order is subject to appeal as of right under s. 193(c). [25] The conclusion that s. 193(c) applies can also be reached by applying the approach in Bending Lake . The motion judge’s order is not procedural in nature, it brings into play the value of Knecht’s property that will or will not be available to satisfy Shaver-Kudell’s claims as his creditor, and it makes a final determination of Shaver-Kudell’s economic interests, resulting in a gain to that party in excess of $10,000. [26] I am also of the view that the order under appeal falls within the scope of s. 193(a) of the BIA. Section 193(a) provides for a right of appeal “if the point at issue involves future rights”. Future rights have been described as “rights which could not at the present time be asserted but which will come into existence at a future time”: Elias v. Hutchison , 1981 ABCA 31, 121 D.L.R. (3d) 95, at para. 28, cited with approval in Ravelston Corp., Re (2005), 24 C.B.R. (5th) 256, (Ont. C.A.), at para. 19. The pertinent question is whether the rights engaged in the appeal are future rights or presently existing rights that are exercisable in the future: Business Development Bank of Canada v. Pine Tree Resorts Inc. , 2013 ONCA 282, 115 O.R. (3d) 617 (In Chambers), at para. 16. [27] Shaver-Kudell submits that its rights arose as soon as R. Smith J. determined the liability issues in the Action. All of the circumstances were present such that s. 178, by operation of law, would ensure that the debts and liabilities arising therefrom would survive Knecht’s bankruptcy discharge. This is a question of present rights that can be exercised in the future. [28] I disagree. While s. 178 operates as a matter of law, it is necessary for a creditor to obtain a court declaration that a debt survives bankruptcy: Canada (Attorney General) v. Bourassa (Trustee of) , 2002 ABCA 205, 312 A.R. 19, at para. 5. Shaver-Kudell did not obtain the s. 178 declaration until December 2020. [29] In my view, the motion judge’s order involves the future rights of both parties: Knecht’s right to be discharged from the debts and liabilities arising out of the judgments in the Action and Shaver-Kudell’s right, as a creditor of the bankrupt, to enforce the judgments following his discharge from bankruptcy. [30] While Shaver-Kudell is able to continue proceedings against Knecht, it does not have a present right to enforce the judgment of R. Smith J. against Knecht. This right is suspended by the bankruptcy and will be eliminated by the discharge, absent the order declaring its survival. In light of the motion judge’s order, this right will arise in the future, upon Knecht’s discharge. As lower courts have noted, “[a] creditor’s right of action for a debt not released by the debtor’s discharge arises upon the discharge of the debtor”: Lang v. Soyatt (1988), 68 C.B.R. (N.S.) 201, (Ont. Sup. Ct.), at para. 13; Re Wilson (1930), 11 C.B.R. 425 (Ont. Sup. Ct.). See also Re Cameron , 2002 ABCA 183, 37 C.B.R. (4th) 78 (In Chambers), at paras. 5-6. Extension of Time [31] Apart from arguing the jurisdiction point, Shaver-Kudell asserted that the extension of time should be refused because the appeal lacks merit. Shaver-Kudell did not dispute that Knecht formed a bona fide intention to appeal within the relevant timeframe, nor did it oppose the requested extension on the basis of the length of or explanation for the delay in filing the notice of appeal. [32] Turning to the merits of the appeal, the question is only whether there is “so little merit in the proposed appeal that the appellant should be denied [his] important right of appeal”: 40 Park Lane Circle v. Aiello , 2019 ONCA 451 (In Chambers), at para. 8. It is sufficient to say that the appeal has at least an arguable chance of success. [33] Among other things, the appeal raises legitimate questions about the interpretation of “obtaining property by false pretences” within s. 178(1)(e), and whether the test under that provision was properly applied in the circumstances in this case. In finding that Knecht’s conduct fell within s. 178(1)(e), the motion judge declined to adopt the Criminal Code definition of false pretences, which he found would amount to a requirement of fraudulent misrepresentation. As Knecht points out, there are cases that follow the definition of false pretences in the Criminal Code , or at least suggest that there must be a finding of fraud or an actionable misrepresentation (which were not present in this case): see e.g. H.Y. Louie Co. v. Bowick , 2015 BCCA 363, 28 C.B.R. (6th) 1; Celanese Canada Inc. v. Murray Demolition Corp. , [2010] O.J. No. 6347 (S.C.), at para. 22; and Toronto Dominion Bank v. Cushing , 2007 BCSC 1581, 37 C.B.R. (5th) 60. [34] For these reasons the motion to extend time to file the notice of appeal was granted. IV Motion for Security for Costs [35] An order for security for costs may be made under r. 61.06(1) of the Rules of Civil Procedure , R.R.O. 1990, Reg. 194, where (a) there is good reason to believe that the appeal is frivolous and vexatious and that the appellant has insufficient assets in Ontario to pay the costs of the appeal; (b) an order for security for costs could be made against the appellant under r. 56.01; or (c) for other good reason. Rule 61.06(1) is permissive, not mandatory. In determining whether an order should be made for security for costs, the “overarching principle to be applied to all the circumstances is the justness of the order sought”: Yaiguaje v. Chevron Corporation , 2017 ONCA 827, 138 O.R. (3d) 1, at para. 19. [36] Shaver-Kudell moves for security for costs of the appeal under r. 61.06(1)(c). It argues that security under this provision is warranted because the appeal has little merit and it will be difficult to recover costs of the appeal from Knecht, who is bankrupt. Shaver-Kudell points to the unpaid costs award of almost $400,000, that has been outstanding since 2019, and contends that Knecht should not be able to “litigate with impunity” where the reasonable inference is that someone else is paying the costs of his appeal. [37] In response to the motion, Knecht asserts that his appeal has merit. He has not paid the outstanding costs because he is bankrupt, and if he is successful in his appeal he will be discharged from Shaver-Kudell’s claims. Knecht contends that he is impecunious and unable to pay security for costs; he has provided copies of the Creditor’s Package in his bankruptcy and information about his earnings and expenses. His assets are vested in the trustee, and although he is working and earning income, any surplus income he earns will vest in the trustee. [38] To grant security for costs under r. 61.06(1)(c), the “other good reason” must be compelling. Resort is to this provision when the respondent has been unable to obtain security under the other two categories, and security for costs under r. 61.06(1)(c) should not be made routinely: Combined Air Mechanical Services Inc. v. Flesch , 2010 ONCA 633, 268 O.A.C. 172 (In Chambers), at para. 8. Security for costs has been awarded under this provision where an appeal has a low prospect of success and the appellant has the ability to pay costs, but it would be nearly impossible to collect such costs: Perron v. Perron , 2011 ONCA 776, 286 O.A.C. 178 (In Chambers), at para. 23; Henderson v. Wright , 2016 ONCA 89, 345 O.A.C. 231 (In Chambers), at para. 27. Other examples include circumstances where there has been a finding that the appellant committed fraud, particularly if coupled with a finding that the appellant took steps to put his assets out of the reach of his creditors: York University v. Markicevic , 2017 ONCA 651 (In Chambers), at para. 58. [39] This is not such a case. I have determined that Knecht has a right of appeal, and that the appeal is of arguable merit. Furthermore, there has not been any finding that Knecht committed fraud or tried to put his assets out of reach of his creditors. His failure to pay the outstanding costs order of R. Smith J. is not (as in some cases) evidence of intransigence or contempt for orders of the court. Knecht is bankrupt and but for the order under appeal, his debts and liabilities in the Action, including the outstanding costs order, will not survive his discharge from bankruptcy. [40] In these circumstances, Shaver-Kudell has not met the test for security for costs and its motion is dismissed. V Disposition [41] For these reasons, Knecht’s motion for an extension of time was granted and Shaver-Kudell’s motion for security for costs is dismissed. If the parties are unable to agree on the costs of the motions, they may provide their written submissions not exceeding three pages each (and filed electronically at coa.e-file@ontario.ca), within ten days of these reasons. “K. van Rensburg J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: Spadacini Kelava v. Kelava, 2021 ONCA 345 DATE: 20210519 DOCKET: M52443 (M52096) Jamal J.A. (Motions Judge) BETWEEN Joelle Spadacini Kelava Responding Party and David George Kelava Moving Party Donna Wowk, for the moving party Martha McCarthy, for the responding party Heard: May 17, 2021 by video conference REASONS FOR DECISION [1] The moving party husband (“husband”) moves to stay portions of the order of Kurz J. of the Superior Court of Justice made on December 17, 2020 (“Order”) declaring that the responding party wife (“wife”) is a 50% joint owner of the matrimonial home and directing it to be listed for sale by March 1, 2021. [2] The husband’s materials on the motion for the stay were unclear as to whether he sought a stay pending only the decision on his motion for leave to appeal to this court from the Order, or whether, if leave was granted, he sought a stay pending the decision on any appeal. In oral submissions, however, counsel for the husband clarified that he seeks a stay pending only the decision on his motion for leave to appeal. [3] The husband tried in mid-February 2021 to obtain the wife’s consent to stay the Order pending a decision on his motion for leave to appeal, but she did not consent. The husband has thus been in breach of the Order for about 11 weeks. [4] For the reasons that follow, the motion to stay the Order is dismissed. Background [5] The parties married in 2000. They have two children of the marriage, aged 12 and 11. Both children have special needs. The younger child has severe autism, while the older child has Attention Deficit Hyperactivity Disorder or ADHD. [6] In 2006, the parties bought a five-bedroom matrimonial home in Oakville. The wife contributed $120,000 of her savings towards the purchase price and was jointly on the mortgage covenant. For a long time, both the husband and wife believed they jointly owned the matrimonial home. [7] In 2014, the wife relocated with the children to Indianapolis to obtain specialized treatment for their younger child’s autism. The husband stayed in Ontario. About a year later, the parties separated and the wife began family law proceedings in Ontario. [8] The husband and wife arbitrated their family law dispute before an arbitrator. In their financial statements filed with their pleadings, both parties listed the matrimonial home as jointly owned. Both continued to believe this and represented this position in the family law proceedings until about the end of May 2019. At that time, when refinancing the matrimonial home, the husband learned that it was registered in his name alone. The weekend before the arbitration began in July 2019, the husband now claimed that the matrimonial home was his alone and that only he should benefit from any post-separation increase in value during the four years since the parties’ separation. [9] The arbitrator rendered an award dated September 10, 2019, addressing both parenting and financial matters. He ordered the children returned to the Toronto area. He rejected the wife’s argument that the husband should be estopped from claiming that the matrimonial home was his alone and decided that it should be treated as solely the husband’s asset for equalization purposes. [10] Both parties appealed the arbitrator’s award. The wife’s appeal focussed on the return of the children to Ontario and the treatment of the matrimonial home as solely the husband’s asset. [11] The appeal was heard by Kurz J. (“appeal judge”) of the Superior Court of Justice. He decided the more pressing parenting issues in reasons dated September 16, 2020, reported as Spadacini-Kelava v. Kelava , 2020 ONSC 5561, upholding the arbitrator’s order that the children be returned to Ontario. He then decided the financial issues in reasons dated December 17, 2020, reported as Spadacini-Kelava v. Kelava , 2020 ONSC 7907, 52 R.F.L. (8th) 143, finding that the matrimonial home should be treated as jointly owned. Since the husband had taken the property off the market, the appeal judge ordered that it be listed for sale by March 1, 2021. [12] As ordered by the appeal judge, the wife returned to Ontario in December 2020. Her unchallenged evidence on this motion is that, for the past five months, she and the children have been living in her parents’ bungalow. One child shares a bed with his grandmother, while the wife and the other child sleep on a couch in the basement. The wife cares for the children full-time. Without the balance of the equalization payment owed to her or access to the equity in the matrimonial home, she cannot afford a down payment or qualify for a mortgage. [13] On January 6, 2021, the husband filed his notice of motion for leave to appeal to this court from the Order of the appeal judge. He seeks leave to appeal on various grounds, including alleged procedural unfairness, errors of law, and errors of mixed fact and law. [14] On April 28, 2021, the husband moved to stay the appeal judge’s Order requiring that the matrimonial home be listed for sale by March 1, 2021. [15] The husband has no statutory right to appeal to this court. He has exercised a first right of appeal to the Superior Court, without leave, as provided under the parties’ mediation-arbitration agreement: Arbitration Act, 1991 , S.O. 1991, c. 17, ss. 45(2), (3) and (6). A second appeal requires leave of this court: Arbitration Act, 1991 , s. 49. The Test for a Stay [16] To obtain a stay of a judgment pending a motion for leave to appeal, a moving party must meet the three-part test for an interlocutory injunction: (1) a serious question to be determined on the motion for leave to appeal; (2) the moving party will suffer irreparable harm if the stay is denied; and (3) the balance of convenience favours granting the stay: RJR – MacDonald Inc. v. Canada (Attorney General) , [1994] 1 S.C.R. 311, at p. 334. [17] In applying this test, the court is mindful that “[t]hese three criteria are not watertight compartments. The strength of one may compensate for the weakness of another. Generally, the court must decide whether the interests of justice call for a stay”: Circuit World Corp. v. Lesperance (1997), 33 O.R. (3d) 674 (C.A.), at p. 677. Application to This Case (1) Serious question to be determined [18] The threshold to establish a serious question to be determined is low. The court must make a preliminary assessment of the merits of the case and determine whether the issues are neither frivolous nor vexatious: RJR – MacDonald , at p. 337; Circuit World , at p. 677. [19] The husband’s notice of motion for leave to appeal raises several grounds, including alleged procedural unfairness, errors of law, and errors of mixed fact and law. He asserts that the appeal judge erred because the wife did not apply for ownership of the matrimonial home at the arbitration or plead material facts supporting such an application and that she made these arguments for the first time on appeal. He also claims that the appeal judge decided new arguments on appeal relating to issue estoppel, res judicata , and proprietary estoppel, largely on his own initiative. [20] During the oral argument, the wife’s counsel fairly conceded that the question of whether the court should grant leave to appeal from the order declaring the wife the half-owner of the matrimonial home is not frivolous or vexatious, although she contended other aspects of the leave motion are baseless. [21] I accept and agree with the wife’s concession. Although I have serious doubts about whether the husband can meet the stringent test for leave to appeal, the motion for leave to appeal is neither frivolous nor vexatious. The husband thus meets the low threshold to raise a serious issue. (2) Irreparable harm [22] Irreparable harm is “harm which either cannot be quantified in monetary terms or which cannot be cured, usually because one party cannot collect damages from the other”: RJR – MacDonald , at p. 341. [23] The husband asserts that he will suffer irreparable harm in two respects if the stay is denied. [24] First, he says that the Order requires that he list for sale an asset — the matrimonial home — that he does not want to list for sale and that he would not have to list for sale if he obtains leave to appeal and then wins the appeal. [25] I do not accept this submission. On the evidence before me, the husband has not established irreparable harm. There is no evidence that the matrimonial home is unique or otherwise irreplaceable, and I am not satisfied on the evidence before the court that the husband could meet his equalization obligations without selling the house, even if he obtains leave to appeal and wins the appeal. Because the husband seeks a stay, he bears the evidentiary burden of establishing that he would not have to sell the matrimonial home if he succeeds on the motion for leave to appeal and on the appeal. He has not met this burden. By contrast, the wife adduced compelling evidence on this motion that her husband has been unable to manage his financial obligations since they separated. She provided evidence of his conduct in reducing and then defaulting on his mortgage payments, informing her they were at risk of losing the matrimonial home, defaulting on payment of property taxes, and defaulting on his child support obligations until the wife moved to compel payment. [26] Based on the record before me, I conclude that the first category of harm that the husband claims in being required to sell the matrimonial home is essentially harm that can be quantified in monetary terms. If he obtains leave to appeal and then wins the appeal, there can be a financial adjustment if necessary. [27] Second, the husband asserts that the matrimonial home is the only home the children have known and that given their special needs it would disrupt them to require them to visit him in a new home. [28] I do not accept this submission. There is no cogent and persuasive evidence before the court that the children would be harmed, far less harmed irreparably, if the matrimonial home is listed for sale. The children have lived in Indiana for the last seven years. They visit their father only a few days a month and spend most of their time with their mother, living in difficult conditions in their grandparents’ bungalow. In these circumstances, as the wife contends, the children's interests would be far better served by selling the matrimonial home, as this would allow the wife to access the necessary capital to buy a home for herself and the children where the children would spend most of their time. [29] The husband has thus not met his burden of establishing irreparable harm. (3) Balance of convenience [30] Finally, the balance of convenience involves a determination of who would suffer the greater harm from granting or refusing the stay, pending a decision on the merits: RJR – MacDonald , at p. 342. [31] I find that the wife will suffer greater harm if a stay is granted than the husband will suffer if the stay is refused. [32] Without access to the equity in the matrimonial home — to which a court has found she is legally entitled — the wife cannot purchase a home to provide the children with stable and comfortable living accommodation. The father’s response to this is to assert that at the time of the arbitration the wife intended to rent. But that was two years ago. The wife is now back in Ontario, as ordered by the arbitrator, and wishes to buy a home, as is her right. On the other side of the scale, I see no harm to the husband beyond the inconvenience of selling the house, which is not his preference. On these facts, I find the balance of convenience tips decisively in the wife’s favour. [33] The wife has complied with the appeal judge’s order regarding parenting by returning to Ontario. It is only fair — and in the interests of justice — that the husband now immediately comply with the appeal judge’s order to list the matrimonial home for sale. Disposition [34] The motion is dismissed. [35] If the parties cannot agree on costs, they may file brief written submissions of no more than 3 pages, with a bill of costs, within 15 days. “M. Jamal J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: Sparr v. Downing, 2021 ONCA 40 DATE: 20210119 DOCKET: C67981 van Rensburg, Benotto and Thorburn JJ.A. BETWEEN Bernard René Jean Sparr Applicant (Appellant) and Denise Lee Downing Respondent (Respondent) Karen Kernisant, for the appellant Ian C. Vallance , for the respondent Heard: December 3, 2020 by video conference On appeal from the orders of Justice Michelle O’Bonsawin of the Superior Court of Justice, dated May 24, and June 20, 2019. COSTS ENDORSEMENT [1] The appellant shall pay the respondent costs fixed in the amount of $20,000 inclusive of HST and disbursements. These costs may be considered as support payments for purposes of the Family Responsibility Office. “K. van Rensburg J.A.” “M.L. Benotto J.A.” “J.A. Thorburn J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: Spiridakis v. Li, 2021 ONCA 359 DATE: 20210526 DOCKET: C68570 Juriansz, van Rensburg and Sossin JJ.A. BETWEEN Gus Spiridakis and Carmela Spiridakis Plaintiffs (Respondents) and Guifang Li , Wanchun Jia , and Zolo Realty, Brokerage Defendants ( Appellants ) Vivian Leung and Cheryl Lau, for the appellants Alan Price and Mel Aronoff, for the respondents Heard: May 7, 2021 by video conference On appeal from the order of Justice R. Cary Boswell of the Superior Court of Justice, dated April 15, 2020, with reasons reported at 2020 ONSC 2173. REASONS FOR DECISION [1] At the hearing of the appeal, we dismissed the appeal for reasons to follow. These are our reasons. [2] The appeal arises out of a failed real estate transaction. On June 14, 2017 the parties entered into an agreement of purchase and sale for a house in Stouffville. The purchase price was $1,162,500 and the closing date was September 14, 2017. [3] There were several missed closing dates and extensions. After having agreed to an extension to October 26, 2017, the appellants were unable to close on that date, because the purchasers of their own home were unable to close. The closing of the Stouffville property purchase was extended to October 30, and on that date, the appellants advised they could not close. The respondents’ counsel advised that this was an anticipatory breach. The appellants’ counsel requested a further extension, which the respondents accepted, on proposed modest terms. The appellants did not respond and did not complete the purchase. [4] The respondents relisted the Stouffville property on November 2, 2017. On March 9, 2018, they entered into an agreement to sell the property for $900,000 with a closing date of June 28, 2018. They had agreed to purchase another property, and after the appellants’ default, used bridge financing to complete that purchase. [5] The respondents sued the appellants for damages for breach of the agreement of purchase and sale. The appellants defended the action and counterclaimed for the return of their deposit and a declaration that the purchase and sale agreement had expired as of October 30, 2017. They also commenced a third party action against their real estate agent and lawyer and the parties who had agreed and then failed to complete the purchase of their home. [6] The respondents moved for summary judgment on their claim in the main action and to dismiss the appellants’ counterclaim. Judgment was granted for $298,847.67 ($30,000 of which was ordered to be paid by the release of the deposit to the respondents), together with pre-judgment and post-judgment interest on the full judgment amount, and costs of $22,340.18. The motion judge stayed enforcement of the judgment for a period of six months without prejudice to the appellants bringing a motion to extend the stay prior to its expiry. [7] On their appeal, the appellants raise substantially the same arguments they made in opposition to the summary judgment motion. They assert that the motion judge erred: (a) in concluding that there was no genuine issue requiring a trial with respect to their defences based on non est factum and the respondents’ failure to tender; (b) in granting “partial summary judgment” in the face of an outstanding third party claim; and (c) in his assessment of damages, in particular by concluding that the respondents’ bridge financing costs were foreseeable; and in concluding that the respondents took reasonable steps to mitigate their damages. The appellants also seek to appeal the costs award. [8] The exercise of powers under Rule 20 attracts deference. Whether there is a genuine issue for trial is a question of mixed fact and law; in the absence of an extricable error in principle or palpable and overriding error, this determination should not be disturbed on appeal: Hryniak v. Mauldin , 2014 SCC 7, [2014] 1 S.C.R. 87, at para. 81. No such error has been demonstrated in this case. [9] With respect to the non est factum argument, contrary to the appellants’ argument, the motion judge explained his finding that there was no genuine issue for trial concerning what the appellants understood about the purchase and sale transaction. He accepted that each of the appellants had limited education and facility with the English language, and was relatively unsophisticated, but he stated, “there is no evidence before me that the defendants were mistaken, as a result of a misrepresentation or otherwise, as to the nature or character of the agreement to purchase the Stouffville property”. He noted that the only assertion of mistake related to the consequences of breach: according to Mr. Jia’s affidavit, he believed that if he and his wife failed to close the purchase, they would only risk losing their deposit and financing fees. [10] The motion judge’s findings and his rejection of the defence of non est factum are entirely supported by the record. As he observed, the appellants who had purchased two previous properties, understood they were purchasing the Stouffville property, that there was a financing condition, and that the agreement of purchase and sale would remain binding after they waived that condition. [11] With respect to the alleged failure to tender, the motion judge noted that, while there was a factual dispute about whether the respondents tendered, this was a case of anticipatory breach. He stated that “the law is quite clear that an innocent party need not go through the meaningless exercise of tendering in circumstances of anticipatory breach”. The parties had agreed that time was of the essence, meaning that “they agreed that the time limit manifested by the fixed closing date was an essential term, such that breach of it would permit the innocent party to terminate the agreement”. When the appellants’ lawyer communicated that they were unable to close on the scheduled date, the respondents’ lawyer correctly identified that communication as an anticipatory breach and the respondents were released thereby from any obligation to tender. [12] Contrary to the appellants’ argument, the motion judge’s finding that the appellants manifested an intention not to complete the transaction on October 30 was fully supported by the evidence: their lawyer sent a letter advising that they would be unable to close that day, prompting a response by the respondents’ lawyer that this was an anticipatory breach. If, as the appellants contend, they did not know about some of the lawyers’ correspondence at the time, that is a matter for their third party claim, and does not assist in their defence. [13] As for the argument that the motion judge erred in granting summary judgment in the main action while the third party claim was outstanding, there was no error. [14] This court has cautioned that a motion for partial summary judgment should be considered to be a rare procedure that is reserved for an issue or issues that may be bifurcated from those in the main action and that may be dealt with expeditiously and readily in a cost effective manner: Butera v. Chown, Cairns LLP , 2017 ONCA 783, 137 O.R. (3d) 561, at para. 34. Since the respondents moved for judgment on their entire claim against the appellants, and dismissal of the counterclaim, their motion was not for partial summary judgment in the sense described in Butera. Although this was not a motion for partial summary judgment, it was nevertheless appropriate for the motion judge to consider whether the issues in the main action and the third party action were intertwined, such that there was a potential for inconsistent findings if judgment were granted in the main action in favour of the respondents, while the third party action proceeded. [15] The motion judge undertook the appropriate analysis. He concluded that the respondents’ claims against the third parties were distinct and severable from the issues in the main action. Indeed, Mr. Jia’s affidavit in response to the summary judgment motion makes it clear that the appellants’ real concerns are with various alleged acts of misconduct of their real estate agent and lawyer and the people who failed to complete the purchase of their home, that, among other things, led them to believe they would be able to close the purchase of the Stouffville property and prevented them from doing so. Contrary to the appellants’ argument, the defences are not inextricably intertwined with the claims made in the third party action. There is no risk of an inconsistent finding on the issues in the third party claim. The third parties, who did not defend the main action, will be bound by the findings in the main action: r. 29.05(5). [16] As for the question of damages, there is no error in the motion judge’s conclusion that there was no genuine issue for trial concerning the amount of the respondents’ damages, or the issue of mitigation. [17] The amount included the minimum monthly payments made by the respondents on two lines of credit they had accessed for bridge financing to complete the purchase of their home at the end of October 2017 until they managed to sell the Stouffville property in June 2018. There is no error in the motion judge’s conclusion that such costs were objectively foreseeable in the particular circumstances, where both the appellants and the respondents were purchasing a new home at the same time that they were selling their respective properties. [18] As for the question of mitigation, it was not sufficient that Mr. Jia’s affidavit raised a concern that the respondents had not provided “evidence regarding their efforts to sell the property and to mitigate their loss, including listing agreements, marketing materials, offers received, etc.” The only evidence the appellants offered on mitigation was a letter of opinion from Mr. Au, a real estate agent, which spoke to the market value of the Stouffville property at the end of October 2017, in March 2018 and in June 2018 when it sold. The motion judge considered the limitations of this evidence, which did not address the appellants’ main concern – that it took too long to sell the property in a declining market. He reasonably accepted that the price the respondents obtained for the Stouffville property (which was 95% of the fair market value proposed by Mr. Au), considering their ongoing carrying costs for the home and the cost of bridge financing, was reasonable. The motion judge properly considered that the appellants had chosen not to cross-examine the respondents on why the property was listed for so long, when he concluded that mitigation was not a genuine issue for trial. [19] Finally, no error in principle is alleged or apparent in respect of the motion judge’s determination of costs. [20] The motion judge’s reasons are a model of clarity. He carefully considered all of the appellants’ arguments opposing summary judgment, made findings of fact based on the record and explained with reference to the applicable legal principles why there was no genuine issue for trial, and why summary judgment should issue in the main action. He reasonably granted a stay of enforcement of the judgment, the terms of which are not questioned in this appeal. [21] For these reasons the appeal was dismissed. Costs to the respondents are fixed at $10,000, inclusive of HST and disbursements. “R.G. Juriansz J.A.” “K. van Rensburg J.A.” “L. Sossin J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: Stonehouse Group Inc. v. Ontario (Finance), 2021 ONCA 10 DATE: 20210111 DOCKET: C67441 Lauwers, Miller and Nordheimer JJ.A. BETWEEN Stonehouse Group Inc. Appellant/Moving Party (Appellant) and The Minister of Finance Respondent/Responding Party (Respondent) Justin Kutyan and Thang Trieu, for the appellant Arnold H. Bornstein and Jesse Epp-Fransen, for the respondent Heard: December 4, 2020 by video conference On appeal from the order of Justice Sean F. Dunphy of the Superior Court of Justice dated August 20, 2019, with reasons reported at 2019 ONSC 4876, [2020] C.T.C. 21. Nordheimer J.A.: [1] Stonehouse Group Inc. appeals from the order of the motion judge who answered the following question of law in the negative: In determining a corporation’s entitlement to an enhanced refund interest rate under subsection 82(5) of the Corporations Tax Act , must tax payable take a deduction from a loss carried back into account? [2] The appeal proceeded pursuant to r. 21 of the Rules of Civil Procedure , R.R.O. 1990, Reg. 194, based on an agreed statement of facts. [3] The background facts can be stated briefly. [4] On July 22, 2013, and as a result of some reassessments done by the federal tax authorities, the respondent reassessed the appellant, with respect to its 2008 taxation year, to disallow a deduction for a loss carried back under the Corporations Tax Act , R.S.O. 1990, c. C.40 (the “ CTA ”). This resulted in $560,000 of taxes, plus interest, owed by the appellant for the 2008 Taxation Year. On October 11, 2013, the appellant paid the $560,000 of taxes, plus interest, as it was statutorily required to do regardless of the fact that an objection was outstanding. [5] On September 22, 2015, as a result of the reversal of the federal reassessments, the respondent reassessed the appellant for the 2008 Taxation Year to allow 100% of the loss carry back. On October 4, 2015, the respondent made a refund payment to the appellant, without any refund interest. [1] [6] The appellant objects to the respondent’s failure to pay refund interest on the tax overpayment of $560,000. The appellant says that interest ought to be paid calculated at the enhanced rate that is applicable when taxes have been overpaid as a result of a compelled payment while an objection is outstanding. It is the respondent’s failure to pay that enhanced refund interest that is at the heart of this dispute. [7] Two sections of the CTA are central to the question raised. One is s. 82(5) which reads: Where, by a decision made under section 84 or 92 or by a court, it is finally determined that the tax payable under this Act by a corporation for a taxation year is less than the amount assessed under section 80 to which the objection was made or from which the appeal was taken, and as a result of the decision there is a surplus in the corporation’s tax account for a taxation year or in the corporation’s instalment account for a taxation year, the interest rate prescribed by the regulations for the purposes of this subsection, and not the rate prescribed for the purposes of subsection (4) or 83 (1), as the case may be, shall be used to determine the amount of interest for the purposes of those subsections, for each day that the surplus in the account is attributable to the decision. [8] The other is s. 79(7) which reads; For the purposes of calculating interest payable or allowed under this section or section 82 or 83 in respect of a particular taxation year, and for the purpose of determining the amount of a penalty, if any, to be assessed under subsection 76 (1) or (2) and the amount of tax payable under subsections 78 (4) and (6), (a) the tax payable by the corporation under this Act for a taxation year shall be deemed to be the amount that would otherwise be determined if all amounts deducted by the corporation for that year under section 111 of the Income Tax Act (Canada), as it applies for the purposes of this Act, in respect of a loss for a taxation year after the particular year (in this section referred to as the “loss year”) were not deducted; and (b) the amount, if any, by which the tax payable by the corporation under this Act for the particular taxation year is reduced as a result of a deduction referred to in clause (a) shall be deemed to be an amount paid by the corporation on account of its liability under this Act for the particular year on the day that is the latest of, (i) the first day of the taxation year after the loss year, (ii) the day on which the corporation’s return for the loss year is delivered to the Minister, or (iii) the day on which the Minister receives a request in writing from the corporation to reassess the particular taxation year to take into account the deduction referred to in clause (a). [9] The appellant’s position is that it is entitled to interest calculated at the enhanced rate under s. 82(5) because, after the reassessment in 2013, it had a surplus in its tax account, namely, the amount of tax that it had been required to pay because of the respondent’s refusal to permit the loss carry back when that tax was not, in fact, properly payable. [10] The respondent’s position is that s. 79(7) is a special provision relating to loss carry backs that, according to the respondent, takes this situation out of the effect of s. 82(5). It says that the effect of s. 79(7) is that the tax payable is deemed to be the same as it was before the deduction of the loss. [11] The motion judge agreed with the respondent. He concluded, at para. 38: The consequence of applying the deeming provision to s. 82(5) of the CTA is that refunds arising from one type of successful objection (tax losses) do not receive the benefit of the enhanced rate of interest prescribed by s. 82(5) of the CTA while refunds arising from other types of successful objections do receive the benefit. Analysis [12] The appeal involves a question of law and thus the proper standard of review is correctness: Housen v. Nikolaisen , 2002 SCC 33, [2002] 2 S.C.R. 235, at para. 8. [13] It is agreed that there is no longer a special rule regarding the interpretation of taxing statutes, that is, such statutes are not to be interpreted strictly against the taxing authority as was once the case. Rather, taxing statutes are to be interpreted as any other statute would be, that is, “the words of an Act are to be read in their entire context and in their grammatical and ordinary sense harmoniously with the scheme of the Act, the object of the Act, and the intention of Parliament”: Placer Dome Canada Ltd. v. Ontario (Minister of Finance) , 2006 SCC 20, [2006] 1 S.C.R. 715, at para. 21. [14] I begin my analysis by noting that s. 79(7) is not a model of legislative clarity. If one reads s. 79(7)(a) alone, it would tend to support the position of the respondent. Indeed, on its face, s. 79(7)(a) would deem the tax payable by a corporation to be the tax payable without taking into account any deduction allowed as a result of a loss carry back with the result that there would not be any surplus in the taxpayer’s account on which interest would be payable. [15] However, the difficulty with that interpretation is that it would operate to deny a corporation any refund interest, not just refund interest at the enhanced rate. On the respondent’s interpretation, the tax payable is deemed not to take into account the deduction of the loss carry back and, thus, the tax payable is not reduced from the amount that the appellant was compelled to pay. There is, consequently, deemed to be no surplus in the appellant’s tax account resulting from its payment of the $560,000 in taxes. [16] That this becomes the result follows from the use of the word “surplus” in s. 82 of the CTA . I note that it is s. 82 that directly addresses refunds within the CTA . It provides the general right to interest on a refund in s. 82(4), which reads: Interest at the rate prescribed by the regulations shall be calculated and allowed daily to a corporation on the surplus in the corporation’s tax account for a taxation year, for each day there is a surplus in the tax account after the end of the instalment period for the taxation year [17] It is of no consequence how a surplus arises for the purpose of the general right to interest under s. 82(4) because that subsection only gives a right to interest at the normal rate, which is set at below market rates. It is the role of s. 82(5) to provide for the enhanced interest rate where the surplus results from a successful objection to an assessment. Thus, in order to restrict the operation of s. 82(5) to only those cases, it is necessary to refer to the reason why “the tax payable under this Act by a corporation for a taxation year is less than the amount assessed”. [18] The respondent’s position is that the appellant was entitled to normal interest under s. 82(4) but not to the enhanced interest under s. 82(5). However, that is not the logical result of the interpretation of these sections that the respondent advances. Rather, as I have said, that interpretation would deny interest altogether, because s. 79(7)(a) would deem there to be no surplus in the corporation’s tax account. [19] As was observed in Placer Dome , at para. 22, “where the words of a statute give rise to more than one reasonable interpretation, the ordinary meaning of words will play a lesser role, and greater recourse to the context and purpose of the Act may be necessary”. It is clear from the argument before us that the words used in these sections, especially s. 79(7), give rise to more than one reasonable interpretation. [20] The context in which the provisions regarding refund interest are to be considered requires us to go back to the report of The Ontario Committee on Taxation, The Provincial Revenue System , vol. III (Toronto: Queen’s Printer, 1967). It was this report that led to the adoption of the legislation that provided taxpayers with the right to receive interest on overpayments of tax. [2] The report noted, in chapter 25, that under provincial revenue statutes there was “a very uneven balance between the rights of government and the rights of the taxpayer” when it came to the obligation to make payments. [21] The Committee concluded that it was fundamentally unfair for taxpayers not to receive interest on overpayments of tax. The Committee also concluded that, where the overpayment was the result of a compelled payment arising from a dispute as between the taxpayer and the government, the taxpayer should receive interest at an enhanced rate, if the taxpayer was ultimately successful in disputing the tax. Regarding the payment of interest, the Committee recommended the following, ch. 25 at para. 21: Where the taxpayer has overpaid, equity demands that he receive interest on the amount refunded. If the amount has been mutually agreed upon by the taxpayer and the government, the rate of interest should be somewhat below current borrowing rates. This is to avoid a situation where taxpayers might consider themselves invited to use the government as a savings deposit institution by making deliberate overpayments. On the other hand, where overpayment is not determined until after a dispute between the government and the taxpayer, it is only fair that the taxpayer receive interest on overpayment and penalties, if any, at a rate comparable to going market rates. [22] Thus, it can be seen that the fundamental principle put forward by the Committee, and ultimately adopted by the government through amendments to the CTA , is that a taxpayer should receive interest on overpayments of tax. The only difference, in the level of interest to be paid, was between overpayments arising from mistake, voluntary overpayments, or other ordinary events, and overpayments due to a compelled payment arising from a dispute between the taxpayer and the government. [23] I have already noted that the interpretation advanced by the respondent would, taken literally, preclude any payment of interest due to a compelled tax overpayment arising from a loss carry back. While the respondent attempts to restrict its interpretation to only a difference in the rate of interest, normal versus enhanced, that effort cannot be logically rationalized with what the respondent asserts is the effect of s. 79(7)(a). [24] The respondent’s position also cannot be rationalized easily with the presence of s. 79(7)(b). If the respondent is correct in what it says is the effect of s. 79(7)(a), then there would appear to be little need for s. 79(7)(b), at least as it relates to loss carry backs. If the effect of s. 79(7)(a) is that the tax payable is deemed not to be reduced by the loss carry back deduction, then one wonders why it is necessary to establish a date by which the tax is deemed to have been paid. If, on the other hand, s. 79(7) is interpreted as simply a provision, in cases involving loss carry backs, that postpones the date when the deduction in the tax payable arises, and thus when interest would begin to accrue, then s. 79(7)(a) and (b) work together in a harmonious fashion. [3] [25] Yet another problem arises with respect to the respondent’s position. The respondent would carve out of the government’s obligation to pay interest at the enhanced rate arising from a taxpayer’s successful objection, all situations where the taxpayer’s success involves the application of a loss carry back. Indeed, as I have already said, the respondent’s position would result in this carve out eliminating any right to interest at all. However, the respondent is unable to point to any justification offered by anyone anywhere that explains why this carve out was considered to be necessary. There is no explanatory note to the legislation. There is no report from a legislative or other advisory committee. There is no statement by the Minister in the Legislature. There is no policy statement from the Ministry. There is nothing that explains why this is a desirable result in this one particular situation – a result that appears to be directly at odds with the recommendation of The Ontario Committee on Taxation regarding the payment of interest that was otherwise adopted through amendments to the CTA . [26] On that point, the respondent’s reliance on the principle that governments have the right to legislate illogically is not a persuasive one. [4] It is also not a principle of statutory interpretation to be readily invoked. [27] The motion judge relied on Connaught Laboratories Ltd. v. Canada (1994), 94 D.T.C. 6697 (F.C.T.D.), as supporting his interpretation of s. 79(7). However, it does not. That decision involved a section of the Income Tax Act , R.S.C. 1985, c. 1 (5th Supp.), not the CTA . It was not a section dealing with the payment of interest on overpaid taxes. In addition, the concerned section mirrored the language of an earlier version of s. 79(7), not the version that is at issue in this case. Still further, the decision in Connaught addressed the liability for tax in the period from the original taxation year, not from the later date when the taxpayer sought to apply other deductions. The appellant does not seek to take its claim for interest back to that earlier period. Simply put, the decision in Connaught is not helpful here. [28] The motion judge concluded, at para. 40: It is not my role to second-guess the very specific and unambiguous language the Legislature has chosen to use. There is neither absurdity nor manifest error that can be pointed to as resulting. [29] In fact, as I have already illustrated, there is a manifest error in the interpretation urged by the respondent, and adopted by the motion judge, and that is that the appellant would be disentitled to any interest payment. That result is not only manifestly unfair, it is directly contrary to the legislative context in which the interest payment provisions were adopted more than 60 years ago. And, as I have already mentioned, there is no explanation offered for why the Legislature would have desired that result in this particular situation. [30] The language in s. 79(7) is not unambiguous when read in its entire context. While it is not necessary to resort to it in this case, I would note that there remains “a residual presumption in favour of the taxpayer”: Placer Dome , at para. 24. Given the history of the legislative provisions regarding the payment of interest, an interpretation which favours the underlying policy choice of fairness to the taxpayer is to be preferred. Conclusion [31] I would allow the appeal, set aside the order below, and answer the question posed in the affirmative. The parties advised us that they had agreed on the disposition of the costs of the appeal with the result that we do not have to address that issue. Released: January 11, 2021 “PL” “I.V.B. Nordheimer J.A.” “I agree. P. Lauwers J.A.” “I agree. B.W. Miller J.A.” [1] For the sake of clarity, I would note that there are two interest rates used for the purpose of paying interest on refunds. One is what I will refer to as the “normal” rate of interest and the other is the “enhanced” rate of interest. Because of the current state of low interest rates, the calculation of the normal interest rate results in a zero percent rate. [2] At common law, absent a statutory or contractual requirement to do so, the Crown was not obligated to pay interest on money that it owed: Whitefish Lake Band of Indians v. Canada (Attorney General) , 2007 ONCA 744, 87 O.R. (3d) 321, at para. 86. [3] It should be noted that the appellant is only seeking interest for the period from the time that it was compelled to pay the additional tax in 2013 and the time when the Government refunded that tax. It does not seek interest going back to the 2008 taxation year. [4] R. v. McIntosh , [1995] 1 S.C.R. 686, at para. 41.
COURT OF APPEAL FOR ONTARIO CITATION: Sub-Prime Mortgage Corporation v. Kaweesa, 2021 ONCA 215 DATE: 20210406 DOCKET: M52319 (C69127) Paciocco J.A. (Motion Judge) BETWEEN Sub-Prime Mortgage Corporation and Elle Mortgage Corporation Plaintiffs (Respondents/Moving Parties) and David Kaweesa , Jacqueline Kaweesa and Jeremy Kaweesa Defendants ( Appellants / Responding Parties ) AND BETWEEN David Kaweesa and Jacqueline Kaweesa Plaintiffs by Counterclaim (Appellants/Responding Parties) and Sub-Prime Mortgage Corporation, Elle Mortgage Corporation and Terry Walman Defendants by Counterclaim (Respondents/Moving Parties) Glenn Cohen, for the moving parties Sub-Prime Mortgage Corporation and Elle Mortgage Corporation Ranjan Das, for the moving party Terry Walman Matthew Tubie, for the responding parties Heard: March 29, 2021 by video conference ENDORSEMENT FACTUAL BACKGROUND [1] The moving party mortgagee Elle Mortgage Corporation (“Elle Mortgage”) holds a first and fifth mortgage on a residential property at 68 Cotswold Crescent in the City of Toronto (the “Cotswold Property” or the “Property”). The moving party mortgagee Sub-Prime Mortgage Corporation (“Sub-Prime”) holds a second mortgage on the Cotswold Property. I shall refer to the moving parties Elle Mortgage and Sub-Prime collectively as the “Mortgagees”. [2] Title to the Cotswold Property is held by the responding party mortgagor Jacqueline Kaweesa (“Jacqueline”) and her son Jeremy Kaweesa (“Jeremy”). The mortgages held by the Mortgagees secure debts owed by Jacqueline and her husband, the responding party mortgagor David Kaweesa, who both currently reside at the Cotswold Property. Jeremy resides elsewhere. [3] The Cotswold Property is heavily encumbered, including by third and fourth mortgages and a priority lien in favour of the City of Toronto for unpaid taxes and water levies. There is also a certificate of lien in favour of the Minister of National Revenue against the Property dating back to April 2015. [4] The responding parties fell into arrears on the mortgages held by the Mortgagees. In a separate proceeding, the Mortgagees obtained default judgment against Jeremy. The mortgage enforcement action underlying this motion was discontinued as against Jeremy but proceeded against the responding parties, who issued a counterclaim against the Mortgagees and the moving party Terry Walman, the Mortgagees’ principal. Ranjan Das now represents Mr. Walman. The Minutes of Settlement [5] After several settlement conferences conducted by Stinson J., the parties executed minutes of settlement dated November 3, 2020, which underwent modest modifications in an addendum dated November 20, 2020 (together, the “Minutes of Settlement”). I will now summarize the terms of the Minutes of Settlement which are germane to the motion before me. [6] First, the parties agreed that if the responding parties paid $2.1 million made out to Elle Mortgage on or before January 25, 2021, mortgage discharges would be arranged and the instant action and counterclaim against Mr. Walman would be dismissed without costs. [7] Second, at para. 13 of the Minutes of Settlement, the responding parties agreed that if they did not make the $2.1 million payment before January 25, 2021, judgment in favour of the Mortgagees would “immediately issue”, requiring the responding parties to: 1) pay to the Mortgagees the amount of $2.7 million inclusive of prejudgment interest and costs, plus post-judgment interest at a rate of 8.5 percent per annum; 2) dismiss their counterclaim; and 3) give possession of the Property over to the Mortgagees, who would have leave to issue a writ of possession. [8] Third, pursuant to para. 5, Mr. Das agreed to execute a letter set out in a schedule to the Minutes of Settlement and undertook to “answer any potential queries from potential lenders by confirming the contents of the letter.” [9] Fourth, pursuant to para. 19 (reproduced below at para. 24), the parties permitted Stinson J. to remain seized of the action “for any purpose in connection with implementing these Minutes of Settlement”. Non-compliance with the Minutes of Settlement [10] The responding parties did not pay $2.1 million to the Mortgagees by the January 25, 2021 deadline. The Mortgagees brought a motion for judgment in accordance with the Minutes of Settlement. Having been unable to secure financing, the responding parties resisted the motion and requested an extension of the payment deadline. They argued the Minutes of Settlement had been frustrated by the ongoing COVID-19 pandemic and additional lockdown measures. The financing “commitment letter” the responding parties relied upon to support their extension request was unsigned and contained conditions that the responding parties clearly could not satisfy. [11] In reasons on the motion for judgment dated January 29, 2021, Stinson J. denied the extension. He ruled that, since he was enforcing the Minutes of Settlement, it was not open to the court to re-write the agreement by changing the deadline and that, in any event, the responding parties knew the Property was heavily encumbered and took a knowing risk that they may not be able to secure requisite financing in time to meet the deadline. According to Stinson J., all parties had been aware of the COVID-19-related restrictions when they executed the Minutes of Settlement and those restrictions “were not of a nature that would preclude [the responding parties] from refinancing.” [12] Stinson J. further ruled that the Minutes of Settlement were not frustrated because the pandemic (1) had not altered the obligations the responding parties had assumed, and (2) did not constitute a supervening event, as the pandemic was ongoing “with no prospect of early resolution” when the Minutes of Settlement were executed. [13] Stinson J. therefore granted judgment in favour of the moving parties on the terms provided for in the Minutes of Settlement; namely, a money judgment against the responding parties for $2.7 million, the termination of the counterclaim, and a writ of possession against the Property (the “Judgment”). The Temporary Stay [14] However, Stinson J. added a term to the Judgment, at para. 5, temporarily staying enforcement of the writ of possession: “enforcement of the writ of possession is stayed for 90 days after the termination of the State of Emergency in Ontario”. I shall refer to this term as the “Temporary Stay”. The Stay Condition [15] Stinson J. imposed two conditions on the Temporary Stay. Only one of those conditions, at para. 5(i) of the Judgment, is material to the motions before me. It stated that the Temporary Stay was “conditional on the [responding parties] complying with” the following term: The [responding parties] shall pay to the City of Toronto in reduction of realty tax arrears $3,000.00, monthly on the 15 th day of each month starting February 15, 2021…. I shall refer to this term as the “Stay Condition”. [16] The responding parties are in breach of the Stay Condition; they have not made the $3,000 monthly realty tax payments to date. Their counsel on this motion, who did not represent them before Stinson J., now argues that the responding parties are not required to comply with the Stay Condition because they claim to have an agreement with the City of Toronto relieving them from the obligation to make tax payments until this action is settled. RELIEF SOUGHT BY THE MOVING PARTIES [17] The responding parties have appealed the Judgment to this court. In the meantime, the moving parties ask me to grant the following relief: 1) An order that the responding parties post security for the moving parties’ costs of the appeal; 2) An order lifting or revoking the Temporary Stay of the writ of possession contained in the Judgment; 3) An order that the responding parties post further security of $11,037 for the costs awarded in the Judgment; and 4) An order expediting the hearing of this appeal. ANALYSIS (1)     Security for Costs [18] To order a party to post security for costs, I must be persuaded that the preconditions provided for in the relevant rule are met and that it is in the interests of justice to exercise my discretion to make such an order: Heidari v. Naghshbandi , 2020 ONCA 757, 153 O.R. (3d) 756, at para. 6. The moving parties seek an order for security for costs under rr. 61.06(1)(a) and (c). I need only to consider r. 61.06(1)(a). [19] I cannot make an order pursuant to r. 61.06(1)(a) unless: (i) there is good reason to believe that the appeal is frivolous and vexatious, and (ii) the responding parties have insufficient assets in Ontario to pay the costs of their appeal. (a) There is good reason to believe the grounds of appeal are frivolous [20] With respect to the first precondition, I am satisfied there is good reason to believe that the grounds advanced by the responding parties in their appeal are “frivolous”, in that there is good reason to believe that those grounds are “devoid of merit, with little prospect of success”: Heidari , at para. 10. The grounds of appeal regarding Mr. Das [21] The first two grounds of appeal are challenges to the conduct of Mr. Das which the responding parties say were raised before Stinson J. in the proceedings below. Namely, the responding parties allege that Mr. Das impeded the responding parties’ efforts to obtain financing by refusing or failing “to answer potential queries from potential lenders confirming the contents of the executed letter”, contrary to his obligations under para. 5 of the Minutes of Settlement (reproduced above at para. 8). [22] In my view, there is good reason to believe that these two grounds of appeal are devoid of merit and have little prospect of success on appeal. This is because there is good reason to believe the issues underlying these grounds of appeal were not raised before Stinson J. The moving parties point to four considerations which I find support my conclusion: 1) Jacqueline’s first affidavit was executed on January 25, 2021 and filed before Stinson J. It says nothing about Mr. Das’ compliance with the Minutes of Settlement. Jacqueline’s second affidavit, which includes exhibited documents the responding parties claim to be relevant to Mr. Das’ compliance, was executed on March 23, 2021, long after Stinson J.’s Judgment was rendered. 2) Mr. Walman’s affidavit, dated March 17, 2021, asserts that no evidence was presented and no argument made before Stinson J. relating to Mr. Das. Mr. Walman also attests: “I attended the virtual hearing and I saw and heard [prior counsel for the responding parties] expressly state that her clients were not making allegations regarding Mr. Das.” This assertion is uncontradicted on the evidence before me. 3) Mr. Das appeared on this matter before Stinson J. Had his conduct been a material issue in the case, as alleged by the responding parties, he would have been in a position of conflict. It is unlikely that he would have been permitted to continue as counsel. 4) In his thorough decision, Stinson J. makes no mention of what the responding parties now claim was a central issue before him. In my view, it is highly probable that Stinson J. would have addressed this issue if it had been raised before him. The ground of appeal related to Stinson J.’s role in the proceedings [23] One of the remaining two grounds of appeal is that Stinson J. erred in presiding over the motion for judgment after having presided at the settlement conferences. The responding parties contend that Stinson J. erred by treating the matter before him as a consent judgment, when in fact it was contested. [24] There is good reason to believe that this ground of appeal is also devoid of merit. Rule 50.10(1) permits pre-trial conference judges to preside at the trial of an action with the written consent of the parties. Paragraph 19 of the Minutes of Settlement provide as follows: The parties agree that the Honourable Justice D. Stinson will, subject to His Honour’s discretion, remain seized of this action and [the action against Jeremy] for any purpose in connection with implementing these Minutes of Settlement including, if necessary, scheduling and dealing with next steps if Jeremy Kaweesa does not sign these Minutes of Settlement and the signing of Judgment on January 26, 2021. [25] This provision appears to constitute clear written consent by the parties to Stinson J. presiding over the motion for judgment. I am therefore satisfied that there are good grounds to believe that this ground of appeal is frivolous. The ground of appeal regarding frustration of the Minutes of Settlement [26] The final ground of appeal is that Stinson J. erred in failing to find that the Minutes of Settlement were frustrated. Stinson J. held that the doctrine of frustration did not apply because: (1) the pandemic was not a supervening event, but was contemplated by the parties at the time of the settlement; and (2) the pandemic and the ensuing lockdown did not render the contract substantially different from the one which the parties had executed. Stinson J. also held that the pandemic had not precluded the responding parties from obtaining financing. Any one of these considerations condemns the frustration argument, indicating that this ground of appeal has little prospect of success. There are therefore grounds to believe this ground of appeal is also frivolous. [27] Accordingly, without declaring that the grounds of appeal are frivolous, I am satisfied that there are grounds to believe that all of them are frivolous because I find they are “devoid of merit, offering little prospect of success”. (b) There is good reason to believe the appeal is vexatious [28] Turning to the second component of the first precondition to r. 61.06(1)(a), I am also satisfied there is good reason to believe that the appeal is “vexatious”. An appeal is vexatious when it is “taken to annoy or embarrass the respondent or conducted in a vexatious manner”: Heidari , at para. 10. [29] The moving parties have identified good reasons to believe that the appeal is being conducted in a vexatious manner. The responding parties have provided nothing to support their claim that allegations about Mr. Das’ non-compliance with the Minutes of Settlement were raised before Stinson J. These allegations jeopardized Mr. Das’ ability to continue representing his client and impugn his good faith. The responding parties have also impugned the integrity and professionalism of Mr. Walman, which does nothing to advance their appeal on the merits. Like those against Mr. Das, the responding parties’ allegations against Mr. Walman are based on material that does not appear to have been before Stinson J. [30] On these bases, I find good reason to believe that the appeal is vexatious. (c) There is good reason to believe there are insufficient funds to pay the costs of the appeal [31] I am also satisfied there is good reason to believe the second precondition of r. 61.06(1)(a) is met; namely, that the responding parties have insufficient assets in Ontario to pay the costs of their appeal. [32] This issue was in controversy before me. The responding parties contend that the Cotswold Property is worth $3.5 million in the current market, based on a November 2020 appraisal. The moving parties contest this, relying on a “drive-by” appraisal of their own, from March 2021, which values the Property at between $2.7 and $2.8 million. [33] The Cotswold Property appears to be the sole asset claimed by the responding parties. Even if one accepts their valuation of $3.5 million, the moving parties argue that there is insufficient equity in the Property to cover the proven encumbrances plus the costs of the appeal. [34] I have reviewed the documentary evidence and I am persuaded that there is good reason to accept the moving parties’ position regarding the encumbrances on the Property. The responding parties have not been making payments on those encumbrances, in some cases for years. The accumulated interest, which only continues to mount, is staggering. (d) Conclusion on security for costs [35] The preconditions to making an order for security for costs pursuant to r. 61.06(1)(a) are therefore met and I exercise my discretion to order security for costs. Doing so is necessary to provide the moving parties, the respondents in the appeal, with a measure of protection for the costs of that appeal. I base the justness of this decision on the facial weakness of the appeal, the promptness with which the motion for security for costs was brought, and the serious risk that, without such an order, the moving parties will be unable to collect a costs award in the likely event that the appeal is unsuccessful. [36] The submissions made by the moving parties on the estimated costs of the appeal are reasonable. I order the responding parties to post $30,000 as security for costs in favour of the Mortgagees. [37] In addition, I order the responding parties to post $7,500 as security for costs in favour of Mr. Walman. (2)    Lifting or Revoking the temporary STAY [38] I do not accept the responding parties’ position that they are not in breach of the Stay Condition. The responding parties have not proven the “agreement” with the City of Toronto that they say suspends their obligation to make the required tax payments. More importantly, even if such an agreement exists, it would not alter the condition that the Temporary Stay is premised upon; namely, that the responding parties pay $3,000 monthly to the City of Toronto. The Stay Condition is not contingent on the City of Toronto demanding payment; the payments are to be made “in reduction of the realty tax arrears.” The responding parties breached the Stay Condition in February 2021 and again in March. (a) A conditional writ of possession is not automatically stayed on appeal [39] Nor do I accept the responding parties’ position that a term providing for a writ of possession is automatically stayed pursuant to r. 63.01(1). Rule 63.01(1) provides as follows: The delivery of a notice of appeal from an interlocutory or final order stays, until the disposition of the appeal, any provision of the order for the payment of money, except a provision that awards support or enforces a support order. [40] The provision of the Judgment at issue provides conditionally for a writ of possession. It is not an order for the payment of money. In my view, the nature of an order for a writ of possession does not change because it is conditional on the payment of money to a third party. It is evident that r. 63.01(1) is intended to automatically stay monetary remedies secured by the respondent to an appeal, pending that appeal. Manifestly, r. 63.01(1) is not intended to stay in rem remedies, and the order requiring the responding parties to pay their realty taxes is not a monetary remedy in favour of the moving parties. Rather, it is a modest condition attaching to an indulgence granted by Stinson J. to the responding parties on this motion, no doubt intended to ameliorate the hardship of the in rem order for a writ of possession. If interpreted as suggested by the responding parties, the purpose of r. 63.01(1) would be exceeded and frustrated. [41] Accordingly, the conditional order for a writ of possession in the Judgment is not automatically stayed pending the responding parties’ appeal. [42] However, that does not end the matter. The Temporary Stay is tied to an in rem remedy and therefore remains in place pending appeal unless and until it is set aside, as the moving parties ask me to do. (b) The Temporary Stay should be lifted [43] The moving parties submit that, given the responding parties’ breach of the Stay Condition, the Temporary Stay should be lifted and a writ of possession should issue. They argue that since this matter is now before this court, Stinson J. is functus and lacks the jurisdiction to make such an order. Therefore, they submit that I have authority to grant the order sought as a single judge of the Court of Appeal, either by necessity or pursuant to s. 134(2) of the Courts of Justice Act , R.S.O. 1990, c. C.43 (“ CJA ”), which provides as follows: On motion, a court to which a motion for leave to appeal is made or to which an appeal is taken may make any interim order that is considered just to prevent prejudice to a party pending the appeal. [44] I agree with the moving parties that CJA s. 134(2) authorizes an appellate court to remove a stay as an interim order pending an appeal: Paul M. Perell and John W. Morden, The Law of Civil Procedure in Ontario , 4th ed. (Toronto: LexisNexis Canada, 2020), at ¶12.160. As acknowledged by Laskin J.A. (in Chambers), the jurisdiction conferred by s. 134(2) may be exercised by a single judge of this court pursuant to s. 7(2) of the CJA : Hakim Optical Laboratory Ltd. v. 1570710 Ontario Ltd. , 2010 ONCA 627, [2010] O.J. No. 4102, at para. 5. [45] The jurisdiction under CJA s. 134(2) is broad, but it is not unlimited. The focus of any remedy provided under s. 134(2) must be on preventing prejudice in the context of the appeal and the interests of justice: Waxman v. Waxman (2003), 168 O.A.C. 217, at para. 21 (C.A.). [46] The test for granting relief under s. 134(2) is the same as that for granting a stay pending appeal pursuant to r. 63.02(1): Abuzour v. Heydary , 2015 ONCA 249, 126 O.R. (3d) 101, at para. 24. It is based on the test for an interlocutory injunction set out by the Supreme Court of Canada in RJR-MacDonald Inc. v. Canada (Attorney General) , [1994] 1 S.C.R. 311, at p. 334. Namely, it must be established that it is in the interests of justice to exercise the judge’s discretion to lift or remove the stay, given the relative strengths and weaknesses of the following criteria: 1) there is a serious question to be adjudicated on appeal; 2) the moving party would suffer irreparable harm if the relief were refused; and 3) the balance of convenience favours the moving party (i.e., the moving party would suffer greater harm if the relief were not granted than would the responding party if the relief were granted). There is a serious question to be determined on appeal [47] Obviously, the relevant concern under the first RJR-MacDonald criterion is whether the moving party has identified a serious question to be adjudicated on appeal that supports the relief sought. Here, the moving parties contend that the trial judge’s discretionary Temporary Stay should be set aside, in part, because the grounds of appeal that are to be adjudicated are weak and unlikely to succeed. I have already found that there is good reason to believe that the grounds of appeal are frivolous. The position of the Mortgagees that will be adjudicated on the appeal – that the appeal should be rejected – is therefore a serious one, thereby satisfying the first RJR-MacDonald consideration. Indeed, the weakness of the appeal pushes strongly in favour of the relief sought. The moving parties will suffer irreparable harm if the Stay is not lifted [48] I am also satisfied that unless the Temporary Stay is set aside, the moving parties will suffer irreparable harm, thereby supplying the prejudice required for relief under s. 134(2). Given the weakness of the grounds of appeal, there is every reason to believe that this appeal is being used as a litigation tactic to delay enforcement of the Minutes of Settlement. The responding parties have a strong incentive to employ such a tactic. They remain in the residence pending appeal and are not making payments on any of the mortgages against the Property, nor have they been paying the property taxes and water charges they are incurring. [49] As these expenses accumulate, the equity in the Cotswold Property is reduced, as is the strength of the Mortgagees’ security for the responding parties’ debt to them and to the City of Toronto, which the Mortgagees will have to discharge before recovering the funds they are owed. Meanwhile, as the unpaid interest on the mortgages accumulates, the Mortgagees’ investment in the Property is increasing, further reducing the prospect that full collection will ever be achieved. Moreover, if the Temporary Stay is not lifted and the status quo is maintained, the Mortgagees will be unable to access the capital they have tied up in the Property until the appeal is finalized. [50] These harms will be irreparable if the heavily encumbered Property proves insufficient as security for the Mortgagees’ investment, because it is evident that personal judgments against the responding parties will almost certainly go unpaid. The responding parties have an established history of not paying their debts. The balance of convenience favours the moving parties [51] I am equally persuaded that the balance of convenience favours the moving parties. As I have already described, if the Temporary Stay is not lifted, the moving parties will suffer irreparable harm. [52] On the other hand, I appreciate that if possession is given over to the Mortgagees, the responding parties will be displaced from their residence and much of the benefit of their appeal would be lost. However, three things must be emphasized. [53] First, the responding parties agreed to pay the mortgage debts secured against the residence they now inhabit. Displacement in the event of non-payment was a consequence they accepted. There was no suggestion made before me that the money in question is not owed to the Mortgagees. [54] Second, as I have said, the responding parties are living in the residence without paying the expenses associated with doing so. In the circumstances, their moral and legal claim to entitlement to remain in the Property is diminished. [55] Third, the outcome of lifting the Temporary Stay is simply that the responding parties may lose possession of the Property before the expiry of the State of Emergency in Ontario, as provided for in the Judgment. In other words, lifting the Temporary Stay now does not remove a benefit the responding parties were guaranteed to enjoy until the end of their appeal. [56] In the circumstances, the responding parties’ argument that the balance of convenience lies with them is unpersuasive. I am satisfied that the balance of convenience favours the moving parties. The interests of justice favour lifting the Temporary Stay [57] Finally, since the order I am being asked to make is discretionary, I will consider the relative equities at play. [58] First, the responding parties have shown an unwillingness to pay their debts, including to the Mortgagees, yet no explanation for this conduct has been offered. [59] Second, the responding parties freely entered into Minutes of Settlement with the benefit of legal representation, but then sought to disavow their agreement. Notwithstanding their attempt to do so, Stinson J. generously granted them an indulgence to ameliorate the hardship that the writ of possession would cause, subject to the very modest precondition that they begin repaying money they owe to the City of Toronto. They breached that precondition, and then claimed before me that an unproven deal with the City relieved them from having to do so. [60] Third, it appears that the responding parties have burdened the Mortgagees by complicating the underlying appeal with inappropriate and legally gratuitous allegations against two lawyers, Mr. Das and the moving party Mr. Walman. [61] In my view, the equities in this case militate in favour of granting the discretionary relief sought by the moving parties. [62] Based on the foregoing, I am satisfied that it is in the interests of justice to lift the Temporary Stay pursuant to s. 134(2) of the CJA . (3)    The Costs of the proceedings below [63] I am not prepared to order payment of the costs below. In the unlikely event that the appeal is successful, that costs order is apt to be set aside. Although I am empowered to do so, I would not exercise my discretion to order payment of a costs order that remains a live issue before this court. (4)     Expediting the Appeal [64] In my view, given the orders I am making for security for costs and to lift the Temporary Stay, there is no need to expedite the appeal. DISPOSITION [65] For the reasons set out above, I order the following: 1) The motions for security for costs are granted. The responding parties shall post the following amounts within 10 business days of the release of this decision: a. $30,000 to secure the costs of the appeal to the moving party Mortgagees; and b. $7,500 to secure the costs of the appeal to the moving party Mr. Walman. 2) The motion for an order lifting the Temporary Stay of enforcement of the writ of possession is granted. Paragraph 5 of Stinson J.’s Judgment dated January 29, 2021 is hereby set aside. 3) The motion for payment of the costs in the proceedings before Stinson J. is dismissed. 4) The motion expediting the appeal is dismissed. [66] Costs in this motion are payable to the moving party Mortgagees in the combined amount of $2,500, inclusive of disbursements and HST. Costs on this motion are also payable to the moving party Mr. Walman in the amount of $1,000, inclusive of disbursements and HST. “David M. Paciocco J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: Subway Franchise Restaurants of Canada Ltd. v. BMO Life Assurance Company, 2021 ONCA 349 DATE: 20210526 DOCKET: C68087 Juriansz, Huscroft and Jamal JJ.A. BETWEEN Subway Franchise Restaurants of Canada Ltd. Applicant (Appellant) and BMO Life Assurance Company, Bank of Montreal, and Yonge Melinda Realty Inc. Respondents (Respondents) Christopher J. Cosgriffe and Mark T. Dzurman, for the appellant Mitch Koczerginski, for the respondents Heard: May 10, 2021 by video conference On appeal from the judgment of Justice Edward M. Morgan of the Superior Court of Justice, dated January 22, 2020, with reasons reported at 2020 ONSC 371. REASONS FOR DECISION [1] The appellant, Subway Franchise Restaurants of Canada Ltd. (“Subway”), is the tenant in a commercial lease and appeals from the dismissal of its application for relief from forfeiture after it failed to exercise an option to renew the lease within the timeframe specified in the lease. [2] The appellant is the franchisor of Subway restaurants in Canada. The appellant is provided with operational and administrative services by Franchise World Headquarters, LLC (“FWH”), a Connecticut limited liability company. FWH negotiates the leases that the appellant enters into and then sublets to its franchisees. The respondent, BMO Life Assurance Co., was not the original landlord but acquired this lease in October 2008. [3] The lease provided that the renewal option had to be exercised at least 9 months and not more than 12 months prior to the expiration of the term. However, the lease did not specify the expiration date – it provided the lease would begin following fixturing and terminate 10 years later. The application judge found there was no contemporaneous documentation that indicated when the fixturing period ended and the lease began. [4] The documentation accompanying acquisition by BMO included an estoppel certificate executed by the appellant. The estoppel certificate certified that the lease expired on August 23, 2018. Consequently, the appellant’s option to renew had to be delivered between August 24, 2017 and November 23, 2017. The application judge found that the estoppel certificate was “the one and only document that contain[ed] the termination date for the ten-year Lease.” Both parties were in possession of the estoppel certificate. [5] FWH’s central database recorded the lease as expiring on May 31, 2018. The application judge observed that the reason the incorrect date was entered into the FWH database was unexplained. [6] On February 1, 2017, FWH, on behalf of the appellant, sent a letter to BMO indicating its mistaken understanding of the term of the lease: According to our records, the current lease term for the above-referenced location shall expire on May 31, 2018. Pursuant thereto, renewal notice is due on or before May 31, 2017. In the event that any of these dates differ from your records, please contact us in writing immediately as your silence will be an acknowledgement and authorization of their accuracy and our reliance. [7] The letter indicates the entries in the FWH database were incorrect in two respects. The termination date was wrong and the time when notice of renewal could be given was not consistent with the lease. [8] FWH had sent BMO similar letters in earlier years. All went unanswered. The application judge observed these were standard form letters automatically generated that the appellant sent to all of its landlords. FWH sent another letter to BMO on May 1, 2017 asking for confirmation that the lease expired on May 31, 2018 and the right of renewal had to be exercised before August 31, 2017. The FWH employee who authored the May 1, 2017 letter was aware of the date in the estoppel certificate and that the date in the estoppel certificate was different from the date in the FWH database. [9] In accordance with the incorrect date of May 31, 2018 in the FWH database, the appellant purported to exercise the option to renew by providing notice on May 19, 2017. This attempt to renew was outside of the notice period. [10] The application judge rejected the appellant’s argument that BMO had failed to perform the contractual terms of the lease in good faith by remaining silent when the appellant had asked for confirmation of the termination date of the lease and the window for the lease’s renewal. In rejecting this argument, the application judge cited this court’s decision in CM Callow Inc. v. Zollinger , 2018 ONCA 896, 429 D.L.R. (4th) 704. After the application judge’s decision, the Supreme Court reversed this court’s decision: C.M. Callow Inc. v. Zollinger , 2020 SCC 45. In analysing the appellant’s submission that the application judge erred in finding BMO did not breach its duty of good faith, it is necessary to consider the application judge’s decision in light of the Supreme Court’s decision in Callow . [11] The Supreme Court’s decision in Callow does not disturb the application judge’s reasoning in this case. The application judge reasoned that the appellant had the estoppel certificate and did not make diligent efforts to comply with the terms of the lease. He said that the appellant “could have and should have known and complied with the relevant dates for giving notice.” Significantly, the application judge found that BMO did not “intentionally obscure anything from the [appellant]”. He found that BMO was “up front and entirely transparent” with the appellant, including disclosing its plans to redevelop the property and offering the appellant various forms of assistance and compensation for having to relocate. [12] The application judge concluded that the appellant could not “cast blame” on BMO because it had itself “mis-diarized the termination date and so miscalculated the notice date for renewal of the Lease.” He stated the duty of good faith did not require BMO to make sure that the appellant fulfilled its own obligations correctly. [13] The facts as found by the application judge are different from those in Callow in an important respect. In Callow the trial judge had found deception on the part of the defendant that was directly linked to the contract, and the breach of the duty of good faith was premised on that deception. Kasirer J. writing for himself and four other judges said, at para. 38, “ In circumstances where a party lies to or knowingly misleads another , a lack of a positive obligation of disclosure does not preclude an obligation to correct the false impression created through its own actions ” (emphasis added). At para. 104, Kasirer J. spoke of the duty to correct a misapprehension, but this duty arose because of the defendant’s false representations. In the absence of the defendant’s false representations, “the failure to disclose a material fact, without more, would not be contrary to the standard”: at para. 77. [14] Brown J. writing for himself and two other judges in Callow , said, at para. 133, “the question is whether the defendant’s active conduct contributed to a misapprehension that could be corrected only by disclosing additional information” and then stated clearly that “a contracting party is not required to correct a misapprehension to which it has not contributed” (emphasis added). [15] The Supreme Court’s decision in Callow does not support the appellant’s attempt to invoke the duty of good faith performance of a contract in the circumstances of this case. Here, there was no finding, or any basis in the evidence to find, that BMO lied or knowingly misled Subway, created a false impression through its own actions, or actively contributed to Subway’s misapprehension. The application judge applied the correct legal principles to the facts he found. [16] The record amply supported the application judge’s determination that the appellant failed to make diligent efforts to comply with the terms of the lease and his determination that the appellant failed to properly deliver the renewal notice. [17] The appeal is dismissed. Costs of the appeal are fixed in favour of the respondent in the amount of $25,000 all inclusive. “R.G. Juriansz J.A.” “Grant Huscroft J.A.” “M. Jamal J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: T.A.W. v. J.C.L., 2021 ONCA 192 DATE: 20210326 DOCKET: C67517 Fairburn A.C.J.O., van Rensburg and Huscroft JJ.A. BETWEEN T.A.W. Plaintiff/Respondent (Appellant) and J.C.L. Defendant/Moving Party (Respondent) T.A.W., acting in person Natai Shelsen, for the respondent Heard: in writing On appeal from the order of Justice Kevin B. Phillips of the Superior Court of Justice, dated September 6, 2019. REASONS FOR DECISION [1] This is an appeal from a decision arising from a motion brought under r. 21.01(1)(b) of the Rules of Civil Procedure , R.R.O. 1990, Reg. 194, largely striking out the appellant’s pleadings as disclosing no reasonable cause of action. In particular, the appellant’s claims regarding fraudulent misrepresentation, intentional infliction of mental distress, and negligent infliction of mental distress were struck from his statement of claim. The appellant’s claim respecting unjust enrichment was transferred to the Family Court. [2] In his reasons, the motion judge made a publication ban, on his own motion, preventing the publication of any information that may tend to identify the identity of the parties. We are continuing this publication ban on appeal. [3] The appellant argues that the motion judge erred in concluding that the claims of fraudulent misrepresentation and negligent infliction of mental distress disclosed no reasonable cause of action. He also maintains that the motion judge erred by refusing to allow the appellant to amend his statement of claim and by transferring his unjust enrichment claim to the Family Court. The appellant also contends that the motion judge erred in granting costs on a substantial indemnity basis. [4] We do not agree with the appellant’s submissions. The motion judge’s reasons are error free. We agree with the respondent that the motion judge correctly held that the appellant failed to identify a false statement made by the respondent, one that could constitute a fraudulent misrepresentation. The motion judge also correctly held that no duty of care existed between the appellant and respondent that could ground a claim for negligent infliction of mental distress. Nor do we see any basis upon which the pleadings could have been amended in a way that would have cured their deficiencies. The motion judge was also correct to transfer the appellant’s unjust enrichment claim to the Family Court, where the issues could be dealt with expeditiously. Finally, the motion judge’s costs order is entitled to significant deference. It cannot be said that the motion judge erred in principle or was plainly wrong in awarding costs on a substantial indemnity basis: see Hamilton v. Open Window Bakery Ltd. , 2004 SCC 9, [2004] 1 S.C.R. 303, at para. 27. Disposition [5] For the reasons given by the motion judge, the appeal is dismissed. [6] As this was an appeal heard in writing, we will receive written submissions on costs. The respondent will submit her written submissions, of no more than three pages in length, no later than March 31, 2021. The appellant will submit his written submissions, of no more than three pages in length, no later than April 7, 2021. “Fairburn A.C.J.O.” “K. van Rensburg J.A.” “Grant Huscroft J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: T.A.W. v. J.C.L., 2021 ONCA 270 DATE: 20210426 DOCKET: C67517 Fairburn A.C.J.O., van Rensburg and Huscroft JJ.A. BETWEEN T.A.W. Plaintiff/Respondent (Appellant) and J.C.L. Defendant/Moving Party (Respondent) T.A.W., acting in person Natai Shelsen, for the respondent Heard: in writing On appeal from the order of Justice Kevin B. Phillips of the Superior Court of Justice, dated September 6, 2019. COSTS ENDORSEMENT [1] This court issued reasons on March 26, 2021, dismissing the appeal from an order largely striking out the appellant’s pleadings as disclosing no reasonable cause of action, pursuant to r. 21.01(1)(b) of the Rules of Civil Procedure , R.R.O. 1990, Reg. 194. [2] As this was an appeal heard in writing, we invited the parties to file written submissions on costs. We have now received and reviewed those submissions. The respondent seeks costs on a substantial indemnity basis in the amount of $12,004.16. While the appellant acknowledges that the respondent was successful on appeal, he submits that costs should be awarded on a partial indemnity basis in the amount of $8,002.77. [3] Given the nature and the circumstances of the appeal, the respondent is entitled to her requested substantial indemnity costs. [4] Costs on a substantial indemnity basis “are generally awarded only where there has been reprehensible, scandalous or outrageous conduct on the part of one of the parties”: Young v. Young , [1993] 4 S.C.R. 3, at p. 134; Hamilton v. Open Window Bakery Ltd. , 2004 SCC 9, [2004] 1 S.C.R. 303, at para. 26. Notably, the motion judge awarded costs on a substantial indemnity basis, because the appellant’s statement of claim was “offensive” and constituted a “misogynistic attack” on the respondent. We agree with that observation. [5] The appellant argues that his appeal to this court did not include any discriminatory reasoning. He also submits that the mere fact of bringing an appeal does not constitute a continuation of the conduct below. We do not accept this position. [6] Among other things, the appellant’s continuing conduct on appeal includes his reference to the respondent as engaging in a “repeated pattern of deceitful, manipulative and predatory behaviour in her relationships with three other men”. Moreover, as the Supreme Court of Canada indicated in Hamilton , at para. 26, “allegations of fraud and dishonesty are serious and potentially very damaging to those accused of deception.” Here, the appellant attempted to revitalize his claim of fraudulent misrepresentation against the respondent, one that constitutes a continuing unacceptable attack on her integrity and dignity. [7] In these circumstances, it is entirely appropriate to hold the appellant liable for costs on a substantial indemnity basis: Hamilton , at para. 26. [8] For the reasons above, we order that the appellant shall pay to the respondent the requested substantial indemnity costs in the amount of $12,004.16. “Fairburn A.C.J.O.” “K. van Rensburg J.A.” “Grant Huscroft J.A.”
WARNING This is a case under the Child, Youth and Family Services Act, 2017 and subject to subsections 87(8) and 87(9) of this legislation. These subsections and subsection 142(3) of the Child, Youth and Services Act, 2017 , which deals with the consequences of failure to comply, read as follows: 87 (8) Prohibition re identifying child — No person shall publish or make public information that has the effect of identifying a child who is a witness at or a participant in a hearing or the subject of a proceeding, or the child’s parent or foster parent or a member of the child’s family. (9) Prohibition re identifying person charged — The court may make an order prohibiting the publication of information that has the effect of identifying a person charged with an offence under this Part. 142 (3) Offences re publication — A person who contravenes subsection 87(8) or 134(11) (publication of identifying information) or an order prohibiting publication made under clause 87(7)( c ) or subsection 87(9), and a director, officer or employee of a corporation who authorizes, permits or concurs in such a contravention by the corporation, is guilty of an offence and on conviction is liable to a fine of not more than $10,000 or to imprisonment for a term of not more than three years, or to both. COURT OF APPEAL FOR ONTARIO CITATION: T.J.L. v. E.B., 2021 ONCA 75 DATE: 20210204 DOCKET: C68185 Roberts, Zarnett and Sossin JJ.A. BETWEEN T.J.L. Applicant (Respondent) and E.B. Respondent (Appellant) E.B., acting in person Michelle Dwyer, for the respondent Heard: January 26, 2021 by video conference On appeal from the order of Justice Donald J. Gordon of the Superior Court of Justice, dated October 25, 2019, with reasons reported at 2019 ONSC 6096. REASONS FOR DECISION [1] The appellant mother appeals from aspects of the trial judge’s final order made in proceedings claiming divorce and orders concerning the custody, principal residence, and parenting of the parties’ young child. The appellant does not appeal from the trial judge’s divorce order nor the order for joint custody. She submits that the trial judge erred in giving the respondent father the final decision-making power for major decisions concerning their child in the event of disagreement and in ordering that the principal residence of their child remain with the respondent, as it has been since February 2017. The appellant maintains their child’s principal residence should be with her, the appellant should have final decision-making power for major decisions concerning their child in the event of disagreement, and the respondent should pay child support. [2] In her factum, the appellant has raised eight arguments for consideration on appeal. Except for the argument of reasonable apprehension of bias, which we turn to below, the other seven arguments essentially challenge the trial judge’s findings of fact that underpin his decision. In sum, what the appellant characterizes as the trial judge’s misapprehension of the facts and evidence or his failure to assess credibility do not amount to reversible errors on appeal. Rather, these represent the appellant’s disagreements with the trial judge’s assessment and weighing of the evidence, particularly what she contends was his failure to reject the respondent’s evidence. [3] Although submitted as errors of law, similarly, the appellant’s submissions about the trial judge’s application of the criteria under s. 24 of the Children’s Law Reform Act , R.S.O. 1990, c. C.12 (“ CLRA ”), and Gordon v. Goertz , [1996] 2 S.C.R. 27, illustrate her disagreement with the trial judge’s consideration of the evidence and his findings but fail to reveal any error in the trial judge’s analysis or conclusions. In essence, the appellant complains about the weight that the trial judge gave or did not give to the various factors that he considered to determine their child’s principal residence and to allow the respondent to make the final major decisions about their child in the event of disagreement with the appellant. [4] The trial judge extensively reviewed the history of the parties’ relationship and the proceedings to provide context for his findings. He was clear that any past difficulties that the parties experienced were historical issues and neutral factors in his assessment regarding the best interests of their child. In the end, the trial judge gave significant weight to the importance of their child’s stability and determined that it was in the child’s best interests to have the principal residence remain with the respondent. The trial judge’s determination that the respondent has the final decision-making power for major decisions involving their child in the event of disagreement flowed from his determination of the principal residence of their child and, importantly, is not unlimited. In fact, the trial judge’s order indicates that decision-making is the joint responsibility of the parties and requires the parties to meaningfully consult, co-operate, and communicate with each other. [5] In determining the matters before him, the trial judge was properly guided by the primary consideration of the best interests of the child, as dictated by s. 24 of the CLRA . The trial judge’s findings are reasonable and supported by the evidence. It is the trial judge’s task, and not this court’s role, to assess and weigh the evidence and make findings of fact and credibility. In child custody cases, the trial judge’s findings are subject to considerable deference on appeal, and intervention is only warranted when there is a material error, a serious misapprehension of the evidence, or an error in law: Van de Perre v. Edwards , 2001 SCC 60, [2001] 2 S.C.R. 1014, at paras. 11, 13; Perron v. Perron , 2012 ONCA 811, 113 O.R. (3d) 600, at para. 25, leave to appeal refused, [2013] S.C.C.A. No. 26. The appellant has not pointed to any such error or serious misapprehension of the evidence that would permit this court to intervene. [6] Turning to the appellant’s allegation of bias against the trial judge, as the appellant fairly acknowledges, the threshold for establishing bias is a high one. There is a presumption of fairness, impartiality, and integrity in the performance of the judicial role. The grounds and evidentiary support for an apprehension of bias must be substantial. See: Miglin v. Miglin (2001), 53 O.R. (3d) 641 (C.A.), at paras. 29-30, rev’d on other grounds 2003 SCC 24, [2003] 1 S.C.R. 303; Yukon Francophone School Board, Education Area #23 v. Yukon (Attorney General) , 2015 SCC 25, [2015] 2 S.C.R. 282, at para. 30. [7] We see no basis for the appellant’s allegation of bias against the trial judge. In our view, a reasonable and informed person, viewing the matter realistically and practically, and having thought the matter through, would conclude that the trial judge decided fairly: Committee for Justice and Liberty et al. v. National Energy Board et al. , [1978] 1 S.C.R. 369, at p. 394, per de Grandpré J. (dissenting). [8] Again, the trial judge’s thorough and careful reasons demonstrate that his overarching consideration in making his order concerning custody and principal residence of the child was the best interests of the parties’ young child. He meticulously and fairly assessed the evidence and reviewed the parties’ submissions. The appellant’s disagreement and disappointment with the trial judge’s findings do not establish bias. [9] Moreover, the appellant’s bias argument is significantly undermined by the trial judge’s acceptance of her position requesting joint custody. In changing the sole custody order in favour of the respondent to joint custody with the appellant, notwithstanding the past conflicts between the parties, the trial judge recognized that both parties are committed and able to work together to care for their child. The trial judge also made it clear that this obligation rests on both parties: The parties must understand their communication is essential for the well-being of [their child]. [Their child] needs to know that both parents are co-operating and deciding matters together. The parties are given notice, by these reasons, that a record of their future communication will be of significant interest to the court on any future motion to change. Disposition [10] For these reasons, the appeal is dismissed. As the trial judge’s order and the child’s principal residence remain unaltered, there is no need to address the appellant’s arguments concerning child support. [11] The respondent is entitled to partial indemnity costs in the amount of $7,500, inclusive of disbursements and HST. “L.B. Roberts J.A.” “B. Zarnett J.A .” “Sossin J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: Toronto (City) v. Queen-St. Patrick Market Inc., 2021 ONCA 276 DATE: 20210427 DOCKET: C67921 Huscroft, Nordheimer and Harvison Young JJ.A. BETWEEN The City of Toronto Applicant (Respondent) and Queen-St. Patrick Market Inc. Respondent (Appellant) Jeffrey Larry and Daniel Rosenbluth, for the appellant Michele Ann Wright and Graham Thomson, for the respondent Heard: April 26, 2021 by video conference On appeal from the judgment of Justice Janet Leiper of the Superior Court of Justice, dated December 12, 2019. APPEAL BOOK ENDORSEMENT [1] The appellant argues that the application judge erred in finding it was in breach of its lease with the respondents and denying it relief from forfeiture. [2] The appellant’s submissions essentially invite us to revisit the application judge’s findings. That is not our function on appeal. The application judge’s interpretation of the lease is entitled to deference. We see no error, let alone a palpable and overriding error that would justify this court’s intervention. The appellant left the building vacant for almost two years. The application judge’s finding that this breached the use clause is amply supported by the record and we agree with her analysis that the respondent was entitled to terminate the lease as a result. [3] Nor is there any basis for interfering with the application judge’s decision denying the appellant relief from forfeiture. The appellant acknowledges that the application judge stated the relevant legal principles. She found that the appellant’s conduct revealed a pattern of non-compliance with the terms of the lease. Her decision to exercise her discretion to deny relief from forfeiture in these circumstances reveals no error of principle and is entitled to deference in the absence of a palpable and overriding error. We see none. [4] The appeal is dismissed. The respondent is entitled to its costs in the agreed amount of $15,000, inclusive of taxes and disbursements.
COURT OF APPEAL FOR ONTARIO CITATION: Toronto-Dominion Bank v. 1633092 Ontario Ltd., 2021 ONCA 6 DATE: 20210106 DOCKET: C67799 Pepall, Hourigan and Roberts JJ.A. BETWEEN The Toronto-Dominion Bank Plaintiff (Appellant/Respondent by way of cross-appeal) and 1633092 Ontario Ltd., 2362378 Ontario Inc., Matthew Rooney and Haley Rooney Defendants (Respondents/Appellants by way of cross-appeal) Oren Chaimovitch and Shawna Sosnovich, for the appellant/respondent in cross-appeal Andrew D. Ferguson, for the respondents/appellants in cross-appeal Heard in writing On appeal from the judgment of Justice Michelle O’Bonsawin of the Superior Court of Justice, dated March 7, 2019, with reasons reported at 2019 ONSC 1473. COSTS ENDORSEMENT [1] The parties’ costs submissions were brought to the attention of the panel on January 4, 2021. [2] Having considered them, we are of the view that success on the appeal and the cross-appeal was divided and that the parties should bear their own costs.  We so order. “S.E. Pepall J.A.” “C.W. Hourigan J.A.” “L.B. Roberts J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: Tsai v. Dugal, 2021 ONCA 170 DATE: 20210317 DOCKET: M52234 (C68741) van Rensburg J.A. (Motions Judge) BETWEEN Wen-Chi Tsai Applicant (Appellant/Responding Party) and Lucien Dugal by his Estate Trustees, Johanne Dugal Roussee and Luc Dugal Respondent (Respondent in Appeal/Moving Party) Alexandra Carr, for the moving party Michael S. Deverett, for the responding party Heard: March 9, 2021 by video conference REASONS FOR DECISION [1] The appellant is appealing a judgment after trial dismissing her claim for a constructive trust in a property that was owned by her common law spouse, Lucien Dugal. The two had lived together at the property for approximately nine years. The appellant commenced proceedings against Mr. Dugal following their separation in 2014. Mr. Dugal died in 2017 and the proceedings were continued against the estate. [2] The appellant had registered a certificate of pending litigation (“CPL”) against the property. Before the action was tried, the CPL was discharged to permit the sale of the property in exchange for $500,000 of the net proceeds of sale being retained in the real estate lawyer’s trust account. There is a court order providing for the retention of the funds “until further order of the court or signed written agreement of the parties”. [3] The respondent estate moves for an order for security for costs of the appeal and in the court below in the sum of $110,000 and for an order permitting the release of the funds from the lawyer’s trust account. The motion for security for costs [4] The motion for security for costs is brought under r. 61.06(1)(a) and (c) of the Rules of Civil Procedure , R.R.O. 1990, Reg. 194. The test under (a) is conjunctive. The moving party must establish that the appeal is frivolous and vexatious, and that the appellant has insufficient assets in Ontario to pay the costs of the appeal. Rule 61.06(1)(c) provides that an order for security for costs may be ordered “for other good reason”. An order for security for costs is discretionary. The court must first consider the specific provisions of the Rules governing such motions and then consider the justness of the order sought in all the circumstances of the case: Yaiguaje v. Chevron Corporation , 2017 ONCA 827, 138 O.R. (3d) 1, at para. 22. [5] Dealing first with r. 61.06(1)(a), the estate contends that the appeal is frivolous based on the notice of appeal which lists 36 grounds of appeal, the vast majority of which are alleged errors of fact, and vexatious based on the appellant’s pattern of conduct throughout the litigation. The estate also submits that there is no evidence that the appellant has sufficient equity in any property in Ontario such that she would be able to pay the costs of the appeal (estimated at $25,000) and the costs awarded in the court below ($85,000). [6] The appellant contends that her appeal is meritorious: the trial judge failed to consider certain evidence that supported her claim, and erred in focusing on whether there were direct contributions to the property rather than on the overall view of the parties’ relationship and whether there was a joint family venture. [7] On the second branch of the test under r. 61.06(1)(a), the appellant has provided evidence of her equity in a condominium unit (the “York St. Property”) to demonstrate that she has sufficient assets to pay costs of the appeal. The York St. Property had an assessed value of $646,000 as of January 1, 2016 (prior to its purchase). The appellant deposes that a similar condominium sold for $890,000 on July 8, 2020. As of February 24, 2021, the balance outstanding on a first mortgage to a commercial lender is $339,323.98 with additional credit available of $27,926.02. There is a second mortgage in favour of the appellant’s lawyer in the amount of $226,000, which was registered on August 24, 2020. The appellant states that, if this court were to award security for costs, she proposes to sign a direction to her lawyer to use the second mortgage as security for costs, and that she would be prejudiced if she were forced to sell the York St. Property in order to pay funds into court as security for costs. There was no cross-examination on the appellant’s affidavit. [8] Based on this record, the estate does not meet the test for security for costs under r. 61.06(1)(a). [9] The trial judge provided comprehensive reasons for judgment that appear to have addressed the appellant’s arguments and evidence. That said, I am unable to conclude that the appeal is frivolous, that is, that it is obviously devoid of merit, or that it is vexatious in the sense that it is brought only to annoy or harass the estate. I would however say that the prospects of success in the appeal are slim, which is a factor that I will return to when I consider whether security for costs should be granted under r. 61.06(1)(c). [10] As for the second requirement of r. 61.06(1)(a), I am satisfied that the appellant has equity of at least $50,000 in the York St. Property, and probably more. The estate estimates the costs of the appeal to be $25,000. On the evidence before the court the appellant has sufficient assets in Ontario to pay the costs of the appeal. [11] Accordingly, the estate is not entitled to security for costs under r. 61.06(1)(a). [12] I turn to r. 61.06(1)(c), whether there is “other good reason” to award security for costs. Here I am guided by the words of Laskin J.A. in Combined Air Mechanical Services Inc. v. Flesch , 2010 ONCA 633, 268 O.A.C. 172, at para. 8, that, while the list of reasons justifying security under this rule is open-ended, the “other good reason” should be compelling. It must also be related to the purpose of ordering security: that a respondent is entitled to a measure of protection for costs in the proceeding under appeal. Security for costs has been awarded under this provision where an appeal has a low prospect of success and although the appellant has the ability to pay, it would be nearly impossible to collect costs: see Perron v. Perron , 2011 ONCA 776, 286 O.A.C. 178, at para. 23; Henderson v. Wright , 2016 ONCA 89, 345 O.A.C. 231, at para. 27. [13] Apart from again relying on the contention that the appeal is without merit, the estate points to the fact that the appellant did not respond to repeated requests before the motion was brought that she provide evidence of her ability to pay costs, as well as the paucity of financial information that she provided in response to the motion. Although the estate provided evidence that the appellant sold a second condominium unit in September 2020, the appellant did not disclose what happened to the net proceeds. While the appellant was not obliged to provide disclosure of all of her assets and income in response to the motion, the fact that she provided information about only one asset – the York St. Property – and her assertion that she would have to sell that asset if she were required to post security, suggests that the estate may have considerable difficulty recovering costs if the appellant loses the appeal. The estate also points to the appellant’s pattern of conduct over six years of litigation, including unpaid costs awards and her pursuit of various unmeritorious claims. [14] I am satisfied that in all the circumstances this is an appropriate case to award security for costs under r. 61.06(1)(c). In view of the low prospect of success in the appeal, the appellant’s pattern of conduct in the litigation, the very limited information she has provided about her ability to pay costs, the fact that she has recently encumbered the York St. Property as security for her own legal costs, and the assertion that she would need to sell the York St. Property to pay security for costs, there is a very real risk that the estate would be prevented from collecting its costs of the appeal from the appellant in the event of an unsuccessful appeal. [15] As for the amount of security for costs, the estate seeks security for the costs awarded by the trial judge, in addition to security for costs of the appeal. Such orders are not granted routinely: some justification must be offered by the moving party when the amount of security sought under r. 61.06 includes security for the costs awarded in the court below: Foodinvest Limited v. Royal Bank of Canada , 2020 ONCA 387. The estate did not provide any reasonable basis for requiring the appellant to post security for costs of the proceedings below. Accordingly, the estate is entitled to security for costs of the appeal, but not of the trial. [16] In the circumstances, I order that the appellant provide on or before March 31, 2021, security for costs in the sum of $25,000. At the appellant’s option she may pay that amount into court, or alternatively provide to the estate trustees a mortgage of her interest in the York St. Property, with priority over her lawyer’s mortgage to be provided by way of a postponement of that mortgage. The required documents shall be prepared and registered at the appellant’s expense. In the event of the appellant’s non-compliance with this order, the appeal shall be dismissed. The motion for the release of funds [17] The estate seeks an order for the release of the sum of $500,000, which has been held in trust since April 2019 from the net proceeds of sale of the property in which the appellant claims a constructive trust. [18] The funds were put in trust as a condition of the discharge of the appellant’s CPL as a result of a motion brought by the estate. Akbarali J. determined that $500,000 was sufficient to cover the value of the interest in the property the appellant was then seeking and her costs. Akbarali J.’s order of April 4, 2019, states: “the respondent’s estate trustees shall execute an irrevocable direction to the estate’s real estate lawyer directing him or her to hold $500,000 in trust in order to satisfy the applicant’s potential claim against the estate and potential costs awarded to the applicant, until further order of the court or signed written agreement of the parties”. [19] The estate contends that, although there was no request specifically for an order dealing with the funds in trust, the trial judge’s conclusion at para. 69 of her reasons for judgment that the estate trustees are “at liberty to distribute the assets of the Estate in accordance with the provisions of [the deceased’s] will” would permit the distribution of the funds held in trust. After filing her notice of appeal however, the appellant wrote to the real estate lawyer to ensure that the funds would not be released pending court order or agreement between the parties until after she had completed her appeals, including any appeal to the Supreme Court of Canada. [20] According to the affidavit of Luc Dugal, filed in support of this motion, the concern is that the funds in trust are earning a very low rate of interest, while the appellant is pursuing a meritless appeal with impunity. Mr. Dugal deposes that the estate trustees wish to distribute the estate, including the $500,000 which remains in trust, to the beneficiaries. He proposes that the estate trustees keep $110,000 in a joint investment account to be available in the event that the appellant is successful in her appeal. [21] At the hearing of this motion, however, the estate’s lawyer indicated that the estate trustees intend only to invest the funds, and not to distribute them. [22] I am not prepared to make the order requested. The order sought in the estate’s notice of motion is inconsistent with the intention of the order of Akbarali J. that the funds in trust stand in place of the CPL which was registered against the property to which the appellant asserted a claim. The appellant has an appeal as of right. The fact that the appeal appears at this stage to be weak is not sufficient reason to permit the funds to be released to the estate trustees for distribution at this time. Nor am I persuaded that the alternative form of order, raised in argument – that the estate trustees be permitted to hold and invest the funds at a higher rate of return – is necessary or advisable on this record. Disposition [23] For these reasons the estate is entitled to an order for security for costs of the appeal in the terms indicated. The balance of the motion is dismissed. Costs of this motion are reserved to the panel hearing the appeal. “K. van Rensburg J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: Tuffnail v. Meekes, 2021 ONCA 24 DATE: 20210114 DOCKET: C66633, C64430 & C64479 Doherty and Hoy JJ.A. and Marrocco A.C.J. [1] ( ad hoc ) DOCKET: C66633 BETWEEN Gregory Alan Tuffnail, Patricia Diane Tuffnail, David Alan Tuffnail and Michael Alan Tuffnail Plaintiffs (Appellants/Respondents by way of cross-appeal) and Steven Andrew Meekes, State Farm Mutual Automobile Insurance Company and Sharon Carlene Drown as Litigation Administrator for the Estate of Thomas Michael Bolton Defendants ( Respondent/Respondent and Appellant by way of cross-appeal ) and Steve Coulthard Third Party (Respondent) DOCKET: C64430 AND BETWEEN Gregory Alan Tuffnail, Patricia Diane Tuffnail, David Alan Tuffnail and Michael Alan Tuffnail Plaintiffs (Respondents) and Steven Andrew Meekes, State Farm Mutual Automobile Insurance Company and Sharon Carlene Drown as Litigation Administrator for the Estate of Thomas Michael Bolton Defendants ( Appellant ) and Steve Coulthard Third Party (Respondent) DOCKET: C64479 AND BETWEEN Gregory Alan Tuffnail, Patricia Diane Tuffnail, David Alan Tuffnail and Michael Alan Tuffnail Plaintiffs (Respondents) and Steven Andrew Meekes, State Farm Mutual Automobile Insurance Company and Sharon Carlene Drown as Litigation Administrator for the Estate of Thomas Michael Bolton Defendants ( Respondents ) and Steve Coulthard Third Party (Appellant) Peter W. Kryworuk and Jacob R.W. Damstra, for State Farm Mutual Automobile Insurance Company James D. Virtue and Rasha M. El-Tawil, for Gregory Alan Tuffnail, Patricia Diane Tuffnail, David Alan Tuffnail, and Michael Alan Tuffnail Alan L. Rachlin, for the Litigation Administrator for the Estate of Thomas Michael Bolton Brian A. Pickard, James K. Brown and Ayren J. Brown, for Steve Coulthard Heard: January 14 and 15, 2020 On appeal from the judgment of Justice Helen A. Rady of the Superior Court of Justice, dated July 23, 2019, with reasons reported at 2017 ONSC 4610, 72 C.C.L.I. (5th) 281; 2018 ONSC 4113; 2019 ONSC 525, [2019] I.L.R. I-6127; 2019 ONSC 1334; and 2019 ONSC 2399. COSTS ENDORSEMENT [1] The parties have resolved the costs of the appeal in C64479. We have received and reviewed the costs submissions of State Farm Mutual Automobile Insurance Company and Gregory Alan Tuffnail, Patricia Diane Tuffnail, David Alan Tuffnail and Michael Alan Tuffnail in C64430 and C66633. Success in these inter-related appeals, which were heard together with C64479, was mixed. In the circumstances, there shall be no order as to costs of the appeals in C64430 and C66633. “Doherty J.A.” “Alexandra Hoy J.A.” "Marrocco ACJSC” [1] Marrocco A.C.J. retired from the Superior Court of Justice on November 10, 2020.
COURT OF APPEAL FOR ONTARIO CITATION: UD Trading Group Holding PTE. Limited v. TransAsia Private Capital Limited, 2021 ONCA 279 DATE: 20210428 DOCKET: M52370 (C69265) Paciocco J.A. (Motion Judge) BETWEEN UD Trading Group Holding PTE. Limited, UIL Singapore PTE. Limited, UIL Malaysia Limited, UIL Commodities DMCC, Vadox Corp. and Prateek Gupta Plaintiffs/Moving Parties/Responding Parties by Cross-Motion (Appellants/Moving Parties) and TransAsia Private Capital Limited , TA Private Capital Security Agent Ltd. , Rutmet Inc. and Export Development Canada Defendants/Responding Parties/Moving Parties by Cross-Motion (Respondents/ Responding Parties ) Michael D. Schafler, Kenneth Kraft, Ara Basmadjian, and Rebecca Curcio, for the moving parties George J. Pollack and Chenyang Li, for the responding parties Heard: April 19, 2021 by video conference ENDORSEMENT OVERVIEW [1] On March 17, 2021, C. Gilmore J. dismissed a motion for an anti-suit injunction brought by the moving party plaintiffs, Prateek Gupta, UD Trading Group Holding PTE. Limited (“UDTG”), and several related companies, including three subsidiaries of UDTG (the “UIL Companies”). [2] In the same endorsement, the motion judge allowed a cross-motion by the responding party defendants, TransAsia Private Capital Limited and TA Private Capital Security Agent Ltd. (collectively referred to as “TAP”) to permanently stay the underlying action initiated by the moving parties in Ontario (the “Underlying Action”) on the basis of forum non conveniens and forum selection clauses. The moving parties have appealed this aspect of the motion judge’s order. [3] By endorsement dated April 20, 2021, I dismissed the moving parties’ request for a stay pending appeal and/or an order expediting the appeal, for reasons to follow. These are those reasons. MATERIAL FACTS [4] The Underlying Action arises from a series of complex international commercial transactions involving the moving parties, the responding parties, and other corporate parties. The key players [5] Before unfolding the agreements and transactions that matter to the motion before me, it is helpful to begin with a brief outline of the key players: · Rutmet Inc. (“Rutmet”) is an Ontario-based metal trading company operating in Ontario. · Export Development Canada (“EDC”) is a Canadian Crown corporation and insurance provider operating in Ontario and throughout Canada. · TransAsia Private Capital Limited, one of the TAP companies, is an asset management company incorporated and headquartered in Hong Kong, with offices in Singapore. It does not carry on business in Ontario or Canada. · TA Private Capital Security Agent Ltd., the other TAP company, is incorporated and headquartered in the British Virgin Islands. It operates as an affiliate of TransAsia Private Capital Limited and does not carry on business in Ontario or Canada. · UDTG was incorporated in Singapore, where its head office is located. Along with its subsidiaries, some of which are set out below, UDTG carries on business primarily in Asia and the Middle East and has offices in Dubai, United Arab Emirates (“UAE”). UDTG provides its customers with access to metal products and raw materials. · Prateek Gupta is a director of UDTG and is resident in Dubai. · The UIL Companies are three subsidiaries of UDTG, incorporated and headquartered in Singapore, Malaysia, and the UAE, respectively. The UIL Companies are in the business of metal trading. · Vadox Corp. is a subsidiary of UDTG’s holding company, PPrime Limited. Vadox Corp. is incorporated and headquartered in the British Virgin Islands. It has no active operations. Although it is a moving party, it is unnecessary to refer to Vadox Corp. to unfold the relevant narrative. The relevant agreements and transactions [6] Reduced to the simplest of terms, Rutmet owed money to TAP as the result of a May 24, 2019 loan agreement for US$60 million (the “Rutmet Loan Agreement”). In exchange for liquidity, the Rutmet Loan Agreement provided TAP with security in the form of Rutmet’s receivables, which TAP was authorized to collect or bill directly from Rutmet’s customers, along with fees and interest. As a condition of the Rutmet Loan Agreement, Rutmet obtained accounts receivable insurance from EDC, the benefits of which Rutmet assigned to TAP (the “EDC Policy”). [7] Rutmet had accounts receivable from metal sales to the UIL Companies. UDTG provided Rutmet with an unlimited corporate guarantee for the indebtedness of the UIL Companies (the “UDTG Guarantee”). Mr. Gupta provided Rutmet with an additional US$30 million guarantee for those same debts (the “Gupta Guarantee”). [8] By September 2019, Rutmet had defaulted on payments it owed to TAP under the Rutmet Loan Agreement. On November 22, 2019, Rutmet and TAP executed a forbearance agreement in which TAP agreed to refrain from exercising its rights as a creditor against Rutmet until December 13, 2019 (the “Forbearance Agreement”). In return, Rutmet granted TAP a power of attorney to make claims on its behalf to enforce the UDTG and Gupta Guarantees. Rutmet also executed a power of attorney authorizing TAP to make arrangements to secure the proceeds of insurance for unpaid receivables under the EDC Policy. [9] The forbearance period under the Forbearance Agreement ended on December 13, 2019, with Rutmet having failed to cure its defaults before the deadline. TAP then notified Rutmet of TAP’s intention to enforce its security. The relevant legal proceedings [10] On February 13, 2020, TAP commenced a receivership application in Ontario against Rutmet (the “Receivership Application”). That Application led to the compelled disclosure by Rutmet of information necessary to permit TAP to submit a claim for coverage under the EDC Policy. The Receivership Application was then abandoned. [11] TAP then submitted a claim to EDC under the Policy, but coverage was denied. On July 22, 2020, TAP brought an application in Ontario against EDC for declarations relating to EDC’s refusal to provide coverage under the Policy (the “EDC Application”). The EDC Application remains outstanding. [12] As assignee, TAP also took steps to enforce the UDTG Guarantee of the debt owed by the UIL Companies to Rutmet. On July 9, 2020, TAP instituted an action in Singapore to enforce the UDTG Guarantee (the “Singapore Action”). [13] UDTG secured an order extending the time required to file a statement of defence in the Singapore Action until August 18, 2020. On that date, instead of filing a statement of defence, UDTG applied for a stay of the Singapore Action on the basis that Ontario is the most appropriate forum (the “Singapore Stay Application”). The Singapore Stay Application has been adjourned multiple times. At the time I heard this motion, the Singapore Stay Application was scheduled for April 23, 2021. [14] Mr. Gupta resides in Dubai. On August 18, 2020, to conform with UAE law, TAP (via Rutmet) served Mr. Gupta with a final demand for payment under the Gupta Guarantee. If Mr. Gupta failed to pay, that notice permitted TAP to commence an enforcement action in Dubai on August 26, 2020. [15] On August 19, 2020, the day after Mr. Gupta was notified that the Gupta Guarantee would be enforced, the moving parties notified TAP that they had commenced the Underlying Action in Ontario on August 12, 2020. The relief sought in the Underlying Action includes declarations that (a) there are no outstanding receivables from the UIL Companies, and (b) there are no amounts owing under either of the UDTG or Gupta Guarantees. [16] In support of their claims, the moving parties contend TAP already recouped the funds owed by the UIL Companies to Rutmet (and assigned to TAP under the Rutmet Loan Agreement). They maintain this was accomplished when receivables owed to UDTG from metal sales were assigned and then paid to Triton Metallics Pte. Ltd. (“Triton”), a company the moving parties claim is controlled by TAP. [17] The moving parties further allege that, despite having been paid in this way, TAP then improperly enforced “additional security” for the Rutmet Loan Agreement. This alleged additional security took the form of shares in Gympie Eldorado Mining Pty Limited (“GEM”) and Hangji Global Limited (the “GEM and Hangji Security”). The moving parties contend that, although the relevant agreements indicate that the GEM and Hangji Security relates to independent loans TAP made to two of the UIL Companies (the “UIL Loan Agreements”), in fact, the GEM and Hangji Security was provided to secure the Rutmet Loan Agreement. [18] The moving parties allege the GEM and Hangji Security was arranged under the UIL Loan Agreements to hide its true nature from EDC ( i.e ., as additional security for the Rutmet Loan Agreement), so that EDC would not rely on the riskiness of the GEM and Hangji Security to increase the deductible component on Rutmet’s accounts receivable insurance. The moving parties claim that this structure effectively increased the value of the EDC Policy in favour of TAP by US$30 million. [19] The moving parties claim they agreed to this arrangement at TAP’s insistence, on whom they had become financially dependent. They claim TAP was unjustly enriched by realizing on the GEM and Hangji Security under the UIL Loan Agreements after already having been made whole through Triton for the Rutmet Loan Agreement. In the Underlying Action, the moving parties not only seek to prevent TAP from enforcing the UDTG and Gupta Guarantees, they also seek damages from TAP for its alleged unjust enrichment. [20] On August 26, 2020, having provided the requisite five business days’ notice, TAP (via Rutmet) commenced an action in Dubai to enforce the Gupta Guarantee (the “UAE Action”). Mr. Gupta has filed a “Statement of Reply”, the UAE equivalent of a statement of defence, and the UAE Action is currently in the pre-trial phase. [21] By notice of motion dated September 3, 2020, the moving parties asked the Ontario Superior Court of Justice for interim and anti-suit injunctions restraining TAP and Rutmet from continuing the Singapore Action and the UAE Action, and for an order consolidating the Underlying Action with the Receivership Application and the EDC Application (the “Anti-Suit Motion”). [22] On September 8, 2020, Conway J. dismissed the moving parties’ request for an interim injunction. On September 16, 2020, Conway J. set a date of November 10, 2020 for a hearing on the merits of the Anti-Suit Motion. In the meantime, she urged the parties not to take steps in the Singapore Action or the UAE Action that would render the Anti-Suit Motion moot. The parties negotiated a stand-still arrangement, including relating to the Singapore Stay Application. [23] By notice of cross-motion, dated September 22, 2020, TAP sought orders from the Superior Court, including a permanent stay of the Underlying Action on the basis that the Ontario courts lack jurisdiction due to forum non conveniens (the “Permanent Stay Motion”). [24] TAP denies the allegations made in the Underlying Action, including the claim that they have been paid through Triton, and contends that the Underlying Action is a pretense intended to delay and frustrate TAP’s legitimate enforcement actions abroad. The decision under appeal [25] The Anti-Suit Motion and the Permanent Stay Motion were heard together on January 19, 2021 before the motion judge, C. Gilmore J. On March 17, 2021, the motion judge issued her decision dismissing the moving parties’ Anti-Suit Motion and granting the responding parties’ Permanent Stay Motion with respect to the Underlying Action. [26] On April 6, 2021, the moving parties filed a notice of appeal of the motion judge’s decision in this court. Although the moving parties allege the motion judge made a number of errors in dismissing the Anti-Suit Motion, they concede it was open to her to deny an anti-suit injunction because there was evidence before her that there were numerous potential alternative jurisdictions. [27] Therefore, the moving parties appeal only the motion judge’s order granting the Permanent Stay Motion. They say she erroneously concluded that, having denied the anti-suit injunction, a permanent stay on the basis of forum non conveniens should automatically issue on the same grounds. THE ISSUES [28] The issues on this motion can be stated simply: (1)     Should a stay pending appeal be granted with respect to the motion judge’s March 17, 2021 order imposing a permanent stay of the Underlying Action? (2)     Should the appeal be expedited? ANALYSIS 1.       The Stay MOtion [29] Where a party seeks a stay pending appeal, the overarching consideration is whether the interests of justice call for a stay: BTR Global Opportunity Trading Ltd. v. RBC Dexia Investor Services Trust , 2011 ONCA 620, 283 O.A.C. 321, at para. 16; 2257573 Ontario Inc. v. Furney , 2020 ONCA 742, at para. 20. This determination is informed by the three factors described in RJR-MacDonald Inc. v. Canada (Attorney General) , [1994] 1 S.C.R. 311, at p. 334: (a)     A preliminary assessment must be made of the merits of the case to ensure there is a serious question to be determined on the appeal; (b)     It must be determined whether the moving party would suffer irreparable harm if the stay were refused; and (c)     An assessment must be made as to which of the parties would suffer greater harm from the granting or refusal of the stay pending a decision on the merits. [30] As Laskin J.A. noted in Circuit World Corp. v. Lesperance (1997), 33 O.R. (3d) 674, at p. 677, these three criteria are not “watertight compartments” and the “strength of one may compensate for the weakness of another.” [31] As I will explain, having undertaken this assessment, I am not satisfied that it is in the interests of justice to order a stay pending appeal. (a)     A Serious Issue to be Determined on Appeal [32] Jamal J.A. recently described the pertinent inquiry in Furney , at para. 22: The threshold to establish a serious question on the appeal is low. The court must make a preliminary assessment of the merits of the case and determine whether the issue on appeal is neither frivolous nor vexatious. [Citations omitted.] [33] An appeal is “frivolous” when it is devoid of merit or with little prospect of success: Heidari v. Naghshbandi , 2020 ONCA 757, 153 O.R. (3d) 756, at para. 10. It is “vexatious” if “taken to annoy or embarrass the respondent or conducted in a vexatious manner, including an oblique motive for launching the appeal”: Heidari , at para. 10. The appeal is neither frivolous nor vexatious [34] In my view, this appeal is not frivolous. Sopinka J. made clear in Amchem Products Incorporated v. British Columbia (Workers’ Compensation Board) , [1993] 1 S.C.R. 897, at p. 913, that there is a “fundamental difference” between a domestic court issuing an anti-suit injunction, which in effect determines matters for a foreign court, and a domestic court staying a proceeding before itself. The former raises issues of international comity, but the latter does not. The inquiries into the suitability of forum therefore differ. [35] Most notably, in determining whether to grant an anti-suit injunction, the inquiry is based on the foreign court’s perspective. The domestic judge considering whether to issue an anti-suit injunction is to ask whether, applying Ontario’s principles of forum non conveniens , the court where the action sought to be restrained was commenced could reasonably have concluded there was no alternative forum that was “clearly more appropriate”. If the answer is yes, the decision of the foreign court to assume jurisdiction should not be interfered with: Amchem , at pp. 931-32. [36] By contrast, in determining whether a domestic action should be stayed, the domestic court must determine for itself whether there is another forum that is “clearly more appropriate [than the domestic court] for disposing of the litigation and thus ensuring fairness to the parties and a more efficient process for resolving their dispute”. A stay is appropriate only if this is so: Club Resorts Ltd. v. Van Breda , 2012 SCC 17, [2012] 1 S.C.R. 572, at paras. 108-109. [37] These inquiries can result in an anti-suit injunction being denied without the parallel domestic action being stayed, unlike the outcome arrived at by the motion judge. This will occur, for example, if both the domestic and foreign forums are equally appropriate. In such circumstances, a foreign court could reasonably conclude there is no alternative forum that is “clearly more appropriate”, thereby warranting denial of an anti-suit injunction. But a domestic court would not necessarily stay the parallel domestic action since the domestic court would be equally appropriate; in other words, the foreign forum would not be “clearly more appropriate”. [38] The moving parties have identified features of the decision under appeal that lend some support to the suggestion that the motion judge may have erroneously elided the two tests. Therefore, the appeal is not frivolous. [39] Nor am I persuaded that the appeal was launched to annoy or embarrass the respondents or that it is being conducted in a vexatious manner. I am not prepared to find on the record before me that this appeal was brought with an oblique motive, for instance to delay or frustrate the enforcement of the Guarantees, which would be improper. The seriousness of the issue in this case does not overcome weaknesses in the other RJR-MacDonald factors [40] During oral submissions before me, the moving parties placed great emphasis on the strength of their appeal. They suggested the case law appears to reflect the proposition that stays pending appeal tend to be granted where the strength of the appeal to be determined exceeds the low threshold of a “serious question”. [41] I do not want to be taken as endorsing this as a principled basis for resolving stay pending appeal motions. I will say, however, that where a preliminary assessment of the merits of the appeal shows it to be strong, this is a proper consideration in deciding whether to grant the stay, given the repeated recognition in this court that the strength of one RJR-MacDonald factor may compensate for the weakness of others. [42] Based on their submissions before me, I understand the moving parties to be emphasizing the strength of their appeal in support of this stay motion. However, in my view, this is not a case where the strength of the appeal compensates for the weakness in the other factors that I identify below. [43] First, a key feature of the moving parties’ argument on appeal is the claim that the motion judge failed to undertake a proper forum non conveniens analysis as set out in the “leading case” of Van Breda . However, the Underlying Action that is the subject of the appeal advances claims which are fundamentally contractual in nature. In Van Breda , Lebel J. repeatedly confined the principles he developed to the assumption of jurisdiction in tort actions: Van Breda , at paras. 68, 80 and 85. [44] Recently, in Forbes Energy Group Inc. v. Parsian Energy Rad Gas , 2019 ONCA 372, 93 B.L.R. (5th) 169, at paras. 7-8, in resolving a forum non conveniens issue in a contract case, this court applied the factors Laskin J.A. identified in a pre- Van Breda contractual decision called Young v. Tyco International of Canada Ltd. , 2008 ONCA 709, 300 D.L.R. (4th) 384, at para. 26. [45] I am not suggesting that general guidance cannot be taken from the Van Breda principles in resolving forum non conveniens issues in contract cases. That is commonly done: see e.g., Patterson v. EM Technologies, Inc , 2013 ONSC 5849, at para. 17; Wilson c. Fernand Campeau & Fils Inc. , 2020 ONCA 384, at paras. 9-12; Osman v. Markplan Inc. , 2018 ABCA 215, [2018] A.W.L.D. 2510, at para. 8. The point is that the absence of an express reference by the motion judge to the Van Breda decision may not have the stark significance the moving parties ascribe to it, and an appeal panel may ultimately be persuaded that in the course of her decision, in substance, the motion judge consulted the correct considerations. [46] Second, forum selection clauses, namely those in the Guarantees assigned to TAP through the Forbearance Agreement, and in agreements relating to the GEM and Hangji Security, specifically authorized TAP to commence actions outside of Ontario. Relying on the decisions in Douez v. Facebook, Inc. , 2017 SCC 33, [2017] 1 S.C.R. 751 and ECS Educational Consulting Services Canada Ltd. v. Al Nahyan (2000), 44 C.P.C. (4th) 111, the motion judge concluded that the moving parties should be held to those forum selection clauses. The forum selection clauses stand as a material impediment to the moving parties’ claim that the motion judge erred in permanently staying the Underlying Action. [47] I have considered the counterarguments the moving parties made before me. Nevertheless, on a preliminary examination, I do not find those arguments sustain the view that the serious issue criterion is strong enough to overcome any weaknesses there may be in the other RJR-MacDonald factors. (b)     Irreparable Harm [48] The moving parties urge that the failure to grant a stay pending appeal will cause them irreparable harm by: (i) creating a litigation disadvantage; (ii) putting them at risk of insolvency; and (iii) prejudicing them in the Singapore and UAE Actions by leaving in place the factual findings made by the motion judge pending appeal. [49] As I will explain, I do not accept any of these arguments. (i)    A litigation disadvantage has not been established [50] The moving parties submit a litigation disadvantage will occur if a stay pending appeal is not ordered while the Singapore and UAE Actions proceed. If decisions are rendered by the Asian courts, the moving parties point out that the Underlying Action will be rendered moot. They will thereby lose the opportunity to have the merits of the decision determined in Ontario and they will be forced to litigate in multiple jurisdictions. [51] One problem with this submission is that there is no legal order in place preventing the responding parties from moving forward with the Singapore Action or the UAE Action. That will not change, whether I grant the stay or not. However, based on their submissions, the parties appear to agree that if I order a stay pending appeal, it may delay the responding parties’ foreign enforcement efforts pending the Ontario appeal. I will therefore proceed on that basis. Even so, I do not accept that the loss of litigation advantage alleged by the moving parties constitutes irreparable harm. [52] It is important to appreciate that the moving parties have no right to have the matters in dispute litigated only in Ontario. Their request for an anti-suit injunction failed; they have not appealed that decision. [53] Nor do the moving parties have any legal or normative claim of right to have the issues disposed of in Ontario before the Singapore or UAE Actions are resolved. The Singapore Action preceded the Underlying Action. The responding parties had already given notice that the UAE Action would be commenced before they were served with the moving parties’ statement of claim in the Underlying Action. The moving parties can have no reasonable expectation that the Ontario proceedings should take precedence. [54] Moreover, even if the moving parties’ appeal succeeds in showing the Underlying Action in Ontario should not have been permanently stayed, the risk remains that matters will be resolved by the Singapore Action and/or the UAE Action before any decision on the merits in Ontario. As the moving parties pointed out in argument, citing Amchem , at p. 914, where no one forum is clearly more appropriate than another and parallel litigation occurs, it is anticipated and acceptable that the first decision rendered will resolve the matter. [55] Nor do I have any basis on which to conclude that the quality of equity or justice will be compromised if the matters in issue are determined in the Singapore or UAE Actions, rather than in Ontario. There is no evidence before me to suggest the moving parties will be unable to raise their position that TAP has already been paid as a defence in those Actions, or that the foreign proceedings will otherwise be unfair. It is therefore difficult to accept that irreparable harm arises from the risk that the Singapore Action and/or the UAE Action could proceed before this appeal. [56] I turn now to the moving parties’ objection to being required to litigate in multiple jurisdictions. In my view, there is weight to the responding parties’ position and the motion judge’s observation that the moving parties have themselves compounded the multiplicity of proceedings by initiating the Underlying Action in Ontario. The moving parties’ objection does not resonate with me given that they are asking this court in their appeal to re-add the Underlying Action to the ongoing litigation mix. [57] Accordingly, I can find no irreparable harm arising from any litigation disadvantage if the stay pending appeal is refused. (ii)   The risk of insolvency is not supported by the evidence [58] I agree with the responding parties that the moving parties did not adequately explain how my refusal to stay the motion judge’s permanent stay of the Underlying Action pending appeal could threaten their solvency. There is no evidence to support a finding that the litigation costs could cripple them if the motion judge’s stay is not lifted pending appeal, if that indeed is their concern. [59] In his affidavit filed in support of this motion, Mr. Gupta appears to suggest that the spectre of insolvency arises in part from the risk that his assets will be exposed to attachment orders in the UAE. That outcome depends on the responding parties successfully prosecuting the UAE Action on the merits. On the evidence before me, I cannot find irreparable harm based on the financial implications of presumptively fair legal determinations made in other jurisdictions. [60] In any event, even if the moving parties had established a basis on which to conclude that they could be put at risk of insolvency if a stay pending appeal is not ordered, this consideration would cut both ways. The responding parties could rely on the moving parties’ risk of insolvency to argue that the balance of convenience favours denying the stay, since any knock-on delay in enforcement in Asia could compromise the responding parties’ ability to recover funds from parties in supposedly dire financial straits. (iii)  The findings made by the motion judge will not cause irreparable harm [61] In addition, the moving parties rely on findings made by the motion judge which they say amount to summary judgment against them undermining their position regarding the alleged Triton payments and the GEM and Hangji Security. They say these findings will irreparably prejudice them in the Asian proceedings if a stay pending appeal is not granted. I am not persuaded that these or any other findings made by the motion judge would cause irreparable harm if her decision is not stayed pending appeal. [62] First, I do not read the motion judge as having made any findings against the moving parties’ contention that TAP was already paid for the debts it is attempting to enforce in Singapore and the UAE. [63] The impugned passages must be read in context. When she made those findings, the motion judge was addressing the moving parties’ submission that the litigation is presumptively linked to Ontario because TAP’s claim against UDTG arose from the Rutmet Loan Agreement, making Rutmet the material debtor. In my view, the motion judge was doing no more than rejecting this argument by noting that the outstanding material issue in the litigation is “whether certain debts have been paid and the collateral validly enforced” under the UIL Loan Agreements. Her point was that the UIL Loan Agreements cannot be conflated with the Rutmet Loan Agreement for the purpose of identifying the appropriate forum for the litigation. As the motion judge noted earlier in summarizing the arguments of the parties, neither the UIL Loan Agreements, nor the alleged transactions with Triton that led to TAP’s alleged repayment under the Rutmet Loan Agreement, are linked to Ontario. Hence her finding that the moving parties failed to demonstrate a presumptive connecting factor to Ontario. [64] Moreover, even if the motion judge’s factual findings do somehow lend support to arguments the responding parties will advance in the Singapore Action and/or the UAE Action, the moving parties cannot be heard to complain. They initiated the Anti-Suit Motion and, in doing so, advanced factual claims to support their position. The findings the motion judge made were in large measure responsive to those claims. A party’s decision to voluntarily assume litigation risk does not qualify as irreparable harm: M & M Homes Inc. v. 2088556 Ontario Inc. , 2020 ONCA 134, 51 C.P.C. (8th) 253, at paras. 39-40. Put simply the moving parties created the risk of the outcome they now seek to identify as irremediable harm. [65] Accordingly, I am not persuaded that the moving parties would suffer irreparable harm if a stay pending appeal is denied. (c)     The Balance of Convenience [66] I have already addressed the potential harm the moving parties rely upon. I have found none that would be irreparable. [67] I accept the moving parties’ representations that they took steps to ameliorate potential harm to the responding parties flowing from a stay, such as agreeing to post security for costs and moving to expedite the appeal. [68] However, these initiatives do not account for the most material inconvenience a stay would visit on the responding parties. Both the Singapore Action and the UAE Action have already been delayed for many months. As noted, granting the stay would likely cause further delay. Delay works against the responding parties’ financial interests. As I have indicated, there is no basis before me on which to apprehend that the respective foreign courts will proceed unfairly in adjudicating the Singapore and UAE Actions. [69] In my view, the balance of convenience favours the responding parties. (d)     Other Considerations [70] The moving parties also argued before me that the responding parties attorned to the jurisdiction of Ontario by initiating the Receivership Application and the EDC Application in Ontario, and by serving a notice of motion for security for costs of this appeal. I am not persuaded that attornment considerations play any role in this motion for a stay pending appeal. [71] The moving parties did not have standing in the Receivership Application or the EDC Application, and both proceedings were brought against parties carrying on business in Ontario. I fail to see how TAP’s decision to institute those proceedings can fairly be interpreted as an attornment to Ontario in the Underlying Action, which was predicated upon offshore agreements and transactions involving foreign corporations. [72] Nor does the responding parties’ decision to bring a security for costs motion in this appeal assist the moving parties. Attornment occurs where a party takes steps suggesting they have accepted jurisdiction, which typically are “steps to defend the merits of a proceeding”: Gerard J. Kennedy, “Jurisdiction Motions and Access to Justice: An Ontario Tale” (2018) 55 Osgoode Hall L.J. 79, at p. 103. Attornment does not occur where a party merely contests the jurisdiction of the court: Lilydale Cooperative Ltd. v. Meyn Canada Inc. , 2019 ONCA 761, 439 D.L.R. (4th) 385, at para. 52. Nor does it occur where a party takes procedural steps that deal solely with the procedural mechanics of the jurisdiction hearing: Fraser v. 4358376 Canada Inc. , 2014 ONCA 553, 324 O.A.C. 68, at para. 15. [73] In my view, the responding parties’ motion for security for costs in this jurisdiction appeal is a procedural step related to the resolution of the jurisdictional dispute the appeal addresses. It cannot be taken as an act of attornment. [74] The decisions relied upon by the moving parties do not hold otherwise. In T Films S.A. v. Cinemavault Releasing International Inc. , 2014 ONSC 4138, the motion by the respondents for security for costs constituted attornment because it related to the costs of the underlying proceeding. [75] Nor is there help to be found in the endorsement in 1092072 Ontario Inc. (Elfe Juvenile Products) v. GCan Insurance Co. , 2008 CanLII 51922 (Ont. S.C.). McWatt J.’s obiter dictum observation, at para. 15, that a security for costs motion would be an act of attornment concerned a hypothetical motion related to the substantive underlying action. Indeed, McWatt J. later held, at para. 18, that a party who “disputes jurisdiction” without engaging in the “merits” of the case will not generally be found to attorn. (e)     Conclusion on the Stay Motion [76] It is not in the interests of justice to stay pending appeal the motion judge’s order to permanently stay the Underlying Action. I am not persuaded that the moving parties will be irrevocably harmed if the requested stay pending appeal is denied, and I am persuaded that the balance of convenience favours the responding parties. Although the issues to be adjudicated on the appeal are not frivolous or vexatious, the grounds of appeal are not so strong as to compensate for the weaknesses I have identified in the other RJR-MacDonald factors. [77] I would therefore deny the motion for a stay pending appeal. 2.       THe Motion to expedite the appeal [78] Appeals of this kind are to be expedited only where the motion judge is satisfied the urgency of the matter requires an earlier hearing date: “Practice Direction Concerning Civil Appeals at the Court of Appeal for Ontario”, (March 1, 2017), at 12 . 1(4). [79] I see no urgency in having this appeal heard. The moving parties’ request for an expedited appeal was presented, at least in part, as a concession to reduce the harm a stay pending appeal would cause to the responding parties. No stay pending appeal is being ordered, and the responding parties oppose expedition. [80] I would therefore deny the request to expedite the appeal. DISPOSTION [81] The motion for a stay pending appeal is dismissed, as is the motion for an expedited appeal. [82] As agreed by the parties, costs in this motion are set at $10,000, inclusive of HST and disbursements, to be allocated by the panel hearing the appeal. “David M. Paciocco J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: United Mexican States v. Burr, 2021 ONCA 64 DATE: 20210202 DOCKET: M51771 (C68571) Lauwers, Miller and Nordheimer JJ.A. BETWEEN The United Mexican States Applicant (Appellant/Responding Party) and Gordon G. Burr, Erin J. Burr, John Conley, Neil Ayervais, Deana Anthone, Douglas Black, Howard Burns, Mark Burr, David Figueiredo, Louis Fohn, Deborah Lombardi, P. Scott Lowery, Thomas Malley, Ralph Pittman, Daniel Rudden, Marjorie “Peg” Rudden, Robert E. Sawdon, Randall Taylor, James H. Watson Jr., B-Mex, LLC, B-Mex II, LLC, Oaxaca Investments, LLC, Palmas South, LLC, B-Cabo, LLC, Colorado Cancun, LLC, Sante Fe Mexico Investments, LLC, Caddis Capital, LLC, Diamond Financial Group, Inc., J. Paul Consulting, LAS KDL, LLC, Mathis Family Partners, Ltd., Palmas Holdings, Inc., Trude Fund II, LLC, Trude Fund III, LLC, Victory Fund, LLC Respondents (Respondents/Moving Parties) and United States of America and Attorney General of Canada Interveners John Terry and Hannah Allen, for the moving parties Robert J.C. Deane, Hugh Meighen and Ashley Thomassen, for the responding party Heard: November 30, 2020 by video conference On appeal from the judgment of Justice Bernadette Dietrich of the Superior Court of Justice, dated July 20, 2020 with reasons reported at 2020 ONSC 2376. Lauwers J.A.: [1] The application judge dismissed the application by the United Mexican States (“Mexico”) to set aside an arbitral tribunal’s “Partial Award”. Mexico appealed. The moving parties, who were the respondents in the application below, move to quash Mexico’s appeal. For the reasons that follow, I would quash the appeal. A. Background [2] The North American Free Trade Agreement gives investors the right to seek damages for the failure of a party (Canada, Mexico, or the United States of America) to honour a treaty commitment. The moving parties are thirty-nine USA nationals who brought claims individually and on behalf of seven Mexican companies totalling some USD$100 million to compensate for losses allegedly caused by Mexico’s closure of the casinos they had been operating in that country. [3] The arbitral tribunal was constituted under c. 11 of NAFTA on February 14, 2017. On April 4, 2017 the tribunal bifurcated the proceedings into a jurisdiction phase and a merits and damages phase. The jurisdiction phase was heard over five days in May 2018. [4] A majority of the tribunal determined that the tribunal had jurisdiction over all but one of the moving parties’ claims. Mexico applied to the Superior Court of Justice to set aside the tribunal’s decision under s. 11 of the International Commercial Arbitration Act , 2017 , S.O. 2017, c. 2, Sch. 5 (“ICAA”) and arts. 16 and 34 of the UNCITRAL Model Law on International Commercial Arbitration , adopted by the United Nations Commission on International Trade Law on June 21, 1985, as amended on July 7, 2006 (the “Model Law”). The Model Law has the force of law in Ontario under s. 5 of the ICAA, subject to any modifications set out in the Act. The legislation specified that the Ontario Superior Court of Justice is the court with jurisdiction to review the decision of the arbitral tribunal. [5] The application judge dismissed the application, holding that Mexico had “not discharged its burden of proof of establishing that the Tribunal was incorrect in its conclusion that it had jurisdiction over all but one of the claims before it”. B. The Issue [6] The issue before this panel is whether the application judge’s ruling can be appealed to this court. [7] Whether the appeal should be quashed depends upon whether Mexico’s application is governed only by art. 16(3) of the Model Law, which would prohibit an appeal of the application judge’s decision, or if it is also governed by art. 34 of the Model Law, which would permit an appeal. C. Analysis [8] The focal point of the analysis in this case is art. 16 of the Model Law. Article 16(1) gives arbitral tribunals the competence to rule on their own jurisdiction, as the tribunal did in this case. Article 16(2) specifies when a party must raise a “plea that the arbitral tribunal does not have jurisdiction”. Article 16(3) specifies how the tribunal may proceed when its jurisdiction is challenged. It also gives a role to the Ontario Superior Court of Justice and prohibits certain appeals. [9] The text of art. 16(3) makes a clear distinction between a jurisdictional plea that is pursued “as a preliminary question” and a jurisdictional plea that is pursued “in an award on the merits”. Article 16(3) provides: (3) The arbitral tribunal may rule on a plea referred to in paragraph (2) of this article either as a preliminary question or in an award on the merits . If the arbitral tribunal rules as a preliminary question that it has jurisdiction, any party may request, within thirty days after having received notice of that ruling, [the Ontario Superior Court of Justice] to decide the matter, which decision shall be subject to no appeal ; while such a request is pending, the arbitral tribunal may continue the arbitral proceedings and make an award. [Emphasis added.] [10] The text of art. 16(3) requires this court to consider whether the tribunal’s ruling was on a “preliminary question” of jurisdiction. If it was, then the application judge’s ruling cannot be appealed to this court; in the language of art. 16(3), the application judge’s ruling is “subject to no appeal”. [11] By contrast, art. 34 of the Model Law also provides for a right of “[r]ecourse to a court against an arbitral award ” (emphasis added), but this language arguably contemplates only the recourses available against an award on the merits rather than on a preliminary question of jurisdiction. In an application under art. 34, the Model Law places no limits on the parties’ ability to appeal from the decision of the Superior Court. [12] In this case, I conclude that the arbitral tribunal’s ruling was on a “preliminary question” of jurisdiction under art. 16(3) so that a further appeal does not lie to this court. I reach this conclusion for four reasons. (1) The arbitral tribunal’s view of what it was doing [13] First, the arbitral tribunal saw itself as addressing jurisdiction as a preliminary question. In its Partial Award, dated July 19, 2019 the tribunal noted that “from 21 May 2018 to 25 May 2018, the Tribunal held a hearing on jurisdiction in Washington, D.C.” (emphasis added): at para. 22. The tribunal specified: “In this first phase the Tribunal shall decide three preliminary issues ” (emphasis added): at para. 41. Based on its interpretation of various provisions of NAFTA, the tribunal dismissed most of Mexico’s objections, decided that it had jurisdiction over certain claims and, in its final paragraph: “directs the Parties to confer regarding a procedural timetable for the merits phase ” (emphasis added): at para. 273. (2) The arbitral tribunal has embarked on the merits phase [14] Second, the arbitral tribunal’s decision did not address the substantive merits of the dispute, and the merits phase of the dispute is now proceeding despite Mexico’s effort to appeal the application judge’s ruling. As noted, this sequence of proceedings is contemplated and expressly permitted by art. 16(3): “while such a request [to the Superior Court] is pending, the arbitral tribunal may continue the arbitral proceedings and make an award”. (3) The argument before the application judge did not address art. 34 of the Model Law [15] Third, Mexico did not focus on art. 34 in its application to the Superior Court. Mexico cited art. 34 only in the title of its notice of application, and in the introductory paragraph of its factum. Its factum contained only two other references to art. 34: 23. The application to set aside the Partial Award is governed by Article 34 of the Model Law . Article 34(2)(a) provides that an arbitral award may be set aside if “the award deals with a dispute […] not falling within the terms of the submission to arbitration” or if “the composition of the arbitral tribunal or the arbitral procedure was not in accordance with the agreement of the parties”. (Citing Model Law, Art. 34(2)(a)(iii) and (iv).) 76. The failure to comply with Articles 1119 and 1121 meant that Mexico’s consent to arbitration was not engaged, and the Tribunal was deprived of jurisdiction. The Partial Award holding the contrary must therefore be set aside, in whole or in part, pursuant to Article 34(2)(a)(iii) and (iv) of the Model Law . [16] It is difficult to reconcile these positions with Mexico’s statement at para. 22 of its factum before the application judge that: “The Partial Award, issued pursuant to Article 16(2) of the Model Law , is a final decision by the Tribunal in respect of its jurisdiction” (emphasis added). As noted above, a “final” decision on jurisdiction may still be dealt with as a “preliminary question” within the meaning of art. 16. [17] Similarly, Mexico’s counsel did not address the substance of art. 34 in oral argument before the application judge. The context was set in oral argument before the application judge by counsel for the NAFTA claimants, who are the moving parties before this court. Counsel focused on s. 11(1) of the ICAA and on art. 16 and steered the application judge away from art. 34. He said, speaking for himself and counsel for Mexico: “ [W]e agree … that there is no appeal from your decision in this case . And this – that’s an unusual circumstance obviously” (emphasis added). Counsel then provided an explanation to the application judge: [T]here are two ways in which – in which a party under the International Commercial Arbitration Act here in Ontario can bring forward an application to this court to set aside a decision. One way is the Article 34 route, this is article 34 of the Model Law. And you can bring forward a decision and quite often that’s done in a case where the Tribunal has reached a final award , and you’re seeking to set aside that for exceeding jurisdiction or some other issue. Sometimes that can be done also if there is a jurisdictional award. Under that – under that it would follow the normal process, you’d make your decision and then there would be, you know, the normal rights of appeal. Under this particular provision, and Mr. Deane took you to the particular provision under s. 11 of the International Commercial Arbitration Act which replicates which – what’s in Article 16 of the Model Law. Its designed to be an expedited process where a party can seek recourse to a judge, the judge makes the determination, and that’s the end of it, there’s no appeal . So, for better or for worse, that’s the – that is the statutory framework under which we’re operating here. [Emphasis added.] [18] Mexico’s counsel did not object to these statements before the application judge. For his part, Mexico’s counsel made scant reference to art. 34. At the outset he noted that this was an application under s. 11(1) of the ICAA, and arts. 16 and 34 of the Model Law. However, most of his oral submissions focused on s. 11(1) of the ICAA and art. 16 of the Model Law, not art. 34. The references to art. 34 came only in his reading of lengthy quotations from this court’s decision in United Mexican States v. Cargill, Inc. , 2011 ONCA 622, 107 O.R. (3d) 528, on the standard of review applicable to a decision of an arbitral tribunal. [19] In his submissions to the application judge, Mexico’s counsel also invoked the decision of Penny J. in The Russia Federation v. Luxtona Limited , 2019 ONSC 7558. That ruling concerned the admissibility of fresh evidence in an application under art. 16 of the Model Law. Penny J. cited art. 34 in his discussion of the standard of review set out in Cargill . Although he referred incidentally to both arts. 16 and 34, he did not explain the connection between the two articles or explicate art. 34. [20] Cargill does not assist Mexico. In that case, the arbitral tribunal made an award on the merits of the dispute that gave the claimant Cargill damages against Mexico for protectionist measures it enacted in favour of its sugar industry. During the proceedings, an objection was raised as to whether the tribunal could award upstream damages for losses Cargill suffered in the United States as well as downstream losses it suffered in Mexico. Mexico framed this as a question of the tribunal’s jurisdiction. In its final award, however, the tribunal ruled that the damages issue was not a jurisdictional question and that NAFTA permitted Cargill to recover upstream losses. Mexico applied to the Superior Court to “decide the matter” and set aside the award. [21] The application judge in Cargill dismissed the application on the basis that the arbitral tribunal’s decision hinged on factual findings to which deference was owed: 2010 ONSC 4656. Because the tribunal’s ruling was not on a preliminary question but an award on the merits, the art. 16(3) prohibition on an appeal from the Superior Court’s ruling did not apply. Mexico appealed the Superior Court’s ruling to this court, as it was entitled to do. This court dismissed the appeal in a decision that largely focussed on the interpretation of art. 34 and, as noted, set the standard of review. (4) The application judge’s ruling did not turn on the substance of art. 34 [22] Fourth, the application judge’s ruling, consistent with the arguments she heard, did not turn on the substance of art. 34. She noted, at para. 37, that Mexico was applying under s. 11(1) of the ICAA and art. 34 of the Model Law. She then stated, at para. 38, effectively quoting counsel: The ICAA applies because ICSID chose the City of Toronto as the seat of the arbitration. Section 11(1) of the ICAA provides that where the majority of the arbitration tribunal determines it has jurisdiction, any party may apply to the Superior Court of Justice to decide the matter. The decision of the Superior Court of Justice is subject to no appeal: Model Law , Article 16(3). [23] The application judge quoted art. 34 at para. 39 and did not refer to it again until para. 155 in her discussion of the standard of review emerging from Cargill . The substance of art. 34 played no role in her decision, just as it did not in the argument of the parties before her. [24] Perhaps Mexico’s occasional references to art. 34 were intended to assist the application judge in understanding her function under art. 16. Perhaps Mexico was seeking to preserve plausible arguability under art. 34 in the event that the application did not go well for it. Regardless, it is clear that there was no substantive argument on how art. 34 applied on the facts of this case before the application judge. Mexico’s argument that art. 34 of the Model Law applies to this appeal, along with art. 16(3), does not bear scrutiny. [25] There is also no basis for concluding, as Mexico argues, that the label of “Partial Award,” which the arbitral tribunal attached to its ruling, is a sufficient hook with which to snag art. 34(1). I would reject this argument. This was not an award on the merits, as the tribunal itself noted. D. Additional Observations [26] Counsel agreed that there is no right of appeal from the decision of an application judge under art. 16 and that there is a right of appeal from the decision of an application judge under art. 34. I would agree but on a more nuanced basis. The text of art. 16(3) prohibits an appeal from the ruling of a Superior Court judge on the correctness of an arbitral tribunal’s ruling on a jurisdictional plea that is pursued “as a preliminary question”. The text of art. 34(1) provides that a party may seek “[r]ecourse to a court against an arbitral award only by an application for setting aside,” where the tribunal’s ruling on a jurisdictional plea was contained “in an award on the merits”, in the words of art. 16(3). [27] Counsel for both parties asserted that it is possible for a party to rely on both art. 16 and art. 34 in challenging the ruling of an arbitral tribunal, in other words, to “ride both horses”, which was the metaphor put to counsel and adopted by them in argument. However, I would observe that the position that an appeal is prohibited where a ruling is pursued “as a preliminary question” under art. 16(3) has the benefits of clarity, simplicity and expediency for which international commercial arbitration is touted. [28] This question of whether both horses can be ridden might need to be resolved but it would be unwise for this court to undertake an interpretation of art. 34 and its interaction with art. 16 beyond what is required to dispose of this motion in the absence of full argument by parties committed to opposite perspectives in the court below. Mexico argues that it proceeded under both articles before the application judge but, as I have explained, it did not. E. Disposition [29] To summarize, I would quash the appeal to this court because the argument before the application judge proceeded substantially under art. 16. While there were several references to art. 34 in the pleadings, in the material, and in argument, they were scant. Neither the substantive issues before the application judge nor her decision turned on art. 34. Accordingly, I would give effect to the language in art. 16(3) of the Model Law that prohibits an appeal from the ruling of the application judge on the arbitral tribunal’s ruling on a preliminary question of jurisdiction. [30] The moving parties are entitled to costs in the all-inclusive amount of $9,000, as agreed. Released: “P.L.” February 2, 2021 “P. Lauwers J.A.” “I agree. B.W. Miller J.A.” “I agree. I.V.B. Nordheimer J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: Uribe v. Tsandelis, 2021 ONCA 377 DATE: 20210603 DOCKET: C68163 Benotto, Miller and Trotter JJ.A. BETWEEN Maria Angelica E. Uribe, Ricardo Adolfo Uribe, Elijah Richardo Uribe, a minor, by his litigation guardian, Maria Angelica E. Uribe Plaintiffs (Respondents) and Grand River Hospital, Dr. Nickoli Tsandelis, S. Niyssonen, R. Brzorowski, M. Godwin, and Jane Doe Defendant (Appellant) Darryl Cruz and Christine Wadsworth, for the appellant Daniel Fife and Maple Anne Cameron, for the respondent Heard: April 23, 2021 by video conference On appeal from the judgment of Justice James R.H. Turnbull of the Superior Court of Justice, dated December 6, 2019. Benotto J.A.: OVERVIEW [1] The appellant Dr. Nickoli Tsandelis is an obstetrician who treated Ms. Uribe during her pregnancy and delivered her baby. A jury concluded that his negligence caused brain damage to the baby. [2] Ms. Uribe’s pregnancy was uneventful until the baby’s heart rate decelerated 52 minutes before delivery. The obstetrical nurse applied standard procedures and the heart rate stabilized. She telephoned the appellant who was in his office about five minutes away. He told her to let him know if the heart rate dropped again. He did not immediately return to the hospital. [3] About fifteen minutes later, the heart rate decelerated again and soon thereafter there were additional signs of fetal distress. The appellant was in his car on the way to the hospital when the nurse called him again advising him about the second deceleration. [4] The baby had to be delivered immediately through a cesarean section. However, the operating room had already been prepared for an elective operation. The other patient had to be moved, the room sterilized, and Ms. Uribe anaesthetized and prepared for surgery. By the time the baby was delivered, he had endured too long without oxygen and suffered serious brain damage. [5] Ms. Uribe, together with her husband and as litigation guardian for her child, brought an action against Dr. Tsandelis alleging that he was negligent by not returning to the hospital or preparing for a caesarean section immediately after the first phone call from the nurse. [6] A jury found that the appellant had breached the standard of care and that this caused the damage. The jury attributed 32% responsibility to the appellant and the rest to the hospital and other defendants. (The hospital and other defendants had previously settled pursuant to a Pierringer Agreement.) [7] Dr. Tsandelis appeals on the basis that the jury erred with respect to causation because they failed to apply the “but for test” and that there was no evidence that the baby would have been delivered in time to avoid the brain damage. He further submits that the trial judge unfairly intervened in the questioning of witnesses. [8] For the reasons that follow, I would dismiss the appeal. FACTS [9] Maria Angelica Uribe was referred to Dr. Tsandelis by her family physician. Dr. Tsandelis, an experienced obstetrician and gynecologist, had an office five minutes away from the Grand River Hospital where he had privileges. [10] Ms. Uribe’s pregnancy was considered low risk. It proceeded uneventfully. She was admitted to the hospital on April 28, 2010 and given Cervidil to induce labour. She returned to the hospital early the following morning in labour. She was admitted to the hospital and assigned a room on the delivery floor. Saara Nyyssonen took over as her dedicated obstetrical nurse. [11] By 9:00 a.m. labour had stopped progressing. The cervix was not dilating further. Dr. Tsandelis saw her and had no concerns but explained that a caesarian section would most likely be necessary. He returned to his office. There were two other obstetricians in the hospital that morning, including one who was on-call. By 9:30 a.m., labour had not progressed despite Ms. Uribe being given oxytocin to assist in cervical dilation. [12] At 9:57 a.m. the baby’s heart rate decelerated. The nurse increased the inter-venous fluid, turned Ms. Uribe and watched the fetal heart rate. It stabilized at around 10:02 a.m. The nurse telephoned Dr. Tsandelis. He told her to call him if there was another deceleration. He remained at his office and saw one or two more patients. [13] Between 10:17 a.m. and 10:18 a.m., the fetal heart rate again decelerated. At 10:20 am, the baby restabilized and the nurse examined Ms. Uribe vaginally and found no evidence of meconium, which would indicate fetal distress. At 10:25 a.m., there was a total occlusion of the umbilical cord, cutting off blood and oxygen supply to the baby. The nurse examined Ms. Uribe again and found meconium. At 10:27 am, the nurse called Dr. Tsandelis, who was in his car and on the way to the hospital. [14] Meanwhile, another patient had been taken into the operating room at 10:20 a.m. for a pre-arranged elective caesarian section booked for 10:30 a.m. The one other operating room had not yet been cleaned from a prior procedure. [15] Ms. Uribe was in the operating room at 10:35 a.m. The appellant arrived at 10:40 a.m. The other members of the birthing team were not ready to perform the surgery. The anesthetist only started anesthesia at 10:40 a.m. The operation began at 10:48 a.m. One minute later, the baby was delivered. He suffers from severe cerebral palsy and other serious medical conditions. THE SOGC GUIDELINES [16] The Society of Obstetricians and Gynecologists of Canada (SOGC) [1] provide guidelines which address the response when the fetal heart rate drops to the levels observed here. When a deceleration occurs of more than 3 and less than 10 minutes, the doctor must promptly prepare for delivery. [17] The respondents’ experts testified that the appellant should have returned to the hospital immediately upon receiving the first call from the nurse. The appellant’s experts testified that he did not breach the standard of care by remaining in his office. [18] It was generally agreed that brain injury would have occurred quickly after the 10:25 occlusion. One expert said the window for delivery was 8 to 12 minutes; another said 8 to 15 minutes. Either way, the timing was critical. It was agreed by the experts that if the baby had been delivered within the window, or before the occlusion, the severe damage would not have occurred. THE JURY VERDICT [19] The jury’s task was to determine whether the appellant had breached the standard of care, and to determine causation. Because the other defendants had settled, the jury was to then assess whether the hospital and/or nurses breached the standard of care and, if so, whether causation with respect to them had been proved. Finally, the jury was to apportion liability as between Dr. Tsandelis and the hospital/nurses. [20] The jury considered first the questions related to Dr. Tsandelis, then the hospital and/or nurses and finally the apportionment of damages. [21] With respect to Dr. Tsandelis, the jury was asked the following questions and gave the following answers. Standard of Care 1.   (a) Have the plaintiffs proven on a balance of probabilities that Dr. Tsandelis breached the standard of care of a reasonable prudent obstetrician on Ontario? Yes (b)  If your answer to question 1(a) is yes, how did Dr. Tsandelis breach the standard of care? Please provide clear and specific answers: At the time of the first phone call from Nurse Nyyssanen the Guidelines of SOGC were not followed by Dr. Tsandelis to prepare for delivery. The SOCG Guidelines state that when there is a single abnormal intrapartum electronic fetal monitor tracing of (more than 3 less than 10) minutes, health professionals must prepare for delivery (Exhibit 4, pg. S37/38) Causation 2.   (a) If your answer to 1(a) is yes, you must answer the following question. Have the plaintiffs proven on the balance of probabilities that but for the breach(es) of the standard of care by Dr. Tsandelis, [the baby] would not have suffered brain damage? Yes (b)  If your answer to question 2(a) is yes, how did Dr. Tsandelis’ breach(es) of the standard of care cause [the baby’s] brain damage?  Please provide specific answers: The fact that Dr. Tsandelis didn’t follow the SOGC Guideline, “prepare for delivery”, contributed to [the baby’s] eventual brain damage. For example, Dr. Tsandelis didn’t initiate the birthing team &/or the O.R. at the critical time of the 1st deceleration, valuable time elapsed. If Dr. Tsandelis would have secured the O.R. prior to the elective c-section patient being moved in at 10:20, the O.R. would have been ready for Maria and [the baby] would have been delivered sooner avoiding the asphyxia altogether. The c-section could have been performed right away & there would be no need to wait on necessary support personnel because at the time of the 1st deceleration it wasn’t an urgent matter yet. The rest of the birthing team that were already booked for the elective c-section at 10:30 could have been used by any O.B. performing the c-section of Maria. [22] With respect to the hospital/nurses, the jury found that Dr. Tsandelis had established both a breach of standard of care (question 3(a)) and causation (question 4(a)). [23] With respect to allocation of damages, the jury was asked the following question and gave the following answer: Allocation 5.       If you have answered yes to questions 1(a), 2(a), 3(a) and 4(a), you must answer the following question. If you find that Dr. Tsandelis and the Hospital/nurses breached the standard of care and that those breaches were causative of [the baby’s] brain damage, please state what percentage of liability is allocated to each of the defendants below. The sum of the stated percentages must total 100%. Dr. Tsandelis                                     32% Grand River Hospital/Nurses              68% Total                                                  100% MOTION UNDER R. 52.08(1) [24] After the jury’s verdict, the appellant brought a motion under r. 52.08(1) of the Rules of Civil Procedure , R.R.O. 1990, Reg. 194, requesting that the trial judge not enter the judgment and either dismiss the action or order a new trial. The trial judge dismissed the motion and ordered judgment to be entered in accordance with the jury verdict. [25] I discuss this in more detail below. ISSUES ON APPEAL [26] Dr. Tsandelis appeals the judgment alleging that the trial judge erred by (i) failing to dismiss the action or order a new trial pursuant to r. 52.08(1); and (ii) by improperly questioning witnesses during the trial. ANALYSIS [27] The appellant frames the issues as an appeal from the trial judge’s dismissal of the r. 52.08 motion. However, the two grounds for the motion are the primary issues in this appeal. Both relate to causation: (i) that the jury did not apply the “but for” test for causation; and (ii) the jury verdict was unreasonable because there was no evidence that the baby would have been delivered early enough to avoid the damage. [28] I therefore address the issues as follows: 1. Did the jury apply the but for test for causation? 2. Was the jury verdict unreasonable? 3. Did the trial judge err by dismissing the r. 52.08(1) motion? 4. Were the trial judge’s questions improper? The “but for” test [29] Once it is established that the defendant has breached the duty of care, the trier of fact moves to consider causation. The but for test for causation was set out in Clements v. Clements , 2012 SCC 32, [2012] 2 S.C.R. 181, at para. 8: The test for showing causation is the “but for” test.  The plaintiff must show on a balance of probabilities that “but for” the defendant’s negligent act, the injury would not have occurred. Inherent in the phrase “but for” is the requirement that the defendant’s negligence was necessary to bring about the injury ― in other words that the injury would not have occurred without the defendant’s negligence. This is a factual inquiry. If the plaintiff does not establish this on a balance of probabilities, having regard to all the evidence, her action against the defendant fails. [Emphasis in original.] [30] The appellant argues that the jury did not apply this test, but rather applied the material contribution test, which the jury was not charged on. The parties on appeal agree that the but for test was the correct test to charge the jury on and that the material contribution test did not apply to these facts. The appellant points to the jury’s answer to question 2(b): The fact that Dr. Tsandelis didn’t follow the SOGC Guideline, “prepare for delivery”, contributed to [the baby’s] eventual brain damage. [Emphasis added.] [31] I do not agree that the jury’s words “contributed to” mean that the material contribution test was applied. The words responded to the questions asked and – as jurisprudence demonstrates – are consistent with the but for test. [32] The jury was asked to determine causation and then to determine allocation. Note the jury instructions: [C]ausation is established if the evidence satisfies you that it is more likely than not that [the baby] would not have suffered brain damage but for the negligent conduct or breach of the standard of care by Dr. Tsandelis. In other words, although you do not have to find that it was the sole cause , does the evidence prove that the negligent conduct...was necessary to bring about [the baby’s] brain damage. [Emphasis added.] And further: [T]he defendant’s conduct need not be the sole cause . It does not have to be the most important cause. However, it must have been a necessary cause of the harm. The plaintiffs must show on a balance of probabilities that the injury would not have occurred without the defendant’s negligence. Depending on your answers to some of the questions, you will be asked to determine the issue of causation with respect to Dr. Tsandelis and the nurses and Grand River Hospital. If you find that the acts or omissions of both Dr. Tsandelis and/or the nurses and/or the Grand River Hospital caused [the baby]’s brain damage, then as I pointed out to you earlier, you’ll be required to apportion a degree of responsibility of each party as I pointed out in reviewing the question. [Emphasis added.] [33] It is not surprising that, when there is more than one potential tortfeasor, language relating to contribution would arise. This is particularly so when the jury is also required to apportion damages. This was addressed in Clements at para. 12: In some cases, an injury — the loss for which the plaintiff claims compensation — may flow from a number of different negligent acts committed by different actors, each of which is a necessary or “but for” cause of the injury. In such cases, the defendants are said to be jointly and severally liable. The judge or jury then apportions liability according to the degree of fault of each defendant pursuant to contributory negligence legislation. [34] When the jury is asked to consider contributory negligence, it is understandable that it would use the language of “contributed to”. It does not mean that the instructions with respect to the but for test or causation were not followed, or that the jury applied the material contribution test. The jury response continued to state that, if Dr. Tsandelis had met his duty by preparing for delivery after the first deceleration, “the O.R. would have been ready for Maria & [the baby] would have been delivered sooner avoiding the asphyxia altogether.” This response indicates that the jury concluded that, but for the appellant’s failure to meet the standard of care, the brain damage would not have happened. [35] As this court recently said in Donleavy v. Ultramar Ltd. , 2019 ONCA 687, 60 C.C.L.T. (4th) 99, at para. 72: Even in the “but for” context, there are situations involving multiple defendants where courts have used “contribution” language to recognize that a defendant’s negligence is “a” cause of the plaintiff’s injury. This is a potential source of confusion. The phrase “caused or contributed” is used in the Negligence Act , R.S.O. 1990, c. N.1, s. 1. As Lauwers J.A. observed in Sacks v. Ross , 2017 ONCA 773, 417 D.L.R. (4th) 387, leave to appeal refused [2017] S.C.C.A. No. 491, at para. 117, this is the way the causation test has been described in several cases in the Supreme Court (including as I noted earlier in Athey ), and in this court; see also White v. St. Joseph’s Hospital (Hamilton) , 2019 ONCA 312 , at para. 25. Causation is made out under the “but for” test if the negligence of a defendant caused the whole of the plaintiff’s injury, or contributed, in some not insubstantial or immaterial way, to the injury that the plaintiff sustained. Causation requires a “substantial connection between the injury and the defendant’s conduct”: Resurfice , at para. 23, Clements , at paras. 20-21, 28. As Paciocco J.A. noted in Smith v. Safranyos , 2018 ONCA 760, at para. 128, McLachlin C.J.C.’s reference to “a robust and common sense application of the ‘but for’ test of causation” is a “manifestation of this limit”. Used in this way, the conclusion that one or more defendants “materially contributed” to a plaintiff’s injury or loss simply recognizes that the defendant’s negligence was not the only cause. [36] Likewise, here. The jury’s statement that the appellant’s conduct contributed to the damage merely recognizes that there was more than one cause. Note that in Donleavy , this court was considering the words of a trial judge, not a jury comprised of lay persons. [37] When there is more than one tortfeasor, contributory language might arise. It does not mean the wrong causation test was used. It is clear from the jury ’s answer that the proper test was used. Unreasonable verdict [38] The appellant submits that there was no evidence from which the jury could conclude that the damage would not have occurred if the appellant had not been negligent. In other words, there is no evidence that the baby would have been delivered earlier and therefore the verdict is unreasonable. [39] A jury is entitled to draw reasonable inferences from accepted evidence. In Stilwell v. World Kitchens , 2014 ONCA 770, 327 O.A.C. 146, this court said, at paras. 32-34: [I]t is important to have regard to two well-developed and long-standing principles of law related to civil jury trials. First, the standard of review of civil jury verdicts is exceptionally high. A civil jury’s verdict should be set aside only where it is so plainly unreasonable and unjust that no jury reviewing the evidence as a whole and acting judicially could have arrived at the verdict. Second, a jury’s verdict is entitled to a fair and liberal interpretation in light of the evidence and of the circumstances. Answers by a jury should be given the fullest possible effect and supported, if possible, by any reasonable construction. A new trial should be ordered only where the jury seems to have confused  the issues at trial, it is doubtful whether the jury paid attention to the real point in issue, and the questions answered or unanswered leave the real issue in doubt and ambiguity. [Citations omitted.] [40] The appellant submits that there was no evidence from which the jury could come to a conclusion that, had the appellant met the standard of care, the baby would have been delivered before the damage occurred. He submits that general statements that the baby could have been delivered “earlier” do not satisfy the causation requirement. [41] The appellant relies on Salter v. Hirst , 2011 ONCA 609, 341 D.L.R. (4th) 231. In Salter , this court concluded that, while the doctor was negligent in not transferring the patient to another hospital for further testing, there was no expert evidence to support the conclusion that the delay caused or contributed to the patient’s paraplegia. That is not the case here. [42] Here there was direct evidence from which the jury could conclude that, had the appellant not breached the standard of care, the caesarian section would have been done before the damage occurred. The jury found that the appellant breached the standard of care because he did not prepare for delivery after the first deceleration. Had he done so he would have secured the operating room. The operating room would have been ready for Ms. Uribe and the baby would have been delivered before the damage. The jury said this: If Dr. Tsandelis would have secured the O.R. prior to the elective c-section patient being moved in at 10:20, the O.R. would have been ready for Maria and [the baby] would have been delivered sooner avoiding the asphyxia altogether.…  The rest of the birthing team that were already booked for the elective c-section at 10:30 could have been used by any O.B. performing the c-section of Maria. [43] This was a logical and available conclusion from the evidence that he should have returned to the hospital. Dr. Barrett and Dr. Farine testified that the appellant should have gone to the hospital immediately after the first call from the nurse to assess the situation directly. Dr. Farine testified that if the appellant had been present at the hospital after the first phone call, the delivery would have occurred very quickly. Dr. Barrett testified: [T]his is the time to do a caesarian section and get a good outcome. It is absolutely indicated here. Again, my point is, even if you don’t do it there, you come to the hospital. You be there if you start the oxytocin. You are not in your office waiting for the disaster to happen. [Emphasis added.] Dr. Barrett also said that: [A]t this time I believe there was an anesthesia, I believe there was an operating room. The patient they could have easily just moved her and done a caesarian section. [44] Recall the timing. The first phone call was at 10:02. Dr. Tsandelis was five minutes away and could have been at the hospital by 10:07 at which point he would have seen the fetal heart rate tracing, examined Ms. Uribe and called for an immediate caesarian section. At the very least, she would have been in the operating room by 10:25 when the total occlusion occurred. Even if he had not returned to the hospital, had he instructed staff to prepare for delivery, there were two other obstetricians there to conduct the surgery. [45] Consequently, the jury had the evidence to conclude that the caesarian section would have been done in time to avoid the brain damage. It was open to the jury to accept the evidence of Dr. Barrett and Dr. Farine and conclude that the caesarian section would have been done within 8-15 minutes of the total occlusion, which would have avoided brain damage. The conclusion was not unreasonable. Rule 52.08 motion [46] After the jury was discharged, the appellant moved under r. 52.08 on the basis that the jury failed to apply the but for test and that there was no evidence of causation. The appellant asked the trial judge to either dismiss the action or direct that it be retried with another jury. [47] The rule provides: DISAGREEMENT OF THE JURY 52.08 (1) Where the jury, (a)  disagrees; (b)  makes no finding on which judgment can be granted; or (c)  answers some but not all of the questions directed to it or gives conflicting answers, so that judgment cannot be granted on its findings, the trial judge may direct that the action be retried with another jury at the same or any subsequent sitting, but where there is no evidence on which a judgment for the plaintiff could be based or where for any other reason the plaintiff is not entitled to judgment, the judge shall dismiss the action. [48] Here the jury did not disagree. Nor did the jury fail to answer all of the questions. In my view the jury did not fail to make findings on which judgment could be granted. [49] Nonetheless, the trial judge thoroughly and correctly addressed the appellant’s submissions. He examined the evidence in detail to conclude that there was evidence to support the jury verdict and used the proper foundation for reaching the verdict. [50] For the same reasons that I have set out above, the trial judge correctly determined that the motion should be dismissed. Trial judge’s questions [51] The appellant submits that the trial judge improperly questioned witnesses by introducing a new theory of liability supporting the respondent’s case. He submits that the theory on which the jury found liability was a failure to prepare for delivery after the first phone call from the nurse. [52] The appellant points to sections of the evidence of Nurse Nyyssonen, Dr. Dan Farine (the respondents’ expert) and Dr. John Smith (the appellant’s expert). In each case, the trial judge posed the questions at the conclusion of the witness’s evidence and then asked counsel if there were any questions arising from his. The relevant portions of the transcript are as follows. Saara Nyyssonen THE COURT:  I just have one or two questions for you. At or about 10:20, you indicated you understood the baby was in distress? A. Yes. THE COURT:  And you realized that a C-section was going to have to be performed? A. Yes. THE COURT: You realized Dr. Tsandelis had to be notified right away? A. Yes, I believe, or was he already notified. I'm not sure. 10:25 he was. THE COURT:  Right. A. According to this, yes. THE COURT: And do you recall if it was you who contacted Dr. Tsandelis or was it someone else? A. I believe – this, again, I can't say a hundred percent, but I believe it was me who talked to him, but whether I initiated – whether somebody else initiated the call. THE COURT:  And you'd have expressed to him the urgency of the situation? A. Yes. THE COURT:  At any time did he direct you to have the on-call obstetrician to immediately perform the C-section? A. No, I don't recall that at all. THE COURT:  And if he had, would you have noted it? A. Yes. THE COURT:  And had the on-call... A. As it was related to me. THE COURT:  Right. A. That knowledge. If it had been related to me, I would have charted it. THE COURT:  And as the most responsible doctor, was it he who would have to give that direction, in your practice? A. Yes. Dr. Dan Farine THE COURT:  I just might have a question or two. Doctor, I, I just have one question. Doctor Tsandelis got the phone call around 10:25. What’s the, what's the practice, what – I guess the question is could he at that stage have directed that the crash C-section be performed by the on-call obstetrician? A. Absolutely. THE COURT:  All right. A. He, he should have asked, "Is somebody there that can do it?"  And, and he should say, "I'm on my way, I'll be there as fast as I can, but somebody else can start it." THE COURT:  Okay, thank you. Any questions from mine? MR. BENNETT:  No, Your Honour. THE COURT:  Mr. Cruz? MR. CRUZ:  Dr. Farine, His Honour's question was about the phone call at 10:25, you have nothing in your reports about that issue, right? A. Right. MR. CRUZ:  Thank you, Dr. John Smith COURT: [Referring to exhibit 4] So my question is, when the document, the ALARM document says prepare for discovery[sic] – or delivery, and the SOGC document says, start making arrangements for delivery, notify all the services. From your review of the record, is there any reason why that couldn’t have taken place immediately after the phone call? A. It could have taken place then, yes, but you mean at about 10:10, or 10:12? THE COURT:  But – right. Just.... A. Yes, you could have done that. Again, doing a caesarean section at that point wouldn’t be unreasonable, but also since the baby looked very well, carrying on – and again, recalling that.... THE COURT:  I'm more, I'm more interested in just putting – getting the pediatric people, anesthetic people on standby... A. Yeah, well, they're.... THE COURT:  ...and going to the hospital. Is that.... A. Well she's at the hospital, and those.... THE COURT:  No, I'm talking about the doctor. A. Oh, for Dr. Tsandelis, you wonder if it's possible? THE COURT:  Getting the process going in case a C-section is necessary. A. Yes, that could be done. THE COURT:  All right. Okay. And that would be within the, the ambit envisaged in both documents? A. Yes, but again, this is a team document, so prepare for delivery doesn't mean that the obstetrician has to be there. The, the delivery can be prepared... THE COURT:  Of course, you can phone.... A. ...for, for – like... THE COURT:  At 10:10. A. ...by the team, right. THE COURT:  Exactly. A. And they are.... THE COURT:  The doctors are out? A. Well, yes, or for the doctor that's there. [53] These questions were not improper. [54] A trial judge is entitled to question witnesses for clarification by intervening in the testimony of witnesses. In Chippewas of Mnjikaning First Nation v. Ontario , 2010 ONCA 47, 265 O.A.C. 247, at paras. 231, 238 and 243, leave to appeal refused, [2010] S.C.C.A. No. 91, this court considered questioning by a trial judge: An examination of whether a trial judge has unduly intervened in a trial must begin with the recognition that there are many proper reasons why a trial judge may intervene by making comments, giving directions or asking questions during the course of a trial. A trial judge has an inherent authority to control the court's process and, in exercising that authority, a trial judge will often be required to intervene in the proceedings. On occasion, trial judges may be required to play a more active role in asking witnesses questions. However, when they do, it is important that they use care and not create an impression through the questioning process of having adopted a position on the facts, issues or credibility. All of that said, appellate courts are reluctant to intervene on the basis that a trial judge "entered the arena" and improperly intervened in a trial. There is a strong presumption that judges have conducted themselves fairly and impartially. … In the end, an appellate court should only intervene if satisfied that the trial judge's interventions, considered in the context of the entire trial, created a reasonable apprehension that the trial judge was biased. [55] The trial judge here followed the protocol referred to by this court said in R. v. Danial , 2016 ONCA 822, at para. 5: A trial judge is entitled to ask questions for clarification. The trial judge here followed the long standing protocol articulated in R. v. Stuckey , 2009 ONCA 151 at para 64. He waited until the conclusion of the witness’ testimony, asked questions for clarification on a narrow issue, and allowed further re-examination. That some of the questions towards the end of the series of questions may have been leading would not lead a reasonable observer being apprised of all the facts to conclude that the trial judge was not impartial. [56] Questions by a trial judge may be problematic when they either disclose bias or lead to trial unfairness. There is a presumption of impartiality on the part of a trial judge and the trial judge’s questions do not disclose bias. Apprehension of bias was not alleged by the appellant. [57] Instead, the appellant alleges that the trial judge introduced a new theory of liability and this was unfair. The new theory alleged is that the appellant failed to prepare for delivery after the first phone call. I do not agree that this was a new theory. Nor do I agree that it was introduced by the trial judge. [58] The fact that the appellant did not immediately prepare for delivery at 10:02 a.m. was squarely at issue throughout the trial. Exhibit 4 was the SOGC Fetal Health Surveillance Guideline. At pp. S37-38 of the Guideline, fetal heart rate deceleration is discussed: Abnormal Intrapartum Electronic Fetal Monitoring Tracing In the presence of an abnormal fetal heart rate pattern, usually operative delivery should be undertaken promptly unless (1) there is clear indication of normal fetal oxygenation by means of scalp pH assessment or (2) spontaneous delivery is imminent. Scalp sampling should not be considered in the case of prolonged deceleration of greater than three minutes. Usual action in the presence of an abnormal tracing includes preparing for operative delivery (operative vaginal delivery or Caesarean section) and notifying pediatric and anaesthetic services. [59] This was discussed during the evidence of experts for the respondents and the appellant.  Dr. Barrett, the expert for the respondents, was referred to the fetal heart-rate tracing and the SOGC guidelines. He testified as follows: And you can see in the abnormal tracing, we have a single prolonged deceleration, more than three minutes, but less than 10 minutes places it into the abnormal category. So usually if you have an abnormal pattern, you've got to deliver this baby, unless you can be sure that the baby is fine. And they mention how you can be sure. It's an extra test that you have to do. The scalp stimulation is an examination of the mom, and what we do is we stimulate the baby's scalp to get a clear reaction of the baby. You get an acceleration. That's one way of assessing that the baby is okay, you can do that, or you actually measure by doing the PH, then it might be okay. But you've got to be there to do this. You've got to attend the patient. And, you know, in this case, even, even if you could assume that the baby was fine, which you can't do until you're there, you've still got to be there to see what happens again when you restart the Oxytocin. Just to stay at home and to ask the nurses is, is in my - after this abnormal deceleration, is, in my opinion, against the guidelines and against the standard of care. [60] During the cross-examination of Dr. Bernstein, the appellant’s expert, he was asked the following questions and gave the following answers: Q. And turning to the Exhibit 4, page S37, which is the chart, the table, we've agreed that when we're plugging in the facts of our case, it fits squarely in this part of the chart here. The five-minute prolonged deceleration is longer than three and less than ten minutes. It is a single prolonged deceleration, right? A. Correct. Q. And then if we go down to action required, we can agree that the standard sets out that the obstetrician is to review overall clinical situation, obtain scalp pH if appropriate, and prepare for delivery . Agreed? A. That's what it says. Q. That is the standard? A. Yes. Q. And you agree that usually operative delivery should be undertaken promptly, right:  That’s what it says? A. That’s what it says. Q. So the only, the only potential exception to this guideline is if delivery is imminent, and it’s not, right? A. Yes. Q. And, of course, vaginal delivery is not really an option in this case because of the presentation of the patient? [2] A. Correct. Q. So that means prepare promptly for C-section . Do you agree that’s what it says? A. That's what it says. Q. It also says not only is the obstetrician to prepare promptly for caesarian section, but he's to notify pediatric and anaesthetic services , right? A. Correct. [Emphasis added.] [61] This was not a theory introduced by the trial judge. It was clearly in issue and there is nothing unfair or improper about the questions. (While not determinative of the issue, I note that experienced trial counsel raised no concern when the questions were asked.) CONCLUSION [62] I would dismiss the appeal with costs to the respondents fixed in the agreed upon amount of $20,000 inclusive of disbursements and HST. Released: June 3, 2021 “M.L.B.” “M.L. Benotto J.A.” “I agree B.W. Miller J.A.” “I agree Gary Trotter J.A.” [1] Exhibit 4 [2] It was agreed that vaginal delivery was not possible because cervical dilation had stopped progressing.
AVIS Il s'agit d'un cas en vertu de la Loi de 2017 sur les services à l'enfance, à la jeunesse et à la famille et sous réserve des paragraphes 87(8) et 87(9) de la Loi . Ces paragraphes et le paragraphe 142(3) de la Loi de 2017 sur l'enfance, la jeunesse et les services , qui traitent des conséquences de la non-conformité, se lisent comme suit: 87 (8) Interdiction : identification d’un enfant — Nul ne doit publier, ni rendre publics des renseignements ayant pour effet d’identifier un enfant qui témoigne, qui participe à une audience ou qui fait l’objet d’une instance, ou un parent ou un parent de famille d’accueil de cet enfant ou un membre de la famille de cet enfant. (9) Interdiction : identification d’une personne accusée — Le tribunal peut rendre une ordonnance interdisant la publication de renseignements ayant pour effet d’identifier une personne accusée d’une infraction à la présente partie. 142 (3) Infraction : publication — Quiconque contrevient au paragraphe 87(8) ou 134(11) (publication de renseignements identificatoires) ou à une ordonnance de non-publication rendue en vertu de l’alinéa 87(7) c) ou du paragraphe 87(9) et l’administrateur, le dirigeant ou l’employé d’une personne morale qui autorise ou permet cette contravention ou y participe sont coupables d’une infraction et passibles, sur déclaration de culpabilité, d’une amende d’au plus 10 000 $ et d’un emprisonnement d’au plus trois ans, ou d’une seule de ces peines. COUR D’APPEL DE L’ONTARIO RÉFÉRENCE: Valoris pour enfants et adultes de Prescott-Russell c. K.R., 2021 ONCA 366 DATE: 20210602 DOSSIER: C68862 Les juges Rouleau, Benotto et Roberts ENTRE Valoris pour enfants et adultes de Prescott-Russell Requérante (Intimée) et K.R. Intimée (Appelante) et A.C. Intimé (Intimé) Gabrielle Beaulieu , pour l’appelante K.R. Sophie Langlois, pour l’intimée Valoris pour enfants et adultes de Prescott-Russell Emma Dupuis, pour l’intimé A.C. Date de l’audience : le 1 avril 2021 par visioconférence En appel de l’ordonnance de la juge Michelle O’Bonsawin de la cour Supérieure de justice, en date du 14 octobre 2020 , dont les motifs figurent au 2020 ONSC 6181. Le juge Rouleau : [1] L’appelante, K.R., fait appel d’une ordonnance du 14 octobre 2020 la d é clarant en outrage au tribunal. K.R. demande que l’ordonnance soit infirmée. [2] K.R. et A.C. sont les parents de M.C.R., né en 2016. Ils ont divorcé en 2019. La garde de M.C.R. a été accordée à K.R. avec des droits de visite accordés à A.C . [3] Suite à des plaintes port é es contre A.C., Valoris pour enfants et adultes de Prescott-Russell (Valoris) a appréhendé M.C.R. afin de le placer sous les soins de sa mère. La police de Gatineau a lancé une enquête criminelle sur A.C. [4] Le 19 décembre 2019, le juge Pelletier a rendu une ordonnance temporaire en vertu de laquelle M.C.R. demeurerait aux soins et à la garde de K.R. sous réserve d’une surveillance exercée par Valoris. Le para. 2 de l’ordonnance prévoit : Une ordonnance temporaire, sous toutes réserves, accordant des visites surveillées au père avec l’enfant à titre d’une fois par semaine pendant la période d’enquête, à moins que les conditions criminelles l’interdisent. Suite à l’enquête criminelle, la Société aura la discrétion de retirer la surveillance si elle ne la juge plus nécessaire. [5] Les visites surveillées étaient tenues dans les bureaux de Valoris. Selon l’affidavit de K.R., au début de janvier 2020, M.C.R. aurait informé son é ducatrice de certains faits problématiques au sujet de A.C. L’ é ducatrice a rapporté ceci à Valoris. [6] Le 22 janvier 2020, Valoris a avisé l’avocate de A.C. que Valoris allait pr é sent er une motion pour suspendre les visites puisque M.C.R. avait de fortes réactions avant et après les visites avec A.C. [7] Le 13 février 2020, avec le consentement de tous, une ordonnance temporaire a été émise selon laquelle les visites de A.C. ont été suspendues pour trois semaines, soit les 13, 20 et 27 f é vrier 2020. L’ordonnance en question ne semble pas avoir été reproduite dans le cahier d’appel. [8] Le 5 mars 2020, une autre ordonnance temporaire a suspendu les visites de A.C. pour quatre semaines additionnelles, soit les semaines du 5, 12, 19 et 26 mars 2020. De nouveau, l’ordonnance ne semble pas avoir été incluse dans le cahier d’appel. [9] D û à la pandémie de Covid-19, les visites ont été suspendues au-delà de la date prévue dans l’ordonnance du 5 mars 2020. Durant la période de la suspension, K.R. a noté, et Valoris semble reconnaitre que le comportement de M.C.R. s’est amélioré. [10] Le 1 avril 2020, la police de Gatineau a confirmé que les dossiers d’accusations concernant A.C. seront clos sans accusations. [11] Le 15 avril 2020, Valoris a avisé K.R. que les visites surveillées pouvaient reprendre. Elles ont repris le 2 juin 2020 dans les bureaux de Valoris. [12] K.R. a par la suite envoyé un courriel à Valoris le 4 juin 2020 posant différentes questions sur le plan proposé par Valoris et sur les mesures relatives à la Covid-19. K.R. a soulevé des inquiétudes quant au comportement de M.C.R. avant et après les visites avec A.C. Il y a eu certains échanges entre K.R. et Valoris. La visite du 9 juin a été manquée parce que K.R. n’a pas amené M.C.R. au rendez-vous. Le 16 juin, Valoris a signifié une motion pour que K.R. soit déclarée en outrage au tribunal. Les visites supervisées reprennent le 16, 23 et 30 juin, et le 7 juillet 2020. La motion est abandonnée. [13] Le 8 juillet 2020, Valoris a expliqué à K.R. que la société voulait retirer la supervision de façon graduelle et que les visites surveillées soient tenues au domicile du père d è s la semaine suivante. Valoris a expliqué que les prochaines visites seraient surveillées, et cela pour quatre semaines après lesquelles la société revisiterait la situation. K.R. n’était pas d’accord avec le plan propos é et en particulier, elle ne voulait pas que les visites se déroulent chez le père. K.R. signalait à Valoris que M.C.R. vivait des régressions au niveau de son comportement agressif et de sa propreté. Elle indiquait qu’ à moins que les visites continuent à se dérouler au bureau de Valoris, elle n’enverrait pas M.C.R. [14] La visite du 14 juillet a donc été annulée. Par contre, les visites ont repris lorsqu’elles se tiennent aux bureaux de Valoris à compter du 21 juillet. La visite du 21 juillet ainsi que celles du 28 juillet et du 4 août se sont bien déroulées. Malgré la reprise des visites, Valoris a entamé de nouveau des procédures pour déclarer K.R. coupable d’outrage au tribunal. [15] Le 12 août 2020, les parties ont participé à une conférence de règlement devant le juge Pelletier. Suite à cette comparution, le juge Pelletier a inscrit que « le tribunal favorise les mesures de règlement que les parties pourront utiliser y compris la concertation familiale » . La motion en outrage au tribunal a été fixée pour le 2 octobre 2020. [16] Par la suite, l’avis de motion et l’affidavit à l’appui de la motion en outrage au tribunal datés du 25 août 2020 ont été signifiés à K.R. L’allégation dans l’avis de motion se lit comme suit : Vous ne respectez pas l’Ordonnance de l’Honorable Juge R. Pelletier datée du 19 décembre 2019. Cette Ordonnance octroie une (1) visite par semaine à [A.C.] avec son fils. Alors que Valoris tente d’organiser des visites surveillées pour [A.C.] à son domicile, vous avez clairement dit que vous n’amèneriez pas l’enfant à ces visites car vous vous opposez à ce que la surveillance soit retirée. La Société ne peut donc pas exercer sa discrétion quant aux modalités des visites tel que stipulé dans l’Ordonnance. [17] Dans l’affidavit de Claudelle Marcheterre, déposé à l’appui de la motion, Valoris fait état d’un plan pour cheminer vers des visites non surveillées. Selon la société, il est important de faire avancer ce plan graduellement puisque K.R. continue de rapporter certains comportements agressifs chez M.C.R., dont morsures, violence et défiance. Valoris note que M.C.R. est un jeune garçon anxieux qui peut avoir de la difficulté avec les transitions ou les changements. Ainsi, un plan progressif selon lequel la réaction de M.C.R. peut être évaluée avant de passer à une prochaine étape est préférable. [18] Le plan présenté dans l’affidavit de Valoris est comme suit : a) La société va allonger les visites surveillées et les faire au domicile du père. Ceci se fera au cours de quatre semaines et, si tout va bien, la société passera à une prochaine étape; b) À l’étape 2 il y aura des visites semi-surveillées. Si celles-ci se déroulent bien, la société passerait à la prochaine étape; c) À l ’ étape 3, la surveillance sera faite par voie de « spot checks » pour assurer que les visites sont positives pour M.C.R. [19] Ce n’est que si cette troisième étape se passe bien que la société propose de passer à des visites hebdomadaires sans surveillance. [20] Au para. 18 de l’affidavit de Mme Marcheterre, la société demande à la cour qu’elle « précise dans une Ordonnance que la société a la discrétion quant au lieu des visites, qui peut inclure le domicile du père » . La motion est entendue le 2 octobre 2020. [21] Dans ses motifs, la juge de motion explique que, dans son ordonnance, le juge Pelletier « a stipulé de façon claire et sans équivoque qu’à la suite de l’enquête criminelle, Valoris aurait la discrétion de retirer la surveillance, si elle ne la juge plus nécessaire » . La juge de motion a ensuite déterminé que K.R. a agi de façon délibérée et volontaire en maintenant que A.C. ne pouvait pas avoir des visites non surveillées avec M.C.R. et en refusant de supporter le plan de Valoris de passer de façon graduelle à des visites non surveillées. Ainsi, la juge de motion a conclu que K.R. a commis un outrage au tribunal en refusant de suivre le para. 2 de l’ordonnance du juge Pelletier cité ci-haut. C’est-à-dire, elle a refusé de permettre des visites non surveillées malgré la décision de Valoris de passer graduellement à des visites non surveillées. [22] La juge de motion a aussi accédé à la demande de Valoris de remplacer le deuxième paragraphe de l’ordonnance du juge Pelletier par un paragraphe rendant plus clair ce que Valoris proposait. Une nouvelle ordonnance a été donc émise le 14 octobre 2020 dans laquelle la cour a fixé le lieu et le déroulement des visites jusqu’au 23 novembre 2020. Ensuite, le 3 novembre 2020, une deuxième nouvelle ordonnance a été émise dans laquelle la cour a confirmé que les visites commençant la semaine du 23 novembre 2020 auraient lieu au domicile de A.C. avec des « spot checks » et que « Le but est que les visites seront éventuellement non surveillées ». Finalement, la cour a accordé à Valoris la discrétion de modifier l’horaire des visites. [23] K.R. a interjeté appel. Après la mise en état de l’appel, les parties ont avis é la cour qu’elles avaient conclu une entente en vertu de laquelle l’ordonnance d é clarant K.R. en outrage au tribunal serait infirm ée et le tribunal donnerait un avertissement formel à la mère à l’effet qu’elle doit respecter les ordonnances émises par le tribunal. [24] Suite à la réception de l’entente conclue entre les parties, la cour a avisé les parties qu’elle n’était pas en mesure d’accorder l ’ appel sur consentement. L’appel devait soit être retiré ou entendu, et jugement rendu sur le fond. Les parties ont ensuite indiqué à la cour qu’elles acceptaient que l’appel soit entendu et d écidé sur la documentation qui avait déjà été déposée. [25] Pour les motifs qui suivent, j’ai conclu que l’appel doit être accordé. Analyse [26] Trois critères doivent être réunis pour conclure à un outrage au tribunal. Premièrement, l’ordonnance qui n’a pas été respectée doit énoncer clairement et sans équivoque ce qui doit être fait ou ne doit pas être fait. Deuxièmement, la partie à qui on reproche d’avoir violé l’ordonnance doit être réellement au courant de son existence. Troisièmement, la partie qui désobéit à l’ordonnance doit le faire de façon délibérée et volontaire. Ces trois éléments doivent être établis hors de tout doute raisonnable : Carey c. Laiken , 2015 CSC 17, [2015] 2 R.C.S. 79, au para. 32 : Services aux enfants et adultes de Prescott-Russell c. N.G. (2006), 271 D.L.R. (4 e ) 750 , au para. 27. [27] Dans l’arrêt Carey , la Cour suprême a réitéré que le pouvoir du tribunal en matière d’outrage est discrétionnaire et qu’il doit être exercé « avec prudence et avec une grande réserve » : au para. 36, citant TG Industries v. Williams, 2001 NSCA 105, 196 N.S.R. (2 e ) 35. Voir aussi Hefkey v. Hefkey , 2013 ONCA 44, au para. 3. Dans le contexte d’un différend familial, le tribunal doit aussi tenir compte et exercer sa discrétion en fonction des meilleurs intérêts de l’enfant : Ruffolo v. David , 2019 ONCA 385, au para. 19. [28] Selon moi, l’ordonnance du juge Pelletier n’est pas suffisamment claire pour étayer une conclusion d’outrage au tribunal, et la preuve n’établit pas hors de tout doute raisonnable que K.R. a agi de façon délibérée et volontaire en violation de l’ordonnance. De plus, rien dans les motifs de la juge de motion ne laisse entendre qu’elle a considéré les meilleurs intérêts de l’enfant en rendant l’ordonnance. (1) L’ordonnance du juge Pelletier n’est pas claire et sans équivoque [29] Pour qu’il y ait outrage au tribunal, l’ordonnance en question doit clairement prévoir le comportement de l ’ individu qui doit ou qui ne doit pas être fait: Carey , au para. 33: Prescott-Russell , au para. 27. Dans l’affaire Carey , se fiant sur la décision de la Cour d’appel de Saskatchewan en Culligan Canada Ltd. v. Fettes , 2010 SKCA 151, 326 D.L.R. (4 e ) 463, la Cour suprême a précisé au para. 33 qu’« [i]l peut être établi qu’une ordonnance n’est pas claire si, par exemple, il manque un détail essentiel sur l’endroit, le moment ou l’individu visé par l’ordonnance, si elle est formulée en des termes trop larges ou si des circonstances extérieures ont obscurci son sens ». Toute ambiguïté dans le texte de l’ordonnance doit être résolue en faveur de la personne accusée d’outrage : Telus Communications Inc. v. Cherubin , [2005] O.J. No. 5534 (C.S.), au para. 53 ; 884772 Ontario Ltd. (c.o.b. Team Consultants) v. SHL Systemhouse Inc. (1993), [1993] O.J. No. 1488, au para. 18. [30] L’ordonnance en l’espèce comprend deux éléments distincts : elle prévoit des visites surveillées d’une fois par semaine, et elle accorde une discrétion à Valoris de retirer la surveillance si elle ne la juge plus nécessaire. La juge de motion a déterminé que K.R. « a commis un outrage au tribunal en refusant de suivre le paragraphe 2 de l’ordonnance du juge Pelletier ». Son analyse qui a mené à cette conclusion est comme suit : a) Les faits énoncent que la surveillance n’était plus nécessaire; b) K.R. maintenait que A.C. ne pouvait pas avoir de visites non surveillées; c) K.R. refuse de supporter le plan de passer de façon graduelle à des visites non surveillées. [31] Les problèmes avec cette analyse sont que l’ordonnance n’impose pas à K.R. l’obligation de supporter « un plan de passer de façon graduelle à des visites non surveillées », et le dossier ne permet pas de conclure que « la surveillance n’était plus nécessaire ». (a) Ce qui est prévu par l’ordonnance [32] L’ordonnance du juge Pelletier prévoit en premier lieu des visites hebdomadaires surveillées. Il s’agit de l’obligation de permettre ou de ne pas empêcher les visites. Elle prévoit ensuite que Valoris a « la discrétion de retirer la surveillance ». L’ordonnance n’exige pas, tel que le suggère la juge de motion, que K.R. doive supporter un « plan de passer de façon graduelle à des visites non-surveillées ». [33] De plus, l’allégation faite par Valoris dans l’avis de motion n’était pas que K.R. avait refusé d’amener M.C.R. à une visite après que Valoris a exercé sa discrétion pour retirer la surveillance tel que prévu dans l’ordonnance. Plutôt, l’allégation faite par Valoris dans l’avis de motion est qu’elle « ne peut … pas exercer sa discrétion quant aux modalités des visites tel que stipulé dans l'Ordonnance ». Rien dans l’ordonnance n’accorde clairement à Valoris « la discrétion quant aux modalités des visites » et rien ne stipule où ces visites doivent avoir lieu . De fait, tel que je l’ai noté, Mme Marcheterre, dans son affidavit à l’appui de la motion, a demandé – et la juge de motion a accepté – de modifier l’ordonnance afin de mettre en œuvre les différentes étapes que Valoris proposait, y compris que les visites surveillées soient tenues « au domicile de A.C. » . Si l’ordonnance du juge Pelletier avait été si claire, aucune modification n’aurait été nécessaire. [34] Tel qu’expliqué par le juge Cullity dans l'affaire Jaskhs Enterprises Inc. v. Indus Corp. , [2004] O.J. No. 4062, au para. 40, citée avec approbation dans Bell ExpressVu Limited Partnership v. Torroni , 2009 ONCA 85, 304 D.L.R. (4 e ) 431, au para. 28: « a failure to comply with an order of the court will not be contempt if there are genuine, unresolved issues between the parties with respect to the manner in which it is to be carried into operation ». Il est clair que K.R. n’était pas prête à passer à des visites non surveillées lorsque Valoris le proposait. Par contre, le refus par K.R. d’envoyer M.C.R. pour sa visite avec A.C. a suivi la décision de Valoris de changer le lieu o ù les visites surveillées auraient lieu. Jusqu’au mois de juillet 2020, les visites surveillées se déroulaient aux bureaux de Valoris à Plantagenet et, selon la proposition de Valoris, celles-ci seraient dorénavant tenues à la résidence de A.C. à Gatineau. [35] En l'absence d'un langage clair permettant à Valoris d'effectuer un tel changement, je ne vois pas que K.R. aurait clairement compris qu'elle était dans l'obligation de s’y conformer sans discussion. K.R. demeurait prête à ce que la visite ait lieu aux bureaux de Valoris, comme dans le passé. De fait, les visites ont repris la semaine suivante aux bureaux de Valoris en attente que la motion pour outrage soit entendue et que la cour se prononce sur la demande de Valoris de modifier les modalités de l’ordonnance. La décision de retirer la surveillance n’a pas été prise [36] La juge de motion ne semble pas reprocher à K.R. qu’elle n’ait pas amené M.C.R. à la visite du 14 juillet, mais plutôt qu’elle refusait d’accepter que les visites surveillées n’étaient plus nécessaires. Par contre, et contrairement à ce que la juge a énoncé, Valoris n’avait pas encore déterminé que la surveillance n’était plus nécessaire. Valoris proposait un plan à plusieurs étapes qui pourrait mener à une telle décision. Selon l’affidavit de Mme Marcheterre, Valoris aurait expliqué à K.R. que « les visites seraient complètement surveillées pour quatre semaines » et que « [Valoris revisiterait] la situation par la suite » . [37] Le fait qu’aucune décision n’ait été prise de retirer la surveillance est confirmé par le plan que Valoris a étalé dans l’affidavit de Mme Marcheterre. Le plan prévoyait quatre étapes successives avant que Valoris arrive à des visites non surveillées. Valoris passerait d’une étape à une autre seulement si Valoris était de l’avis que tout se passait bien. Ainsi, puisque la décision de retirer la surveillance n’a pas été prise par Valoris, il est difficile de conclure que la deuxième partie de l’ordonnance du juge Pelletier accordant à Valoris « la discrétion de retirer la surveillance si elle ne la juge plus nécessaire » n’a pas été respectée. (2) Le comportement de K.R. n’était pas délibéré et volontaire [38] Le troisième critère applicable à une déclaration d’outrage au tribunal exige une preuve que l’individu a violé l’ordonnance de façon délibérée et volontaire: Prescott-Russell , au para. 27. La preuve d’une intention de désobéir n’est pas requise : Carey, au para. 38. Une personne aura l'intention requise lorsqu’elle refuse de suivre les prescriptions d’une ordonnance dont elle a connaissance. [39] Comme cette cour l'a reconnu dans l'affaire Bell ExpressVu , au para. 24, il existe une relation inverse entre la clarté de l'ordonnance et le seuil requis pour conclure à une désobéissance délibérée. Plus l'ordonnance est claire, plus le tribunal pourra identifier avec précision la conduite reprochée et le degré d’intentionnalité. [40] Tel que discuté, l’ordonnance en l’espèce n’est pas claire. La seule directive donnée aux parties est l'obligation de maintenir un rythme d'une visite par semaine. Bien que K.R. ait intentionnellement refusé d'amener M.C.R. à la visite du 14 juillet, son refus était lié au lieu de la visite, qui, comme je l'ai expliqué, ne relève pas clairement du champ d'application de l'ordonnance. Une fois que les bureaux de Valoris ont été rétablis comme le lieu des visites, les visites ont repris. (3) Les meilleurs intérêts de l’enfant [41] En dernier lieu, il est important de souligner que, dans chaque cas de demande de déclaration d’outrage au tribunal impliquant un enfant, le tribunal doit considérer les meilleurs intérêts de l’enfant. Dans de telles circonstances, lorsqu’une partie cherche à trouver un parent en outrage, des options moins sévères devraient être considérées. L’outrage au tribunal est un remède qui ne devrait être utilisé qu’en dernier recours. Tel que cette cour l’a indiqu é dans Chong v. Donnelly , 2019 ONCA 799, aux paras. 10-12, le juge doit considérer d’autres options, telles que déclarer qu’il y a eu non-respect de l’ordonnance ou d’encourager les parties à utiliser la médiation plutôt que de passer directement à une ordonnance d’outrage. Voir aussi Ruffolo , aux paras. 18-19. [42] Bien qu'il soit inacceptable qu'une partie contrevienne à une ordonnance claire du tribunal en croyant que ce sera mieux pour l'enfant, il n'est pas non plus souhaitable que la cour émette une ordonnance d'outrage en réponse à toute dérogation ou manifestation de réticence de la part d’un parent. Il doit y avoir une place pour le dialogue, comme l’a indiqué le juge Pelletier dans son inscription du 12 août 2020 : « le tribunal favorise les mesures de règlement que les parties pourront utiliser y compris la concertation familiale ». [43] Lorsque Valoris a introduit sa requête pour déclarer K.R. coupable d'outrage au tribunal, K.R. avait refusé d'amener M.C.R. à sa visite hebdomadaire qu’une seule fois, le 14 juillet 2020, et les visites ont repris une semaine plus tard. De plus, nous notons que suite aux précisions à l’ordonnance que Valoris a demandées et que la cour a accordées, K.R. a coopéré avec Valoris. De fait, tel que je l’ai indiqué, les parties se sont entendues à l’effet que l’appel devait être accord é . [44] Rien dans la décision de la juge de motion ne laisse entendre que la cour a considéré si des options autres qu’une déclaration d’outrage au tribunal seraient dans les meilleurs intérêts de l’enfant. Conclusion [45] Pour ces motifs, j’accorderais l’appel, j’infirmerais l’ordonnance de la juge de motion et je rejetterais la motion pour outrage au tribunal. Rendu le : 2 juin 2021 « P.R. » « Paul Rouleau j.c.a. » « je souscris M.L. Benotto j.c.a. » « je souscris L.B. Roberts j.c.a. »
COURT OF APPEAL FOR ONTARIO CITATION: Walcott v. Toronto Transit Commission, 2021 ONCA 358 DATE: 20210528 DOCKET: C68252 Strathy C.J.O., Feldman and van Rensburg JJ.A. BETWEEN Anderson T. Walcott Plaintiff (Appellant) and Toronto Transit Commission , Bell Canada, Schwedt Map Art and CMA/CPA Defendants ( Respondent ) Anderson T. Walcott, acting in person Justin Lim, for the respondent Heard: May 21, 2021 by videoconference On appeal from the judgment of Justice Benjamin T. Glustein of the Superior Court of Justice, dated February 25, 2020. REASONS FOR DECISION [1] The appellant appeals from the judgment that dismissed his motion for summary judgment against the respondent, and granted the respondent’s motion for summary judgment dismissing his action against it for copyright infringement. [2] As a preliminary matter, the respondent submitted in its factum that this appeal should have been brought to the Divisional Court. We reject that submission. The appellant’s claim was for $2,000,000 for copyright infringement. The motion judge found no liability and dismissed the action. However, he did not find that the value of the claim was under $50,000. A final order that dismisses an action on the basis of no liability does not have the effect of quantifying the damages at zero dollars. If it did, then every appeal from the dismissal of an action would be to the Divisional Court, rather than only those where the value of the damages claimed or quantified is under $50,000, contrary to s. 6(1)(b) of the Courts of Justice Act , R.S.O. 1990, c. C.43: see Harte-Eichmanis v. Fernandes , 2012 ONCA 266, 15 R.F.L. (7th) 1, at paras. 13-14. [3] The appellant approached the Toronto Transit Commission (“TTC”) in 1994 offering to create a bus and subway route map guide. The TTC responded that such a guide was already available to its passengers. In 1996, the appellant raised concerns with the TTC that its route maps appeared in the Yellow Pages Directory, to which the TTC responded that those route maps had been internally generated and were not based on the appellant’s proposed guide. On August 5, 1996, the appellant obtained a Certificate of Registration for a Guide from the United States Copyright Office. However, that Guide was unpublished and was not provided to the motion judge. The appellant provided only “route maps” that he proposed to include in the Guide. Those route maps were not in the form of maps, but were lists of transit stops along bus routes. There was also one document that was in the form of a map with businesses on the street identified in handwriting. [4] The evidence of the TTC was that it has been publishing route maps of its transit lines for many years in a number of formats. The motion judge found that evidence to be uncontested. These maps do not include information about businesses along the routes, like those prepared and submitted by the appellant. In his action, the appellant claims copyright in the publication of all transit routes and schedules in Canada and the U.S., based on his U.S. Certificate of Registration. [5] The motion judge determined that he could decide both motions on summary judgment as there was no genuine issue requiring a trial. He made the following findings: 1) Because the appellant did not produce a Guide, there was no evidentiary basis to support a claim for copyright in a Guide. 2) As there is no copyright in ideas but only in their form of expression, there was no originality in the route maps the appellant produced which were taken from public information about TTC transit routes. 3) Even if there was any original form of expression in the appellant’s TTC route maps, there was no evidence that the TTC used or adopted the appellant’s maps. 4) If the appellant had copyright in the expression of the appellant’s maps, the scope of any such copyright would not extend to prevent the TTC from producing its own route maps. [6] Based on those findings, the motion judge dismissed the appellant’s action for copyright infringement. [7] In oral argument, the appellant asserted that the affidavit evidence filed by the TTC was untrue regarding the history of its publication of transit route maps. There is no basis on the record for making such an assertion. The deponent of the TTC’s affidavit was not cross-examined, and his evidence was supported by documentary exhibits. [8] We see no error in the findings of the motion judge with respect to the record and the law of copyright, and in finding no genuine issue requiring a trial. [9] The appellant also sought to keep the respondent in the action as a conspirator with the federal government in respect of his claim for “assault, slander, defraud and deny rights, benefits and privileges of freedom of [the appellant].” The motion judge found that there was no evidence to support the alleged claims against the respondent and therefore granted summary judgment dismissing the action against it with costs of $25,000. We see no error in this finding, and no genuine issue requiring a trial. [10] The appeal is therefore dismissed with costs fixed in the amount of $8,000 inclusive of disbursements and HST. “G.R. Strathy C.J.O.” “K. Feldman J.A.” “K. van Rensburg J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: Wen v. Gu, 2021 ONCA 259 DATE: 20210426 DOCKET: C67743 Benotto, Miller and Trotter JJ.A. BETWEEN Hao Wen Plaintiff (Appellant) and Shi Gu , Robert Choi and Robins Appleby LLP Defendants ( Respondent ) Yixin Wang and J. Gardner Hodder, for the appellant Jerome H. Stanleigh, for the respondent Heard: April 20, 2021 by video conference On appeal from the judgment of Justice William S. Chalmers of the Superior Court of Justice, dated November 4, 2019, with reasons reported at 2019 ONSC 7456. REASONS FOR DECISION Background [1] In August 2016 the appellant, Hao Wen, purchased a restaurant from the respondent. The purchase price of $425,000 included a transfer of the lease, licences, and equipment. The closing was supposed to be October 25. However, the appellant alleged that the respondent had made misrepresentations entitling her to terminate the agreement. She alleged that during the negotiations, the respondent represented that the weekday sales revenues in the busiest month were $3,000 and the weekend revenues were $8,000. In fact, the revenues averaged to $1,000 and $4,000 respectively. [2] The appellant commenced an action alleging fraudulent misrepresentation and frustration. The respondent counterclaimed for breach of contract. [3] The appellant sought to establish that the representations as to revenue had been admitted. She filed a Request to Admit the following fact: 8.       During the meeting of August 29, 2016 [the respondent] told [the appellant] that in the best month, the daily revenue for the Restaurant business was on average $3,000.00 on weekdays and approximately $8,000.00 on weekends. 9.       In the context of paragraph 9 [sic] herein, “the best month” means the months of either May, June or July. [4] In his Reply to Request to Admit, the respondent neither admitted nor denied paragraph 8 but admitted paragraph 9. [5] During the respondent’s examination in chief at trial, his counsel referred to the Request to Admit: Q.      During the meeting of August 29, you told the [appellant] that the best month of daily revenue for the restaurant business was on average $3,000 on weekdays and approximately $8,000 on weekends. A.      Yes. Decision below [6] The trial judge found that the respondent did not make any misrepresentations which induced the appellant into signing the contract. His statements about the revenue and profits of the restaurant were accurate. She had been shown sales receipts for May 7 to July 31, 2016 which showed approximately $1,000 of revenue for weekdays and $4,000 for weekends. The trial judge added that even if the estimate of revenue had been inaccurate, “[the respondent] provided the actual sales receipts” to the appellant who had them before the agreement and she asked no questions. He added that, if the appellant relied on the respondent’s totals when the actual sales records had been provided, it was not reasonable for her to do so. [7] The trial judge found that the appellant breached the contract and awarded the respondent the difference between the purchase price of $425,000 and the amount he eventually sold the restaurant for, rent for the two-month period after the closing date, and the sales commission he was required to pay for the new sale. Issues [8] The appellant submits that the trial judge erred by ignoring the factual admissions when he found there were no misrepresentations. She also argues that he erred in assigning responsibility to the appellant for not verifying the sales receipts given to her. [9] The respondent submits that this is a case of buyer’s remorse. The appellant was not misled, and the trial judge made no palpable and overriding error in concluding that the sales receipts given to her were accurate. Analysis [10] We have concluded that the trial judge erred in two ways. [11] First, the trial judge failed to refer to the admitted facts when he concluded that there was no misrepresentation. The estimates given by the respondent – that the average daily revenue in the restaurant’s best month was $3,000 on weekdays and $8,000 on weekends – could not be reconciled with the actual sales. These facts were admitted pursuant to r. 51.03 (Effect of Request to Admit) of the Rules of Civil Procedure , R.R.O. 1990, Reg. 194, and the testimony of the respondent. The trial judge did not consider the effect of these admissions. Consequently, it is not possible to reconcile his finding that there was no misrepresentation with the admitted facts. [12] Second, the trial judge erred by assigning responsibility to the appellant. He should not have relied upon the appellant’s lack of due diligence to find that there was no fraudulent misrepresentation: Performance Industries Ltd. v. Sylvan Lake Golf & Tennis Club Ltd. , 2002 SCC 19, [2002] 1 S.C.R. 678, at paras. 67-69; Man Financial Canada Co. v. Keuroghlian , 2008 ONCA 592, at para. 45. [13] The combined effect of these errors requires a new trial. [14] The appeal is allowed, and a new trial is ordered. [15] The costs ordered by the trial judge are set aside. In accordance with the parties’ agreement, costs of the trial below and the new trial will be determined by the next trial judge. [16] Cost of the appeal are to be paid to the appellant fixed in the agreed upon amount of $20,000.00 all inclusive. “M.L. Benotto J.A.” “B.W. Miller J.A.” “Gary Trotter J.A. ”
COURT OF APPEAL FOR ONTARIO CITATION: Wilton v. Northern Bruce Peninsula (Municipality), 2021 ONCA 12 DATE:  20210107 DOCKET: C66314 Doherty, Paciocco and Coroza JJ.A. BETWEEN Shirley Wilton as an Estate Trustee of Anneliese Weiss Appellant and Municipality of Northern Bruce Peninsula Respondent Shirley Wilton, acting in person Nicholas Lovell, for the respondent Heard: in writing On appeal from the order of Justice Kofi N. Barnes of the Superior Court of Justice, dated November 2, 2018. COSTS ENDORSEMENT [1] We have received the respondent’s costs submissions. The appellant chose to make no costs submissions. [2] Costs to the respondent in the amount of $7,500, inclusive of disbursements and all relevant taxes. “Doherty J.A.” “David M. Paciocco J.A.” “S. Coroza J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: Wiseau Studio, LLC v. Harper, 2021 ONCA 31 DATE: 20210115 DOCKET: M51953 (C68580) Thorburn J.A. (Motions Judge) BETWEEN Wiseau Studio, LLC and Tommy Wiseau d.b.a. Wiseau-Films Plaintiffs/ Defendants by Counterclaim (Appellants/ Responding Parties) and Richard Harper, Fernando Forero Mcgrath, Martin Racicot d.b.a. Rockhaven Pictures, Room Full of Spoons Inc., Parktown Studios Inc. and Richard Stewart Towns Defendants/ Plaintiffs by Counterclaim (Respondents/ Moving Parties) Matthew Diskin and Meredith Bacal, for the moving parties Daniel Brinza, for the responding parties Heard: January 7, 2021 by videoconference REASONS FOR DECISION RELIEF SOUGHT [1] This is a motion by the moving parties Ri chard Harper, Fernando Forero McGrath, Martin Racicot d.b.a. Rockhaven Pictures, Room Full of Spoons Inc., Parktown Studios Inc. and Richard Stewart Towns (together “Room Full of Spoons”) for security for the trial judgment, costs of the judgment and appeal and in the alternative, an order to lift the stay pending appeal. [2] The security amounts are as follows: 1. Security for the trial judgment in the amount of $200,000 CDN and Canadian currency sufficient to purchase $575,488.36 at a bank in Ontario listed in Schedule I to the Bank Act (Canada) at the close of business on the first day on which the bank quotes a Canadian dollar rate for purchase of the foreign currency before the day payment of the obligation is received; 2. Security for costs of trial judgment in the amount of $481,521.80 CDN; and 3. Security for costs of the appeal in the amount of $30,000. [3] Room Full of Spoons claims that although security for judgment has not been awarded by an Ontario court, the unique circumstances of this case warrant security for the judgment awarded and has been awarded by courts in other Canadian jurisdictions. Room Full of Spoons also notes that the British Columbia and Alberta courts have granted security for judgment in similar circumstances. BACKGROUND EVIDENCE [4] In 2003, Wiseau Studio LLC and Tommy Wiseau, doing business as “Wiseau Films” released a feature film called The Room. The Room and its creator, Tommy Wiseau, acquired cult-like status. Wiseau Studio and Tommy Wiseau are residents of California. [5] Richard Harper, Fernando Forero McGrath, Martin Racicot and Richard Stewart Towns are Ontario documentary filmmakers. In 2016, after years of work, they completed a documentary film called Room Full of Spoons about the cult phenomenon surrounding The Room and Mr. Wiseau (the “Documentary”). Room Full of Spoons’ only material asset is the Documentary. [6] Room Full of Spoons have not been able to exploit the Documentary since Wiseau Films brought a claim against them in 2017. [7] On June 14, 2017, Wiseau Films obtained an ex parte injunction restraining the release of the Documentary while, unbeknownst to the court, it was in negotiations with Room Full of Spoons about the Documentary’s release. [8] On November 1, 2017, the injunction was dissolved as the motion judge held that Wiseau Films had failed to make full and frank disclosure and engaged in litigation misconduct. Room Full of Spoons was awarded substantial indemnity costs of $97,034.68. [9] The cost award was not paid for 11 months and was paid only after the court advised that Wiseau Films’ claim would be dismissed if the cost award was not satisfied. [10] Thereafter, the case management judge found that Wiseau Films engaged in “roadblocks to scheduling at almost every attendance” and other improper acts. These include: (a)     The injunction was issued at a “commercially critical time” when the parties were on the verge of finalizing a distribution deal which was prevented by the injunction such that the lawsuit had the effect of blocking the release of the documentary; (b)     Wiseau stated falsehoods about the defendants on social media and made misrepresentation to third parties about the legality of screening the documentary; (c)     Both sides agreed to file affidavits from their witnesses regarding their anticipated testimony in chief. Thereafter, Wiseau Films sought an order from the case management judge to direct the Crown to prosecute the defendants for perjury based on their affidavits, although he never identified what was allegedly false. The request was refused; (d)     Seeking to adjourn the trial on the eve of trial on the grounds that Wiseau Films no longer had counsel. The case management judge held this was “a situation entirely of their own making and one about which [he had] warned Mr. Wiseau on many occasions”. Since February 2019, the case management judge had dealt with three different motions by three sets of counsel for Wiseau Films asking to be removed from the record; and (e)     On the eve of trial, sending the judge and opposing counsel a document entitled “Total Withdraw” purporting to discontinue his claims. In the document, Wiseau Films attacked the Ontario justice system and stated that a new action would be brought in another jurisdiction for the same relief. (The request was refused.) [11] Following an eight-day trial in January 2020, Wiseau Films’ claim was dismissed and judgment granted in favour of Room Full of Spoons on the counterclaim. The judgment was thorough and comprehensive. [12] Room Full of Spoons was awarded $200,000 in punitive damages (in large part for litigation misconduct), $550,000 USD in damages arising from the improper ex parte injunction, $25,488.36 USD in pre-judgment interest, and $481,521.80 CDN in costs. [13] Thereafter, Wiseau Films’ request to vary the judgment was dismissed with costs to Room Full of Spoons in the amount of $20,000 CDN. In his reasons, the trial judge refused to allow evidence from witnesses that testified at trial and that could and should have been adduced at trial. He also noted that, Nothing presented on this motion suggests that my Reasons for Judgment were based on misleading evidence or that there is any other reason to reconsider my decision or reopen the trial. Rather, this motion raises the same concerns referred to by Koehnen J. prior to trial, that the plaintiffs seek to delay justice for the defendants at every turn. Once again, Wiseau also complains of the Ontario justice system being unfair to him as “an American citizen doing litigation in a foreign and unfamiliar jurisdiction.” This claim, and other criticisms of the Ontario courts was made by Wiseau in advance of trial and also at the outset of the trial. However, Wiseau chose to bring this action in Ontario, and no doubt was quite content with our system of justice when he obtained his ex parte injunction. I am not aware of any way in which he has been treated differently than if he were a resident of Ontario or a citizen of Canada. In my view, this motion has no merit and is yet another tactical attempt by Wiseau to delay and obstruct the release of Room Full of Spoons . [14] Thereafter, Mr. Wiseau failed to attend examinations in aid of execution, or court Orders compelling his attendance to provide information about his assets. Counsel for Wiseau Films advised that, As for the location of the assets which could be used to satisfy any judgment … the bulk of my clients’ assets may be located outside Ontario, namely in the USA. As you are aware, should you wish to proceed with execution against any US-based assets, the proper procedure for your side would be to convince a US court of proper jurisdiction to endorse the judgments and orders issued by the Ontario courts. [15] Mr. Wiseau refused to say whether a sizeable real estate asset called the Pico Property, which was the only known address for Mr. Wiseau, was still his address and said it was “laughable” to ask. No information has been provided about any Wiseau Films assets or their whereabouts save for the bald assertion that Wiseau Films can satisfy any judgment award. [16] Wiseau Films has now brought a Notice of Appeal of the trial judgment. Wiseau Films’ counsel does not dispute that the Amended Amended Notice of Appeal, which grounds provide only that the court below erred in dismissing his various claims, is frivolous on its face. He suggested however that there was still time to further amend the Appeal. THE POSITIONS OF THE PARTIES [17] Room Full of Spoons claims costs of the judgment and security for costs of the trial and appeal on the grounds that there is no evidence that Wiseau Films or any of its assets is in the jurisdiction or that Wiseau Films would agree to pay any order of this court. Room Full of Spoons also submits that Wiseau Films’ improper behaviour in making numerous tactical attempts to obstruct and delay these proceedings, and its frivolous appeal, justify the relief sought. [18] Room Full of Spoons claims these actions are clear evidence that, having chosen to commence legal proceedings in Ontario, Wiseau Films does not intend to comply with an Ontario court order and that security for judgment and costs is therefore required. [19] Wiseau Films disputes the motion for security for judgment and/or costs as they claim justice does not demand that security be granted and the losing party should be entitled to avail itself of due process and any and all protections afforded to a judgment debtor. [20] Counsel for Wiseau Films conceded on this motion that the grounds of appeal set out in the Notice of Appeal are frivolous as they are entirely conclusory. He stated however, that they are not vexatious as there is no stated intention to refuse to pay any amounts deemed owing nor is there evidence Wiseau Films cannot satisfy a judgment and or costs award. [21] Lastly, Wiseau Films submits that to enable Room Full of Spoons to obtain information about its assets would constitute execution before final judgment. Such an order for security for judgment has never been granted in Ontario, which suggests it is not appropriate to do so absent exceptional circumstances which are not present in this case. ANALYSIS (1) The First Issue: Security for Trial Judgment [22] Section 134(2) of the Courts of Justice Act , R.S.O. 1990, c. C.43 (“CJA”) provides that, “On motion, a court to which a motion for leave to appeal is made or to which an appeal is taken may make any interim order that is considered just to prevent prejudice to a party pending the appeal.” [23] Rule 1.05 of the Rules of Civil Procedure R.R.O. 1990, Reg. 194, provides that, “When making an order under these rules the court may impose such terms and give such directions as are just.” [24] Security for judgment is an extraordinary remedy that should only be granted in exceptional circumstances: Vaillancourt v. Cater , 2017 ABCA 282, at para. 20; Aetna Financial Services Ltd. v. Feigelman , [1985] 1 S.C.R. 2 at p. 10; C.H. v. M.H. , 1997 ABCA 263, 53 Alta. L.R. (3d) 80 ( sub nom Hamza v. Hamza ), at para. 24. [25] Such an order requires an appellant to post security for judgment before continuing with the appeal. In this way, security for judgment functions much like a Mareva injunction and restrains the appellant from disposing of or dissipating assets in order that they be available to satisfy the judgment should it be upheld and if security for judgment is ordered and not posted, the appeal is dismissed: Vaillancourt , at. para. 20; Vaccaro v. Twin Cities Power-Canada U.L.C. , 2013 ABCA 252, 97 Alta. L.R. (5th) 193, at para. 14. [26] Security for judgment has been granted in other jurisdictions in the following circumstances: 1. Where there are no assets in the jurisdiction against which to enforce a judgment and the appeal has little merit ( Vaccaro at para. 11; Creative Salmon Company Ltd. v. Staniford , 2007 BCCA 285, at paras. 12 and 14; Richland Construction Inc. v. Manningwa Developments Inc. , 1996 CanLII 3188 (B.C. C.A.) at paras. 12-13); 2. To preserve assets that would otherwise be destroyed, disposed of, or dissipated prior to the resolution of the dispute: Aetna Financial at p. 12); and 3. To encourage respect for the judicial process and avoid abuse of process ( C.H. , at para. 23, citing Mooney v. Orr (1994), 100 BCLR (2d) 335 at p. 348 (B.C. S.C.); Vaccaro at paras. 12-14; and in respect of Mareva injunctions, Aetna Financial at pp. 13-14). [27] In First Majestic Silver Corp. et al. v. Davila , 2013 BCCA 312, the court invoked s. 10(2)(b) of the British Columbia Court of Appeal Act , R.S.B.C. 1996, c. 77, a provision with similar wording to that in s. 134 of the CJA which provides that “In an appeal or other matter before the court, a justice may … (b) make an interim order to prevent prejudice to any person”. The court ordered that appellants who resided out of the jurisdiction without assets in the jurisdiction post security for the trial judgment, failing which the respondents were granted leave to apply to have the appeal dismissed as abandoned. In so doing, the court set out the principles governing the exercise of discretion in ordering security for a trial judgment: 1. The onus is on the applicant to show that it is in the interest of justice to order posting for security of a trial judgment and/or of trial costs. 2. The applicant must show prejudice if the order is not made. 3. In determining the interests of justice the chambers judge should consider the merits of the appeal and the effect of such an order on the ability of the appellant to continue the appeal. (See also Vaillancourt , at para. 24). [28] The interests of justice may include a consideration of the ex juris residence of an appellant and therefore the effective immunity of an appellant from enforcement of the judgment: First Majestic Silver Corp. et al. , at para. 16; Paz v. Hardouin , 1995 CanLII 1808 (B.C. C.A.), at paras. 22. They may also include a consideration of the ability to enforce the judgment in the appellant’s ex juris jurisdiction and/or the absence of assets in the jurisdiction in which the judgment was rendered: First Majestic Silver Corp. et al. , at para. 16; Cadinha v. Chemar Corp. Inc. , 1995 CanLII 1017 (B.C. C.A.), at paras. 5-7. [29] The interests of justice may not be relied upon by a successful plaintiff where the effect of requiring the posting of security for a trial judgment would be to preclude a party from pursuing the appeal: Kedia v. Shandro Dixon Edgson , 2007 BCCA 316, 243 B.C.A.C. 80, at para. 39, relying on Chan v. Vancouver Trade Mart Ltd. , 1997 CanLII 4108 (B.C. C.A.), at para. 10. [30] However, in Creative Salmon , Lowry J.A. held at para. 12 that: [A]dverse financial circumstances will generally not defeat an application for security where an appeal is virtually without any merit. A successful plaintiff should not be required to respond to an unmeritorious appeal when there is no real prospect of recovery. [31] A finding that an appeal has no reasonable prospect of success may be a factor: see Richland Construction Inc. , at para. 8. [32] For the reasons set out below, I find that this is one of those rare and exceptional circumstances where an order for security for judgment is warranted. [33] First, Wiseau Films is out of the jurisdiction. Wiseau Films refused to advise if it has any assets in the jurisdiction and the only reasonable inference therefore is that there is no evidence that Wiseau Films have any assets in the jurisdiction. Moreover, Wiseau Films concedes there is no issue that paying security for judgment and or costs would prevent Wiseau Films from pursuing its appeal. As such, the interest of justice onus is met. [34] Second, there is evidence that Room Full of Spoons will suffer prejudice if the order is not granted: 1. On several occasions, both the case management and trial judges have noted that there were numerous “tactical attempt(s) by Wiseau to delay and obstruct the release of Room Full of Spoons.” Those actions are set out at paragraph 10 above; 2. Room Full of Spoons spent years producing their documentary film and it has now been over four years since the completion of the film during which there has been a cloud on title such that they have been prevented from airing the documentary; 3. A significant judgment award may never be recovered if the order is not granted. [35] Although Wiseau decided to commence legal proceedings in Ontario (and is therefore required to abide by the rules of the Ontario courts), Wiseau Films has demonstrated no intention to pay an award ordered by this court. Mr. Wiseau said it was “laughable” to ask if the sizeable Pico Property, which was the only known address for Mr. Wiseau, was still his address and suggests that if his appeal is not successful, Room Full of Spoons should commence proceedings in the United States to recover the judgment. It is also telling that, although Wiseau Films did pay the costs ordered against him for bringing an improper ex parte order, he did so only after the court ordered that if he failed to pay the award, his action would be dismissed. [36] Third, it is agreed that as presently drafted, the Amended Amended Notice of Appeal is frivolous and does not articulate what errors were made in the comprehensive reasons provided by the trial judge. [37] I am therefore satisfied that although this is a remedy that should be invoked sparingly, the interests of justice weigh in favour of granting the order for security for judgment. [38] Accordingly, the appellants are ordered to post security for the trial judgment within 90 days of this order, with liberty to apply for further directions on the form of the security, if necessary. If the appellants fail to comply with this order, Room Full of Spoons are granted leave to apply for an order dismissing the appeal as abandoned. (2) The Second Issue: Security for Costs [39] This court may order security for costs pursuant to Rule 56.01 of the Rules of Civil Procedure where, (a)     the plaintiff or applicant is ordinarily resident outside Ontario; (c)      the defendant or respondent has an order against the plaintiff or applicant for costs in the same or another proceeding that remain unpaid in whole or in part; (d)     the plaintiff or applicant is a corporation or a nominal plaintiff or applicant, and there is good reason to believe that the plaintiff or applicant has insufficient assets in Ontario to pay the costs of the defendant or respondent; or (e)     there is good reason to believe that the action or application is frivolous and vexatious and that the plaintiff or applicant has insufficient assets in Ontario to pay the costs of the defendant or respondent. [40] As noted above, the Wiseau Films parties are ordinarily resident outside of Ontario and there is good reason to believe Wiseau Films has insufficient assets in Ontario to satisfy the awards. Wiseau Films has refused to adduce evidence of any assets in Ontario or any evidence that, having elected to proceed in Ontario, it would pay any amounts ordered by Ontario courts unless and until ordered by a United States court. Moreover, there is evidence that the proceeding is vexatious given the circumstances surrounding the ex parte order, the conduct prior to trial set out above, and Wiseau Films’ concession that the appeal is frivolous. [41] Taken together, there are ample grounds to support an order for security for costs of the trial and appeal pursuant to section 56 of the Rules of Civil Procedure . [42] Given the above and extension of the delay for release of the Documentary, Wiseau Films should post funds into court: Health Genetic Center Corp. (Health Genetic Center) v. New Scientist Magazine , 2019 ONCA 576 at paras. 8-11. This Court has the jurisdiction to do so pursuant to s. 134(2) of the Courts of Justice Act and Rule 1.05 of the Rules of Civil Procedure . CONCLUSION [43] For the above reasons, the motion is granted. [44] In accordance with the agreement between the parties, costs are awarded to the moving parties Room Full of Spoons in the amount of $3,500. “J.A. Thorburn J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: Wiseau Studio, LLC v. Harper, 2021 ONCA 396 DATE: 20210607 DOCKET: M52157 & M52464 (C68580) Doherty, Pepall and Trotter JJ.A. BETWEEN Wiseau Studio, LLC and Tommy Wiseau d.b.a. Wiseau-Films Plaintiffs/Defendants by Counterclaim (Appellants) and Richard Harper, Fernando Forero McGrath, Martin Racicot d.b.a. Rockhaven Pictures, Room Full of Spoons Inc., Parktown Studios Inc. and Richard Stewart Towns Defendants/Plaintiffs by Counterclaim (Respondents) Daniel Brinza, for the appellants Matthew Diskin and Meredith Bacal, for the respondents Heard: June 2, 2021 by video conference A motion by the appellants to set aside the order of Thorburn J.A., dated January 15, 2021, and a motion by the respondents to dismiss the appeal for non-compliance with the order of Thorburn J.A. REASONS FOR DECISION [1] At the end of oral argument, the court advised the parties the appellants’ motion to set aside the order of Thorburn J.A. (the “motion judge”) was granted in part and the respondents’ motion to dismiss the appeal was dismissed as moot. These are our reasons for those dispositions. [2] The appellants did not file any material in response to the respondents’ motion for security. Before the motion judge, counsel for the appellants conceded the appeal as framed in the Notice of Appeal was frivolous. The motion judge relied on that concession in making her order. [3] The appellants have fleshed out their grounds of appeal since the motion. They have also perfected the appeal and filed a factum. [4] We are prepared, in the circumstances, to permit the appellants to resile from the concession made before the motion judge as to the merits of the appeal. Absent the concession the appeal was frivolous, we are satisfied the part of the order requiring the appellants to post security for the amount of the judgment should be set aside. [5] We would not, however, interfere with the order for security for costs, both with respect to the trial costs and the costs of appeal. In challenging that part of the motion judge’s order, the appellants relied on material placed before this court, which was not before the motion judge. The appellants did not seek leave to adduce fresh evidence, nor did the appellants offer any justification for receiving fresh evidence. [6] A motion to review proceeds on the record that was before the motion judge unless the moving party can justify the court receiving “fresh evidence”. There is no such justification here and we will not admit any of the new material filed on this motion for review. [7] Based on the record as it was before the motion judge, it was reasonably open to her in the exercise of her discretion to make an order for the security of the costs of both the trial and the appeal pursuant to r. 61.06(1). [8] At the end of oral argument, the court made the following order. [9] The motion to review the order of the motion judge is allowed in part. The order for security on the amount of the judgment is set aside. The order for security for costs, both with respect to trial costs and the costs of the appeal, is affirmed. [10] The appellant shall post the required security by no later than July 7, 2021 at 4:00 p.m., failing which the respondent may move ex parte in writing before this panel for an order dismissing the appeal. Any further application by any party in relation to the security for costs order shall be made to this panel and in writing. [11] The motion judge ordered costs against the appellants in the amount of $3,500. In our view, that order should stand, even though we have varied the terms of the motion judge’s order. The motion judge proceeded on the basis of the appellants’ concession as to the absence of any apparent merit to the appeal. In light of the position taken by the appellants before the motion judge, the appellants should remain obliged to pay the costs of the motion, even though we have varied the result. [12] As success is divided before this court, we order no costs with respect to the proceedings before us. [13] Given the result of the appellants’ motion, the respondents’ motion to dismiss the appeal for non-compliance with the order of the motion judge is dismissed as moot. “Doherty J.A.” “S.E. Pepall J.A.” “G.T. Trotter J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: Woods (Re), 2021 ONCA 190 DATE: 20210329 DOCKET: C68774 & C68940 Tulloch, Huscroft and Thorburn JJ.A. DOCKET: C68774 IN THE MATTER OF: Joanne Woods AN APPEAL UNDER PART XX.1 OF THE CODE DOCKET: C68940 AND BETWEEN Her Majesty the Queen Appellant and Joanne Woods Respondent Michael Davies, for the appellant (C68774), Joanne Woods Dena Bonnet and Emily Marrocco, for the appellant (C68940) and respondent (C68774), Her Majesty the Queen Anita Szigeti and Maya Kotob, for the respondent (C68940), Joanne Woods Leisha Senko, for the respondent (C68774 & C68940), Person in Charge of Centre for Addiction and Mental Health David Humphrey and Michelle Biddulph, for the respondent (C68940), Ontario Review Board Amy Ohler and Eric Neubauer, for the intervener (C68940), Criminal Lawyers’ Association (Ontario) Heard: March 12, 2021 by videoconference On appeal from the disposition of the Ontario Review Board dated October 8, 2020, with reasons dated October 15, 2020 (C68774). On appeal from the judgment of Justice Patrick J. Monahan of the Superior Court of Justice, dated November 6, 2020, with reasons reported at 2020 ONSC 6899, 152 O.R. (3d) 595, granting certiorari to quash the ruling of the Ontario Review Board, dated July 31, 2020, holding it had jurisdiction to conduct a disposition review hearing under Part XX.1 of the Code by videoconference without the accused’s consent (C68940). Tulloch J.A.: A. INTRODUCTION [1] On May 9, 2012, the court found Ms. Woods not criminally responsible on account of mental disorder (“NCRMD” or “NCR”) for charges of uttering a threat to cause death or bodily harm, and possession of a weapon for a dangerous purpose. She has been under the jurisdiction of the Ontario Review Board (“the ORB” or “the Board”) ever since. [2] In May 2020, the ORB announced that it would hold all of its hearings remotely, by videoconference, due to the COVID-19 pandemic. Ms. Woods’ annual disposition hearing was initially scheduled for May 29, 2020. Ms. Woods did not consent to proceeding by videoconference and sought to adjourn her hearing until the Board could convene in person. [3] After a two-month adjournment, on July 31, 2020, the Board held that the hearing could proceed by videoconference, without Ms. Woods’ consent and despite her objections. Ms. Woods served and filed an application to quash the Board’s decision in the Ontario Superior Court. Notwithstanding r. 43.03(5) of the Criminal Proceedings Rules for the Superior Court of Justice (Ontario), SI/2012-7 – which suspends the proceedings before the Board once Ms. Woods had served and filed a Notice of Application to quash, unless a judge permits the proceedings to go ahead [1] – the Board held a disposition hearing by videoconference on September 28, 2020. Just over a week later, on October 8, 2020, the Board ordered Ms. Woods detained at the General Forensic Unit at the Centre for Addiction and Mental Health (“CAMH”), subject to conditions. [4] Prior to this order, since April 2017, Ms. Woods had been living in the community under a conditional discharge. [5] Monahan J. heard Ms. Woods’ application to quash on November 6, 2020. On November 23, 2020, Monahan J. issued a writ of certiorari and quashed the Board’s July 31, 2020 decision to conduct its proceedings by videoconference, for want of jurisdiction. He held that Part XX.1 of the Criminal Code, R.S.C., 1985, c. C-46 , which governs the NCR regime, did not authorize the Board to convene by videoconference without the consent of the accused. The parties agreed that this decision only affected the Board’s jurisdictional ruling on July 31, 2020, and not the disposition order rendered on October 8, 2020. [6] The Crown appeals Monahan J.’s certiorari order, while Ms. Woods appeals the order of the Board setting aside her conditional discharge and entering a detention order. [7] For the reasons that follow, I would dismiss the appeal of the certiorari application. The Board did not have jurisdiction to proceed by videoconference without the consent of the NCR accused. It follows that the Board rendered Ms. Woods’ October 8, 2020 disposition order without jurisdiction. The disposition is therefore null and void for want of jurisdiction. [8] Accordingly, it is unnecessary to address the merits of Ms. Woods’ appeal of her disposition order in great detail. Suffice to say, even if I had reached a different conclusion on the merits of the certiorari appeal, the disposition order would still be void because the Board conducted its disposition hearings in violation of r. 43.03(5). [9] It is my understanding that Ms. Woods is currently detained at the hospital. She has had another disposition hearing in the interim, heard on December 8, 2020 and decided on January 13, 2021. The Board continued her detention order in that disposition: Woods (Re), [2021] O.R.B.D. No. 104. However, this detention order rests on a faulty foundation given that the Board entered the original detention order without jurisdiction. [10] Thus, the detention order is quashed, and Ms. Woods’ conditional discharge is reinstated. I would return the matter to the Board to be heard by a different panel as soon as practicable. B. BACKGROUND AND OVERVIEW [11] As noted above, in May 2020, the ORB announced that it would hold all of its hearings remotely, by videoconference, due to the COVID-19 pandemic. In this announcement, the Board’s Chair also noted that this manner of proceeding may give rise to “arguable inconsistencies with the Code ,” and individuals with any “misgivings” could apply to have their matter adjourned. [12] Ms. Woods’ annual disposition hearing was initially scheduled for May 29, 2020. Ms. Woods attended the hearing, represented by counsel. She did not consent to the hearing proceeding by videoconference and sought an adjournment until the parties could schedule an in-person hearing. The Board granted the adjournment and scheduled a new hearing date for July 31, 2020. (a) The ORB’s Ruling on Jurisdiction [13] By the time of Ms. Woods’ adjourned hearing date on July 31, 2020, the ORB was still not convening for in-person hearings. The hearing proceeded by videoconference. [14] Counsel for Ms. Woods filed a notice of application submitting that the Board lacked jurisdiction to hold the hearing by videoconference without her consent. She argued that s. 672.5(13) [2] of the Criminal Code only allows the Board to proceed by videoconference “if the accused so agrees.” Additionally, counsel for Ms. Woods pointed out that s. 672.81(1), [3] which imposes a mandatory review of dispositions after twelve months, is not absolute and that adjournments are a reasonable justification for an extension of that time period. [15] The Crown argued that s. 672.81(1) requires the Board to fulfill its statutory duty to hold a hearing within twelve months of the last disposition and that this duty takes priority over any consent required by s. 672.5(13). The Crown also submitted that the current public health emergency rendered s. 672.5(13) “inoperative” in the circumstances. Finally, the Crown argued that the Board is entitled to govern its own process. [16] The Board, in an oral ruling, dismissed the application and denied Ms. Woods’ request for a further adjournment. It held that the Board had the authority to proceed by videoconference notwithstanding s. 672.5(13) and Ms. Woods’ objections. [17] In reasons released on August 25, 2020, the Board decided that an overall review of s. 672.5 and the Board’s Rules of Procedure indicates that the ORB has “wide latitude in deciding how its hearing procedures are to be governed with a fundamental goal of securing ‘…the just determination of the real matters in dispute.’” It further held that requests to extend the twelve-month review by way of adjournment would be assessed on a case-by-case basis. [18] In the case at hand, the Board found that another adjournment was unreasonable because there appeared to be significant live issues concerning the hospital’s ability to manage Ms. Woods’ illness and substance use, and these issues needed to be resolved in a timely manner. The Board also observed that there was no evidence that a denial of an in-person hearing occasioned any unfairness to Ms. Woods. [19] Since an in-person hearing was not possible while COVID-19 continued to pose a risk, the Board reasoned that Ms. Woods was, in effect, seeking to postpone her annual disposition hearing indefinitely. The Board noted that it was “tempting to conclude” that Ms. Woods’ refusal to consent was “a not so subtle manoeuvre to delay her hearing so that she can remain on a conditional discharge and maintain her current privileges without change.” The Board reasoned that an interpretation of s. 672.5(13) that would permit Ms. Woods to delay the annual disposition hearing indefinitely would lead to an absurd result, since it would prevent the Board from fulfilling its statutory mandate. [20] Based on the foregoing, the Board denied Ms. Woods’ request for an adjournment. The hearing was ordered to take place as soon as practicable. The Board found that it had the authority to proceed in Ms. Woods’ absence, even if she did not consent to a hearing by videoconference, under s. 672.5(10)(a). [4] (b) The Continuation of Ms. Woods’ Hearings [21] On August 28, 2020, the Board reconvened. Counsel for Ms. Woods informed the Board that she had filed and served an application to quash the Board’s July 31, 2020 jurisdictional decision in the Superior Court. She took the position that r. 43.03(5) of the Criminal Proceedings Rules applied and suspended the proceedings. In the alternative, counsel for Ms. Woods asked the Board to recuse itself on the basis of a reasonable apprehension of bias. The Board disagreed on both counts and commenced the hearing. It did not have enough time to hear all the evidence, so the matter was again adjourned to a later date. [22] A differently constituted panel convened by videoconference on September 28, 2020. [5] Ms. Woods did not attend this hearing. Counsel for Ms. Woods did not have instructions to proceed in Ms. Woods’ absence and asked for a further adjournment to either obtain instructions or seek advice from the Law Society as to whether she could participate as counsel without instructions. [6] The Board ordered that the hearing proceed in Ms. Woods’ absence, citing s. 672.5(10)(a), notwithstanding that her counsel could not participate without her instructions. It heard evidence from the hospital and a psychiatrist regarding Ms. Woods’ current medical condition, needs and circumstances. Counsel for Ms. Woods did not, and could not, make submissions or cross-examine any of the witnesses without instructions from her client. [23] On October 8, 2020, the Board issued its disposition. It set aside Ms. Woods’ conditional discharge and entered a detention order. (c) Ms. Woods’ Certiorari Application [24] A month later, on November 6, 2020, Monahan J. heard Ms. Woods’ writ of certiorari application to quash the Board’s July 31, 2020 decision to proceed by videoconference without her consent. In reasons released on November 23, 2020, Monahan J. allowed the application and quashed the Board’s July 31, 2020 decision, holding that the Board acted without legal authority. [25] At the outset, Monahan J. noted that the Board’s jurisdiction is defined and limited by the Criminal Code . The default rule in s. 715.21 of the Criminal Code provides that “a person who appears at, participates in, or presides at a proceeding shall do so personally.” Monahan J. found that “personally” means that criminal proceedings must proceed in the physical presence of the accused. [26] Monahan J. turned his analysis to Part XX.1 of the Criminal Code, which governs the NCRMD regime. He noted that an iteration of the default rule entitling accused individuals to an in-person hearing is found in s. 672.5(9). [7] Subsection 672.5(10) goes on to list specific circumstances where the accused may be absent from the hearing. [27] Monahan J. noted that only s. 672.5(10)(a) [8] could apply, which provides that the Board may “permit the accused to be absent during the whole or any part of the hearing on such conditions as the court or chairperson considers proper.” However, Monahan J. found the word “permit” in s. 672.5(10)(a) to be premised on the accused having waived the right to an in-person hearing. In other words, Monahan J. found that the Board could not rely upon s. 672.5(10)(a) to proceed in the absence of an accused without their consent; s. 672.5(10)(a) only applies where the accused has waived her right to be present. [28] Lastly, Monahan J. found that Part XX.1 specifically addresses the Board’s ability to proceed by videoconference in s. 672.5(13), and that provision requires the accused’s consent. [9] [29] After his review of the statutory framework, Monahan J. concluded that the Board’s decision ignored the clear and unambiguous language of ss. 672.5(9) and (13), which provide the NCR accused with a right to an in-person hearing. [30] Monahan J. also pointed out that the Board failed to consider whether it was, in fact, possible to hold a hearing in person. At the time, there was no legal rule or public health recommendation that prevented the Board from convening in person. [31] More broadly, Monahan J. reasoned that it is open to Parliament, and not the Board, to determine whether to amend s. 672.5(13) and grant the Board authority to conduct a disposition review hearing by videoconference over the objections of the accused. As I return to below, Parliament did not do so in its recent amendments to the Criminal Code , which expanded the circumstances under which trials and other criminal proceedings may take place by videoconference. C. ANALYSIS [32] The central question in the Crown’s appeal of Monahan J.’s certiorari order is the correct interpretation of Part XX.1 of the Criminal Code. The Crown asks this court to find that the Board has jurisdiction to conduct its proceedings by videoconference without the consent of the NCR accused. This jurisdiction, according to the Crown, derives from the Board’s statutory regime, its core mandate, and its governing practice directions. The Crown further submits that the exercise of this jurisdiction is reasonable in light of the global pandemic. Notably however, the Crown conceded in the hearing that this jurisdiction is rooted in the Board’s legal framework; put another way, the Crown also argues that the jurisdiction to hold proceedings by videoconference, without the NCR person’s consent, exists regardless of COVID-19. [33] For the reasons that follow, I disagree. The Board’s conclusion about the boundaries of its jurisdiction is incorrect. The statutory regime provides no authority for the Board to conduct its hearing by videoconference without the consent of the NCR accused. The Board’s decision was not justified when one considers the legal constraints under Part XX.1 of the Criminal Code . [34] Again, the Board’s proceedings were suspended once counsel for Ms. Woods filed and served the notice of application to quash in the Superior Court pursuant to r. 43.03(5). The Board nonetheless proceeded to convene by videoconference without Ms. Woods’ consent and without her counsel participating. It subsequently entered a detention order on October 8, 2020. This disposition was made without jurisdiction from the Criminal Code, and in direct contravention of the Criminal Proceedings Rules. The detention order would be null and void on both accounts. [35] The COVID-19 pandemic cannot justify a clear departure from the terms of the Criminal Code. The Board is a creature of statute and its powers are strictly circumscribed by the Criminal Code. The Board cannot expand its jurisdiction based on a sense of perceived urgency to act outside its statutory authority. Given the liberty interests at stake and the unique vulnerabilities of the NCR accused, the rights provided in the Criminal Code and the principles of natural justice must be zealously guarded in disposition hearings, even in the face of a global pandemic. Ms. Woods is entitled to an in-person annual disposition hearing unless and until the Criminal Code says otherwise. (1) The Standard of Review [36] The parties appeared before Monahan J. on an application for a writ of certiorari. Certiorari is an extraordinary remedy that derives from the supervisory jurisdiction of the Superior Court over a tribunal of limited jurisdiction. For parties in criminal or quasi-criminal proceedings, certiorari is available to address alleged jurisdictional errors; that is, when a court or tribunal either (a) fails to observe a mandatory provision of a statute or (b) acts in breach of the principles of natural justice: Bessette v. British Columbia (Attorney General), 2019 SCC 31, [2019] S.C.J. No. 31, at para. 23. The standard of review is correctness: Ontario (Attorney General) v. Taylor, 2010 ONCA 35, 98 O.R. (3d) 576, at para. 16. (2) Statutory Interpretation of Part XX.1 of the Criminal Code [37] Whether the Board failed to observe a mandatory provision of the Criminal Code is a question of statutory interpretation. In Canada, it is trite law that the modern approach to statutory interpretation requires that “the words of an Act are to be read in their entire context and in their grammatical and ordinary sense harmoniously with the scheme of the Act, the object of the Act, and the intention of Parliament”: Bell ExpressVu Ltd. Partnership v. Rex , 2002 SCC 42, [2002] 2 S.C.R. 559, at para. 26. [38] The starting point is to determine the ordinary meaning of the text. The ordinary meaning refers to “the understanding that spontaneously comes to mind when words are read in their immediate context” and is “the natural meaning which appears when the provision is simply read through”: R. v. Wookey , 2016 ONCA 611, 531 O.A.C. 13, at para. 25; Pharmascience Inc. v. Binet , 2006 SCC 48, [2006] 2 S.C.R. 513, at para. 30; and Canadian Pacific Air Lines Ltd. v. Canadian Air Line Pilots Assn ., [1993] 3 S.C.R. 724, at p. 735. [39] After establishing an initial impression, the court must consider and draw inferences from the Act as a whole. This includes related provisions and the overall scheme. It is presumed that the legislature is competent and well informed, that it uses language consistently, and that the provisions in the Act collectively form a coherent scheme: Ruth Sullivan, Sullivan and Dreidger on the Construction of Statutes , 4th ed. (Markham: Butterworths, 2002), at pp. 162-63 and 186-87; Ordon Estate v . Grail , [1998] 3 S.C.R. 437, at para. 60. [40] There is also a presumption against tautology: R. v. Gallone, 2019 ONCA 663, 147 O.R. (3d) 225, at para. 31. That presumption instructs “that the legislature avoids superfluous or meaningless words, that it does not pointlessly repeat itself or speak in vain”: Ruth Sullivan, Sullivan on the Construction of Statutes , 6th ed. (Markham: LexisNexis, 2014), (“Sullivan”), at p. 211, citing Attorney General of Quebec v. Carrières Ste-Thérèse Ltée , [1985] 1 S.C.R. 831, at p. 838. Instead, “[e]very word in a statute is presumed to make sense and to have a specific role to play in advancing the legislative purpose”: Sullivan , at p. 211. [41] Finally, a court must situate its interpretation within the purpose of the legislation. Insofar as the language of the text permits, courts should adopt interpretations that are consistent with the legislative purpose and avoid interpretations that defeat or undermine that purpose. It is presumed that the legislature does not intend absurd consequences: Rizzo & Rizzo Shoes Ltd. (Re) , [1998] 1 S.C.R. 27, at para. 27. [42] The questions to be answered are whether ss. 672.5(9), (10) and (13) support the conclusions that: (a) the accused has the right to an in-person hearing unless they consent to a hearing by videoconference; and (b) the Board may proceed in the absence of the accused without their consent. Given the interrelated nature of these questions, I will consider them in a blended manner. [43] Before doing so, I will briefly summarize ss. 672.5(9), (10) and (13). Subsection 672.5(9) states that “[s]ubject to subsection (10), the accused has the right to be present during the whole of the hearing”. Subsection (10) goes on to list specific circumstances where the accused may be absent from the hearing. As noted above, only ss. 672.5(10)(a) is applicable and it reads: “The court or the chairperson of the Review Board may (a) permit the accused to be absent during the whole or any part of the hearing on such conditions as the court or chairperson considers proper.” The statute specifically addresses videoconferencing in s. 672.5(13), which provides: “[i]f the accused so agrees, the court or the chairperson of the Review Board may permit the accused to appear by close circuit television or videoconference for any part of the hearing.” (a) The Ordinary Meaning [44] When read alone, s. 672.5(9) arguably gives rise to some ambiguity as to whether the term “present” entitles an accused to be physically present. The right to be present could simply mean a right to attend the hearing. In contemporary times, someone could attend a hearing either physically or virtually. This would be consistent with the approach of courts to consider advances in technology that did not exist when Parliament enacted the provision: John v. Ballingall , 2017 ONCA  579, 136 O.R. (3d) 305, at para. 24, leave to appeal refuse [2017] S.C.C.A. No. 377. Such an approach ensures that statutory interpretation applies “a dynamic approach to interpreting their enactments, sensitive to evolving social and material realities”: R. v. 974649 Ontario Inc ., 2001 SCC 81, [2001] 3 S.C.R. 575, at para. 38. [45] However, any ambiguity about whether an accused’s right to be “present” entitles him or her to an in-person hearing is resolved when one considers s. 672.5(13). That section explicitly addresses circumstances where an NCRMD accused’s “presence” may be virtual, that is, through a videoconference. Parliament was careful to stipulate that the NCRMD accused must agree to appear by videoconference. This provision would have no meaning if s. 672.5(9) did not entitle the NCRMD accused to be physically present at a hearing. As noted above, the presumption of tautology states that “[e]very part of a provision or set of provisions should be given meaning if possible”, and courts should avoid, “as much as possible, adopting interpretations that would render any portion of a statute meaningless or pointless or redundant”: R. v. Hutchinson , 2014 SCC 19, [2014] 1 SCR 346, at para. 16; Sullivan , at p. 211. [46] A plain reading of s. 672.5(10)(a) does not assist this court in interpreting whether the accused person has a right to be physically present. The Board’s ability in certain circumstances to proceed in the absence of the accused does not speak to whether the accused is entitled to an in-person hearing. [47] However, a plain reading of s. 672.5(10)(a) does shed light on whether the Board may proceed in the absence of the accused without their consent. I am not convinced that the Board may do so. The word “permit” in s. 672.5(10)(a) implies that the Board may grant the accused permission to be absent. Stated otherwise, it is premised on an accused waiving her right to an in-person hearing. [48] The word “permit” also has a specific connotation in the Criminal Code context. Monahan J. pointed to s. 650(2)(b) – a virtually identical provision – which courts have interpreted as only applying where an accused has waived their right to be present at trial: R. v. Drabinsky, [2008] 235 C.C.C. (3d) 350 (Ont. S.C.), at paras. 7-11. Mohanan J. also compared the word “permit” with the language of s. 715.23(1), which provides: "except as otherwise provided in this act, the court may order an accused to appear by audio conference or videoconference, if the court is of the opinion that it would be appropriate having regard to all the circumstances.” Under s. 672.5(13), which carves out an exception to s. 715.23(1), the Board may only “permit” (as opposed to “order”) the accused to appear by videoconference. It is presumed that the legislature uses words consistently and intentionally. I agree with Monahan J.’s analysis on this point. [49] On a plain reading of ss. 672.5(9), (10) and (13), the right to be present implies a physical presence unless the accused consents to a hearing by videoconference. Additionally, the Board cannot proceed in the absence of the accused unless she has waived her right to be present. (b) The Act as a Whole [50] The next step involves a consideration of the Act as a whole. The Crown asks us to interpret ss. 672.5(9), (10) and (13) in light of ss. 672.81(1), 672.5(2), and 672.53. Subsection 672.81(1) requires the Board to hold annual hearings to review dispositions made with respect to an NCR accused. [10] Subsection 672.5(2) provides that a review hearing may be conducted as informally as is appropriate in the circumstances. [11] Finally, s. 672.53 provides that any procedural irregularity in relation to a disposition hearing will not affect the validity of the hearing itself unless the irregularity causes substantial prejudice to the NCR accused. [12] I will deal with each of these provisions in turn. [51] There is no question that the Board must conduct review hearings on an annual basis and that this responsibility is a core aspect of its jurisdiction over NCR accused persons. Annual review hearings are of paramount importance as they allow the Board to ensure that the disposition is appropriately calibrated in a manner that balances the liberty interests of the accused with the protection of the public. [52] However, those hearings must be fair. An annual review hearing that proceeds by videoconference, over the objections of the accused, and without representation for the accused, cannot be considered fair. In the absence of consent of the NCR accused, only Parliament may require accused persons to forego the protections currently provided by the Criminal Code. [53] In the present context, the need for fairness is amplified given the vulnerability of those under the jurisdiction of the Board. For some NCR accused, the forced use of videoconferencing could contribute to anxiety or paranoia relating to the use of technology: Community Legal Assistance Society (“CLAS”), Operating in Darkness: BC’s Mental Health Act Detention System, (Vancouver: CLAS, 2017), at p. 135. Here it is important to keep in mind that the use of technology in criminal proceedings should be used to enhance access to justice, not inhibit it. The court and the Board must remain vigilant about the risk that COVID-19 protocols could erode the fairness of the decision-making process. [54] Presently, there are other ways to accommodate the needs for NCR accused people who do not consent to attending their annual hearing virtually. Part XX.1 contemplates circumstances where this review period can be extended beyond a year. Specifically, ss. 672.81(1.1) permits the Board to extend the time for holding a hearing by a maximum of twenty-four months in certain circumstances. [13] As I return to below, if a public safety issue arises, the accused remains under the hospital’s supervision. An accused can still be hospitalized without their consent pursuant to the Mental Health Act, R.S.O. 1990, c. M.7 . [55] The Crown also argues that the Board’s decision to proceed by video was an extension of its authority under s. 672.5(2) to conduct the hearing informally where circumstances permit. I am not convinced that this is what Parliament had in mind when drafting this provision. In the limited jurisprudence surrounding s. 672.5(2), this provision has been used to make reasonable accommodations when it comes to information gathering or requests on consent of all parties. For example, the Board has invoked s. 672.5(2) to make informal information requests from the hospital on an urgent basis: R. v. Conception, 2014 SCC 60, [2014] 3 SCR 82, at para. 122. It has also been used to permit an NCR accused’s parents to attend an in-person hearing by video link with the consent of all parties: Santia (Re), [2014] O.R.B.D. No. 1051, at para. 9. Permission to operate informally is meant to assist the Board in executing its role as an inquisitorial tribunal; it is not meant to supersede an accused person’s codified rights. [56] Finally, I am not of the view that proceeding by video is simply a “procedural irregularity.” The Crown asks this court to find that remote hearings “do not impact the exercise of the procedural or substantive rights of the accused as they allow for meaningful participation.” This case does not provide the necessary evidentiary record for this court to weigh-in on the extent to which a video forum impacts an accused’s substantive and procedural rights. However, as alluded to above, I am not prepared to treat the difference between an in-person hearing and a videoconference hearing as insignificant. The court must be cautious in endorsing such a broad proposition about the rights of vulnerable people in a time of crisis. Suffice to say, I am persuaded that the Criminal Code treats deviations from in-person hearings as more than mere procedural irregularities. [57] Turning to the Act more broadly, it is important to note that the Board’s jurisdiction is defined and limited by the Criminal Code . The default rule in s. 715.21 of the Criminal Code provides that “a person who appears at, participates in, or presides at a proceeding shall do so personally.” When read in the context of other provisions in the Code, including ss. 502.1(1) or 487.01(7), “personally” in s. 715.21 means that criminal proceedings must proceed in the physical presence of the accused. [58] In 2019, Parliament enacted the default rule in s. 715.21 as part of a series of amendments to the Criminal Code that sought to modernize criminal procedure and expand the circumstances in which the accused and other participants in a criminal proceeding may appear virtually: An Act to amend the Criminal Code, the Youth Criminal Justice Act and other Acts and to make consequential amendments to other Acts, (Bill C-75), S.C. 2019, c. 25, ss. 1(2), 188, 216, 225(2), 290 and 292. [59] In the new Part XXII.01, entitled “Remote Attendance by Certain Persons”, Parliament provided a judge or justice the authority to preside over proceedings via remote means, and in certain circumstances, to require the accused to appear by videoconference. Parliament had the opportunity to expand remote appearances to Part XX.1 of the Criminal Code to grant the Board statutory authority to order an NCR accused to appear by video. Parliament did not do so. This may well have been a legislative oversight. However, in the absence of an amendment, neither the Board nor this court has the authority to expand the Board’s jurisdiction beyond the confines of Part XX.1. (c) The Purpose of ss. 672.5(9), (10) and (13) [60] Turning now to the purpose of the legislation , the dual objectives of Part XX.1 of the Criminal Code are the protection of the public and the fair treatment of the NCR accused: Mazzei v. British Columbia (Director of Adult Forensic Psychiatric Services), [2006] 1 S.C.R. 326, at paras. 26-29. In furtherance of these twin goals, the Board has wide latitude to make orders and conditions binding on the parties before it. [61] As noted above, annual disposition hearings are central to this legislative scheme. They permit the Board to continuously ensure that the appropriate balance is struck between the protection of the public and the degree of restrictions on the liberty of the NCR accused. [62] It is up to Parliament to define the outer limits of the Board’s jurisdiction when it comes to the balance between the accused’s procedural rights and the need for expediency. The statute is clear: there was no jurisdiction here. [63] There are practical implications for this interpretation, but they do not rise to the level of absurdity. As Monahan J. observed at para. 42, the Board is entitled to delay its in-person hearings until it is appropriate to convene in person or it can do so in a safe manner. However, assuming an in-person hearing was truly impracticable, the proper way forward would have been to grant adjournments when an accused does not consent to a video hearing. As noted above, s. 672.81(1.1) of the Criminal Code accounts for irregularities in the timeline of annual dispositions. While this is by no means a long-term solution, it is up to Parliament to carve out an exception to the default rule entitling people under the Board’s jurisdiction to in-person hearings. [64] If concerns about the protection of the public arise in the interim, it remains open for the hospital to step in. Patients can be brought in under the Mental Health Act in the event of rapid decompensation. Pursuant to ss. 672.81(2) and (2.1), the Board is required to hold a review hearing as soon as practicable where the hospital seeks an early review hearing, or when the hospital has significantly increased restrictions on the accused’s liberty for a period exceeding seven days. The hospital may request an early review hearing when there is reason to believe that the current disposition does not adequately protect public safety: Strachan (Re), 2019 ONCA 481, at paras. 4-9. [65] It is certainly foreseeable that an NCR accused might not consent to a video hearing in these circumstances, and that a delay could lead to an impractical and potentially dangerous result. But it is the role of the legislature, and not the Board, nor this court, to address this potential problem. (d) Conclusion on the Interpretation of Part XX.1 [66] In summary, the task of this court was to interpret the relevant provisions of Part XX.1 of the Criminal Code and determine whether the Board acted without statutory authority. I am of the view that the Board failed to remain within the proper bounds of its jurisdiction, as conferred by statute. I do not see any error in Monahan J.’s approach that would warrant this court’s intervention. D. Ms. Woods’ Appeal of her Disposition Order [67] The operation of r. 43.03(5) is automatic. Once counsel for Ms. Woods filed and served a notice of application to quash in the Superior Court, r. 43.03(5) suspended the proceedings before the Board. The Board erred in proceeding notwithstanding r. 43.03(5), without first seeking the approval of a judge, as is required by r. 43.03(6). Again, the Board does not have the authority to unilaterally override clear directions from the Criminal Proceedings Rules for the Superior Court of Justice . [68] The Board's decision to proceed without the NCR accused or her counsel raises procedural fairness concerns that might have afforded an alternative basis for quashing the decision, but it is unnecessary to decide this point given that the Board had no authority to proceed with the hearing in any event. E. CONCLUSION AND DISPOSITION [69] I would dismiss the appeal of the certiorari order and allow the appeal of the Board’s disposition. Further, I would return this matter to the Board for a new hearing before a differently constituted panel, to be heard as soon as practicable. Released: March 29, 2021 “M.T.” “M. Tulloch J.A.” “I agree. Grant Huscroft J.A.” “I agree. Thorburn J.A.” [1] Rules 43.03(5) and (6) provide: “(5) Subject to subrule (6), service of a notice of application to quash under subrule (2) upon a provincial court judge, justice or justices, coroner, or as the case may be, suspends the proceedings which are the subject of the application. (6) A judge may, upon service of a notice of application therefore in such manner, if at all, as the judge may direct, order that the proceedings which are the subject of the application to quash shall continue upon such terms as appear just.” [2] Subsection 672.5(13) provides: “If the accused so agrees, the court or the chairperson of the Review Board may permit the accused to appear by closed-circuit television or videoconference for any part of the hearing.” [3] Subsection 672.81 (1) provides: “A Review Board shall hold a hearing not later than twelve months after making a disposition and every twelve months thereafter for as long as the disposition remains in force, to review any disposition that it has made in respect of an accused, other than an absolute discharge under paragraph 672.54(a).” [4] Subsection 672.5(10)(a) provides: “(10) The court or the chairperson of the Review Board may (a) permit the accused to be absent during the whole or any part of the hearing on such conditions as the court or chairperson considers proper…” [5] One of the members of the panel suffered a sudden illness that prevented him from sitting on the Board. The Board lost quorum and was reconstituted as a new panel. [6] The Law Society later informed counsel that it would not be proper for her to participate without instructions. [7] Subsection 672.5(9) provides: “ (9) Subject to subsection (10), the accused has the right to be present during the whole of the hearing.” [8] Subsection 672.5(10)(a) provides: “ (10) The court or the chairperson of the Review Board may (a) permit the accused to be absent during the whole or any part of the hearing on such conditions as the court or chairperson considers proper…” [9] Again, s. 672.5 (13) provides: “If the accused so agrees, the court or the chairperson of the Review Board may permit the accused to appear by close circuit television or videoconference for any part of the hearing.” [10] Subsection 672.81 (1) provides: “A Review Board shall hold a hearing not later than twelve months after making a disposition and every twelve months thereafter for as long as the disposition remains in force, to review any disposition that it has made in respect of an accused, other than an absolute discharge under paragraph 672.54(a).” [11] Subsection 672.5(2) provides: “The hearing may be conducted in as informal a manner as is appropriate in the circumstances.” [12] Section 672.53 provides: “Any procedural irregularity in relation to a disposition hearing does not affect the validity of the hearing unless it causes the accused substantial prejudice.” [13] Subsection 672.81(1.1) provides: “Despite subsection (1), the Review Board may extend the time for holding a hearing to a maximum of twenty-four months after the making or reviewing of a disposition if the accused is represented by counsel and the accused and the Attorney General consent to the extension.”
COURT OF APPEAL FOR ONTARIO CITATION: Boudreau v. Jakobsen, 2021 ONCA 556 DATE: 20210803 DOCKET: C68278 Brown, Roberts and Zarnett JJ.A. BETWEEN Bruce Boudreau Applicant (Respondent) and Randi Jakobsen Respondent (Appellant) Michael J. Stangarone and Stephen P. Kirby, for the appellant Jenna Beaton and Jessica Grys, for the respondent Heard: in writing On appeal from the order of Justice Sharon Shore of the Superior Court of Justice dated February 5, 2020. COSTS ENDORSEMENT [1] The parties have filed written cost submissions. The respondent, Bruce Boudreau, was entirely successful in opposing the appeal of Randi Jakobsen. Accordingly, Ms. Jakobsen shall pay Mr. Boudreau his costs of the appeal fixed in the amount of $14,000, inclusive of disbursements and applicable taxes. “David Brown J.A.” “L.B. Roberts J.A.” “B. Zarnett J.A.”
WARNING The President of the panel hearing this appeal directs that the following should be attached to the file: An order restricting publication in this proceeding under ss. 486.4(1), (2), (2.1), (2.2), (3) or (4) or 486.6(1) or (2) of the Criminal Code shall continue.  These sections of the Criminal Code provide: 486.4(1)       Subject to subsection (2), the presiding judge or justice may make an order directing that any information that could identify the victim or a witness shall not be published in any document or broadcast or transmitted in any way, in proceedings in respect of (a)     any of the following offences; (i)      an offence under section 151, 152, 153, 153.1, 155, 159, 160, 162, 163.1, 170, 171, 171.1, 172, 172.1, 172.2, 173, 210, 211, 213, 271, 272, 273, 279.01, 279.011, 279.02, 279.03, 280, 281, 286.1, 286.2, 286.3, 346 or 347, or (ii)      any offence under this Act, as it read at any time before the day on which this subparagraph comes into force, if the conduct alleged involves a violation of the complainant’s sexual integrity and that conduct would be an offence referred to in subparagraph (i) if it occurred on or after that day; or (iii)     REPEALED: S.C. 2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49). (b)     two or more offences being dealt with in the same proceeding, at least one of which is an offence referred to in paragraph (a). (2)     In proceedings in respect of the offences referred to in paragraph (1)(a) or (b), the presiding judge or justice shall (a)     at the first reasonable opportunity, inform any witness under the age of eighteen years and the victim of the right to make an application for the order; and (b)     on application made by the victim, the prosecutor or any such witness, make the order. (2.1) Subject to subsection (2.2), in proceedings in respect of an offence other than an offence referred to in subsection (1), if the victim is under the age of 18 years, the presiding judge or justice may make an order directing that any information that could identify the victim shall not be published in any document or broadcast or transmitted in any way. (2.2) In proceedings in respect of an offence other than an offence referred to in subsection (1), if the victim is under the age of 18 years, the presiding judge or justice shall (a) as soon as feasible, inform the victim of their right to make an application for the order; and (b) on application of the victim or the prosecutor, make the order. (3)     In proceedings in respect of an offence under section 163.1, a judge or justice shall make an order directing that any information that could identify a witness who is under the age of eighteen years, or any person who is the subject of a representation, written material or a recording that constitutes child pornography within the meaning of that section, shall not be published in any document or broadcast or transmitted in any way. (4)     An order made under this section does not apply in respect of the disclosure of information in the course of the administration of justice when it is not the purpose of the disclosure to make the information known in the community. 2005, c. 32, s. 15; 2005, c. 43, s. 8(3)(b); 2010, c. 3, s. 5; 2012, c. 1, s. 29; 2014, c. 25, ss. 22,48; 2015, c. 13, s. 18. 486.6(1)       Every person who fails to comply with an order made under subsection 486.4(1), (2) or (3) or 486.5(1) or (2) is guilty of an offence punishable on summary conviction. (2)      For greater certainty, an order referred to in subsection (1) applies to prohibit, in relation to proceedings taken against any person who fails to comply with the order, the publication in any document or the broadcasting or transmission in any way of information that could identify a victim, witness or justice system participant whose identity is protected by the order. 2005, c. 32, s. 15. COURT OF APPEAL FOR ONTARIO CITATION: R. v. S.S.S., 2021 ONCA 552 DATE: 20210803 DOCKET: C67462 Feldman, Lauwers and Trotter JJ.A. BETWEEN Her Majesty the Queen Respondent and S.S.S. Appellant Anil K. Kapoor and Victoria M. Cichalewska, for the appellant Vallery Bayly, for the respondent Heard: February 17, 2021 by video conference On appeal from the convictions entered by Justice Sandra Caponecchia of the Ontario Court of Justice on May 13, 2019, and from the sentence imposed on October 8, 2019. Feldman J.A.: A. INTRODUCTION [1] The appellant appeals his convictions for sexual assault and sexual interference, and seeks leave to appeal his sentence of six months’ imprisonment plus two years’ probation, along with various ancillary orders, including one under s. 161 of the Criminal Code , R.S.C. 1985, c. C-46 . [2] The complainant was a young girl, eight or nine at the time of the alleged offences and eleven at trial. The appellant was a 20-year-old university student at the time of the alleged offence. The families of the complainant and the appellant were close. Sometime between February 1 and March 31, 2017, the complainant had a sleepover at her friend P.’s home. P. is the appellant’s younger sister. The complainant said that sometime during the sleepover, when P. was in the shower and she was in a chair in the kitchen, the appellant came in, kissed her, and touched her breasts and vagina over her clothes. She said she screamed as the appellant’s parents returned home from a shopping trip. [3] The appellant testified, denying the complainant’s claim. He stated that he remembered the weekend the complainant slept over and that he was never alone with her. [4] The appellant raises a number of grounds for the conviction appeal, most of which allege errors by the trial judge in her assessment of the credibility and reliability of the complainant and the appellant. In my view, the trial judge erred in fact and law by finding that the complainant and her mother had a motive not to fabricate the allegations, and by using that finding to enhance the credibility of the complainant. I would accordingly order a new trial. B. Background (1) Evidence of the complainant [5] The complainant’s evidence was given in two forms. She gave a videotaped statement to the police, several months after the incident, once her mother made the decision to report it. In addition, she testified at the trial. Her mother, her father, and her upstairs neighbour, whom she referred to as her aunt, also testified, essentially about how they learned of the incident, how the incident was reported to the police, and what subsequent interactions the complainant and her mother had with the appellant’s family. [6] The complainant said that the incident took place while she was staying at the appellant’s house. The appellant’s father had picked her up on a Friday and taken her to their house for a sleepover with P. According to the complainant, the people at the house were P, the appellant, the appellant’s parents, and H., who she referred to as P.’s brother. The complainant testified in cross-examination that she did not see the appellant before she went to bed that night. She ultimately could not pinpoint the timing of the incident, but she said it occurred while she was in the kitchen on a “wheelie-chair.” At the time, P. was taking a bath, H. was at work, although she was not sure if he was at home, and the appellant’s parents were out at a shop. [7] The complainant testified that the appellant “came downstairs.” She said the appellant kissed her on the lips, tickled her on her breasts, and patted her private part over her underwear after he moved her pants partway down. She said she screamed as the appellant’s parents returned home from their shopping trip. She told them what happened, they asked her a bunch of questions, and then they sent her upstairs and asked the appellant questions. [8] In cross-examination, defence counsel asked the complainant about what occurred the next morning. She agreed that after she woke up, she played in the kitchen with P.’s mother and ate oranges. This accorded with the testimony of the appellant. The complainant also agreed that at some point, her mother arrived, and that the appellant came downstairs, said hello to her mother, and then went back upstairs. She similarly saw H. come down for lunch and go back to his room. She acknowledged that she had been guessing when she testified to H.’s whereabouts during the incident. [9] The complainant described how she felt close to P. and how P. had helped her when she was bullied. When the complainant’s mother picked her up from the sleepover, she told her she had had a great time and wanted to visit P. again. [10] In both the police statement and cross-examination, the complainant stated that she liked to scare her mother by telling her things that were not true. However, in cross-examination, she denied that she had made up the allegations against the appellant. The complainant also admitted that she was not sure whether the appellant’s parents went to the store the day she arrived or the next day. She acknowledged that she did not see the appellant before she went to bed, which was on the day she arrived. (2) The evidence of the complainant’s mother [11] The evidence of the complainant’s mother focused on the relationship she and her daughter had with the appellant’s family before and after the incident. She explained that she had known the appellant’s father since the age of two, and that she was close to both him and the appellant’s mother. She permitted her daughter to sleep over at their house because the complainant enjoyed spending time with the appellant’s sister, P. She recounted that the sleepover took place sometime in February or March of 2017. Her daughter told her about the incident two to four days later, after which point she did not let the complainant have another sleepover at P.’s house, and sent the complainant to stay with her aunt whenever the appellant’s family visited. [12] In cross-examination, the complainant’s mother was asked why she had not cut ties with the appellant’s family after her daughter’s disclosure to her. She responded that she had tried to reduce contact and that she trusted the appellant’s parents who had been good to her in the past, having taken her in when she immigrated to Canada and was pregnant with the complainant. She repeatedly denied the suggestion that she continued to associate with the appellant’s family because she did not believe her daughter. (3) The evidence of the appellant [13] The appellant testified. He recalled the weekend that he came home from his university for reading week and the complainant was sleeping over at his house. He stated that he got home late on the Friday night, after the complainant had gone to bed, and that he did not see her until the next morning. He denied that he was ever alone with the complainant. He was only in the kitchen with the complainant when other adults were there as well. He also denied all of her allegations that he touched her and kissed her. [14] The appellant stated that after the sleepover, he saw the complainant and her family members on more than one occasion. He did not believe that anyone acted differently towards him. [15] None of the appellant’s family members testified. (4) The trial judge’s findings [16] The trial judge believed the complainant. She rejected the appellant’s evidence because she accepted the complainant’s evidence beyond a reasonable doubt, applying R. v. J.J.R.D . (2006), 215 C.C.C. (3d) 252 (Ont. C.A.), leave to appeal refused, [2007] S.C.C.A. No. 69, and R. v. R.D. , 2016 ONCA 574, 342 C.C.C. (3d) 236. In addition, the trial judge did not find the appellant’s evidence to be compelling in form or content, for two reasons: (1) the appellant’s demeanor had changed under cross-examination; and (2) she found it incredible that he remembered exactly which weekend his sister’s friend slept over, when he came home from university regularly on the weekends at different hours, and since two years had passed between the incident and his trial. The trial judge acknowledged, however, that aside from those frailties, the appellant’s blanket denial did not have any flaws. Nevertheless, for the trial judge, it did not raise a reasonable doubt. C. Issues [17] The appellant raises five issues on the conviction appeal. Three focus on alleged errors in the credibility assessments, including the trial judge’s finding that the complainant had no motive to fabricate, one submits that the trial judge misapplied the standard of proof, and one challenges the trial judge’s ruling on the admission of third-party records. [18] As I would order a new trial based on the error in the trial judge’s finding of no motive to fabricate, it is only necessary to address that issue and the third-party records issue. D. ANALYSIS (1) Motive to Fabricate (a) Overview [19] The trial judge found that she was satisfied beyond a reasonable doubt of the credibility and reliability of the complainant. One of the factors the trial judge considered in the portion of her analysis where she reached this conclusion was the complainant’s lack of motive to fabricate. She found that not only was there no evidence of motive to fabricate or animus, but that it was contrary to the interests of the complainant and her mother to come forward, and the fact that they did demonstrated how the complainant had no motive to fabricate. The trial judge used that finding as a make-weight to enhance the complainant’s credibility. [20] The trial judge addressed the issue of motive to fabricate in the following two paragraphs of her reasons: [164] I have taken into consideration that there is no evidence of a motive to fabricate or animus in this case. To the contrary, by coming forward the complainant stood to jeopardize her friendship with the defendant’s sister. The complainant’s mother risked the close relationship and support of the defendant’s parents, both of whom she considered family. [165] The existence or absence of a motive to fabricate is a relevant factor to be considered. I acknowledge that when dealing with the issue of a complainant’s motive to fabricate, it is important to recognize that the absence of any evidence of motive to fabricate is not the same as absence of motive to fabricate. It is dangerous and impermissible for me to move from an apparent lack of motive to the conclusion that the complainant must be telling the truth. People may accuse others of committing a crime for reasons that may never be known, or for no reason at all. The burden of production and persuasion is upon the prosecution and an accused need not prove a motive to fabricate on the part of a principal Crown witness. [Footnotes omitted.] [21] There are three errors in the trial judge’s approach. The first is a factual error, while the other two are legal errors. The errors are as follows: (1) there was no evidence from the complainant that she believed coming forward would jeopardize her friendship with P.; (2) the fact that the complainant’s mother did not want to undermine her relationship with the appellant’s parents in no way supports the credibility of the complainant – it is irrelevant to her credibility; and (3) even if the trial judge only found no evidence of motive to fabricate, treating the lack of evidence of motive to fabricate as a factor in assessing the credibility of the complainant in this case amounts to an error of law, because it had the effect of putting an onus on the appellant to disprove that the complainant had no motive to fabricate. (b) How the issue was raised at trial [22] The issue of motive to fabricate was raised in closing argument by defence counsel at trial (not appeal counsel). Defence counsel first submitted that there was evidence of motive to fabricate because the complainant had mentioned in her police statement and cross-examination that she would tell her mother stories that were not true. After a discussion between counsel and the trial judge regarding that evidence, the trial judge asked defence counsel, “So, what are you saying is the motive to fabricate here?” Defence counsel responded that the appellant did not have to prove motive to fabricate, but then clarified his initial submission by saying: “Where I meant – I guess the – the better word of saying, there’s evidence here from the complainant that she’s made up this story. I – I guess it[’s] better to say it that way as opposed to motive.” The clarification served to withdraw his initial submission on the motive to fabricate. [23] Despite that clarification, Crown counsel at trial (not appeal counsel) made her own submission that there was no motive to fabricate and no animus, and that to the contrary, on the totality of the evidence, there was a motive to tell the truth, i.e., not to fabricate. There was no plan of revenge, the complainant’s mother continued to see the appellant’s family, she initially did not report the incident to police, she still respected the appellant’s parents, and she did not want to destroy her close relationship with them. [24] The effect of these submissions was that while the defence was not taking the position that the complainant had a motive to fabricate, the Crown asserted that the complainant was credible, in part, because she had no motive to fabricate. The trial judge accepted the Crown’s submission. (c) Errors in the trial judge’s reasoning [25] Paragraphs 164 and 165, quoted above, are the trial judge’s response to counsels’ submissions. I interpret paragraph 164 as a finding by the trial judge that there was evidence of no motive to fabricate, i.e., there was motive on the part of the complainant and her mother not to come forward. The trial judge took this finding into consideration in concluding that the complainant must be telling the truth, and determining that she believed the complainant beyond a reasonable doubt. [26] However, the trial judge erred by so doing. First, there was no evidence to support the trial judge’s finding regarding the complainant herself. The complainant was not asked any questions about whether she was concerned that her disclosure would jeopardize her relationship with her friend, P. There was no basis for the trial judge to infer such a concern from her evidence. The inference amounted to transferring the concerns of the complainant’s mother onto the complainant, a young child. [27] Second, the trial judge relied on the mother’s desire to maintain a good relationship with the appellant’s family to bolster the credibility of the complainant’s account. That was an error of law. The mother’s motive cannot and does not speak to the credibility of the complainant’s story. [28] In the second paragraph, i.e., 165, the trial judge discussed the law on motive to fabricate. She began by stating that the existence or absence of a motive to fabricate is a relevant factor to be considered. That is an accurate statement where there is a proved presence or absence of motive to fabricate: R. v. Bartholomew , 2019 ONCA 377, 375 C.C.C. (3d) 534, at para. 21. [29] The trial judge then recognized the distinction between no motive to fabricate and no evidence of motive to fabricate, and that it is impermissible to move from an apparent lack of motive to fabricate to the conclusion that the complainant is telling the truth. She also confirmed that an accused need not prove that a Crown witness had a motive to fabricate. While these statements of the law are true, it is unclear how they were applied by the trial judge. [30] First, the trial judge did not find a lack of evidence of motive to fabricate. Rather, she found that there was no motive to fabricate, which she used as a make-weight for the complainant’s credibility. Finding no motive to fabricate amounted to a factual error that was not available on the evidence. As explained above, the complainant was never asked about motive to fabricate or any concern that coming forward could jeopardize her friendship with P. In cross-examination she said she did not disclose her allegation to P., but she was not asked about her reason(s) for that decision. The question appeared to be part of a series of questions intended to suggest that the incident did not actually occur, as opposed to suggesting that the incident did occur, but that the complainant did not want to tell P. about it because she was afraid of ruining their friendship. The trial judge also based her finding that the complainant had no motive to fabricate on her perception that the complainant’s mother believed that she could jeopardize her relationship with the appellant’s family if the complainant came forward. This was a significant error because the mother’s motive or lack thereof cannot be attributed to the daughter. [31] Second, there was no issue of onus because the appellant did not rely on motive to fabricate. Although defence counsel initially labelled his argument about the complainant’s tendency to tell her mother untrue stories as motive to fabricate, he withdrew that label. He was not arguing motive to fabricate. His argument was simply that the complainant had a history of telling untruths rather than a motive to tell untruths. Therefore, the question of whether or not the accused had proven motive to fabricate was not an issue before the trial judge. (d) The impact of Ignacio [32] At the oral hearing of the appeal, counsel were asked to provide written submissions on the effect of this court’s recent decision in R. v. Ignacio , 2021 ONCA 69, 70 C.R. (7th) 134, leave to appeal refused, [2021] S.C.C.A. No. 127, on the motive to fabricate issue here. In Ignacio , the defence took the position at trial that the complainant had a motive to fabricate because she feared that she had become pregnant from her sexual encounter with the accused and needed a way to explain the pregnancy to her parents in order to absolve herself of any responsibility. The trial judge rejected this submission, found that the complainant did not fear becoming pregnant and had a good relationship with the appellant, and concluded that she had no motive to fabricate. [33] On appeal, the accused argued that the trial judge had erred in finding that the complainant had no motive to fabricate, and that this erroneous finding influenced his decision to accept the evidence of the complainant and reject the evidence of the accused. [34] The court found that in responding to the defence submission that the complainant had a motive to fabricate, the trial judge had not made a finding of no motive to fabricate, but had simply determined that there was no evidence of a motive to fabricate. The court then found, as a matter of law, that the trial judge was entitled to consider the absence of evidence of motive to fabricate as a factor in assessing the credibility of the complainant. [35] Ignacio is distinguishable from this case on the factual finding. Because Ignacio deals with the use that a court can make of a finding of no evidence of a motive to fabricate, rather than a finding of no motive to fabricate, its result is not applicable to this case. [36] However, Ignacio is also distinguishable because there, the issue of motive to fabricate was raised by the defence and therefore had to be addressed by the trial judge, whereas in this case, the issue was not raised by the defence. Consequently, in Ignacio , the court did not have to consider the risk of the onus being reversed in situations where the issue is not raised by the defence. [37] Here, the issue was raised only by the Crown, who argued no motive to fabricate rather than no evidence of motive to fabricate. The Crown did not submit that if the court failed to find no motive to fabricate, but only found no evidence of a motive to fabricate, that it could and should use the absence of evidence of motive to fabricate to add weight to the complainant’s testimony. [38] Not only is there no burden on an accused to prove a motive to fabricate, there is equally no burden on an accused to disprove that the complainant had no motive to fabricate. [1] If the accused does not raise the issue, it is not open to the trial judge to find that there was no evidence of motive to fabricate and to use that finding, not disproved by the accused, as a make-weight in support of the complainant’s credibility. [39] The trial judge’s error in finding no motive to fabricate and using that to bolster the credibility of the complainant was a significant one in the context of this case. Her acceptance of the complainant’s credibility was the main reason she rejected the appellant’s evidence and found that it did not raise a reasonable doubt. As any aspect of the credibility analysis could have been critical to the finding of proof beyond a reasonable doubt, the trial judge’s error requires a new trial. (2) Third-Party Records [40] After the appellant was charged with the offences before the court, the Children’s Aid Society (“CAS”) sent a letter informing him that an investigation had been conducted into whether the complainant was in need of protection, and that the file had been subsequently closed. At trial, the appellant sought production of the CAS record as it related to the appellant and the complainant. [41] The trial judge fully considered the defence request in the legal context prescribed by the Criminal Code and explained by the case law, beginning with R. v. Mills , [1999] 3 S.C.R. 668. Mills sets out the two-stage process governing the release of s. 278.1 records. At the first stage, the court decides whether the accused has established that the record is likely relevant to an issue at trial or to the competence of a witness to testify. If so, then the record is produced to the trial judge, who looks at the record in the absence of the parties, and if necessary, holds a hearing to determine its likely relevance and whether its production is necessary in the interests of justice. [42] Here, the trial judge concluded that the appellant had not satisfied the first stage, i.e., that the record was likely relevant. She therefore did not need to proceed with the next steps of the process. [43] At trial, the appellant relied on the reasons enumerated in ss. 278.3(4)(a), (c), (d), (e) and (k) of the Criminal Code to establish likely relevance, based on the following three statements in the CAS letter: 1. CAS investigated a report that the defendant engaged in sexual activity with a child while in a care giving role. 2. The concern that the defendant was engaged in abusive sexual activity with a child while in a care giving role has not been verified. 3. The society was unable to verify the concerns as it was found that you were not in a caregiver role of the child at the time of the alleged incident. [44] Based on these statements, the appellant argued that the record was necessary to make full answer and defence because it established that (1) witnesses were interviewed by the CAS, and their statements could be used to impeach their credibility; (2) the complainant’s allegation was not verified by the CAS; and (3) material representations were made to the CAS by the complainant or a witness. [45] The trial judge found that the defence had not met its onus for three reasons. First, the letter did not say that the CAS had found no merit in the complainant’s allegation, but only that it could not verify that the appellant was in a caregiving role at the time of the incident. Second, there was no basis to conclude that the CAS had interviewed the complainant or other Crown witnesses. Third, even if the CAS record contained statements from the complainant or other Crown witnesses, the defence had the ability to obtain the same evidence from other sources. In particular, the appellant had access to members of his family who were at home with him during the alleged incident, and to the statements provided by the complainant and the other Crown witnesses. [46] On appeal, the appellant argues that the trial judge erred in the “likely relevance” analysis by treating the CAS record as having the same degree of privacy protection as counselling records. [47] In Mills , at paras. 136-137, the Supreme Court held that the nature of the records provides trial judges with the informational foundation to assess the privacy interest at issue. Counselling records have been recognized as extremely private because of the trust involved in the counselling relationship and the subjective nature of the disclosures. [48] In contrast, the record at issue here was the result of a targeted CAS investigation. If the complainant was interviewed, it was with respect to the very incident that is the subject of the charges against the appellant. The trial judge considered this same argument by the defence, regarding the lower level of privacy in CAS records than in counselling records, in the context of whether production was necessary in the interests of justice. The trial judge appeared to reject the submission, observing that CAS records regarding an alleged sexual assault can contain very private information about a complainant and their family. Nevertheless, the trial judge concluded that had she found likely relevance, then in the interests of justice, she would have been inclined to order the production of the CAS record for inspection by the court “given the narrow scope of the request for records only involving the defendant.” [49] I would accept the submission of the appellant. Given that any statement by the complainant to the CAS, if she made one, would have related to the allegations in this case and would not have been of a therapeutic nature, the privacy interest in the record is not as high as in counselling records. If there was any such statement, it was reasonably possible that it would be logically probative of an issue at trial. In those circumstances, the trial judge stated that had she found likely relevance, she would have ordered production for review by the court in the interests of justice. In my view, that is the correct approach for the new trial. E. Conclusion [50] For the above reasons, I would allow the appeal, set aside the convictions, and order a new trial. Released: August 3, 2021 “K.F.” “K. Feldman J.A.” “I agree. P. Lauwers JJ.A.” “I agree. Gary Trotter J.A.” [1] In R. v. Bartholomew , 2019 ONCA 377, 375 C.C.C. (3d) 534, at para. 25, Trotter J.A. observed that the lack of evidence of a motive to fabricate should be used as a “neutral” factor for assessing the credibility of the complainant. Paciocco J.A. reiterated the same point in R. v. S.H. , 2020 ONCA 34, at para. 11: [11] Moreover, it is inadmissible for a trial Crown, without proving affirmatively that a complainant did not have motive to mislead, to argue in substance that the absence of a known motive to mislead adds to the weight of her testimony: R. v. Bartholomew , 2019 ONCA 377 , 375 C.C.C. (3d) 534, at paras. 22-23 . Where this occurs, the trial judge must direct the jury that this reasoning is not permissible: R. v. M.B . , 2011 ONCA 76 , 267 C.C.C. (3d) 72, at paras. 30-32 . Reasoning in this way undermines the presumption of innocence by reversing the burden of proof and fails to recognize that motives to mislead can be hidden: R. v. L.L. , 2009 ONCA 413 , 96 O.R. (3d) 312, at paras. 16 , 44. The court clarified the reasoning for this principle of law in R. v. A.S., 2020 ONCA 229, at paras. 58-60: [58] Where, as here, a suggested motive to mislead is disproved, the testimony is preserved from being impugned by such motive. When that suggested motive is disproved, it is as though the suggested motive is knocked off of the scales. [59] However, affirmative weight cannot properly be added to the scales in favour of the testimony of a witness unless there is a proved absence of motive on the part of that witness: see, generally, R. v. Bartholomew , 2019 ONCA 377, 375 C.C.C. (3d) 534, at paras. 22-23; R. v. M.B. , 2011 ONCA 76, 267 C.C.C. (3d) 72, at paras. 30-32; R. v. L.L. , 2009 ONCA 413, 96 O.R. (3d) 412, at paras. 16, 44. Disproving a single suggested motive to mislead – such as a desire to win custody and access – does not prove the absence of any and all motives to mislead. [60] Accordingly, the trial judge’s rejection of the sole motive considered for the complainant’s testimony cannot add affirmative weight supporting the complainant’s claim that she was not consenting. It is not capable in law of being a makeweight affirmatively supporting her testimony. [Emphasis in original.]
COURT OF APPEAL FOR ONTARIO CITATION: D.C. v. T.B., 2021 ONCA 562 DATE: 20210804 DOCKET: M52687 van Rensburg J.A. (Motions Judge) BETWEEN D.C. Moving Party and T.B. Responding Party Michael J. Stangarone and Aria MacEachern, for the moving party Christina Doris and Jessica Luscombe, for the responding party Heard and released orally: August 3, 2021 by videoconference ENDORSEMENT [1] The moving party seeks an extension of time to appeal the final order of Conlan J. with respect to parenting of the parties’ daughter, R., who is almost 12 years old. She also seeks to stay the final order pending appeal. The motion is opposed by the responding party, who is R.’s father. [2] I will deal with each aspect of the motion in turn. The Extension of Time to Appeal [3] The mother was three days late in serving her notice of appeal. She sought consent from the father to the late filing of the notice of appeal, which was refused. Courts can extend time under r. 3.02 of the Rules of Civil Procedure . In general, the following factors are relevant to a motion to extend time to appeal: (1) whether the appellant formed an intention to appeal within the relevant period (in this case 30 days after the final order); (2) the length of, and explanation for, the delay; (3) prejudice to the respondent; (4) the merits of the appeal; and (5) ultimately, whether it is in the interests of justice to order the extension of time. In cases involving children, the justice of the case is reflected in the best interests of the children: Denomme v. McArthur , 2013 ONCA 694, at para. 10. [4] The mother states in her affidavit that she formed the intention to appeal within the requisite time. She explains that the delay resulted from a combination of the traumatic effect of the final order and the time that was required to retain appellate counsel. The motion was brought promptly. [5] The father opposes the motion for an extension of time, asserting that the mother waited until she received his costs submissions before deciding to appeal. He asserts that he is prejudiced, in part because the mother has failed to pay her share of the costs of the Family Bridges program. He asserts that the merits of the appeal are weak. [6] I am satisfied that an extension of time is in the interests of justice. [7] The mother had a right to appeal the final order of the trial judge and the right to seek leave to appeal the award of costs. The final order reverses custody of R. and prevents the mother from having any contact with R. for a period of time, and the mother is subject to an award of substantial indemnity costs. The mother was only three days late in serving her notice of appeal. Even if she decided to appeal only after she received the father’s costs submissions, she formed the intention to appeal within 30 days of the final order. The final order has been implemented to the extent that R. is residing with her father, and they are participating in the After Care program. R.’s contact with her mother is suspended. Other than the mother’s non-payment of her share of the Family Bridges program required under para. 20 of the final order (it is a financial provision that would be stayed on appeal), the mother has complied with the final order. The therapists have indicated that her involvement in the After Care program is suspended during her appeal. [8] I am not prepared to say that there is no potential merit to this appeal. In view of the very short delay, the strength of the proposed appeal is not a compelling factor in this case. The mother has a right to appeal the final order and a three-day delay should not prevent her from doing so. Stay Pending Appeal [9] Custody and access orders remain in effect pending an appeal to this court unless the court has ordered otherwise. In determining whether to stay an order involving the parenting of a child, the courts must consider: (1) whether, on a preliminary assessment, the appeal raises a serious question (recognizing that this is a low threshold); whether the child will suffer irreparable harm if a stay is refused; and (3) the balance of convenience: namely whether there would be greater harm from the granting or refusal of a stay pending a decision on the merits of the appeal. The overriding consideration, again, is the best interests of the child. In other words, the court must be satisfied that it is in the child’s best interests to grant a stay: K.K. v. M.M ., 2021 ONCA 407, at para. 17 and Lefebvre v. Lefebvre , 167 O.A.C. 85 (C.A.), at para. 6. [10] The standard for appellate review of a custody or parenting decision is exacting: Bors v. Bors , 2021 ONCA 513, at paras. 18-20. The function of this court is not to retry the case on appeal. Intervention is warranted only if there is a material error, a serious misapprehension of the evidence, or an error of law. The mother contends that there are a number of errors in the trial judge’s decision, and accordingly that the appeal raises a serious issue. Among other arguments, she asserts that the trial judge erred in the scope and application of the expert evidence of the joint participant expert, Dr. Fidler. [11] The mother’s argument about irreparable harm essentially focuses on her temporary separation from the child and its effect on both her and the child. [12] The father argues that the mother’s appeal lacks merit, but even if there were some arguable merit to the appeal, that a stay is not in the best interests of R., who is continuing to benefit from the current therapeutic program and the opportunity (which will continue throughout the summer) to rebuild a relationship with her father and his family. The father also points to the disruption and additional costs that would be incurred in stopping and restarting the therapeutic program, if a stay were granted and the mother were to lose her appeal. [13] In this case, as in K.K. V. M.M ., “staying [the final order] would not preserve the status quo , but would disassemble the structure the trial judge put in place and replace it with the very circumstances [he] found not to be in [the child’s] best interests; it would run the risk of undoing the very benefits that the trial judge fashioned the Order to achieve”: at para. 28. [14] I am not persuaded that a stay of the final order pending appeal is in the best interests of R. The reasons of the trial judge are comprehensive and reveal no obvious error. The grounds of appeal may be arguable, but they are weak. What the mother is seeking is a return to the status quo before the final order was made. She seeks to have R. return to live with her, ending the current living arrangements and the suspension of her contact with R. She seeks to stop the process which started on the day the final order was made. The letter from the therapists (prepared at the father’s request) notes that R. is adjusting to the transition and that the family is receiving appropriate support in the process. No doubt R. misses her mother. However, she is benefiting from the restoration of her relationship with her father. There is no question about the level of care she is receiving. Since there is no evidence of significant harm or risk of harm to R. as a result of the order, and evidence of benefit to R. in continuing to have the order in effect, to stay the order under appeal would be highly disruptive to R. under appeal and would not be in her best interests. [15] Finally, before ending these reasons, I note that the mother was complying with the final order by doing what was required to participate in the After Care program until the therapists indicated that they would not continue while an appeal is pending. Her counsel advises that she continues to be prepared to participate in therapy. Pursuant to para. 19 of the final order the parties are returning to the trial judge on September 15, 2021. The parties are agreeable to expediting the appeal. All of this is helpful and no doubt in R.’s best interests. [16] For these reasons, the motion to extend time to appeal is granted, and the stay pending appeal is refused. The appeal shall be perfected on or before August 20, 2021 and the hearing of the appeal shall be expedited. On consent of the parties, an order is made to use initials in place of the names of the parties and the child in these reasons and the order of this court. As agreed between the parties, and to reflect the divided success, there will be no costs of this motion. “K. van Rensburg J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: Calin v. Calin, 2021 ONCA 558 DATE: 20210805 DOCKET: C67175 Tulloch, Nordheimer and Jamal JJ.A. BETWEEN Ilinca Calin and Ana Calin Plaintiffs (Respondents/ Appellants by way of cross-appeal) and Liviu Calin Defendant (Appellant/ Respondent by way of cross-appeal) Andréa Baldy, for the appellant/respondent by way of cross-appeal Alexander C. Gibson and Charles M. Gibson, for the respondents/appellants by way of cross-appeal Heard: April 8, 2021 by video conference On appeal from the judgment of Justice Sally A. Gomery of the Superior Court of Justice, dated June 7, 2019 with reasons reported at 2019 ONSC 3564 and from the costs order dated July 16, 2019 with reasons reported at 2019 ONSC 4313. Jamal J.A.: [1] After a three-week trial, the appellant, Liviu Calin, was found liable for assault, battery, negligence, and breach of fiduciary duty for physically and emotionally abusing his twin daughters, the respondents, Ilinca and Ana Calin. The respondents’ claims for intentional infliction of mental distress and wrongful imprisonment were, however, dismissed. The appellant was ordered to pay the respondents a total of $85,000 as general damages and $20,000 as punitive damages. [2] The appellant now appeals the findings of liability and the quantum of damages awarded at trial. The respondents cross-appeal the dismissal of their claim for intentional infliction of mental distress and the quantum of damages. [3] In my view, the parties largely seek to relitigate the trial judge’s factual findings, credibility findings, and assessment of the evidence. I see no basis to do so. For the reasons that follow, I would dismiss the appeal and cross-appeal. Background [4] The respondents were born in Romania and moved to Ottawa in 1994 with their father (the appellant) and mother. In 1999, the respondents’ mother was diagnosed with cancer. She died about a year later, just as the respondents were entering high school. In 2002, the appellant began a romantic relationship and moved in with another woman, leaving the respondents in the family home alone. In 2004, the respondents graduated from high school and began university. They continued to live in the family home until March 2005. [5] On March 26, 2005, the appellant went to the family home to have Easter dinner with the respondents. An argument and physical confrontation ensued. The respondents fled the home and sought refuge with the family of Ilinca’s boyfriend. The next day, the respondents filed a police report, alleging that the appellant had assaulted them, but they decided not to press charges. [6] In 2012, the respondents sued the appellant for assault, battery, negligence, breach of fiduciary duty, intentional infliction of mental distress, and wrongful imprisonment. They alleged that, on March 26, 2005, the appellant beat them violently and threatened Ana with a knife. They said that the March 26, 2005 incident was the culmination of a lifetime of physical and emotional abuse by the appellant. They claimed he beat them often, called them degrading names, isolated them from their peers and maternal relatives, and controlled their activities. They said the abuse caused them to suffer post-traumatic stress disorder (“PTSD”), depression, and anxiety, resulting in their inability to continue their education or obtain employment at the level they otherwise would have achieved. The appellant denied ever having physically or emotionally abused the respondents. The trial decision [7] The trial judge found the appellant liable for assault, battery, negligence, and breach of fiduciary duty, but not liable for intentional infliction of mental distress and wrongful imprisonment. She awarded general damages of $50,000 to Ilinca and $35,000 to Ana and punitive damages of $10,000 to each of them. [8] In thorough reasons, the trial judge acknowledged that determining what happened was challenging because most incidents were alleged to have occurred during the respondents’ childhood or adolescence, between 14 and 30 years ago, when they were alone with the appellant or their mother. No medical records documented the alleged physical injuries. The credibility of the central witnesses — the appellants, the respondents, and their grandmother — was thus a critical issue at trial. [9] Based on the totality of the evidence, the trial judge accepted the respondents’ “accounts about certain incidents prior to March 26, 2005 as credible” and “largely accept[ed] their account of what happened that day, which reinforce[d] the plausibility of their allegations of earlier physical violence.” She found that the appellant was physically violent towards the respondents nine times between 1994 and 2005. She concluded that the appellant’s “acts exceeded the reasonable discipline that parents may impose on their children.” He had slapped them, punched them, pulled their hair, and beat them with a belt at least once. One time, he slapped Ana’s face, dragged her by the hair, punched her in the stomach, and threatened to hit her with a wooden beam. Another time, he hit Ilinca with a wooden broom. The trial judge also found that, on March 26, 2005, the appellant slapped and spanked the respondents and pulled their hair, punched Ana, held a steak knife to her throat, called her a “fucking bitch”, and threatened to kill her. [10] Even so, the trial judge found that the appellant did not socially isolate the respondents or control all their activities. She also concluded, based on the expert evidence, that the respondents had not proved the appellant’s conduct caused them to suffer from psychiatric disorders. Finally, she concluded that the respondents had not proved loss of income or competitive advantage because of the appellant’s actions. Issues [11] On the appeal, the appellant asserts that the trial judge made palpable and overriding errors in her factual findings and credibility assessments and erred by awarding inordinately high damages. [12] On the cross-appeal, the respondents argue that the trial judge erred in finding that they did not prove that the appellant’s actions caused their psychiatric conditions, awarded inordinately low damages, and should have awarded damages for the loss of competitive advantage. Issue #1: Did the trial judge err in her factual findings or credibility assessments? [13] The appellant argues that the trial judge made palpable and overriding errors in her factual findings underlying the appellant’s tort liability. [14] First, the appellant argues that the trial judge misapprehended the evidence by failing to consider and give sufficient weight to relevant evidence in assessing the respondents’ credibility. He highlights inconsistencies between the witnesses’ accounts of the incidents and between the respondents’ trial and discovery evidence, and the absence of contemporaneous evidence corroborating their alleged physical or psychological injuries. He asserts that the trial judge’s failure to address these inconsistencies was a reversible error. [15] I disagree. Inconsistencies in a witness’s evidence, even absent corroborative evidence, do not open the door to appellate review of a trial judge’s credibility findings: F.H. v. McDougall , 2008 SCC 53, [2008] 3 S.C.R. 41 , at paras. 70, 72, and 75-76. A trial judge may place less weight on certain evidence and accept other, conflicting evidence that they find more convincing. An appellate court cannot intervene just because it would weigh the evidence differently and arrive at alternative factual findings: Salomon v. Matte-Thompson , 2019 SCC 14, [2019] 1 S.C.R. 729, at para. 33; Housen v. Nikolaisen , 2002 SCC 33, [2002] 2 S.C.R. 235, at para. 58. [16] Moreover, a trial judge’s credibility findings attract heightened deference: R. v. G.F. , 2021 SCC 20, 71 C.R. (7th) 1, at para. 81; McDougall , at para. 72. A trial judge need not find a witness not credible or unreliable because of inconsistences in the witness’s evidence. If the trial judge was alive to the inconsistencies, assessed the witness’s credibility in the context of the evidence as a whole, and concluded that the witness was credible, absent palpable and overriding error, there is no basis for an appellate court to interfere: McDougall , at paras. 70, 75-76. [17] Here, in my view, the trial judge was alive to the inconsistencies in the respondents’ evidence. She highlighted those inconsistencies throughout her reasons, rejecting aspects of their evidence and accepting others, or finding the evidence insufficient to conclude one way or another. She did not have to expressly reconcile every inconsistency arising from the respondents’ evidence: see R. v. R.E.M. , 2008 SCC 51, [2008] 3 S.C.R. 3, at paras. 32, 64; R. v. A.M. , 2014 ONCA 769, 123 O.R. (3d) 536, at para. 14. [18] For example, because of the witnesses’ “significantly divergent accounts” of two incidents that occurred between 1994 and 2000, the trial judge could not determine precisely what had happened. Although she found that the appellant’s “exact words and actions” were “in doubt”, considering the “overall accounts” of the respondents and their grandmother and the appellant’s testimony and demeanour at trial, she concluded that the appellant had “lashed out physically and verbally” at the respondents on both occasions . [19] Similarly, the trial judge expressed “doubts” about certain aspects of the evidence of the incident on March 26, 2005 that she found “concerning”, such as the absence of any mention of the knife in the police report and the “embellished” account given by the respondents to Ilinca’s boyfriend’s father right after the incident. Having considered these concerns in the context of all the evidence, the trial judge accepted that the appellant threatened Ana with a knife but found that the appellant’s violence was “much less extreme than what the [respondents] described.” [20] As these examples illustrate, the trial judge carefully considered the inconsistencies in the context of the evidence as a whole, with the “benefit of the intangible impact” of “watching and listening to [the] witnesses and attempting to reconcile” their evidence, and ultimately accepted aspects of the respondents’ evidence while rejecting others: G.F. , at para. 81; R. v. Gagnon , 2006 SCC 17, [2006] 1 S.C.R. 621, at para. 20. I see no palpable and overriding error in the trial judge’s approach or conclusions. [21] Second, the appellant asserts that the trial judge erred by failing to address concerns about the respondents’ reliability, focusing only on their credibility. [22] I do not accept this submission. A trial judge’s determination to accept a witness’s evidence includes an implicit assessment of its accuracy or reliability. T he trial judge is presumed to have correctly applied the law in accepting a witness’s evidence, including the relationship between credibility and reliability: G.F. , at para. 82. Assessing reliability is “within the province of the trial judge” who has “the opportunity to hear and observe all of the witnesses”: R. v. Slatter , 2019 ONCA 807, 148 O.R. (3d) 81, at para. 118, per Pepall J.A. (dissenting), aff’d 2020 SCC 36. If the trial judge was alive to reliability concerns, considered those concerns, and assessed the witness's reliability and credibility, the trial judge's assessment attracts deference: R. v. Sanichar , 2012 ONCA 117, 280 C.C.C. (3d) 500, at para. 82, per Laskin J.A. (dissenting), aff’d, 2013 SCC 4, [2013] 1 S.C.R. 54. [23] Here, the trial judge was sensitive to the reliability concerns arising from the respondents’ evidence. She raised concerns about their ability to recall incidents that took place “when they were children or teenagers”, their “coloured” view of the appellant, their tendency to describe “emotional memor[ies]” reflecting an “amalgamation of events” rather than a specific incident, and to repeat “family folklore” consisting of reconstructed accounts of events that they did not recall clearly but had told themselves and others over many years. The trial judge observed that the respondents “may have confused the details of some incidents” because the appellant had been violent with them “many times”. When these concerns warranted, the trial judge rejected their evidence as “an example of how [they] may have reconstructed events to impute the [appellant] with more extreme and consistently abusive conduct than the evidence otherwise indicates.” She cautioned herself that, to find the appellant liable, she “must be persuaded that [the respondents’] evidence is based on genuine recollection as opposed to the memory of a memory, tailored over time to suit a certain narrative.” [24] That the respondents did not remember certain particulars of the incidents or remembered certain particulars incorrectly did not oblige the trial judge to disregard their evidence or conclude that they were lying. She found that the respondents were “sincere” and were “honestly attempting to recall what happened to them.” It was open to her to not accept the respondents’ evidence about certain details because of her reliability concerns and to accept their evidence about other aspects. I see no error in the trial judge’s treatment of the reliability concerns arising from the evidence. [25] Third, the appellant argues that the trial judge ignored credibility concerns about certain aspects of the respondents’ evidence, which he says undermined their evidence as a whole. [26] I do not agree with this submission. As with the reliability concerns discussed above, the trial judge’s credibility concerns did not oblige her to reject all the respondents’ evidence. Even after raising credibility concerns about some aspects of their evidence, it was open to her to find them credible and reliable on other aspects. She was entitled to accept some, all, or none of their evidence: see R.E.M. , at para. 65; R. v. N.K. , 2021 ONCA 13, at para. 11; and R. v. A.K. , 2018 ONCA 567, at para. 7. [27] The trial judge’s reasons show that she considered the credibility concerns arising from the respondents’ evidence and rejected evidence that she did not find credible. She was entitled to assess the respondents’ credibility in light of all the evidence, including the appellant’s admissions of having physically punished the respondents twice. I see no reviewable error in the trial judge’s credibility findings. [28] Finally, the appellant asserts that the trial judge reversed the burden of proof and applied uneven scrutiny to the evidence. [29] I do not agree. The trial judge’s reasons show that she understood and applied the correct law on the burden and standard of proof. She is presumed to have applied the correct burden and standard, unless the appellant establishes reviewable error: see McDougall , at para. 54. In my view, the appellant has failed to do so. Issue #2: Did the trial judge err in finding that the respondents had not proved that the appellant’s acts caused their psychiatric conditions? [30] The respondents argue on cross-appeal that the trial judge made a palpable and overriding error by failing to draw a “common sense inference” that their psychiatric conditions were caused by the appellant’s abuse and improperly relying on the evidence of the appellant’s expert rather than on their expert’s evidence. [31] I see no reviewable error in the trial judge’s causation analysis. Whether an inference of causation is warranted is within the trial judge’s discretion, to be determined with reference to all of the evidence: Benhaim v. St-Germain , 2016 SCC 48, [2016] 2 S.C.R. 352, at para. 52. Such an inference must be reasonably available on the evidence and involves a consideration of the factual issues underlying causation and the relative position of each party to adduce evidence: Ediger v. Johnston , 2013 SCC 18, [2013] 2 S.C.R. 98, at para. 36; Goodwin v. Olupona , 2013 ONCA 259, 305 O.A.C. 245, at paras. 44-46. [32] Here, both parties led expert evidence on causation. The respondents’ expert was equivocal. He testified that it was “plausible” that the respondents’ psychiatric conditions were caused by the appellant’s abuse. He acknowledged that the circumstances of the respondents’ mother’s death, of which he had been unaware when he formed his opinion, could also have triggered PTSD in the respondents. The trial judge found that this expert had limited experience in diagnosing PTSD and that his assessment was based on a review of the respondents’ records and a two-hour video conference with them. She therefore gave this expert’s evidence less weight. [33] The trial judge preferred the evidence of the appellant’s expert because of her experience and training as a forensic psychiatrist, which the respondent’s expert lacked. The appellant’s expert testified that it was impossible to determine whether the respondents’ conditions were triggered by the appellant’s abuse, by their mother’s death, or by a biological predisposition. [34] The trial judge, with the benefit of watching and hearing the witnesses, also noted that she was “struck … by how much Ilinca was visibly affected by memories of her mother’s death.” In her view, “this loss [had] as profound an effect on [Ilinca] as [the appellant’s] abuse.” She also noted that the respondents had exaggerated the extent of the appellant’s physical and emotional abuse in their interviews with both expert witnesses. [35] The trial judge weighed the evidence of both experts, in view of all the other evidence before her, and preferred the evidence of the appellant’s expert. She declined to infer causation and concluded that the respondents had not proved that their psychiatric disorders were caused by the appellant’s actions. The trial judge’s weighing of the expert evidence attracts appellate deference: see Hacopian-Armen Estate v. Mahmoud , 2021 ONCA 545, at paras. 66-68. I see no basis for this court to intervene. Issue #3: Did the trial judge err in her assessment of damages? [36] The appellant argues that the damages awarded are “inordinately high” compared to the awards in other domestic assault and battery cases. [37] By contrast, the respondents argue that the damages awarded are “inordinately low”. They assert that their difficulties in life are attributable to the abuse they suffered at the hands of the appellant and ask this court to increase the quantum of general damages awarded to Ana from $35,000 to $100,000 and to Ilinca from $50,000 to $125,000. [38] The respondents also argue that the trial judge erred in not awarding damages for their loss of competitive advantage, despite evidence that the abuse hurt their ability to pursue their chosen vocations and work in competitive environments. The respondents seek $300,000 each for their loss of competitive advantage. [39] An appellate court can interfere with a damages award only if the trial judge made an error in principle, misapprehended the evidence, failed to consider relevant factors, considered irrelevant factors, made an award without any evidentiary foundation, or made a wholly erroneous assessment of damages: Armstrong v. Moore , 2020 ONCA 49, 15 R.P.R. (6th) 200, at para. 30. [40] In my view, neither the appellant nor the respondents meet the exacting standard for appellate intervention. The case law and evidence now relied on by the parties were canvassed and considered by the trial judge in her reasons. The trial judge considered that the appellant’s violence did not result in permanent physical injury to the respondents, while also recognizing the seriousness of the “emotional and psychological scars” that the respondents “will bear their entire lives.” She acknowledged that the respondents had suffered “pain and fear that a child should never experience, much less at a father’s hands.” She also considered the evidence of the impact of the abuse on the respondents, including their social, educational, employment, and health history and current situation. The trial judge considered and weighed all the relevant evidence and came to her own determination of the appropriate damages. I see no basis for this court to intervene. [41] I similarly see no basis to reverse the trial judge’s finding that the respondents are not entitled to damages for loss of competitive advantage. There is no dispute that the trial judge correctly articulated the criteria for such an award. She found, however, that the respondents failed to meet the applicable criteria. She found that “[t]here is no evidence that [the respondents] have been less able to get or keep a job, or have lost out on employment opportunities, as a result of the psychological and emotional impact of their experiences with [the appellant].” Those findings were available to the trial judge on the record before the court. I again see no basis for this court to intervene. Disposition [42] I would dismiss the appeal and the cross-appeal. Given the divided success, I would make no order as to costs. Released: August 5, 2021 “M.T.” “M. Jamal J.A.” “I agree. M. Tulloch J.A.” “I agree. I.V.B. Nordheimer J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: Dreesen v. Dreesen, 2021 ONCA 557 DATE: 20210805 DOCKET: C68996 Fairburn A.C.J.O., Harvison Young and Jamal JJ.A. BETWEEN Tracey Catherine Dreesen Applicant (Respondent) and Stefan Siegfried Dreesen Respondent (Appellant) Gary S. Joseph and Julia McArthur, for the appellant Victoria E. Craig, for the respondent Heard: June 10, 2021 by video conference On appeal from the order of Justice Michael R. Gibson of the Superior Court of Justice, dated December 22, 2020. Harvison Young J.A.: [1] The appellant father appeals from the dismissal of his motion to decrease the quantum of the child and spousal support payable to the respondent mother on the basis that the loss of his job in July 2017 had been a material change and that his subsequent income had dropped significantly. He also appeals from the motion judge’s refusal to terminate spousal support. [2] The central issues in this appeal are whether the motion judge erred in imputing the father’s pre-tax corporate income in calculating his income available for support, and whether he erred in ordering step-down spousal support rather than terminating spousal support as the father sought. [3] The relevant facts may be briefly summarized. The parties were married in 2000 and separated in 2012. The parties’ minutes of settlement on child and spousal support were reflected in the consent order of Miller J. dated August 2, 2017, although the minutes of settlement had been executed earlier in April 2017. The order of Miller J. provided that, among other things: · both parties would pay set-off table child support in accordance with the Federal Child Support Guidelines , S.O.R./97-175 (“CSG”), based on the father’s income per his notice of assessment of the previous year or that may otherwise be imputed to him and based on the greater of the mother’s actual income or $48,000; · in the event of a material change in circumstances, either party could seek a variation of the child support arrangements; · the parties would adjust child support on a going forward basis every year based on their respective incomes in the prior year, the living arrangements of the children, and the CSG; · the father would pay the mother compensatory spousal support in the amount of $4,292 per month based on the mother’s imputed income of $48,000 and the father’s annual income of $257,312; · spousal support could be changed if there is a material change in circumstances, even if the change was foreseen or foreseeable; and · there would be a review of spousal support in October 2019, which would be an assessment of the mother’s efforts to become self-sufficient. [4] When the parties entered their minutes of settlement, the father was employed by Yellow Pages, but he had also started his own business in 2012, Volt Media Inc., which acquired another corporation, Smart Workplace Inc., in 2018. He was laid off from Yellow Pages in July 2017. He commenced a motion to change on June 28, 2019 which was ultimately heard on September 1, 2020 on the basis of affidavit evidence. In the meantime, he had unilaterally reduced support to reflect what he claimed his actual income was at that point. In his motion, he sought to have his child and spousal support reduced retroactively and going forward and to terminate spousal support. [5] The motion judge found that the father had not demonstrated a material change in circumstances warranting a retroactive or ongoing reduction in child support. The father’s employment with Yellow Pages ended in July 2017, prior to the date of Miller J.’s order, and it was known at that time. Further, the father continued to have significant self-employment income available for support. The motion judge accepted the mother’s submission that the father’s income had actually increased since the date of Miller J.’s order. It was appropriate to add back the pre-tax corporate income and any unreasonably deducted expenses to the father’s income for child support purposes in this case, where the father was the sole shareholder and director of two corporations and had complete control over the income that he was paid. The motion judge determined that it was also appropriate to average the last three years of the father’s income from 2017-2019, such that his average income was $401,534.67. The total amounts of the father’s child support arrears and spousal support arrears were $81,407 and $52,626, respectively. [6] For child support going forward, the motion judge ordered that the father pay set-off table child support based on incomes of $401,502 imputed to the father and $48,000 imputed to the mother. The motion judge also found that the mother had made efforts to become self-sufficient but that she continued to have need for support. He noted that the mother was agreeable to a step-down and ultimate termination of spousal support and that step-down support would best balance her ongoing entitlement to compensatory and needs-based support with the need for her to transition to full self-sufficiency. He ordered the full spousal support amount of $4,292 per month for the year following the October 2019 review date, followed by a three-year step down and termination of spousal support after a final payment in September 2023. [7] The appellant father alleges a number of errors that he says warrant allowing the appeal and granting the relief he claimed in his motion to change: 1. The determination that the father’s change in financial circumstances did not constitute a material change given the language in Miller J.’s order that a change may be foreseen; 2. The imputation of pre-tax corporate income; 3. The averaging of the father’s income; 4. The failure to terminate spousal support; and 5. The determination of the motion on a written record alone. [8] I will address them in turn. (1) Material change [9] First, I do not agree that the motion judge erred in finding that there was no material change to warrant a variation of child support as requested by the father. As the Supreme Court made clear in the recent decision of Colucci v. Colucci , 2021 SCC 24, where the payor applies to retroactively decrease child support, the onus is on the payor to establish a past material change in circumstances, such as a material decrease in income: at paras. 59-63, 113. Although the father is correct that the loss of his employment actually took place around three months after the final minutes of settlement were negotiated in April 2017, despite the fact that the Miller J. order reflecting the agreement was not issued until August 2 of that year, this is not a material misapprehension of evidence in light of the other reason given for the motion judge’s decision: his income did not, in fact, go down. The father did not meet the threshold requirement for a retroactive decrease in support. [10] Further, even if the motion judge had erred in finding that there was a material increase in the father’s income, rather than a decrease, a court would need to take into account the father’s disclosure to the mother in determining the appropriate date of retroactivity, given the father’s request for a retroactive decrease to August 2017: Colucci , at paras. 86-90, 95, and 113. The father had notified the mother of his lay off and 12 weeks of termination compensation in July 2017. However, in these circumstances where the father had been building a business, it is difficult to see how this could have constituted effective notice, given his failure to provide any disclosure of his corporate income at that point: see Colucci , at paras. 87-90, 113. (2) Imputation of corporate pre-tax income [11] Second, the father says that the motion judge erred in his application of s. 18 of the CSG, which provides that where a spouse is a shareholder, director or officer of a corporation and the court is of the opinion that the spouse’s annual line 150 total income does not fairly reflect all the money available to them for the payment of child support, a court may add all or part of the corporation’s pre-tax income to the payor’s income. He argues that his line 150 income should have been used instead and that he provided evidence that it was not appropriate to add Volt Media Inc.’s pre-tax corporate income to his income. [12] I do not agree that the motion judge’s acceptance of the mother’s position that all of the pre-tax corporate income from both corporations, and unreasonably deducted expenses, should be added was unfair in these circumstances. I see no error in the motion judge’s finding that his line 150 income did not accurately reflect his actual income. The father also did not lead sufficient evidence to explain why either corporation needed to retain earnings. In the cases to which he refers, such as Bravo v. Pohl (2008), 62 R.F.L. (6th) 209 (Ont. S.C.) and Koester v. Koester (2003), 50 R.F.L. (5th) 78 (Ont. S.C.), the payors led extensive and expert evidence on the issue. [13] Here, the motion judge had no evidence or documentation other than the limited disclosure of the father to ground a broader consideration of the nature of the corporations’ business and had no “evidence of legitimate calls on its corporate income for the purposes of that business”: see Kowalewich v. Kowalewich , 2001 BCCA 450, 92 B.C.L.R. (3d) 38, at para. 58; Thompson v. Thompson , 2013 ONSC 5500, at paras. 91-93. The father’s explanations for retaining income and business expenses were related to only Volt Media Inc. and lacked detail or expert evidence. [14] He stated that he had to pay staff and that it would not be wise to pay all the revenue to himself as dividends or salary. He explained that cumulative retained earnings from 2012-2018 of around $960,000 were needed for corporate tax, an asset purchase of newsletters and subscriptions, cash reserve for payroll, a future company office, and nearly $300,000 in disbursements to his father. On appeal, he clarified that those dividends to his father were actually paid to himself. His breakdown of the cumulative retained earnings from 2012-2018 and his general statement about paying staff lacked supporting evidence and did not adequately explain why or how much corporate income from 2017 onward needed to be kept in Volt Media Inc. [15] Similarly, his statement that his business expenses listed were “reasonable” was bald and conclusory, and it did not address the specific issues raised in the mother’s affidavit. For example, she submitted that adding back half of the telephone and internet expenses to the father’s income would be reasonable, given that he worked from home. [16] The father also argues that the motion judge failed to set out “the what, the why, and the how” of his decision to impute pre-tax corporate income. While we agree that the motion judge’s reasons are somewhat lean, we are of the view that in light of the record as a whole, it is clear why and how the motion judge reached the conclusions that he did: see R. v. G.F. , 2021 SCC 20, 71 C.R. (7th) 1, at paras. 69-71. The issues of adding back pre-tax income and certain other expenses were squarely before the motion judge and he was alive to the issues, especially given the mother’s extensive affidavit evidence and submissions on the father’s corporate pre-tax income and expenses. It was open to the motion judge to consider all the evidence of the parties and make a determination on imputing this income. The observations in Mason v. Mason , 2016 ONCA 725, 132 O.R. (3d) 641, at para. 170, are equally applicable here: Neither party led much evidence, be it expert or otherwise, concerning the question of what, if any, amount of pre-tax corporate income should be included in the husband’s income. As such, a court is left to do its best to resolve the issue with the evidence that is available. This is also consistent with achieving a just, expeditious and least expensive determination of the parties’ dispute. (3) Averaging income [17] Third, I do not agree that the motion judge erred in averaging the father’s income over the past three years for the purposes of ongoing child support calculations. The father argues that his line 150 income from 2018 to 2019 was consistent and that the most recent year should have been used. The motion judge rejected the father’s submission that he had suffered a decline in income. He also rejected the use of the father’s line 150 income alone and added pre-tax corporate income and unreasonably deducted expenses, which as noted earlier, was not an error. The use of a three-year average in these circumstances where the payor is, as he said, growing a business, is fair. The father gave no reasons for expecting a continuing decline in the success of his businesses. There is no obligation to use the most current year’s income in such a situation where there is reason to think it is anomalous. (4) Spousal support [18] Fourth, I do not agree that the motion judge erred in fact or law in his consideration of the mother’s entitlement to spousal support. He considered the evidence before him and concluded that she had a continued entitlement on both a compensatory and needs basis and that despite efforts to become self-sufficient, she continued to need support. In imposing a step-down in support which will terminate after a final payment in September 2023, he found that this approach “best balances the [mother’s] ongoing entitlement to both compensatory and needs-based support with the need for her to transition to full self-sufficiency”: at para. 29. It was open to the motion judge to make this finding based on the evidence of the parties. (5) Determining the motion on affidavit evidence alone [19] Finally, I do not agree that this motion should not have been determined on the basis of affidavit evidence and that it required viva voce evidence. The father concedes that there had been no request for questioning and no request that the motion judge hear viva voce evidence on the motion. Further, directing a trial would have resulted in additional delay and expense for the parties. See e.g. Bloom v. Bloom , 2018 ONSC 5343 (Div. Ct.), at paras. 8-13; N.L. v. R.R.M. , 2016 ONCA 915, 88 R.F.L. (7th) 19, at paras. 27-28. [20] The father argues that there was significant contradictory and conflicting evidence in the affidavit material. I disagree. The problem here is not that there was conflicting evidence, but that the father did not lead evidence that might have grounded his claims on the motion. For example, he did not provide sufficient evidence of good reasons for the corporations to retain income, or why certain business expenses were reasonable, in response to the mother’s submissions. In light of this minimal amount of evidence, which he submitted late in the day and only after great effort on the part of the mother, it was open to the motion judge to accept the mother’s evidence over the father’s evidence. [21] He also did not present conflicting evidence on what the mother had done in terms of her efforts in seeking employment and becoming self-sufficient. She had already admitted in her evidence that her businesses had not made strong profits and that one had not made profits at all. Essentially the father’s position was that those efforts were insufficient and unsuccessful. It was open to the motion judge to consider the evidence of the mother’s efforts and come to his own determination about whether she had made efforts to or had become self-sufficient. (6) Disposition and costs [22] For all these reasons, I would dismiss the appeal, and order costs to the respondent of $14,000, inclusive of disbursements and HST. Released: August 5, 2021 “J.M.F.” “A. Harvison Young J.A.” “I agree Fairburn A.C.J.O.” “I agree M. Jamal J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: O'Brien v. Chuluunbaatar, 2021 ONCA 555 DATE: 20210805 DOCKET: C68793 Gillese, Tulloch and Roberts JJ.A. BETWEEN Jeffrey O’Brien Applicant (Respondent) [1] and Bia Chuluunbaatar Respondent (Appellant) Bia Chuluunbaatar, acting in person Jeffrey O’Brien, acting in person Heard: June 14, 2021 by video conference On appeal from the order of Justice James F. Diamond of the Superior Court of Justice, dated October 26, 2020, with reasons reported at 2020 ONSC 6394, and from his costs order, dated November 23, 2020. Gillese J.A.: I. OVERVIEW [1] This family law appeal engages new provisions in the Children’s Law Reform Act, R.S.O. 1990, c. C.12 (the “ CLRA ”) governing relocation and allocation of parenting time. [2] The mother and father have one child. They separated when she was about nine months old. Based on a consent order, the mother has sole custody of the child and the father has access on alternate weekends. [2] [3] When the child was five years old, the mother brought a motion seeking permission to relocate with the child to Mongolia. The mother was born, raised, educated, and employed in Mongolia before immigrating to Canada. The father opposed the motion. [4] After a three-day trial in the Ontario Court of Justice, the trial judge issued an order permitting the relocation. The father’s appeal to the Superior Court of Justice was successful and the relocation order was overturned. [5] The mother appeals to this court. Her appeal depends, in part, on whether the recent amendments to the CLRA relating to relocation apply to a case started before the amendments came into effect on March 1, 2021. In my view, they do. [6] Further, as I explain below, there was no basis to overturn the relocation order. A trial judge’s decision on relocation is fact-based and discretionary. Because of this, it is to be given significant deference on appeal: Van de Perre v. Edwards , 2001 SCC 60, [2001] 2 S.C.R. 1014, at para. 11. Trial judges are in a better position than appellate judges to determine a child’s best interests: Reeves v. Brand , 2018 ONCA 263, 8 R.F.L. (8th) 1, at para. 6. In this case, the trial judge made unimpeachable factual findings, correctly articulated the relevant legal principles governing relocation, and applied those principles to the facts as she found them, before concluding that relocation was in the child’s best interests. There was no basis for the appeal judge to interfere with the trial judge’s exercise of discretion. [7] Accordingly, I would allow the appeal and restore the trial order, with the mother’s requested variation of the winter access provision. II. BACKGROUND [8] The appellant (the “ mother ”) was 43 years old at the time of trial and is from Mongolia. After graduating from a top school in Mongolia with a B.A. in Financial Management, she obtained an M.A. in Economics from Japan. In Mongolia, she worked as an economic analyst, a financial sector specialist, and a consultant for various international companies. She immigrated to Canada in January 2010. Unfortunately, despite her efforts and completing various programs to upgrade her skills, she has not had stable employment in Canada. She has been sporadically employed in low-level jobs and is currently unemployed. [9] The respondent (the “ father ”) was also 43 years old at the time of trial. He was born and raised in Peterborough, Ontario. He has full-time employment. In 2018, his annual income was $114,876. [10] The parties became romantically involved in 2010. In 2013, they began living together and had a child. They separated in September 2014 when the child was about nine months old. The mother has been the child’s primary caregiver since her birth. [11] When the child was about two years old, a temporary court order allowed the mother to take her to Mongolia without the father’s permission. Since then, the child has continued to have a relationship with her maternal grandparents, keeping in touch with them through Skype. She has also kept in touch with her cousins in Mongolia, playing with them weekly on Skype. While English is the child’s first language, she can understand Mongolian in the household environment. [12] A consent order made in August 2016 (the “ Consent Order ”) gave the mother sole custody of the child and the father access, as agreed-on, including on alternate weekends. Although weekend access was specified, overnight access did not begin until January 2019. [13] In July 2018, the mother brought a motion to change the terms of the Consent Order so that she and the child could relocate to Ulaanbaatar, Mongolia (the “ Motion ”). Ulaanbaatar is the capital of Mongolia, a cosmopolitan city with a population of about 1,000,000. The mother’s family lives in Ulaanbaatar. The mother asked that the father’s access be adjusted and offered to provide him with extensive access at Christmas and during the school summer vacation, as well as at other times, both in Toronto and Mongolia. The father opposed the Motion and sought an order for joint custody. [14] The mother wanted to relocate to Mongolia with the child because they would have a better financial situation and increased family support, and it would help the mother’s mental health. In Canada, she has been unable to obtain work at a level consistent with her education, ability, and experience. In Mongolia, she worked as a business consultant, economic analyst, and project specialist, but her most recent jobs in Canada have been as a door-to-door water tank salesperson, barista, interpreter, and data entry clerk. The mother expects to find permanent, full-time work as a mid-level professional with an international organization or foreign company in Mongolia. [15] As a result of her employment situation in Canada, the mother has been unable to independently support herself and the child. They subsist on government benefits and child support from the father. In 2018, her total income was $38,380. The mother and the child live in a small bachelor apartment in Toronto where the child does not have her own room. [16] The evidence at trial showed that the mother’s family has provided her and the child with love, support, and financial assistance since the child’s birth. The maternal grandmother was the only extended family member at the hospital when the child was born. No one from the father’s large family in Peterborough attended at the hospital. The mother’s mother and sister helped care for the child for six months after her birth. After the parties separated, the maternal grandparents deposited $5,000 in a bank account in Mongolia for the mother and the child. They also gifted the child their second apartment on her third birthday for her future use. The mother’s evidence is that she also has an apartment, held in trust for her, in Mongolia. [17] If the relocation is permitted, the mother’s family will provide childcare and the child will enjoy a closer relationship with her maternal grandparents and cousins. In contrast, while the child has participated each year in a number of large family events with the father’s family, they have otherwise been largely absent from the lives of the mother and the child since the parties’ separation. [18] The mother has few friends and no family in Canada. She has been socially isolated since the child’s birth, despite having sought help through mental health counselling, community supports, and her family doctor. The mother’s isolation has had an impact on her psychological and emotional well-being. [19] The Motion was heard over the course of a three-day trial where the parties were cross-examined on their affidavit evidence. The mother’s evidence included a detailed plan of how the child’s life would be improved in Mongolia (the “ Plan of Care ”). It shows how the child will benefit from close connection with her extended maternal family, the ability to participate in many extra-curricular activities, and developing a connection to her Mongolian heritage and tradition. As well, her evidence is that the child will have better living conditions, including having her own room for the first time. The mother intends to sell the apartment in Ulaanbaatar that her parents gifted the child. With the sale proceeds, she will buy a two-bedroom apartment and therefore not have to pay rent. She plans to enroll the child in a private school with a rigorous international curriculum where the child will continue with English language instruction and become more fluent in Mongolian. [20] The t rial judge found that the relocation was in the child’s best interests, notwithstanding the change in access for the father. By order dated July 5, 2019 (the “ Order ”), she permitted the mother to relocate, with the child, to Mongolia; granted the father extensive access; dismissed the father’s claim for joint custody; required the father to pay child support in accordance with the Federal Child Support Guidelines , S.O.R./97-175; and, adjusted child support to reflect the table amount for the years 2016, 2017, and 2018, based on the father’s income for each of those years. The Order specified that winter access would take place in Canada, or another location of the father’s choice. The mother was awarded trial costs of $25,000. [21] The father appealed to the Superior Court of Justice. In reasons for decision dated October 26, 2020 (the “ First Appeal Decision ”), the appeal judge reversed the trial decision on relocation. He said the trial judge erred by focusing on the mother’s reasons for relocation, rather than on whether relocation was in the child’s best interests. He also said there was not a proper evidentiary record to show how the move was in the child’s best interests. He further concluded that the trial judge had not given proper effect to the “maximum contact” principle. [22] By endorsement dated November 23, 2020, the appeal judge ordered the mother to pay the father costs of the trial and the first appeal fixed at $37,500 (the “ First Appeal Costs Award ”). III. THE TRIAL DECISION [23] The trial judge gave lengthy, thoughtful reasons for decision. On the relocation issue, she began by setting out the legal principles in Gordon v. Goertz , [1996] 2 S.C.R. 27, as well as additional factors courts have since considered when applying those principles. She explained that although the Motion was brought under the CLRA , not the Divorce Act , R.S.C., 1985, c. 3 (2nd Supp.), the legal principles in Gordon applied nonetheless. [24] The trial judge then canvassed the evidence relevant to the relocation request and applied the Gordon principles and additional factors to her factual findings. Throughout her reasons, the trial judge repeatedly stressed that the question for determination was whether relocation was in the child’s best interests. [25] The trial judge’s reasons for concluding that relocation was in the child’s best interests include the following: - The mother’s family in Mongolia has a long and strong relationship with the mother and the child; the family members have made them a priority in their lives, which the father’s family has not. The mother’s family will continue to support them, particularly now when the mother especially needs their help; - The mother is struggling in Toronto as a single mother living alone, and feels isolated and insecure. She would benefit from the support of her family and friends in Mongolia; - The mother and child will have a better life in Mongolia – the mother’s employment prospects are better, she will be more financially secure, and she will have help from her family financially and with childcare for as long as she needs it; - The mother will regain her confidence and her emotional, psychological, social, and economic well-being, which will benefit the child and is, therefore, in the child’s best interests; - The child will benefit from a close connection with the mother’s extended family, being able to participate in numerous extracurricular activities, having better living arrangements in a more spacious apartment, and developing a connection to her Mongolian heritage and tradition. [26] The trial judge found that even with the relocation, the mother would facilitate the relationship between the child and the father, which the mother recognized as important. On the trial judge’s findings, the mother has always followed the court ordered access; been generous with additional access; encouraged telephone access between the father and the child even when they were in Mongolia; and, allowed the father to attend her residence for access in a period when the father had mental health difficulties. [27] The trial judge considered the relationship between the father and the child, and the disruption that would result from the relocation. She recognized that the father has a good relationship with the child and noted the mother’s evidence that the child has developed a strong bond with her father and enjoys spending time with him. She concluded that the advantages for the mother and the child of moving outweighed the disadvantages of a possible reduction of the father’s contact with the child. She ordered extensive access for the father including ten weeks in the summer, three to four weeks in the winter, and, in Mongolia any time during a school break, for up to two weeks, on one month’s notice. IV. THE FIRST APPEAL DECISION [28] The appeal judge acknowledged that the trial judge properly articulated the key principles on relocation from Gordon . He also accepted the trial judge’s findings on the mother’s mental health, isolation, and loneliness. However, the appeal judge concluded that the trial judge erred by “focusing solely upon the [mother’s] reasons for relocating”, saying that a parent’s reasons for moving cannot be the only reason upon which to ground a relocation request. [29] The appeal judge stated that the court must respect the maximum contact principle to the extent that such contact is consistent with the child’s best interests. He noted that the trial judge had found the father to be a good parent but had done “little analysis” of the negative impact the move to Mongolia would have on the relationship between the father and the child. [30] The appeal judge also said there was an inadequate evidentiary record for the trial judge’s conclusion that the proposed move was in the child’s best interests. He described the mother’s Plan of Care as “speculative”, saying it was made “ without any independent, corroborative evidence from any admissible source”. He added that it was surprising that there was no evidence from any of the mother’s family members, friends, or business colleagues in Mongolia, and that the mother had failed to provide evidence to substantiate the qualifications of the private school she intended the child would attend or its admission requirements. He also questioned the mother’s evidence about her financial and job prospects in Mongolia and was critical of her failure to provide the court with more information about Mongolia. V. THE ISSUES [31] The mother submits that the appeal judge erred in: 1. finding that the trial judge improperly applied the test for relocation; 2. reweighing the trial judge’s assessment of the maximum contact principle; and, 3. intervening because of an allegedly deficient evidentiary basis for the move. [32] If the appeal is allowed, the mother asks that the winter access provision be varied. On this matter, she seeks to introduce fresh evidence bearing on the appropriate location for the father’s winter break access. The fresh evidence consists of two affidavits: one from her and the other from the child’s doctor. ISSUE #1    THE TRIAL JUDGE MADE NO ERROR IN HER APPLICATION OF THE TEST FOR RELOCATION [33] At para. 67 of his decision, the appeal judge gave two reasons for concluding that the trial judge erred in her application of the test for relocation. First, he said that instead of determining whether relocation was in the child’s best interests, the trial judge permitted it because the mother would have an improved life in Mongolia. Second, he said that the trial judge erred in considering the mother’s reasons for moving because those reasons should have been considered only in an exceptional case where they were relevant to her ability to meet the child’s needs. In my view, neither reason is correct. The trial judge made no error in her application of the test for relocation. [34] In terms of the first reason, it is simply incorrect to say that the trial judge focussed solely on the mother’s reasons for relocation. The trial judge’s focus throughout was squarely on whether the relocation was in the child’s best interests. She repeatedly stressed this: see paras. 15-16, 28-29, 32-34, 36, 39, 121, 123, 125, 128-30, 132, 136-37, 139, and 141-46. Further, the trial judge’s weighing of the various considerations demonstrates her adherence to that focus. Three examples are sufficient to demonstrate this. [35] At para. 39 of her reasons, the trial judge wrote: Requiring a parent to remain in a community isolated from his or her family and supports and in difficult financial circumstances will adversely impact a child. The economic and financial benefits of moving to a community where the parent will have supports , financial security and the ability to complete their education and establish a career are properly considered in assessing whether or not the move is in the child’s best interests . [Emphasis added.] [36] At para. 137, she wrote: The court considered all of the following: that the mother feels isolated and insecure in Canada; that she would benefit from the support of her family and friends in the other location; that her employment prospects are better there; that the child will benefit if the mother is able to become independent and live in a stable environment ; and that the child will suffer if the mother is restricted and remains insecure. [Emphasis added.] It follows that an improvement in the mother’s social, emotional, and financial circumstances are in the child’s best interests. [37] And, at paras. 141-42 of her reasons, the trial judge wrote: There is also a psychological, social and emotional component to [the mother’s] desire to move, in order for her to regain the general stability and control in her life that has been absent since the relationship with the father ended in September 2014. There is a connection between the quality of a parent’s emotional, psychological and social and economic well-being and the quality of the child’s primary care-giving environment. An improvement in the mother’s physical, emotional, and financial circumstances can only benefit the child and therefore be in the child’s best interests. [Emphasis added.] [38] The appeal judge’s second reason for concluding that the trial judge erred in her application of the test for relocation – namely, that the trial judge erred because she considered the mother’s reasons for moving – disappears because of recent amendments to the CLRA governing relocation. [39] The CLRA amendments largely mirror amendments to the Divorce Act. Section 16.92(1)(a) of the Divorce Act explicitly directs the court, when deciding whether to authorize a relocation, to take into consideration the reasons for the relocation. It reads as follows: 16.92(1) In deciding whether to authorize a relocation of a child of the marriage, the court shall, in order to determine what is in the best interests of the child, take into consideration, in addition to the factors referred to in section 16, (a) the reasons for the relocation; [40] The Divorce Act amendments came into force and effect on March 1, 2021. The transition provision in s. 35.3 of the Divorce Act makes it clear that the new relocation provision in s. 16.92(1)(a) applies, as of that date, to any ongoing proceeding: 35.3 A proceeding commenced under this Act before the day on which this section comes into force and not finally disposed of before that day shall be dealt with and disposed of in accordance with this Act as it reads as of that day. [41] Section 39.4(3) of the CLRA also now directs the court to take into account the reasons for the relocation: 39.4(3) In determining whether to authorize the relocation of a child, the court shall take into account the best interests of the child in accordance with section 24, as well as, (a) the reasons for the relocation; [42] Unlike the Divorce Act , the CLRA does not contain an explicit transition provision governing the amendments. However, in my view, the CLRA amendments must also apply to any ongoing proceedings when they came into force on March 1, 2021. Common sense dictates that the parallel amendments in the Divorce Act , governing parenting orders for children on married parties, and the CLRA , governing parenting orders for children of non-married parties, operate in the same fashion. [43] Accordingly, on this appeal, the reasons for relocation are a proper consideration and this supposed error on the part of the trial judge falls away. [44] For these reasons, in my view, the mother succeeds on this ground of appeal. ISSUE #2    THE TRIAL JUDGE MADE NO ERROR IN RESPECT OF THE MAXIMUM CONTACT PRINCIPLE [45] The appeal judge found fault with the trial judge’s application of the maximum contact principle, saying that the trial judge did “little analysis” of how the move would negatively impact the relationship between the father and the child. I do not agree for two reasons. [46] First, on the law as it stood when the Motion was decided, the trial judge made no error. She was fully alive to the maximum contact principle and its importance when assessing whether the relocation was in the child’s best interests. Her relocation decision was an exercise of discretion that involved the weighing of competing considerations, including those arising from the maximum contact principle. That decision was entitled to deference. Rather than the trial judge having erred, it was the appeal judge who fell into error by reweighing the competing considerations based on his view of the weight to be afforded to the maximum contact principle. [47] At paras. 84-91 of her reasons, the trial judge addressed the maximum contact principle under the heading “The Desirability of Maximizing Contact between the Child and Both Parents”. She referred to the mother’s detailed plan for regular contact between the father and the child, including a plan for extensive access and encouraging the child to have regular video chats as often as possible with the father. At para. 91, the trial judge explicitly found that the mother has always been supportive of the father’s relationship with the child. Other of her findings show how the mother has fostered and preserved that relationship. However, the trial judge found at para. 145 of her reasons, the importance of the father’s contact with the child could not override the positive effects of the move for the child: “The advantages for the mother and the child in moving outweigh the disadvantage of the possible reduction of contact with the father.” [48] The appeal judge interfered with the trial judge’s relocation decision because, in his view, she had given insufficient weight to the maximum contact principle. In so doing, the appeal judge erred in law. An appeal court is not to reweigh the relevant considerations. Interference with the trial judge’s exercise of discretion would have been justified only if the appeal judge was satisfied that it was unreasonable: Reeves , at para. 23. The appeal judge did not suggest that the trial judge’s relocation decision was unreasonable nor, on the record, could he have. [49] Second, the maximum contact principle has been replaced by s. 24(6) of the CLRA, another new provision. [3] As I have explained, because this appeal was heard after March 1, 2021, s. 24(6) applies. [50] Section 24(6) highlights the importance of a child having time with each parent while explicitly providing that the allocation of parenting time must be consistent with the child’s best interests. It provides that: In allocating parenting time, the court shall give effect to the principle that a child should have as much time with each parent as is consistent with the best interests of the child. [51] The trial judge’s reasons demonstrate that she was alive to the importance of the child having time with each parent so long as the allocation of parenting time was consistent with the child’s best interests. Accordingly, in my view, the trial judge’s relocation decision and access order are fully consonant with s. 24(6). [52] For these reasons, in my view, this ground of appeal also succeeds. ISSUE #3    THE TRIAL EVIDENCE WAS SUFFICIENT [53] The appeal judge said there was an “absence of a proper evidentiary record” to support the trial judge’s finding that the proposed move to Mongolia was in the child’s best interests. In my view, he erred. The mother’s evidence was led through her affidavits and that evidence was tested before the trial judge through cross-examination. The trial judge was best positioned to assess the sufficiency of the evidence. Further, she was entitled to accept the mother’s evidence, as she did. [54] In her affidavit evidence, the mother gave detailed information about the proposed move and how it would affect the child. For example, at para. 50 of her affidavit dated April 4, 2019, the mother deposed: With the move to Mongolia, [the child’s] standard of living will improve because of my property ownership in Mongolia, she will reside in a middle class type of accommodation where for the first time she will have her own room and bed. The income that I expect to earn from my consulting job, support from [the father] and my parents help will cover [the child’s] private school tuition, a cost that I could otherwise have not afforded here in Canada. I will also be able to enrol her in many extra-curricular activities as detailed in [the child’s] Plan of Care in Mongolia. I expect [the child] and I to have a similar lifestyle as that of my sister’s with her two children including going away on vacations [55] And, in the mother’s Plan of Care, she addressed her plans for the child’s education, schooling, healthcare, and extra-curricular activities; the role the maternal family would play with respect to the child and as support for the mother; managing the child’s language and emotional transitions; how the father could stay connected with the child while she is in Mongolia; and, how the child would become more fluent in Mongolian and learn about her Mongolian heritage, while maintaining her English. [56] The mother’s evidence also included information about her career opportunities, her connections and professional networks in Mongolia, and sample job postings from Mongolia, complete with expected or potential salaries. [57] The appeal judge questioned the absence of witness testimony from the mother’s family in Mongolia. The language, financial, and technical barriers to having witnesses from Mongolia testify, coupled with the mother’s limited financial means, go a long way to explaining why direct witness evidence from Mongolia was not before the trial court. In any event, however, there was no question about the veracity of the information that the mother provided about her education and work experience in Mongolia. The evidence concerning the emotional, financial, and physical help that the mother’s family had already given her and the child was unchallenged. Nor was there any dispute about the mother’s commitment to the father’s relationship with the child and the many ways she had fostered it. I will not repeat the evidence on these matters, details of which can be found above. The point is that this uncontested evidence provided the context within which the trial judge considered the mother’s evidence and came to the determination that relocation was in the child’s best interests. There is no basis on which to question the trial judge’s acceptance of that evidence, much less to interfere with her decision to permit relocation. [58] To say there was an inadequate evidentiary record on which the trial judge based her decision fails to recognize that the mother’s affidavits and her oral evidence at the trial was evidence that the trial judge was entitled to accept. That evidence contained detailed information on all aspects of the move and how it would affect the child. [59] The trial judge saw and heard the parties. As Van de Perre makes clear, she was in the best position to decide whether relocation was in the child’s best interests. She concluded that it was and exercised her discretion accordingly. There was no basis for interference by the first appeal court. [60] In my view, the mother succeeds on this ground of appeal as well. VI. THE FRESH EVIDENCE APPLICATION [61] The trial judge ordered both summer and winter access to be in Canada or another location of the father’s choice. However, at trial, the mother and father had agreed that if the move were allowed, winter access should take place in Mongolia until the child is 12 years old. [62] The mother seeks to introduce fresh evidence to show the difficulties for the child if winter access were to take place in Canada. That evidence shows, among other things, that the child would have to fly for over 25 hours across 12 time zones in a 3-week period at an extraordinary financial cost to the parties. The fresh evidence also includes an unchallenged letter from the child’s doctor that such a trip would likely lead to health issues for the child, interruptions in her schooling, and behavioural issues arising from sleep loss and fatigue. [63] I would admit the fresh evidence and make the requested change to winter access. I commend the parties for placing the child’s best interests ahead of their own as demonstrated by their continuing agreement that winter access should take place in Mongolia until the child is 12 years old and thereafter rotate, with one winter access period taking place in Toronto and the following one in Mongolia. VII. DISPOSITION [64] For these reasons, I would: a. allow the appeal; b. set aside the First Appeal Decision and the First Appeal Costs Award; c. restore the trial judge’s Order, with the exception that I would vary para. 3(b) so that access during the child’s winter school break shall take place in Mongolia up to and including 2026 and, thereafter, shall alternate between Canada and Mongolia, with the visit in 2027 taking place in Canada; d. restore the Trial Costs Award; and, e. substitute a costs award of $12,500 all inclusive, in favour of the mother, in place of the First Appeal Costs Award. [65] Because the parties each said at the oral hearing of this appeal they would not seek costs of this appeal, I would make no order as to costs of this appeal or the motion heard by Sossin J.A. on January 19, 2021. Released: August 5, 2021 “E.E.G.” “E.E. Gillese J.A.” “I agree. M. Tulloch J.A.” “I agree. L.B. Roberts J.A.” [1] The mother requested the use of initials only in the title of proceedings. Absent legislative or court-ordered prohibition on identification, this court’s general practice in private family law disputes is to retain the parties’ names in the title of proceedings while otherwise protecting the child’s privacy to the fullest possible extent. [2] Pursuant to amendments to the CLRA , which came into effect on March 1, 2021, the terms parental “custody” and “access” have been replaced by the terms “decision-making responsibility” and “parenting time”. Sections 76(2) and (3) of the CLRA provide that references to custody and access in orders prior to March 1, 2021, “shall be read as references to decision-making responsibility” and to “parenting time” respectively. However, to avoid confusion, in these reasons I use the original language in the existing orders. [3] The Divorce Act now also contains a similar provision in s. 16(6): “ In allocating parenting time, the court shall give effect to the principle that a child should have as much time with each spouse as is consistent with the best interests of the child.”
COURT OF APPEAL FOR ONTARIO CITATION: Kudrocova v. Kronberger, 2021 ONCA 563 DATE: 20210805 DOCKET: M52528 (C68576) van Rensburg J.A. (Motions Judge) BETWEEN Claudia Kudrocova Appellant (Moving Party) and Ferdinand Alois Kronberger Respondent (Responding Party) Juliet Montes, agent for Tiffani Frederick, for the moving party Michael Ruhl and Kayla Gordon, for the responding party Heard and released orally: August 4, 2021 ENDORSEMENT [1] This is a motion to set aside the Registrar’s dismissal of an appeal for failure to perfect on time, and awarding costs to the respondent of $750. The Order is dated December 9, 2020. [2] The appeal is of the orders of Justice McLeod made March 26, 2020 and May 14, 2020 and the costs orders of June 30, 2020. The orders are in relation to the parenting of the parties’ two children. [3] After a Notice of Appeal was served on the respondent personally on August 15, 2020, the appeal has proceeded in a manner accurately described by Mr. Ruhl, the respondent father’s counsel, as “sluggish”. [4] There have been a variety of problems which were caused or contributed to by the appellant’s initial appeal counsel, which may have resulted, in part, from her health problems and car accident in December, 2020. These include: not sorting out a fee waiver or attending to pay the fee for filing documents in this court; service on the father instead of on his lawyer; not making it clear whether the mother was representing herself or represented by counsel; and most recently, failing to serve this motion on the respondent until notified by the court of the pending motion date. In the interim, counsel for the father was served with all of the appellant’s materials for the appeal, and prepared and served, and attempted to file, the responding materials. [5] Mr. Ruhl has fairly acknowledged that, except for the Registrar’s dismissal, the appeal has essentially been perfected. The appeal materials were served on Mr. Ruhl on October 20, 2020, with amended materials served on November 10, 2020. Mr. Ruhl fairly consented to the late filing of the amended appeal materials, and on December 18, 2020 he served responding materials, but he learned of the Registrar’s dismissal when trying to file his materials. [6] The factors to consider on a motion to set aside a Registrar’s dismissal are 1) whether the moving party had an intention to appeal within the time for bringing an appeal; 2) the length of the delay and any explanation for the delay; 3) any prejudice to the respondent caused by the delay; and 4) the justice of the case: Paulsson v. University of Illinois , 2010 ONCA 21, at para. 2. The overriding consideration on a motion to set aside a dismissal order is the justice of the case, which can include consideration of the merits of the appeal: Akagi v. Synergy Group (2000) Inc ., 2014 ONCA 731, at para. 8 (in that case the appeal raised serious issues). [7] The moving party’s affidavit explains that the delay was the fault of her first lawyer on the appeal, who did not sort out the question of a fee waiver, and then led her to believe that everything was rectified, and that her appeal was proceeding. After receiving the notice dismissing her appeal, the mother was assured by the lawyer that a motion to set aside the Registrar’s dismissal order would be brought. Apparently, the lawyer was in a car accident, and another lawyer, Ms. Frederick, took over the file in January 2021. This motion was brought several months later and was argued by Ms. Montes attending as Ms. Frederick’s agent. [8] The father’s affidavit sets out a chronology of events. The motion to set aside the Registrar’s order is opposed primarily on the basis of the appellant’s delay. The father also asserts that the appeal has little merit, and that to the extent the mother is concerned about what she characterizes as the “separation of the children”, there is a mechanism in place for reattendance before the trial judge. He is also concerned about the effect of the ongoing delay on the children, who have grown accustomed to the parenting orders that were made. The father seeks costs of the appeal in excess of the $750 awarded by the Registrar for the materials that counsel has prepared to respond to the appeal. [9] I have concluded that it is in the interests of justice for the Registrar’s order to be set aside, and for the appeal to be permitted to proceed. [10] The circumstances are unusual. First, the appellant reasonably understood that her appeal was proceeding. The circumstances leading to the Registrar’s Order, as well as the delay in bringing the motion, are not of her making. She should not suffer the consequences of her lawyer’s oversight or inattention: see Akagi , at para. 6. Second, all of the materials have been prepared, including the responding materials and the appeal can be perfected without delay. Third, I am not persuaded in the circumstances that the delay is prejudicial to the children’s best interests. The current status quo will continue while the appeal is pursued. [11] I do not express any opinion on the merits of the appeal based on the limited argument before me on this point. I remind the appellant that the function of this court is not to retry the case on appeal, and that intervention is warranted only if there is a material error, a serious misapprehension of the evidence, or an error of law: Van de Perre v. Edwards , [2001] 2 S.C.R. 1014, at para. 13. If, as the father submits, the errors that are relied upon by the mother are simply questions of fact, she will have a very difficult time with this appeal. [12] Accordingly, an order will go setting aside the Registrar’s order of dismissal; requiring the appeal to be perfected by August 20, 2021; and expediting the hearing of the appeal. By agreement of the parties, there is no order as to costs on this motion. “K. van Rensburg J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: R. v. Thompson, 2021 ONCA 559 DATE: 20210805 DOCKET: C66630 Watt, Roberts and Zarnett JJ.A. BETWEEN Her Majesty the Queen Respondent and Kebrahas Mark Anthony Thompson Appellant Mark C. Halfyard, for the appellant Scott Wheildon, for the respondent Heard: April 21, 2021 by videoconference On appeal from the conviction entered on October 25, 2018 by Justice Gisele M. Miller of the Superior Court of Justice, with reasons reported at 2018 ONSC 6393. REASONS FOR DECISION Introduction [1] The appellant appeals his conviction for importing cocaine into Canada contrary to s. 6(1) of the Controlled Drugs and Substances Act , S.C. 1996, c. 19 . He submits that the trial judge erred in using a recklessness or negligence standard, rather than a subjective standard, to find that he was wilfully blind to the presence of illegal drugs concealed in his suitcases. He also submits that the trial judge failed to treat certain aspects of the appellant’s after-the-fact conduct as circumstantial evidence of innocence, and that she improperly took judicial notice of certain facts. [2] For the reasons that follow, we dismiss the appeal. The Factual Context [3] Late in the evening on January 13, 2014, the appellant arrived at Toronto Lester B. Pearson International Airport on a flight from Montego Bay, Jamaica. He was directed to secondary inspection. Border Service Officers searched his suitcases, which the appellant confirmed he had packed. [4] Eight plastic “Betapac” brand spice packages were found in the appellant’s suitcases – five curry and three black pepper. Although the packages bore no visible irregularities and appeared to contain the labelled spices, in handling them, one of the Border Service Officers noted that they seemed less malleable than would be expected, given their apparent contents. An officer cut open one of the packages and discovered cocaine. The appellant was arrested. The other packages were examined and also found to contain cocaine. [5] At trial, the parties agreed that: approximately 3.7 kilograms of cocaine had been concealed in the spice packages; the appellant’s fingerprint was identified on the exterior of one of them; and, the cocaine had a value in the Greater Toronto Area that ranged between $170,000 and $407,000, depending on whether it was sold by the ounce, gram, or kilogram. [6] The appellant gave evidence at trial. He testified that he had gone to Jamaica for a family member’s funeral. While there, he spent time with Neville Williams, with whom he was in a relationship and infatuated. [7] According to the appellant, Mr. Williams asked him to bring some Jamaican spices to Toronto for Mr. Williams’ cousin (whose name the appellant was not given), for his restaurant “Iri Veggie Take-Out”. The appellant testified that Mr. Williams gave him the eight Betapac packages, that Betapac is a recognized brand of Jamaican spices, and that the packages looked normal and did not appear to have been tampered with. The appellant said that when he questioned Mr. Williams about the quantity, Mr. Williams told him that his cousin wanted a lot for the restaurant. Once in Toronto, the appellant was to await contact by someone who would pick up the packages. [8] The appellant testified that it did not occur to him that the packages might have drugs in them. On cross-examination, he agreed that it should have occurred to him that something was suspicious, however, he maintained that nothing did. The appellant gave evidence about his knowledge of how the drug trade operates, and that he would never knowingly traffic drugs because he had previously been acquitted of an importing charge and was always checked at customs. The Trial Judgment [9] The trial judge set out the principles in R. v. W.(D.) , [1991] 1 S.C.R. 742, relevant to whether the charge was proven beyond a reasonable doubt in light of the appellant having given evidence. [10] The trial judge accepted the appellant’s evidence about his relationship with Mr. Williams, and that it “might be true” that Mr. Williams provided the cocaine for delivery to someone at the restaurant the appellant identified. She also accepted that the cocaine was “cleverly concealed” in packages that appeared from the outside to be authentic packages of spice. [11] However, the trial judge did not believe the appellant’s evidence that he did not know, or even suspect, that the spice packages contained illegal drugs. She found that his history and knowledge of the drug trade demonstrated a “heightened sensitivity to the fact and the ways in which drugs are imported from Jamaica into Canada”. She found it was inconceivable “that it would not have occurred to him that the spice packets contained some illegal drug”. [12] The trial judge went on to find “that even if [the appellant] did not have direct knowledge that there was cocaine in the packets he was bringing into Canada, he was wilfully blind as to the presence of drugs in the packets, and did not take sufficient reasonable steps to assure himself that they were not there”. She found that the appellant’s enquiry of Mr. Williams as to the amount of spice “did not result in an answer sufficient to reasonably allay his suspicions” and the fact that he was not given the name of a person to deliver the packets to and was to await contact from an unknown person who would arrange pick up “should have raised rather than allayed any suspicions”. As the appellant acknowledged that curry powder and black pepper are readily available in Toronto, the trial judge observed that there would be no need for the appellant to bring those products to a restaurant that would likely have its own supplier and need those goods in greater quantities. [13] The trial judge concluded that she did not believe the appellant’s evidence that he did not know the spice packets contained illegal drugs, nor did it leave her with a reasonable doubt. She concluded that she was satisfied on all of the evidence that the appellant knew or was wilfully blind to the fact that he imported cocaine into Canada. Analysis (a) Wilful Blindness [14] The appellant argues that the trial judge did not properly find wilful blindness, as she focussed on whether the appellant should have been, or should have remained suspicious, rather than on whether he actually suspected there were drugs in the packages and deliberately failed to further inquire in order to avoid knowledge. The appellant argues that in doing so, she used a recklessness or negligence standard. [15] We reject this ground of appeal for two reasons. [16] First, the trial judge’s finding of wilful blindness was in the alternative to her primary finding that the appellant actually knew that the packets contained illegal drugs. The trial judge did not believe the appellant’s evidence that he did not know the packages contained cocaine, stating that it was “inconceivable” that he did not know. She concluded that she was satisfied beyond a reasonable doubt on all the evidence that he had the requisite knowledge. The evidence spoke powerfully to his knowledge, as it included the undisputed facts that: cocaine of significant value was concealed in packages; the packages were in suitcases that the appellant had packed and transported; and, that one of the packages bore the appellant’s fingerprint. Even if there was an error in the trial judge’s approach to wilful blindness, it would not affect the result. [17] Second, we do not accept the argument that the trial judge used the wrong standard in her alternative wilful blindness analysis. The trial judge set out the correct definition of wilful blindness as articulated by this court in R. v. Lagace (2003) , 178 O.A.C. 391, (Ont. C.A.) and R. v. Rashidi-Alavije , 2007 ONCA 712, 229 O.A.C. 365. Accordingly, when she twice in her reasons stated that the appellant was, in the alternative, wilfully blind, there is no doubt she was using the term as described in those cases – that the appellant was culpable because he actually suspected drugs but declined to make inquiries sufficient to allay those suspicions because he preferred to remain ignorant of the truth: see, for example, Lagace , at para. 28. The trial judge did not proceed on the erroneous basis that all that was required was that the appellant should have been suspicious. [18] The trial judge’s findings in support of her conclusion on actual knowledge also support her alternative conclusion on actual suspicion. The trial judge considered, but rejected, the appellant’s evidence that he did not suspect drugs. The evidence she accepted as to the value of the drugs, the appellant’s history and knowledge of the drug trade, the concealment of the cocaine in the packages in the appellant’s suitcases, and the fingerprint, speak with equal power to a conclusion of actual suspicion and a deliberate failure to learn the truth. [19] As Lagace makes clear, wilful blindness may be found even where an accused who held a suspicion made some inquiry. In determining whether an accused who made some inquiry remained suspicious and deliberately refrained from further inquiry to avoid the truth, “the nature of that inquiry will be an important consideration… For example, a finding that an accused took all reasonable steps to determine the truth would be inconsistent with the conclusion that the accused was wilfully blind”: at para. 28. [20] The appellant focusses on the trial judge’s statements that the appellant did not take “reasonable steps” to ensure there were no drugs, that his inquiries were not sufficient to “reasonably allay his suspicions”, and that certain matters should have “raised rather than allayed any suspicions”. Read in context (and given her finding that the appellant was wilfully blind as discussed above), these statements reflect the trial judge’s consideration of the nature of the appellant’s inquiry, that is, of the steps he took to determine the truth. As explained in Lagace , the reasonableness of the steps taken is one factor to be considered; as earlier noted, if an accused took all reasonable steps, that would be inconsistent with a finding of wilful blindness. We do not interpret these statements to be the basis, let alone the sole basis, on which the trial judge concluded that the appellant was wilfully blind. [21] We therefore reject this ground of appeal. (b) After-the Fact Conduct [22] A little over a month after the appellant was arrested, the appellant’s lawyer wrote to the police providing information that the packages had been provided to the appellant by Mr. Williams, and that they were to be delivered to Iri Veggie Take-Out. [23] The appellant argues that the trial judge failed to take this evidence into account as something that reflected positively on his credibility, especially since the trial judge was critical of the appellant’s inability or failure to locate or contact Mr. Williams after his arrest. [24] We reject this ground of appeal. The fact that the trial judge did not specifically refer to the letter does not mean she did not consider it – she was not obliged to detail all evidence in her reasons. Moreover, the trial judge accepted, based on the evidence at trial, that Mr. Williams may have provided the packages and that they may have been intended for delivery to that restaurant. She nonetheless rejected the appellant’s evidence that he did not know or suspect that the packages contained drugs. In other words, those facts did not exculpate the appellant. We see no basis on which to conclude that the fact that this information was contained in the appellant’s lawyer’s letter gives it a different effect. (c) Improper Judicial Notice [25] In her analysis, the trial judge noted that a restaurant would require much greater amounts of the spices than the amount the appellant was to deliver. The appellant argues that there was no evidence on the appropriate quantity of spice for a restaurant, and as such, the trial judge’s comment constituted an improper resort to judicial notice. [26] In our view, the comment in question was not a finding of fact but was simply a minor part of the trial judge’s assessment of the inherent probabilities of the appellant’s evidence viewed through the lens of common sense. Moreover, the trial judge was entitled to disbelieve the appellant’s evidence, and reach the ultimate conclusions that she did, without that reference. [27] Accordingly, we do not give effect to this ground of appeal. Conclusion [28] For these reasons, the appeal is dismissed. “David Watt J.A.” “L.B. Roberts J.A.” “B. Zarnett J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: R. v. Henry-Osbourne, 2021 ONCA 561 DATE: 20210806 DOCKET: C66568 Tulloch, Roberts and Trotter JJ.A. BETWEEN Her Majesty the Queen Respondent and Lynston Henry-Osbourne Appellant Jeffery Couse, for the appellant David Quayat, for the respondent Heard: May 14, 2021 by video conference On appeal from the convictions entered by Justice Wailan Low the Superior Court of Justice on September 26, 2017, and from the ruling on entrapment dated November 7, 2017 with reasons reported at 2017 ONSC 6714. Roberts J.A.: Overview [1] The appellant appeals the dismissal of his application for a stay of his convictions for trafficking heroin to an undercover police officer on three different occasions in the course of “dial-a-dope” operations, and for the possession of the proceeds of crime from trafficking. The appellant maintains that the trial judge erred in failing to find that he was entrapped by the police into committing the offences that formed the basis for his convictions. [2] At issue in this appeal is whether the application of the Supreme Court’s analytical framework on the law of entrapment in R. v. Ahmad , 2020 SCC 11, 445 D.L.R. (4th) 1, to the circumstances of this case would have led to a stay of the convictions. For the reasons that follow, I say it would not and would dismiss the appeal. (i) Guilty pleas and convictions [3] On September 26, 2017, following a re-election to a trial before a judge alone and pursuant to an agreed statement of fact, the appellant pled guilty to four counts of an eight-count indictment. The four remaining counts were withdrawn at the Crown’s request. [4] The basic factual underpinnings for the convictions were founded on the following agreed statement of fact: On May 9, 2015, the [Toronto Drug Squad] entered into a drug investigation. A now retired officer Tony Canepa negotiated the purchase of a gram of heroin with an individual referred to as “Prince” for $200. Tony Canepa attended the area as directed and met “Prince”, who was later identified as Mr. Henry-Osborne. Tony Canepa gave Mr. Henry-Osbourne $200 in marked police buy money and in return received a quantity of heroin, later determined to weigh 1.08 grams. On May 11, 2015 Tony Canepa called “Prince” again and entered into another drug related conversation. “Prince” agreed to sell a gram of heroin for $200 directing the officer to meet him in the area of Jane Street and Sheppard Avenue, Toronto. Tony Canepa attended the area as directed and met Mr. Henry-Osbourne. Tony Canepa gave Mr. Henry-Osborne $200 in marked police buy money and in return received a quantity of heroin, later determined to weigh 1.06 grams. On July 11, 2015 Tony Canepa called “Prince” again and entered into another drug related conversation with “Prince”. “Prince” agreed to sell 6.5 grams of heroin for $1000 directing the officer to meet him in the area of Jane Street and Sheppard Avenue, Toronto. Tony Canepa attended the area as directed and met Mr. Henry-Osbourne. Tony Canepa gave Mr. Henry-Osborne $1000 in marked police buy money and in return received a quantity of heroin, later determined to weigh 6.5 grams. Mr. Henry-Osbourne was subsequently arrested. The $1000 of police buy money and a telephone was found on him during a search incident to arrest. The police confirmed the phone in his possession was assigned to phone number 416.302.4105 that the police had used to contact “Prince” previously. [5] The trial judge found the appellant guilty on three counts of trafficking heroin and one count of possession of the proceeds of crime from trafficking. (ii) Application for a stay of the convictions [6] On September 26 and 27, 2017 the appellant brought an application before the trial judge to stay his convictions on the ground that he was entrapped into the criminal conduct underlying the guilty pleas. [7] The evidence on the application consisted of the agreed statement of fact and the viva voce evidence of the undercover officer, Tony Canepa, who had retired by the time of the application. Officer Canepa testified about the information that he had received prior to calling the appellant, and the conversations and text exchanges that he had with the appellant and others in the course of the heroin purchases. I examine those conversations and texts in further detail later in these reasons. [8] The trial judge applied the following test for entrapment under R. v. Mack , [1988] 2 S.C.R. 903, at p. 959, which she identified as the governing jurisprudence at that time: There is, therefore, entrapment when: (a) the authorities provide an opportunity to persons to commit an offence without reasonable suspicion or acting mala fides or, (b) having a reasonable suspicion or acting in the course of a bona fide inquiry, they go beyond providing an opportunity and induce the commission of an offence. [9] The trial judge concluded that there was no evidence of the undercover officer offering an inducement and that the conduct of the investigation did not constitute random virtue testing because it was “focused on one individual possessing several articulated physical characteristics and three specific patterns of conduct: the use of the style ‘Prince’, the use of a specific telephone number, and dealing in heroin”. She also found that there was no evidence that the undercover police officer was not acting bona fide in investigating the tip that led to the telephone calls. [10] The trial judge made no specific finding as to whether Officer Canepa had a reasonable suspicion to believe the appellant was involved in drug trafficking before presenting him with an opportunity to commit a crime because she determined that the reasonable suspicion standard articulated under the first branch of the Mack test was inapplicable in a dial-a-dope context involving the bona fide investigation of a tip. The trial judge reasoned as follows: In the context of dial-a-dope operations, many undercover investigations will start with a tip only, and for that reason, it will not be possible to say that the police start out with a “reasonable suspicion ”. The police nevertheless have a duty to investigate, and in the dial-a-dope context, investi g ation requires a call to the target number to de te rmine whether the tip can be confirmed. [11] The trial judge’s reasoning on this point was tied to her holding that an “opportunity to offend” existed as soon as police placed a call using drug-coded language to the targeted phone number. She interpreted Mack to mean that: an opportunity to offend [i.e. a drug-coded phone call] may properly be extended to the target of a bona fide investigation if it is in the course of and for the purposes of the investigation whether the information in the possession of the police at the time of the offer rises to the level of a reasonable suspicion or is only at a level of a “mere” suspicion. [12] On that basis, the trial judge found that the appellant had not been entrapped by the police and dismissed the appellant’s stay application. On February 9, 2018, the appellant received a global sentence of 3 years, 2 months and 27 days, which he does not seek to appeal separately from the convictions. Issues and the Parties’ Positions [13] The appellant’s principal submission is that the trial judge erred in applying the wrong test for entrapment. Specifically, the appellant submits that the t rial judge erred in law by applying a bona fide investigation test rather than the reasonable suspicion test required under the Supreme Court’s most recent articulation of the test for entrapment in Ahmad . The appellant maintains that, like in R. v. Williams , the companion case to Ahmad , the brief conversations and texts between the appellant and the undercover officer did not afford a sufficient basis to ground a reasonable suspicion. [14] The Crown submits that while the trial judge did not have the benefit of the Supreme Court’s guidance in Ahmad , the trial judge’s jurisprudential instinct and factual findings were nevertheless correct. According to the Crown, the circumstances of the present case are almost identical to those in Ahmad . Applying Ahmad to the circumstances of the present case, the Crown argues, still leads to the trial judge’s conclusion that there was no entrapment. Analysis (a) Ahmad analytical framework [15] As this court very recently acknowledged in R. v. Ramelson , 2021 ONCA 328, appeal as of right filed [2021] S.C.C.A No. 137, at para. 34, Ahmad did not fundamentally change the law of entrapment as it stood under Mack and R. v. Barnes , [1991] 1 S.C.R. 449. See also: R. v. Ghotra , 2020 ONCA 373, at paras. 16 to 19. However, the majority in Ahmad provided important clarifications on how to apply the law of entrapment in the context of “dial-a-dope” operations, particularly with respect to the assessment of reasonable suspicion. [16] In the context of a dial-a-dope investigation, police may provide an opportunity to commit a crime only upon forming a reasonable suspicion that the person answering the phone is engaged in drug trafficking: Ahmad , at para. 44. The majority in Ahmad was careful to emphasize at para. 20 that a bona fide investigation is not a separate and freestanding way to entrap an individual. Rather, an investigation is bona fide where the police have reached a threshold of reasonable suspicion and they have a genuine purpose of investigating crime. Ultimately, the entrapment analysis focuses on whether the police had formed a reasonable suspicion when they created an opportunity to commit a crime: The reasons in Mack make clear that a bona fide inquiry into a location is premised upon and tethered to reasonable suspicion. An investigation is “ bona fide ” where the police have a reasonable suspicion over a location or area, as well as a genuine purpose of investigating and repressing crime. A bona fide investigation is not a separate and freestanding way for police to entrap an individual, but a means of expressing the threshold of reasonable suspicion in a location. The offer of an opportunity to commit a crime must always be based upon a reasonable suspicion of particular criminal activity , whether by a person, in a place defined with sufficient precision, or a combination of both. [Emphasis added.] [17] The Supreme Court also made clear in Ahmad that the police can develop reasonable suspicion either before placing a call to a suspected drug line or in the course of a conversation with the target: Ahmad , at para. 54. If the police do not have reasonable suspicion before a call is made, it must be developed during the call but before an opportunity to commit a crime is presented to the target: Ahmad , at para. 69. The Court explained at para. 66 what is meant by an opportunity to commit a crime: [P]olice can make exploratory requests of the target, including asking whether they sell drugs, without providing an opportunity to traffic in illegal drugs. An opportunity has been provided only when the terms of the deal have narrowed to the point that the request is for a specific type of drug and, therefore the target can commit an offence by simply agreeing to provide what the officer has requested. [Citations omitted.] (b) Trial judge’s approach [18] Viewed through the lens of Ahmad , the trial judge’s approach was flawed in that she did not make a specific finding as to whether the police had formed a reasonable suspicion at the moment the offer to buy drugs was made. As already noted, she made no distinction between “reasonable suspicion” and “mere suspicion” so long as the investigation was bona fide . [19] The trial judge relied on investigative bona fides as a separate means by which to justify the undercover officer’s offer to purchase drugs. However, Ahmad makes clear that investigative bona fides will not supplant an absence of a reasonable suspicion at the moment police make a concrete offer to buy drugs. [20] The trial judge should have considered whether, in the context of a bona fide investigation, the officer had a reasonable suspicion that the appellant was engaged in drug trafficking before he placed his order to purchase drugs. (c) Ahmad analytical framework applied [21] The primary issue in this appeal is therefore whether a proper application of the Ahmad analytical framework would have led to a different result. In my view, it would not. For the reasons that follow, I conclude that the trial judge’s factual findings were unaffected by her analytical approach and that her ultimate conclusion that there was no entrapment was correct. [22] The appellant submits that the outcome would have been different under Ahmad because the police did not have a reasonable suspicion that the appellant was trafficking heroin for the following three reasons: a.       The appellant was targeted based on a bald, uncorroborated tip of unknown reliability, credibility and recency. b.       The undercover officer did not adequately corroborate the tip during his telephone call with the appellant prior to asking him to traffic heroin. c.       Despite the appellant declining to commit the offence or partake in drug subculture language, the undercover officer continued to pursue the investigation. [23] I am not persuaded by these submissions. [24] Because it is a contextualized, individualized, and fact-driven inquiry, the determination of reasonable suspicion requires a careful examination of the evidence and an assessment of the entire “constellation of objectively discernable facts”: Ahmad , at paras. 46 and 48. As a result, simply comparing the circumstances of this case to those in Ahmad , where no entrapment was found, or in Williams , where it was, is not dispositive of the issue. The circumstances of the present case differ because they comprehend not one conversation but a series of telephone conversations and text exchanges that culminated in the offer and purchase of heroin. It is therefore necessary to examine all the relevant circumstances to determine if the appellant was entrapped. [25] While the undercover officer may not have had a reasonable suspicion before first calling the appellant, he formed a reasonable suspicion during the initial telephone call, which was strengthened by the subsequent text and telephone exchanges, and prior to offering the appellant the opportunity to traffic heroin by requesting a specific quantity of a particular drug. [26] Prior to making the initial call, Officer Canepa had been advised by Detective Brons that an individual named “Prince” was trafficking heroin using a specific telephone number. Detective Brons gave a physical description of “Prince”. He instructed Officer Canepa to call “Prince” at a specific telephone number, 416-302-4105, and to purchase heroin with police buy money, using the drop name “Paul”. [27] Officer Canepa telephoned the number he had been given and the following conversation ensued: Male: Hello. Officer Canepa: Prince? Male: Yeah. Officer Canepa: Can I come see you? Male: Where did you get my number from? Officer Canepa: Paul, White guy from St. Claire [sic] and Dufferin. Male: I don’t know who you are. Officer Canepa: It’s Sal. I got your number from Paul. Do you know Paul? Male: Yeah. What are you looking for? Officer Canepa: A GR of H. Male: I don’t know what …. [28] The line disconnected at that point and Officer Canepa tried twice to reach the appellant without success. Officer Canepa then received a text message from the same telephone number: 416-302-4105: Who this? Officer Canepa: Sal. Can I come check you? 416-302-4105: I don’t know what you’re talking about. Officer Canepa: No problem then sorry. [29] Officer Canepa testified that he thought that the investigation “wasn’t going anywhere” or that “the deal was dead at that point”. However, a few minutes later, he received a telephone call from an unknown number and had the following telephone conversation with a different male individual: Officer Canepa: Hello? Male: Is this Sal? Officer Canepa: Who is this? Male: Paul – Do I know you? Officer Canepa: I don’t know. Male: Prince says I gave you this number. Officer Canepa: I told Prince I got a number from a guy by the name of Paul from St. Claire and Dufferin. Male: What does Paul look like? Officer Canepa: White, chubby. Male: I don’t know who you are. Officer Canepa: I’m sure you’re not the only Paul around. Male: Okay. [30] A few minutes later, Officer Canepa received a text from 416-302-4105, the number he had initially called to reach “Prince”, and had the following exchange: 416-302-4105: How you got this number? 416-302-4105: ? Officer Canepa: Paul at St. Claire and Dufferin. 416-302-4105: Where you from? Officer Canepa: St. Clair and Dufferin [31] About four hours later, Officer Canepa received a call from the same number, 416-302-4105, and had the following conversation: Officer Canepa: Hello. Male: Hey, what’s going on? Officer Canepa: Not much. Male: Listen – I have to check you. Are you a friend of Nick? Officer Canepa: Yeah. Male: Okay. What do you need? Officer Canepa: One. Male: A Full one. Officer Canepa: How much? Male: Okay, let me call you back in two minutes and tell you where to meet me. Officer Canepa: Okay. [32] Following this last conversation, Officer Canepa purchased heroin from the appellant on the three occasions that formed the basis for the guilty pleas, and on two other occasions from individuals whom “Prince” had sent to complete the transactions for him. [33] In my view, reasonable suspicion existed before the undercover police officer requested a specific quantity or type of drug from the appellant during their initial call. In any event, having regard to the entirety of the communications leading up to Officer Canepa’s first heroin purchase from the appellant, it is clear that reasonable suspicion to believe that the appellant was engaged in drug trafficking existed before the appellant again offered to sell him drugs and Officer Canepa placed his order for “One”. [34] Before asking the appellant for “A GR of H” in their initial conversation, Officer Canepa had already obtained confirmation from the appellant that he was “Prince”, that he was connected to the number that was given for him, and that he knew “Paul”. Officer Canepa also made exploratory requests, engaging in drug-coded language, asking the appellant if he could come see him, which Officer Canepa testified meant that he was asking if he could purchase drugs from him. Understanding Officer Canepa’s coded request, the appellant then exhibited the kind of caution that, as Officer Canepa also testified, is typical of drug dealers who are concerned that they may be communicating with an undercover police officer. Once he was satisfied that Officer Canepa had obtained his telephone number from a trusted source, the drop name “Paul”, the appellant himself used drug-coded language, asking the undercover officer what he was looking for, namely, what drugs he wanted to purchase. It was in response to the appellant’s invitation that Officer Canepa placed his order for “A GR of H”. [35] After Officer Canepa dropped the inquiry following the exchange with the male who said he did not know who he was, the appellant renewed communications with Officer Canepa for the express purpose of having to “check” him, again exhibiting the typical wariness of drug dealers against dealing with undercover police. Having satisfied himself that the connection was legitimate, the appellant then reiterated his offer to sell drugs to Officer Canepa, asking “What do you need?”, drug-coded language asking what drugs he wished to purchase. It was in response to this repeated offer to purchase that Officer Canepa asked for “One”, again, drug-coded language which the appellant understood because he indicated he would call Officer Canepa back to tell him where to meet him. [36] As the trial judge correctly found, these circumstances did not constitute prohibited random virtue-testing, which the law of entrapment seeks to protect against because it “violates the principle that it is wrong for the police to manufacture crime” and prey “on the weakness of human nature to entice individuals into offending”: Ahmad , at paras. 27-28. In the circumstances of this case, it cannot be said that the appellant was tempted into committing a crime when he otherwise would not have: Ahmad , at para. 28. Rather, after several conversations and careful probes to satisfy himself of the caller’s legitimacy as a drug purchaser, the appellant made an offer to sell drugs to Officer Canepa, which was accepted. Except for the initial call to “Prince”, all other communications were initiated by “Prince”, or by the other male individual who contacted Officer Canepa. As Officer Canepa formed a reasonable suspicion about the appellant’s trafficking activities before he created opportunities for the appellant to break the law, his actions fell well within the boundaries set by the Supreme Court in Ahmad . [37] The onus rests on the appellant to establish entrapment on a balance of probabilities: Ghotra , at para. 18, citing Ahmad , at para. 31. In my view, he has failed to meet this onus. I see no basis for a finding of entrapment in this case and would uphold the trial judge’s ultimate conclusion that there was none. Disposition [38] For these reasons, I would dismiss the appeal. Released: August 6, 2021 “M.T.” “L.B. Roberts J.A.” I agree M. Tulloch J.A.” “I agree Gary Trotter J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: Teitler v. Dale, 2021 ONCA 577 DATE: 20210819 DOCKET: M52684 van Rensburg J.A. (Motion Judge) BETWEEN Elise Teitler Applicant (Responding Party) and Lawrence Dale Respondent (Moving Party) Lawrence M. Dale, acting in person Martha McCarthy, for the responding party Heard: August 5, 2021 by videoconference REASONS FOR DECISION [1] The moving party, Lawrence Dale, seeks an extension of time to appeal the vexatious litigant order of Diamond J. dated July 5, 2019. [2] The application judge’s order was made in two proceedings: FS-15-400682, a family law proceeding commenced by Ms. Teitler in 2015 [1] , and CV-19-00618979-0000, a proceeding commenced by Ms. Teitler by application pursuant to s.140 of the Courts of Justice Act , R.S.O. 1990, c. C.43. [3] Diamond J.’s order found Mr. Dale to be in contempt of certain provisions of eight orders of the Superior Court in the family law proceedings, struck out his Answer in those proceedings, and permitted Ms. Teitler to schedule a date for an uncontested trial. The order, at paras. 4 and 5, also declared Mr. Dale to be a vexatious litigant and precluded Mr. Dale from continuing in the family law proceeding and from continuing or instituting other proceedings without leave of a judge of the Superior Court of Justice, with the exception of CV-09-374829, which is an action between Mr. Dale and the Toronto Real Estate Board. [4] The uncontested trial in the family law proceedings took place on September 27, 2020 before Kiteley J., and resulted in a final order respecting child and spousal support and parenting of the parties’ children, and a restraining order, each dated December 17, 2020. [5] Until recently, Mr. Dale did not appeal or seek leave to appeal any part of Diamond J.’s order. [6] If he is granted an extension of time to appeal, Mr. Dale seeks a stay. Among other things, he contends that he wants to bring proceedings involving the children and to appeal the order of Kiteley J. Extension of Time [7] This court can extend time to appeal under r. 3.02 of the Rules of Civil Procedure when it considers it just to do so. The onus is on the moving party to establish the grounds for an extension. While each case depends on its own circumstances, the following factors are relevant: (1) whether the moving party formed an intention to appeal within the relevant period (i.e. 30 days from the date of the order); (2) the length of, and explanation for, the delay in appealing; (3) prejudice to the responding party; and (4) the merits of the proposed appeal. The overarching principle is whether the “justice of the case” requires the extension of time: Howard v. Martin , 2014 ONCA 309, at para. 26. Where, as here, the order affects children, the justice of the case is reflected in the best interests of the children: Denomme v. McArthur , 2013 ONCA 694, at para. 7. [8] Mr. Dale contends that the fact that court staff would not accept what he attempted to file with this court, which he says was a mistake, should be determinative of this motion. In the alternative, he asserts that he has met each element of the test set out above, and that the overall justice of the case strongly favours an extension of time. [9] I have concluded that it is not in the interests of justice to grant the requested extension of time. [10] I begin by observing that Mr. Dale did not put proper evidence before this court. His affidavits dated July 26, 2021 and August 3, 2021 are not sworn or affirmed before a commissioner of oaths, which Mr. Dale explains is because of the “COVID situation”. There is nothing in the  “Consolidated Practice Direction Regarding Proceedings in the Court of Appeal During the COVID-19 Pandemic” or the Rules of Civil Procedure that would exempt Mr. Dale from the requirement of providing a properly sworn or affirmed affidavit. Although Mr. Dale is self-represented in these proceedings, he was qualified as a lawyer and he is an experienced litigant. I do not accept his explanation for failing to provide evidence in the proper form. Although I could have dismissed his motion on this basis alone, I am dismissing the motion after considering the relevant factors in light of the record before me, including the unsworn affidavits. [11] The first factor is whether Mr. Dale had a bona fide intention to appeal within the relevant time. The 30 days to appeal ran from the date of the order (July 5, 2019). Contrary to Mr. Dale’s submission, the time did not run from the date the order was issued and entered (October 1, 2019): Byers (Litigation Guardian of) v. Pentex Print Master Industries Inc . (2003), 62 O.R. (3d) 647 (C.A.), at para. 31. [12] I do not believe Mr. Dale’s assertion that he had the intention to appeal the order of Diamond J. within 30 days of the date the order was made, or even, allowing for some delay in the order coming to his attention, within 30 days of when he knew about the order (which he says was in August 2019, although the responding party has provided evidence that the endorsement of Diamond J. was sent to one of the email addresses he had provided to the court on July 8, 2019). If he had the intention to appeal at the time, I would have expected Mr. Dale to have served a notice of appeal or to have had some other contemporaneous communication with Ms. Teitler’s counsel to advise that he was seeking to appeal the vexatious litigant order. The absence of this kind of evidence is telling. It is more likely, as I will explain, that Mr. Dale only formed the intention to appeal the vexatious litigant order after he attempted to appeal Kiteley J.’s order and was informed by the court that he required leave of a Superior Court judge to do so. This was more than a year after Mr. Dale had been declared a vexatious litigant. [13] I turn to the next factor: the length of and explanation for Mr. Dale’s delay in seeking an extension of time. [14] This motion was brought some two years after the order Mr. Dale is seeking to appeal. Mr. Dale claims that he is not responsible for any of the delay; rather, he blames the Court of Appeal staff for the delay. Without indicating precisely when, Mr. Dale asserts that he “immediately” contacted the Court of Appeal intake office to bring his motion to extend the time for filing the notice of appeal, but that court staff told him they would not accept any filing of his notice of motion because he is a vexatious litigant. He says that court staff maintained this position until recently. Mr. Dale also states that he was prevented from bringing his motion because only urgent matters could be brought to this court as a result of the COVID-19 pandemic. [15] I do not accept Mr. Dale’s explanation for the lengthy delay of more than two years between the order he seeks to appeal and his motion to extend time to appeal: essentially that court staff and the pandemic prevented him from proceeding with his motion. [16] First, there is nothing to substantiate Mr. Dale’s assertion that court staff prevented him from bringing a motion to extend time to appeal the vexatious litigant order from the time the order was made, and for the following 20 months. In oral argument Mr. Dale explained the absence of any emails or other written evidence during this period by asserting that all of his communications with the court were verbal. I simply do not believe Mr. Dale on this point. [17] Mr. Dale has reproduced portions of an email exchange with court staff on January 21 and 22, 2021. The emails make it clear that he had tried to file a notice of appeal from the final order of Kiteley J., and was prevented from doing so without an order of a Superior Court judge due to the vexatious litigant order. He took the position that he was entitled to appeal the order notwithstanding the vexatious litigant order, which is wrong at law. While a vexatious litigant is entitled to appeal the order declaring him vexatious without leave, he is not permitted to appeal any other decision or order without leave of a Superior Court judge: Kallaba v. Bylykbashi (2006), 265 D.L.R. (4th) 320, at paras 29-33, leave to appeal refused, [2006] S.C.C.A. No. 144. It appears that when the court refused to accept his notice of appeal for filing, Mr. Dale realized that he would need to successfully appeal the order of Diamond J., if he were to appeal the order of Kiteley J. without an order of a Superior Court judge. This occurred in January 2021. [18] Mr. Dale relied on  an email exchange with court staff on July 27, 2021. On that occasion a staff member refused his filing because he was a vexatious litigant. Mr. Dale sorted out the misunderstanding with the Deputy Registrar, and an hour later he received an email confirming he could file his motion. As Mr. Dale emphasized in his oral argument, he is a “persistent” litigant. If, as he claims, he had been prevented by the court from filing a motion to extend time to appeal the vexatious litigant order since the fall of 2019, no doubt he would have sorted out the issue, as he quickly did in July of this year. [19] Mr. Dale also relies on the COVID-19 pandemic to explain his delay in moving for an extension of time. Contrary to Mr. Dale’s claim that he was told that he could not bring his motion because the court was accepting only urgent matters, this court continued to sit on appeals and motions in 2021, including motions to extend time to appeal. The timelines for serving and filing documents in this court were extended between March 16, 2020 and July 15, 2020, and regular timelines were reinstated effective July 16, 2020. There is nothing in the court’s COVID Practice Directions that would have prevented Mr. Dale from pursuing a motion to extend time to appeal the vexatious litigant order. [20] Mr. Dale has not provided a reasonable explanation for his lengthy delay in seeking an extension of time to appeal the vexatious litigant order. [21] I turn to consider the merits of the appeal. Compelling merits may tip the balance in cases where, as here, other factors militate against an extension of time: see Howard , at para. 36. [22] Mr. Dale’s principal ground of appeal is that he was denied a fair hearing, due process and natural justice when the vexatious litigant order was granted in the context of a combined motion and application hearing. He also asserts that the application judge erred in law and fact because the underlying facts do not support the vexatious litigant finding. I will consider each ground in turn. [23] With respect to the procedure on a vexatious litigant application Mr. Dale relies on two cases: Lukezic v. Royal Bank of Canada , 2012 ONCA 350 and Kallaba . In Lukezic this court agreed with the dissenting reasons of Lang J.A. in Kallaba that a vexatious litigant order shall only be made on application. Mr. Dale says that, although an application was issued, in substance what was heard was not an “application”. Essentially, I understand his argument to be one of procedural fairness. He points to para. 16 of Lukezic where the court stated: an application provides the procedure best suited to the determination of whether a litigant is vexatious. In large measure this is because of the due process protections which that procedure accords to the person targeted, such as personal service, adjudication by a judge, a directed trial of an issue if necessary, and the right of appeal without the need for leave. [24] Mr. Dale was afforded all of the “due process” protections referred to in this passage. While a “due process” argument might be made in another case on a different record, I cannot see any prospect of it succeeding in this case. Mr. Dale had notice that a vexatious litigant order was sought, and it was pursued by application. Although he had arranged the court attendance and knew its purpose, Mr. Dale did not attend when Akbarali J. provided directions for the hearing of the application together with Ms. Teitler’s motion for contempt and to strike his Answer. As the case management judge, Akbarali J. was familiar with the proceedings and the parties and she made an order that was entirely within her discretion. She set a timetable for the delivery of the materials and for the hearing by Diamond J., who had been appointed as the judge to hear motions in the family law proceedings. Mr. Dale complied with the timetable when he delivered his responding materials on time. He attended court on the appointed date, however he left the hearing after his request for an adjournment was denied. As Diamond J. explained, Mr. Dale sought an adjournment in order to bring a motion that was based on a conspiracy theory and that he had threatened to bring for months, if not arguably, years. [25] Mr. Dale’s draft notice of appeal also asserts that Diamond J. erred in law and fact in making the vexatious litigant order. However, Mr. Dale did not press this argument in the motion before me, except to suggest that Diamond J. was wrong to rely on previous orders of Faieta J. and Akbarali J. Mr. Dale in fact made numerous attempts to appeal or set aside various orders in the family law proceedings, including the orders of Faieta J. as the previous case management judge: Dale v. Teitler , 2018 ONSC 6861 (Div. Ct.). Diamond J. made it clear that, although he had no reason to doubt the correctness or appropriateness of Akbarali J.’s findings of fact, he had reviewed the Continuing Record, and had reached the same conclusions. Diamond J. referred to Mr. Dale’s avoidance of his court-ordered obligations, his pursuit of unattainable remedies based on a conspiracy theory that stretch[ed] the boundaries of reality, his commencement of civil and criminal proceedings against Ms. Teitler, her lawyers, judges and other professionals, the motions he had brought and abandoned, his attempts to re-litigate issues that had been decided against him, and ultimately his “total disregard for the Court and its resources”: at paras. 43, 44. Diamond J.’s reasons, which are detailed and comprehensive, reveal no reversible error. [26] Since I have concluded that the proposed appeal has no arguable merit, this factor weighs against granting an extension of time. [27] Finally, I turn to consider prejudice to Ms. Teitler and the children, which informs my consideration of the justice of the case. Mr. Dale contends that there will be little prejudice to Ms. Teitler because he is willing not to deal with property and support issues. His willingness not to deal with such issues is a hollow offer: Mr. Dale is in default of the outstanding orders for support and equalization. He has paid very little child support in the last five years. The child support arrears are significant. [28] I accept Ms. Teitler’s submission that to permit Mr. Dale to proceed at this stage with his appeal would severely prejudice her interests and those of the children. In addition to the outstanding support and equalization payment obligations, Mr. Dale is in default of numerous costs awards. If Mr. Dale’s appeal proceeds, she will have to incur further legal costs, without hope of recovering such costs from Mr. Dale. As for the children, although Mr. Dale has not complied with many of the orders in the family law proceeding, Ms. Teitler describes the current situation as relatively stable, and not disregulated. And, as Ms. Teitler’s counsel pointed out, there is a path forward that is available to Mr. Dale in relation to the children – he could comply with the provisions of the orders of Faieta J. dated August 31, 2018 and Kiteley J. dated December 17, 2020 respecting the children. [29] For these reasons the extension of time is refused. Stay Pending Appeal [30] Having refused the extension of time for Mr. Dale to appeal the vexatious litigant order, it is unnecessary to address the question of a stay. I will briefly explain why I would have dismissed the motion for a stay if I had granted the extension. [31] A stay of proceedings is a discretionary order made when the court is persuaded that (1) the appeal has arguable merit; (2) there would be irreparable harm to the moving party if the stay were refused; and (3) the balance of convenience favours a stay. Again, the overarching consideration is whether the interests of justice call for a stay: BTR Global Opportunity Trading Limited v. RBC Dexia Investor Services Trust , 2011 ONCA 620, at para. 16. [32] I have already determined that the proposed appeal is without merit. Mr. Dale has put forward no evidence that would persuade me that there would be irreparable harm if the stay were refused. I accept the evidence that a stay would be harmful to the children and to Ms. Teitler. The balance of convenience in any event weighs heavily against a stay. The record confirms that Mr. Dale has engaged in meritless and vexatious litigation, while at the same time disregarding the procedures of the court. He has ignored court orders respecting parenting and support issues, including orders restricting his contact with the children. To stay the vexatious litigant order pending appeal would only permit and encourage Mr. Dale to continue such harmful conduct while an appeal is pursued. Disposition [33] For these reasons the motion is dismissed. Ms. Teitler is entitled to her costs. She has asked for the opportunity to make written submissions. The court will receive costs submissions as follows: from the responding party on or before August 27, 2021, and from the moving party on or before September 3, 2021, with no right of reply. Costs submissions shall be limited to three pages per side, exclusive of the moving party’s bill of costs. “K. van Rensburg J.A.” [1] FS-15-400682 is subject to a sealing order in the Superior Court made December 17, 2020 by Kiteley J.
COURT OF APPEAL FOR ONTARIO CITATION: Advanced Farm Technologies-JA v. Yung Soon Farm Inc., 2021 ONCA 569 DATE: 20210817 DOCKET: C68506 Feldman, Paciocco and Coroza JJ.A. BETWEEN Advanced Farm Technologies-JA, Limited, carrying on business as Advanced Farm Technologies, JA. Ltd., and Advanced Farm Technologies, Jamaica Ltd. Plaintiff (Respondent) and Yung Soon Farm Inc. , Michael Chung, Walter Chung, and Stephen Chung Defendants ( Appellant ) James Chow, for the appellant Mahdi M. Hussein, for the respondent Heard: March 9, 2021 by videoconference On appeal from the order of Justice Janet Leiper of the Superior Court of Justice, dated June 19, 2020, with reasons at 2020 ONSC 3831. Feldman J.A.: [1] The appellant was sued under the simplified procedure for failing to pay the agreed price of US$48,238.49 for papayas ordered and delivered. After having default judgment set aside, the appellant defended the action and instituted a counterclaim for $5,000,000 in damages for breach of contract and $1,000,000 in punitive damages, taking the action out of the simplified procedure. After that, the appellant effectively absented itself from the litigation, with the result that its defence and counterclaim were eventually struck out by the motion judge without leave to amend. The appellant appeals that decision. [2] The motion judge’s decision is well-supported by the record and the law. I would dismiss the appeal. A. History of the Action [3] The statement of claim was served on all parties in December 2017, no statement of defence was filed, and default judgment was obtained in January 2018. In August 2018, the defendants had the default judgment set aside on the condition that they pay costs and deliver a defence within 30 days. After the plaintiff discontinued its action against the individual directors, the appellant delivered its statement of defence along with a counterclaim for $5 million for breach of contract and $1 million punitive damages, which had the effect of converting the action from the simplified procedure to the ordinary stream. After the plaintiff moved to strike portions of the appellant’s pleading, the appellant delivered an amended statement of defence and counterclaim in January 2019. [4] The plaintiff delivered its affidavit of documents on June 7, 2019, then made numerous attempts thereafter to move the litigation forward, with no response from appellant’s counsel except to cancel the scheduled examinations for discovery and to consent to the timetable imposed by Master Short. I am setting out the details, as did the motion judge, because understanding the full extent of the appellant’s conduct of the litigation is necessary to understand and review the decision of the motion judge to strike the defence and counterclaim. The following are the details: a. July 11, 2019: Plaintiff’s counsel's office wrote to appellant’s counsel in an attempt to schedule examinations for discovery. Counsel to the plaintiff advised appellant's counsel that, "We have tried contacting your office numerous times, and only reach your voicemail. You have not returned any of our recent voicemails." b. July 24, 2019: Plaintiff’s counsel’s office set dates for examination for discovery, as he had not heard from appellant's counsel nor had he received the appellant’s affidavit of documents. c. August 12, 2019: Four days before the scheduled examinations for discovery, appellant's counsel advised that his client was unable to attend and asked the plaintiff to provide further dates. Appellant’s counsel did not advise when his client would provide its affidavit of documents. d. August 27, 2019: Plaintiff's counsel made a further request for the appellant's affidavit of documents and provided available dates for examinations between September and October 2019. Plaintiff's counsel advised that if appellant's counsel did not respond, he would schedule a motion to compel the appellant's affidavit of documents and would issue a further notice of examination. Appellant's counsel did not respond to this correspondence. e. September 13, 2019: Plaintiff's counsel unilaterally set an examination for discovery of the appellant for October 17, 2019 and sent correspondence to the appellant's counsel advising of this date. Appellant's counsel did not respond to this correspondence. f. September 23, 2019: Plaintiff's counsel served a motion record on the appellant's counsel with a return date of October 2, 2019, seeking the appellant's affidavit of documents and an order for the appellant to attend the scheduled examination for discovery. The appellant filed no responding materials for this motion. Appellant's counsel did not respond to this correspondence. g. October 2, 2019: The court imposed a timetable on consent, and ordered costs of $1500 payable to the plaintiff in 60 days. The order required the appellant to deliver its unsworn affidavit of documents by November 1, 2019. The appellant did not comply with the timetable. The appellant did not pay the costs ordered within 60 days. h. November 4, 2019: Plaintiff's counsel sought to formalize the October 2, 2019 endorsement. In that letter, plaintiff’s counsel sought the status of the appellant's affidavit of documents. Plaintiff's counsel also put appellant’s counsel on notice that he would move to strike the defence. Appellant's counsel did not respond to this correspondence. i. March 6, 2020: Plaintiff's counsel enclosed a notice of examination in aid of execution seeking payment for the outstanding costs award from the October 2, 2019 motion. Plaintiff's counsel also sought dates for a motion to strike the appellant's defence for failing to abide by the terms of the October 2, 2019 endorsement. This letter asserted that, "It is clear that your client has no interest in litigating the action." Appellant's counsel did not respond to this correspondence. j. March 16, 2020: Plaintiff's counsel wrote to inform appellant's counsel that due to the COVID-19 pandemic the court would not schedule its motion. Plaintiff's counsel sought a virtual mediation in accordance with Rule 24 of the Rules of Civil Procedure , R.R.O. 1990, Reg. 194 . Appellant's counsel did not respond to this correspondence. k. May 12, 2020: Plaintiff’s counsel informed appellant's counsel via email of the chambers appointment returnable on May 15, 2020. Appellant's counsel did not respond to this correspondence. l. May 13, 2020: Plaintiffs counsel provided appellant's counsel with a proposed schedule for the litigation ahead of the chambers appointment. Appellant's counsel did not respond to this correspondence. m. May 15, 2020: Myers J. convened a chambers appointment. Appellant's counsel did not attend. The motion to strike the defence was scheduled on that date and timelines were set for delivery of motion materials. [5] The order under appeal was made on a motion in writing dated June 15-19, 2020, which was scheduled by Myers J. at the May 15, 2020 chambers appointment that appellant’s counsel did not attend. After the plaintiff had served its motion record and factum, on June 11, 2020, the appellant sent a cheque for the outstanding costs due to the plaintiff with a letter apologizing for the delay. Finally, on June 12, 2020, the appellant delivered its affidavit of documents with a letter that apologized for the delay, proposed mediation, and asked for the plaintiff’s position on posting security for costs. An affidavit of an officer of the appellant stated that he believed the appellant had a strong case, and that the appellant intended to proceed expeditiously and would participate in mediation, but provided no explanation for any of the delays or for its failure to abide by the order of Master Short. B. The Motion Judge’s Analysis [6] The motion judge referred to Rule 60.12 of the Rules of Civil Procedure , which allows the court to sanction a party for failure to comply with an interlocutory court order, including by staying the proceeding, dismissing the proceeding, striking out a defence, or making such other order as is just. [7] The motion judge referred to the 2009 decision in Dew Point Insulation Systems Incorporated v. JV Mechanical Limited , 259 O.A.C. 179, where Bellamy J. summarized the purpose and approach to Rule 60.12 motions: to sanction repeated procedural breaches while bearing in mind that striking the defence is a last resort remedy to be used when there has been utter disregard for court orders or where there is prejudice to the other party. Applying those principles, the motion judge concluded that the appropriate remedy was to strike the defence and counterclaim, based on five aspects of the record. 1.       The appellant took no step to move the litigation forward without a court order. 2.       The appellant breached the consent order of Master Short by failing to deliver the affidavit of documents or the costs on time. 3.       The appellant did not remedy the breaches until after the plaintiff had scheduled a compliance motion, and delivered a motion record and factum. 4.       The appellant displayed a months long pattern of failing to respond to correspondence. 5.       The appellant asserted that the action was vexatious, yet it took no steps to deal with the action as such, and instead responded with a $6 million counterclaim that belied the suggestion that the claim was vexatious. [8] The motion judge acknowledged that the plaintiff was seeking an extreme remedy but concluded that it was warranted in all the circumstances. By ignoring Master Short’s order, the appellant showed an utter disregard for court orders “in the overall context of this litigation”, as outlined above. C. Issues [9] The appellant’s position on appeal is that the motion judge erred by: 1) failing to give the appellant a last chance to comply with court orders; 2) failing to acknowledge that by the return of the motion the appellant was no longer in breach of Master Short’s order; 3) failing to consider the merits of its defence; 4) failing to consider that the action was at the early stages and should have been decided on its merits; and 5) failing to consider that there was no evidence of prejudice to the plaintiff. D. Analysis [10] This court has recently had the opportunity to address the issue of when it is appropriate to strike a pleading under Rule 30.08(2) of the Rules of Civil Procedure for non-compliance with document disclosure obligations in Falcon Lumber Limited v. 2480375 Ontario Inc. (GN Mouldings and Doors) , 2020 ONCA 310. In that case, the court summarized the applicable principles, at para. 57, as follows: To summarize, several principles guide the exercise of a court’s discretion to strike out a party’s claim or defence under r. 30.08(2) for non-compliance with documentary disclosure and production obligations: · The remedy is not restricted to “last resort” situations, in the sense that it must be preceded by a party breaching a series of earlier orders that compelled better disclosure or production. However, courts usually want to ensure that a party has a reasonable opportunity to cure its non-compliance before striking out its pleading; · A court should consider a number of common sense factors including: (i) whether the party’s failure is deliberate or inadvertent; (ii) whether the failure is clear and unequivocal; (iii) whether the defaulting party can provide a reasonable explanation for its default, coupled with a credible commitment to cure the default quickly; (iv) whether the substance of the default is material or minimal; (v) the extent to which the party remains in default at the time of the request to strike out its pleading; and (vi) the impact of the default on the ability of the court to do justice in the particular case; · The merits of a party’s claim or defence may play only a limited role where breaches of disclosure and production obligations are alleged as one would reasonably expect a party with a strong claim or defence to comply promptly with its disclosure and production obligations; · In considering whether an order to strike out a pleading would constitute a proportional remedy in the circumstances, a court should consider: o the extent to which the defaulting party’s conduct has increased the non-defaulting party’s costs of litigating the action, including the proportionality of those increased costs to the amount actually in dispute in the proceeding; and o to what extent the defaulting party’s failure to comply with its obligation to make automatic disclosure and production of documents has delayed the final adjudication of the case on its merits, taking into account the simplicity (or complexity) of the claim and the amount of money in dispute. [11] Because the default in this case involved the appellant’s failure to produce an affidavit of documents, the principles articulated by the court in Falcon are clearly relevant and should apply accordingly. In this case, the appellant also breached a court order, which adds significantly to the impugned conduct. In addition, counsel, on behalf of the appellant, failed to respond to normal communications from opposing counsel with no explanation. [12] With respect to the “last resort” issue raised by the appellant, there are a number of responses. First, as Brown J.A. explains in Falcon , a court may strike out a pleading if that is the remedy warranted by all the circumstances, as long as the party has had a reasonable opportunity to cure any non-compliance. Second, as the plaintiff points out, had the appellant attended the chambers appointment with Myers J., it would have had its last chance to comply with Master Short’s order before going to the motion where the pleading was struck. Third, in this case, the appellant shunned the many overtures made by plaintiff’s counsel to comply and move forward with the litigation. Instead, the appellant ignored every overture after the consent order of Master Short. [13] With respect to taking into account the potential merit of the appellant’s defence, Brown J.A. points out that it plays only a limited role in the court’s analysis because if a party has a strong position on the merits, one would expect them to produce their documents to demonstrate that strength. [14] In applying the common sense factors set out by Brown J.A., · the appellant’s failure to comply with Master Short’s court order appears to have been deliberate as so many chances were given to comply and there has been no explanation for its inaction; · the appellant’s failure to comply is clear; · although there has now been very late compliance with Master Short’s order and a statement in its officer’s affidavit that the appellant intends to proceed expeditiously with the litigation, without an explanation for its prior inaction, there is no basis on which to accept its assurance; · the substance of the default was significant; · the appellant complied with Master Short’s order mere days before the motion to strike, meaning that the appellant was in default when the motion was commenced and even after the chambers appointment before Myers J.; and · the impact of the default was that the litigation could not proceed. [15] Further, there was clearly prejudice to the plaintiff, through the ongoing cost of chasing the appellant to fulfill its procedural obligations and to participate in the litigation, as required by the Rules of Civil Procedure . [16] Ultimately the motion judge concluded that the extreme remedy of striking the appellant’s pleadings was warranted, noting that she did not grant it lightly. She considered the appellant’s compliance with the order of Master Short, but noted that it was done “on the last possible day”. She also considered the steps taken by the plaintiff and the responses of the appellant “in the overall context” and concluded that the remedy requested by the plaintiff was the appropriate one. [17] The motion judge was entitled to conclude that notwithstanding the appellant’s eventual, months late delivery of the costs and affidavit of documents ordered by Master Short, its history of an overall failure to participate in the litigation process in accordance with the Rules called for the extreme remedy of striking the appellant’s statement of defence and counterclaim.  I see no error in the motion judge’s approach. I would not interfere with her decision. E. Conclusion [18] I would therefore dismiss the appeal with costs, fixed in the agreed amount of $10,000 inclusive of disbursements and HST. Released: August 17, 2021 “K.F.” “K. Feldman J.A.” “I agree. David M. Paciocco J.A.” “I agree. S. Coroza J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: McEwen (Re), 2021 ONCA 566 DATE: 20210812 DOCKET: C67520 Juriansz, Huscroft and Jamal JJ.A. In the Matter of the Bankruptcy of Robert Morris Jr. McEwen and Caroline Elizabeth McEwen, of the Town of Perth, in the County of Lanark, in the Province of Ontario BETWEEN Barbara Lynn Carroll by Her Litigation Guardian Shannon Luknowsky, Shannon Luknowsky, Jeffrey Carroll and Shannon Luknowsky as Executor for the Estate of Lorne Carroll Plaintiffs (Respondents) and Robert McEwen and Caroline McEwen Respondents and Traders General Insurance Company , improperly described in Superior Court of Justice Court File Number CV-17-00073740-0000 as Aviva Canada Inc. Person Affected by an Order Obtained on Motion Without Notice ( Appellant ) Harvey Chaiton and Alan Rachlin, for the appellant Joseph Y. Obagi, for the respondents Heard: May 14, 2021 On appeal from the order of Justice Stanley J. Kershman of the Superior Court of Justice, dated September 26, 2019, with reasons reported at 2019 ONSC 5593. Juriansz J.A. : A. INTRODUCTION [1] This appeal is brought by the defendant to an action assigned to the respondents by a trustee in bankruptcy under s. 38 of the Bankruptcy and Insolvency Act , R.S.C. 1985, c. B-3 (“BIA”). As is often observed, the BIA is a complete code governing the bankruptcy process. Parliament enacted the BIA to provide summary and expeditious procedures to determine the questions that arise in bankruptcy with a minimum of cost. Generally, the defendant to a s. 38 assigned action lacks standing in the bankruptcy process to contest the s. 38 order and resulting assignment and thus avoid defending the assigned action. Where such defendants wish to avoid the risk and expense of responding to assigned lawsuits that they consider meritless, the civil rules of practice provide summary procedures to which they can resort. [2] In this case, Traders General Insurance Co. (“Traders”) appeals, with leave, from the order of Kershman J. dated September 26, 2019, dismissing its motion to set aside his order dated December 21, 2016, pursuant to s. 38 of the BIA, made in the bankruptcy of Robert McEwen and Caroline McEwen. The s. 38 order authorized the respondents (the “Carrolls”) to commence an action against Traders for alleged bad faith in failing to settle the Carrolls’ personal injury claims against the McEwens within the policy limits. After the s. 38 order was made, the trustee assigned its interest in the action to the Carrolls, as contemplated by s. 38(2). [3] I conclude that Kershman J. correctly found Traders did not have standing to challenge the s. 38 order, and consequently, I would dismiss the appeal. B. Facts (1) The personal injury action [4] On March 28, 2009, Barbara Carroll was injured by a motor vehicle driven by Robert McEwen and owned by Caroline McEwen. The McEwens were insured by Traders [1] for $1 million. On March 25, 2011, the Carrolls commenced an action against the McEwens and their own insurers, Aviva Canada Inc. and Pilot Insurance Co. Some months later, on September 15, 2011, the McEwens filed for bankruptcy, automatically staying the Carrolls’ personal injury action. The sworn statement of affairs that the McEwens filed in their bankruptcy listed the Carrolls’ personal injury claim as an unsecured claim for $375,000. [5] On June 18, 2012, the McEwens received their automatic absolute discharge from their bankruptcy, and subsequently, the trustee was discharged. [6] On October 12, 2012, the Carrolls obtained an order lifting the stay of proceedings pursuant to s. 69.4 of the BIA, and granting leave to the Carrolls “to continue to prosecute their claims against the bankrupts, ROBERT MCEWEN and CAROLINE MCEWEN.” [7] The Carrolls claim they made an offer to settle the action within policy limits on the eve of the trial that began in September 2015, and that the offer was not accepted by Traders. The trustee wrote to the McEwens’ counsel stating that the insurer, by refusing the offered settlement, had placed its own financial interests in priority to that of its insureds and accordingly was acting in bad faith. The trustee gave notice to Traders “that in the event a Judgment is granted against Robert and Caroline McEwen for any sum greater than the limits of the liability policy, we hold Aviva fully liable for the excess amount.” [8] After a six-week trial, the jury assessed Barbara Carroll’s pain and suffering in the amount of $300,000 and her future care costs in the amount of $3,600,000. The jury also awarded family law damages in the amount of $43,000. The jury found Barbara Carroll 38 percent contributorily negligent for the accident. With pre-judgment interest included, the trial judge’s formal judgment, dated September 19, 2016, found the McEwens liable to the Carrolls in the amount of $2,610,744.32 plus costs and post-judgment interest. The formal judgment also ordered the Pilot Insurance Company to pay $1 million of the judgment pursuant to the provisions of the OPCF 44R endorsement in the Carrolls’ own automobile insurance policy. The trial judge included a paragraph in the judgment limiting the McEwens’ personal liability. The paragraph provided: THIS COURT ORDERS AND AJUDGES that the judgment against the Defendants Robert McEwen and Caroline McEwen, personally, is limited to the limits of their insurance policy with the Aviva Insurance Company Canada in the amount of $1,000,000.00. [9] Finally, the trial judge made a conditional assignment order of Barbara Carroll’s future statutory accident benefits in favour of the insurer if the insurer paid the trial judgment in full, even though it exceeded the limits of coverage. The trial judge fixed costs of the action in the amount of $375,000, a sweeping reduction from the amount claimed of $795,616.09 because of the behaviour of the Carrolls’ counsel relating to a settlement offer made by the insurance companies, the lack of benefit to the Carrolls in pursuing the trial, and the behaviour of the Carrolls’ counsel that extended the trial: Carroll (Litigation guardian of) v. McEwen ,2016 ONSC 2075, 37 C.B.R. (6th) 70. The Carrolls’ appeal of the assignment order and the costs award was unsuccessful: Carroll v. McEwen , 2018 ONCA 902, 143 O.R. (3d) 641. (2) Proof of claim and s. 38 order [10] On October 11, 2016, the Carrolls filed a proof of claim in the McEwens’ estate for the amount of $624,349.01, which was the amount awarded by the trial judgment in excess of insurance coverage. The Carrolls also asked the trustee to advance a bad faith claim against Traders for its refusal to settle the action within the policy limits before trial. The trustee, after consulting with the Office of the Superintendent of Bankruptcy regarding the scope of s. 41(10) of the BIA, which provides a discharged trustee may perform duties “as may be incidental to the full administration of the estate”, advised the Carrolls in writing that it would accept the proof of claim as filed, that it would not take any action against the McEwens’ insurers, and that it would consent to a s. 38 BIA order allowing the Carrolls to take the action in their own name. (a) Section 38 [11] Section 38 of the BIA contemplates that the trustee may refuse or neglect to take a proceeding. Here, the trustee refused to take action with respect to any claim against Traders, stating the estate was without funds. In such situations s. 38 of the BIA allows a creditor to obtain a court order authorizing it to take the proceeding at its own expense and risk. Section 38(1) provides: Where a creditor requests the trustee to take any proceeding that in his opinion would be for the benefit of the estate of a bankrupt and the trustee refuses or neglects to take the proceeding, the creditor may obtain from the court an order authorizing him to take the proceeding in his own name and at his own expense and risk, on notice being given the other creditors of the contemplated proceeding, and on such other terms and conditions as the court may direct. [12] Upon such an order being made, s. 38(2) provides that the trustee shall assign and transfer to the creditor all their right, title, and interest in the proceeding including any document in support thereof. Section 38(3) provides that any benefit derived from the proceeding belongs exclusively to the creditor who instituted the proceeding to the extent of their claim, and that any surplus belongs to the bankrupt estate. (b) The Carrolls’ motion for a s. 38 order [13] The Carrolls applied for a s. 38 order. The supporting material for their motion included a lawyer’s affidavit alleging that Traders had acted in bad faith leading up to the trial by refusing to settle the personal injury claim within the policy limits. The exhibits to the affidavit included the Master’s order to continue, the Carrolls’ offer to settle the personal injury action, the trial judge’s judgment in the amount of $2,610,744.32, the Carrolls’ proof of claim, a letter from the trustee accepting the proof of claim, and the trustee’s consent to the s. 38 order. [14] The Carrolls served the motion materials on the trustee and the other creditors of the estate. They did not serve Traders. The motion came before Kershman J., who granted the s. 38 order on December 21, 2016. The next day the trustee assigned the bad faith claim to the Carrolls. On August 25, 2017, the Carrolls issued the statement of claim against Aviva Canada, claiming damages for the breach of a duty of good faith in its dealings with the McEwens’ insurance coverage. [15] The statement of claim pleads that Aviva Canada provided the McEwens with liability insurance with policy limits of $1 million and that “[t]he rights, interests and liabilities [of the McEwens] … under their policy of insurance” were transferred to their trustee in bankruptcy. It goes on to plead that at the same time as Aviva Canada was defending the action against the McEwens, Aviva Canada (together with Pilot Insurance Company) was also the insurer of Barbara Carroll under her OPCF 44R Family Protection Endorsement with limits of $2 million. The theory of the bad faith action asserted in para. 16 of the statement of claim, is that Aviva Canada “improperly withheld the policy limits of the McEwens in an effort to leverage the settlement position and litigation strategy of Aviva Canada in its capacity as OPCF 44R insurer of Barbara Carroll.” [16] In the action, the Carrolls claimed damages of $624,349.01, which is the amount of the judgment in excess of the McEwens’ insurance coverage, and punitive and exemplary damages of $1 million. (c) Traders’ motion to set aside the s. 38 order [17] Traders moved to set the s. 38 order aside, indicating it was “improperly described” as Aviva Canada Inc. in the Carrolls’ bad faith action. Traders’ motion, brought in the Superior Court of Justice in Bankruptcy and Insolvency, sought an order: 1) reversing the decision of the trustee to allow the proof of claim filed by the Carrolls; 2) setting aside the s. 38 order granting the Carrolls leave to commence proceedings against Traders; and 3) setting aside the trustee’s assignment of the bad faith claim of action to the Carrolls. [18] The motion relied on ss. 37 and 187(5) of the BIA. Section 37 allows the bankrupt, any creditor, or an “aggrieved” person to apply to the court to confirm, reverse or modify an act or decision of the trustee. Section 187(5) allows the court to “review, rescind or vary” any order made by it under its bankruptcy jurisdiction. [19] Traders’ motion alleged: 1) the Carrolls’ proof of claim was improper and filed in violation of the trial judge’s reasons and judgment in the personal injury action; 2) the Trustee erred by accepting the Carrolls’ proof of claim; 3) the bad faith claim was not property belonging to the McEwens on the date of bankruptcy and did not devolve on the McEwens before their discharges from bankruptcy; 4) the Trustee had no interest in the bad faith claim and therefore could not consent to the s. 38 order and could not assign the bad faith claim to the Carrolls; 5) the trustee could not consent to the s. 38 order and assign the bad faith claim after it had been discharged; 6) the Carrolls had acted improperly in obtaining the s. 38 order without giving notice to Traders; and 7) that the Carrolls failed to make full disclosure in their s. 38 motion. [20] The motion was brought before Kershman J. who had granted the s. 38 order. (3) Kershman J.’s decision (a) Standing [21] The motion judge dismissed Traders’ motion on the basis that it lacked standing to attack the trustee’s acceptance of the proof of claim and assignment of the bad faith action, and lacked standing to challenge the s. 38 order. [22] Kershman J. held that Traders had failed to put forward any basis on which it was an “aggrieved party” under s. 37 of the BIA for the purpose of reviewing the trustee’s decisions to accept the proof of claim and to assign the bad faith claim to the Carrolls. On appeal, Traders does not seek to rely on s. 37. [23] Kershman J. also held that Traders did not have standing to review the s. 38 order of the court. He recognized that Traders’ motion fell within an exception to the general rule that defendants have no standing to challenge a s. 38 order because Traders had alleged misrepresentations and non-disclosure by the Carrolls. However, he made findings of fact rejecting these allegations. Therefore, Traders fell within the general rule and had no standing to challenge the s. 38 order. [24] After he concluded Traders’ motion failed for lack of standing, Kershman J. recognized he had no jurisdiction to deal with Traders’ arguments but went on to address them anyway “in consideration of the possibility that this Court is found to have otherwise erred in its standing analysis”. He indicated he would have rejected all of Traders’ arguments and dismissed its motion, even if it had had standing. C. Issues ON APPEAL [25] The relief claimed on appeal is narrower than what was sought before the motion judge. The amended notice of appeal seeks to appeal only from the dismissal of Traders’ motion to set aside the s. 38 order granting leave to the Carrolls to commence the bad faith action against Traders. The amended notice of appeal does not seek to set aside the trustee’s acceptance of the Carrolls’ proof of claim and his assignment of the bad faith claim to the Carrolls. Traders’ factum on appeal is consistent with the amended notice of appeal. The request for relief in the factum requests only an order setting aside the s. 38 order. [26] On appeal, Traders raises three issues: 1) Did the motion judge err in holding that Traders had no standing to challenge the s. 38 order? 2) Should the s. 38 order be set aside because the Carrolls were not creditors of the McEwens? 3) Should the s. 38 order be set aside because the bad faith claim was not property of the bankrupts and therefore could not be assigned by the trustee? D. Analysis (1) Traders had no standing to challenge the s. 38 order [27] In order for Traders to advance its second and third issues, it must establish that the motion judge erred in holding that it had no standing to challenge the s. 38 order. (a) The general rule is that a proposed defendant has no standing to challenge a s. 38 order [28] The established and strict rule, subject to “certain limited exceptions”, is that a defendant to an action assigned under s. 38 has no standing to contest the assignment: Shaw Estate v. Nicol Island Development Incorporated , 2009 ONCA 276, 248 O.A.C. 35, at paras. 44-45. But for the exceptions, the proposed defendant to an intended action has no right to notice of the application for a s. 38 order, no right to be heard at the application, and no right to review or appeal the order if it is made: Coroban Plastics Ltd., Re (1994), 10 B.C.L.R. (3d) 52 (C.A.) ( sub nom Formula Atlantic Financial Corp. v. Attorney General of Canada ) , at para. 8. The motion judge in Formula Atlantic , in explaining the defendant’s lack of standing, noted that a proposed defendant’s rights are not adversely affected by the transfer from trustee to creditor of whatever right of action may exist: “[t]he order … imposes no liability on the [proposed defendant] which did not previously exist, and leaves it free to assert in the action every defence it ever had”: at para. 8. [29] In Shaw , at paras. 43-45, Cronk J.A. reviewed the jurisprudence that establishes the general rule against standing and the limited exceptions. Cronk J.A. explained that the reason for the limited exceptions is “to ensure that the administration of justice and the integrity of the bankruptcy process had not been undermined”: at para. 48. Thus, the defendant will be granted standing to contest a s. 38 order when there are allegations of “abuse of process, non-disclosure, procedural irregularities, fraud and misrepresentation to the court”: at para. 48. As well, where the s. 38 order imposes obligations on the defendant to the assigned action, directs it to take specific steps in the litigation, or subjects it to costs, it will have standing to move to vary the order: Shaw , at para. 45. [30] The appropriate practice for a defendant claiming standing under the exceptions is to challenge the s. 38 order by bringing an application for review under s. 187(5) of the Act: Shaw , at para. 46. Section 187(5), however, does not give the defendant standing it does not otherwise have: Formula Atlantic , at para. 11. Unless an exception applies, the defendant to an action assigned under s. 38 cannot resort to s. 187(5) to attempt to review and rescind a s. 38 order authorizing a creditor to proceed with an action against it. [31] As noted already, in this court Traders does not contest the motion judge’s finding that there was no misrepresentation or lack of disclosure that would allow Traders standing. In this court Traders submits that the Shaw exceptions are not exhaustive. It submits the New Brunswick Court of Appeal recognized a different exception in Isabelle v. Royal Bank of Canada , 2008 NBCA 69, 336 N.B.R. (2d) 332. Traders submits that Isabelle stands for the proposition that a defendant has standing to challenge a s. 38 order on the basis of a “discrete and genuine issue of law that if decided in favour of the potential defendant would avoid the need to defend a lawsuit that never should have been commenced in the first place”: Isabelle , at para. 39. (b) Isabelle does not change the law [32] In my view Traders misconstrues what was said in Isabelle . On my reading, the New Brunswick Court of Appeal did not intend to create a new exception to the general rule that a proposed defendant has no standing to challenge a s. 38 order. Isabelle had nothing to do with standing to challenge a s. 38 order that has been issued. Isabelle addressed standing at the s. 38 motion itself. Isabelle established that where a proposed defendant is also a creditor, and thus has notice of another creditor’s s. 38 motion, a motion judge has a narrow discretion to grant that proposed defendant standing on the s. 38 motion if it “raises a discrete and genuine issue of law that if decided in favour of the potential defendant might well avoid the need to defend a lawsuit that should never have been commenced in the first place”: at para. 39 The circumstances of this case are different. [33] The issue in Isabelle was whether a bank, which was both the proposed defendant to the s. 38 assigned action and a creditor , should have been granted intervener status to oppose another creditor’s s. 38 motion. The proposed defendant had received the notice of motion because it was also a creditor. The court said a proposed defendant that is also a creditor was entitled to participate in the s. 38 proceedings “for the limited purpose of preserving his or her right to share rateably in the spoils of the action”: at para. 33. The court also recognized that a motion judge, when hearing a s. 38 motion, retained a narrow discretion to grant a proposed defendant who is also a creditor standing to raise a determinative discrete and genuine of law: at paras. 5, 39. [34] In my view, it is a mistake to divorce the court's comments from the context of the case and understand them as generally applicable. The court’s comment in Isabelle applies only to a proposed defendant who happens to be at the s. 38 hearing because it is also a creditor. The court was not suggesting that a party named as a defendant in a s. 38 order could be granted standing to move to set aside the order after it had been made. [35] It may well be more efficient to allow a defendant, who is participating in the s. 38 motion as a creditor, to raise a decisive discrete and genuine issue of law in opposing the motion, but there is no economy in allowing a defendant to commence a s. 187(5) process to review and rescind the s. 38 order after it has been made rather than raising the alleged decisive issues on a summary judgment motion in the assigned lawsuit itself. Isabelle alluded to the situation in which the proposed defendant had not been given notice of the s. 38 motion and suggested, “then presumably the potential defendant has the right to raise the issue on a preliminary motion once the lawsuit is filed”: at para. 38. [36] In my view, Isabelle provides no support for the contention that a defendant has the right to standing to review an issued s. 38 order, under s. 187(5), on the basis of a determinative discrete and genuine issue of law. [37] I conclude that Traders, having abandoned its allegations of misrepresentation and lack of disclosure, does not have standing to challenge the motion judge’s grant of the s. 38 order. E. Conclusion and Discussion [38] The conclusion that Traders has no standing to challenge the s. 38 order dictates that the appeal be dismissed, and this court is without jurisdiction to determine the other issues raised. The motion judge went on to address Traders’ other arguments “in consideration of the possibility that this Court is found to have otherwise erred in its standing analysis”. I will follow the same approach. (1) The s. 38 order should not be set aside on the basis that the Carrolls were not creditors of the McEwens [39] Traders argues that the Carrolls were not creditors of the bankrupt and therefore a s. 38 order could not be made authorizing them to proceed with the action. The wording of s. 38 makes clear that an order can only be made in favour of a “creditor”. [40] To support this argument, Traders submits: 1) the stay of proceedings against the McEwens had been lifted solely to enable the Carrolls to access the McEwens' insurance proceeds; 2) the trial judge had specifically limited the judgment against the McEwens to the limits of their insurance policy; and 3) the most the Carrolls could realize of the damages awarded was the amount of their liability and underinsured insurance coverage. [41] Traders’ submissions presume that whether the Carrolls were creditors was a “discrete and genuine issue of law” that would be determinative. That presumption is incorrect. The question whether the Carrolls were creditors of the bankrupt estate is a question of fact before the s. 38 motion judge. Cronk J.A. in Shaw , at para. 60, said, “For the purpose of a s. 38 motion, the court need only be satisfied on a balance of probabilities that the applicant is a creditor of the bankrupt”: at para. 60. See also DeGroote v. Canadian Imperial Bank of Commerce (1996), 45 C.B.R. (3d) 132 (Ont. Gen. Div.), at para. 7, aff'd (1998), 37 O.R. (3d) 651 (C.A.), leave to appeal to S.C.C. refused, [1998] S.C.C.A. No. 149; Alfano v. KPMG Inc . (1999), 7 C.B.R. (4th) 47 (Ont. Gen. Div.); and Polar Products Inc. v. Hongkong Bank of Canada (1992), 14 C.B.R. (3d) 225 (B.C.S.C.). [42] On appeal, a s. 38 motion judge’s conclusion that the applicant is a creditor would be reviewed as a finding of fact. For example, in Shaw , Cronk J.A. was satisfied there was “some evidence” the applicant was a creditor: at para. 62. In Shaw , there was an affidavit before the motion judge that the applicant was a creditor, and though the applicant’s proof of claim was not part of the affidavit, the bankrupt’s “sworn statement of creditors and liabilities, in which he acknowledged the [applicant] as one of his unpaid creditors at the date of bankruptcy, was attached as an exhibit to the affidavit”: at para. 61. [43] In this case, there was evidence before the motion judge that the Carrolls’ claim had been included on the McEwens’ sworn statement of affairs filed on the date of bankruptcy; that the Carrolls had a judgment against the McEwens in the amount of $2,610,744.32; and that their proof of claim for the damages in excess of the limits of the insurance policy had been accepted by the trustee (a determination of the trustee that is not contested on appeal). Based on this evidence, it is my view the motion judge could have been satisfied the Carrolls were creditors for the purpose of s. 38. (2) The s. 38 order should not be set aside on the basis that the bad faith claim was not property of the bankrupt [44] The second argument Traders makes is that the bad faith claim is not property of the bankrupts because it did not devolve on them before they were discharged as required by s. 67(1)(c) of the BIA. [45] Traders relies on this court’s decision in Dundas v. Zürich Canada , 2012 ONCA 181, 109 O.R. (3d) 521 . In that case the court held an action against an insurer for breach of its duty of good faith was not a claim “under” the insurance contract; rather, it was an extra-contractual claim that did not arise until the insurer’s liability to indemnify the insured was established. Traders argues that in this case its liability to indemnify the McEwens was not established until more than three years after the McEwens were discharged from bankruptcy in June 2012. Traders’ liability to indemnify the McEwens was established at the earliest when the jury rendered its verdict on October 30, 2015, or more likely when the trial judgment was issued on September 19, 2016. Traders argues that since the bad faith cause of action did not arise until after discharge it could not be property that devolved on the McEwens before their discharge. Thus, Traders submits the bad faith claim did not vest in the trustee and the trustee was unable to assign it. [46] The issue may raise a question of law that could be determinative, but it is not one that the s. 38 motion judge had to decide. This court has held, where the trustee consents to the s. 38 order, that the merits of the action are irrelevant at the s. 38 motion: Dominion Trustco Corp., Re (1997), 50 C.B.R. (3d) 84 (Ont. C.A.). [47] The reasons of the court are admittedly brief, but the court made clear it approved of the reasoning of the motion judge in that case. Cameron J. in that case, Dominion Trustco Corp., Re (1997), 45 C.B.R. (3d) 25 (Ont. Gen. Div.), said, at paras. 12-13: The purpose of s. 38 is to enable the creditors to protect their own interests where the Trustee declines, for economic or other reasons, or neglects to do so. The merits of the action have nothing to do with this purpose . If this was not a bankruptcy situation, there is nothing to prevent the holder of a right of action assigning it to another without regard to the merits of the right of action. The fact that the assignor is a bankrupt should not give the proposed defendant a right to attack the authorization based on the merits of the cause of action . [48] He opined, at para. 11, that the merit of the action was an issue for the trial of the action itself: an issue for the courts of the jurisdiction hearing the action. If this was a condition, the proposed defendant would, by way of appeal from a s. 38 order, have two opportunities to attack the proposed action on the basis that it is without sufficient merit to justify bringing the action. This makes no sense to me in the context of the BIA. It is better left for determination under the laws of the jurisdiction in which the proceedings will be brought. [49] Cameron J. did recognize that there may be a need for a s. 38 motion judge to inquire into the merits when the trustee opposes the granting of the order: Jolub Construction Limited, Re (1993), 21 C.B.R. (3d) 313 (Ont. Gen. Div.). [50] In upholding Cameron J.‘s decision this court stated that the registrar who granted the s. 38 order did not have “a duty to be assured that there was substance in a claim which is going forward by consent of the Trustee”: Dominion Trustco , at para. 1. [51] The Alberta Court of Appeal is the only other court of appeal to consider Dominion Trustco. In Smith v. Pricewaterhousecoopers Inc . , 2013 ABCA 288, the Alberta Court of Appeal distinguished Dominion Trustco on the basis that the motion in Dominion Trustco proceeded with the consent of the trustee: at para. 21. In Smith , the trustee had not consented and the court, citing a long line of authority, described establishing a prima facie case or showing the claim is not frivolous or vexatious or “obviously spurious” as a requirement for issuing a s. 38 order: at para. 19. [52] In Davidson (Re) , 2021 ONCA 135, 86 C.B.R. (6th) 1, this court followed Smith without citing Dominion Trustco . However, that was a case in which the s. 38 motion was made without the trustee’s consent. [53] Houlden and Morawetz, citing Zammit, Re (1998), 3 C.B.R. (4th) 191 (Ont. Gen. Div.), a decision that followed Dominion Trustco , say, “in Ontario, an applicant for a s. 38 order does not have to present a prima facie case”: Lloyd W. Houlden, Geoffrey B. Morawetz & Dr. Janis P. Sarra, Bankruptcy and Insolvency Law of Canada , 4th ed (Toronto: Thomson Reuters Canada, 2009, loose-leaf) Bankruptcy and Insolvency Act, at §86 (WL). That is so, at least in a case in which the trustee consents to the s. 38 order. [54] The s. 38 order, in this case, was issued with the trustee's consent. Thus, even if Traders had general standing in the bankruptcy process to contest the s. 38 order, its argument that the trustee had no property interest in the bad faith action would fail as it relates to the merits of the proposed action. [55] Taking the analysis one step further, even if the assessment of the merits of the proposed action was a prerequisite of the issuance of a s. 38 order, the bad faith claim, in this case, meets the “not spurious” standard. Upon the McEwens’ bankruptcy, their liability for the motor vehicle accident was transferred to the trustee and the bankrupt estate became liable for the damages caused by the accident. The McEwens’ contract of insurance was also transferred to the trustee and the bankrupt estate became the insured and entitled to the proceeds of the insurance to satisfy the estate’s liability to the Carrolls: Mercure v. Marquette & Fils Inc . , [1977] 1 S.C.R. 547, at p. 553; Perron-Malenfant v. Malenfant (Trustee of) , [1999] 3 S.C.R. 375, at para. 14. An insurer generally has the duty to deal with an insured with the utmost good faith and the insured has a right of action for any breach of that duty. As the insured was the bankrupt estate, the trustee could take action to remedy any breach of the alleged duty of good faith. [56] Any argument that the bad faith claim is not property of the estate would have to be decided conclusively on a summary judgment motion in the action itself. In Holley v. Gifford Smith Ltd , 26 D.L.R. (4th) 230 (Ont. C.A.), this court explained that defendants to actions assigned under s. 38 should generally pursue their efforts to avoid defending against the action in the civil trial court rather than in bankruptcy court. This and other arguments to defeat the action could not constitute a collateral attack on the s. 38 order as long as they leave the order in place. [57] As was pointed out in Formula Atlantic , at para. 8, the effect of a s. 38 order is “to transfer from trustee to creditor whatever right of action may exist ” (Emphasis added). The motion judge, in that case, went on to observe, "The order in this case imposes no liability on the appellant which did not previously exist, and leaves it free to assert in the action every defence it ever had”: at para. 8. The Carrolls, as assignees, stand in the shoes of the trustee: Shaw , at para. 72; Indcondo Building Corp. v. Sloan , 2012 ONCA 502, 91 C.B.R. (5th) 324, at para. 29. If the trustee has no property interest in the bad faith claim, then neither do the Carrolls and their action would be dismissed on a summary judgment motion. F. DISPOSITION AND Costs [58] I would dismiss the appeal and would fix costs in favour of the respondent in the amount of $22,500 all inclusive as counsel have agreed.  I am not persuaded there is any basis for revisiting the costs awarded on the appellant’s applications for leave. Released: “RSJ” August 12, 2021 “R.G. Juriansz J.A.” “I agree. Grant Huscroft J.A.” “I agree. M. Jamal J.A.” [1] The statement of the claim in the assigned action, the s. 38 order, and the trustee’s assignment and correspondence all refer to the McEwens’ insurer as Aviva Canada or Aviva Canada Inc. In the style of its motion to set aside the s. 38 order, Traders indicates it was improperly described as Aviva Canada Inc. in the bad faith action. The McEwens’ insurance policy was not included in the record. The cause of the confusion, or the relationship between Aviva Canada and Traders, if any, was not explained at the appeal.
COURT OF APPEAL FOR ONTARIO CITATION: Dass v. Kay, 2021 ONCA 565 DATE: 20210811 DOCKET: C68041 Strathy C.J.O., Brown and Miller JJ.A. BETWEEN Paul Dass, 1218934 Ontario Limited and 2169460 Ontario Limited Plaintiffs (Appellants) and Mark Kay & CFO Capital Defendants (Respondents) Osborne G. Barnwell, for the appellants Kim T. Duong, for the respondents Heard: February 10, 2021 by video conference On appeal from the judgment of Justice Judy A. Fowler Byrne of the Superior Court of Justice, dated January 17, 2020. B.W. Miller J.A.: A. Overview [1] The appellants appeal from the motion judge’s dismissal of their action on a motion for summary judgment. The motion judge concluded that the appellants’ claims were statute-barred under the Limitations Act, 2002 , S.O. 2002, c. 24, Sched. B. The appellants argue that in reaching that conclusion, the motion judge committed multiple errors of law and palpable and overriding errors of fact. [2] For the reasons that follow, I conclude that the motion judge did not err and that the appeal should be dismissed. B. Background [3] The appellant Paul Dass is the principal of the two corporate appellants, 1218934 Ontario Limited and 2169460 Ontario Limited. In these reasons, I will refer to Paul Dass as “Mr. Dass”, and Mr. Dass and the two corporate appellants as, collectively, “the appellants”. [4] The respondent Mark Kay is a mortgage broker and the principal of the respondent CFO Capital, which carries on business as a mortgage brokerage. [5] In early 2015, the respondents were asked by their client Jaswant Dass, brother of Mr. Dass, to secure financing for the $6 million purchase of a commercial property on Drew Road in Toronto. The respondents submitted the loan application to Roynat Capital (“Roynat”), an affiliate of the Bank of Nova Scotia (“Scotiabank”). The loan application listed Mr. Dass and his company 1829131 Ontario Inc. (“Teletime”), which is not a party to this appeal, as guarantors. The loan application also indicated that Teletime would be the tenant and included Teletime’s financial statements in support (the “Drew Road Application”). [6] Mr. Dass, however, knew nothing about the Drew Road Application. He had never agreed to guarantee the loan, was not involved in any way with the purchase, had no intention of leasing the property, and had not authorized the disclosure of the financial statements. Jaswant Dass was ultimately unsuccessful with the Drew Road Application. [1] [7] Mr. Dass first learned about the Drew Road Application in July 2015, during his own negotiations with Roynat. He was seeking financing for the purchase of a commercial property on Wolfedale Road, Mississauga (the “Wolfedale Application”). [8] A financial officer at Roynat, Chad Pitre, brought the Drew Road Application to Mr. Dass’s attention on July 24, 2015. Mr. Dass responded that he was not involved with the Drew Road Application and he had never agreed to guarantee the loan. Mr. Pitre provided Mr. Dass with the name of the brokerage that sent the Drew Road Application to Roynat’s office - the respondent CFO Capital. [9] Mr. Dass testified that from the time he first heard from Mr. Pitre about the Drew Road Application on July 24, he was concerned that it could interfere with the Wolfedale Application. He testified, however, that he thought he could manage the situation with Roynat. [10] Roynat later declined the Wolfedale Application. Mr. Dass testified that in August, Mr. Pitre told him that the Application was refused because Roynat no longer wanted to finance his type of business - not because of his association with the Drew Road Application. [11] Nevertheless, on August 21, 2015, after receiving the news, Mr. Dass sent an email to his lawyer, copying Mr. Pitre, a representative of CFO Capital, and others. In the email, he complained that the refusal was the result of “improper action by the broker and Jaswant Dass” that harmed his reputation in the eyes of Roynat. He expressed concern that he could lose millions of dollars in business as a result and asked his lawyer’s opinion as to whether he could pursue criminal charges against Jaswant Dass and CFO Capital. The email, in its entirety, read as follows: Hi, Osborne Please see attached fraud application filed to Roynat the lender by Broker called CFO GROUP, who were hired by Jaswant Dass for his business loan requisition. And my name is written the loan application without my authority and broker filed this application without my consent. I had request filed to Roynat for my business requirements, this week i got call from Roynat officer that application is declined. I had 3 loan requirements in last 3 years and Roynat full filled without problems. My request with Roynat was submitted in May 2015, Roynat officer gave me term sheet also gave me term sheet for loan with few pending items. Roynat officer told me he spoke to the higher persons in-charge at Roynat all looks good, every thing changed when application was submitted by mortgage broker on behalf of Jaswant Dass to Roynat in July, since then all have changed i started to get calls from Roynat that the application sent by Jaswant’s broker might mess up my loan request. And in my thinking mine and my companies image got deteriorated in the view of the lender Roynat due to improper action by the broker and Jaswant Dass. Jaswant Dass lied to my accountant to take my financial information. Due to this stupid action by broker and Jaswant could end up i lose the property required for my business expansion. And it will result in MILLIONS OF DOLLARS OF LOSS IN BUSINESS. PLEASE ALSO ADVISE ME IF I CAN GO TO LOCAL POLICE STATION, IF POSSIBLE TO FILE FRAUDULENT CASE AGAINST THE BROKER INVOLVED AND JASWANT DASS Paul Dass [ sic ] [12] Around this time, Mr. Dass was also attempting to finalize a loan from Scotiabank to refinance another property, located at Dixie Road, Mississauga (the “Dixie Road Application”). [13] When Roynat denied the Wolfedale Application, Mr. Dass turned to Scotiabank. Scotiabank ultimately denied both the Wolfedale Application and the Dixie Road Application. [14] Mr. Dass eventually secured financing for the Wolfedale property through other lenders, although at a higher interest rate than what was offered by Roynat, and completed the purchase. He also obtained financing for the Dixie Road property at a higher rate than what was initially offered by Scotiabank. [15] Mr. Dass stated that in January 2018, when it was time to renew the loan for the Wolfedale property, he approached Roynat and Scotiabank again. At this time, representatives of each allegedly explained that he had been blacklisted due to the Drew Road Application submitted by CFO Capital in 2015. C. Procedural history [16] The appellants’ statement of claim was issued on April 27, 2018. In it, the appellants described their claim as seeking damages for the reputational and commercial harm suffered by the appellants and caused by the respondents’ submission of the Drew Road Application: The claim seeks damages for the unauthorized use of personal information by the defendants in a loan application put forward, seemingly, on behalf of the individual plaintiff and his corporate interests. The unauthorized loan application was made to the plaintiffs’ commercial lenders for financing. That unauthorized application caused the plaintiffs’ commercial lender to refuse to do business with them. Implicit in that refusal is the irreparable reputational injury to the individual plaintiff. [17] The respondents brought a motion for summary judgment on the basis that the appellants’ claim was statute-barred, having been brought outside the two-year limitation period established by s. 4 of the Limitations Act, 2002 . [18] The motion judge accepted that the claim was suitable for summary judgment and dismissed the action as statute-barred. [19] The motion judge found that the appellants: · knew on July 24, 2015 of the unauthorized use of their information in the Drew Road Application; · knew on July 27, 2015 of the respondent CFO Capital’s involvement; and · had concluded, by August 21, 2015, that Mr. Dass would suffer financial loss as a result of the Drew Road Application, as evidenced by Mr. Dass’s email on that date to his counsel. [20] Accordingly, the motion judge found that by August 21, 2015, the appellants were aware of all of the material facts required to advance their claim. As the statement of claim was not issued until April 27, 2018, more than two years later, the action was statute-barred. D. Issues on appeal [21] The appellants raise two grounds of appeal, alleging: (i) the motion judge erred in law by misinterpreting s. 5 of the Limitations Act, 2002 and (ii) the motion judge made palpable and overriding misapprehensions of fact. E. Analysis (1) The Law – The Limitations Act, 2002 [22] Section 4 of the Limitations Act, 2002 states: “[u]nless this Act provides otherwise, a proceeding shall not be commenced in respect of a claim after the second anniversary of the day on which the claim was discovered.” [23] The determination of when a claim was discovered is governed by s. 5: 5 (1) A claim is discovered on the earlier of, (a)  the day on which the person with the claim first knew, (i)  that the injury, loss or damage had occurred, (ii)  that the injury, loss or damage was caused by or contributed to by an act or omission, (iii)  that the act or omission was that of the person against whom the claim is made, and (iv)  that, having regard to the nature of the injury, loss or damage, a proceeding would be an appropriate means to seek to remedy it; and (b)  the day on which a reasonable person with the abilities and in the circumstances of the person with the claim first ought to have known of the matters referred to in clause (a).  2002, c. 24, Sched. B, s. 5 (1). Presumption (2) A person with a claim shall be presumed to have known of the matters referred to in clause (1) (a) on the day the act or omission on which the claim is based took place, unless the contrary is proved.  2002, c. 24, Sched. B, s. 5 (2). [24] Although the Limitations Act, 2002 essentially codified the existing discoverability principle ( Grant Thornton LLP v. New Brunswick , 2021 SCC 31, at para. 35), s. 5(1)(a)(iv) added a new factor to that analysis – the appropriateness of bringing a proceeding. This factor is central to this appeal. [25] This court’s jurisprudence interpreting s. 5(1)(a)(iv) was recently distilled into three principles by Hourigan J.A. in Sosnowski v. MacEwan Petroleum Inc. , 2019 ONCA 1005, 441 D.L.R. (4th) 393, at paras. 16-19. [26] First, the determination of whether a proceeding is an appropriate means to seek to remedy an injury, loss, or damage depends on the factual and statutory context of each case: Sosnowski , at para. 16. [27] Second, this court has recognized two non-exclusive factors that can operate to delay the date on which a claimant would know that a proceeding would be an appropriate means to remedy a loss: (i) when the plaintiff relied on the defendant’s superior knowledge and expertise, particularly where the defendant has taken steps to ameliorate the plaintiff’s loss; and (ii) “where an alternative dispute resolution process offers an adequate remedy, and it has not been completed”: Sosnowski , at para. 17. [28] Third, “appropriate” means that it is legally appropriate to bring a proceeding, rather than practically advantageous. This third principle excludes from consideration many practical and tactical reasons a claimant might have for not commencing a proceeding at an earlier time when it was legally appropriate to do so, such as the belief that the claim might be difficult to prove. Put differently, “[a]ppropriate does not include an evaluation of whether a civil proceeding will succeed”: Sosnowski , at paras. 18-19. (2) Standard of Review [29] The determination of whether a limitation period has expired is a question of mixed fact and law and the motion judge’s conclusion is entitled to deference in the absence of a palpable and overriding error in her assessment of the evidence: Longo v. MacLaren Art Centre Inc. , 2014 ONCA 526 at para. 38. (3) Issue 1: The Motion Judge Did Not Err in Law in Her Analysis under s. 5 of the Limitations Act, 2002 (i) The Appellants’ Argument [30] The appellants argue that the motion judge erred in her interpretation of s. 5 of the Limitations Act, 2002 . They allege that she erred in her understanding of what it means for a person to have discovered that damage has occurred and that, pursuant to s. 5(1)(a)(iv), “a proceeding would be an appropriate means to seek to remedy it”, including by: (i) unreasonably restricting her analysis to whether the appellants had knowledge of the facts that established the cause of action; (ii) overlooking the additional requirement in s. 5 that a complainant know that the defendant caused the complainant damage or loss; and (iii) improperly concluding that Mr. Dass had assumed he would suffer financial loss. [31] In particular, the appellants argue that they did not know that CFO Capitol’s actions had resulted in any loss worth pursuing until 2018, when they were advised by Roynat that the appellants had been blacklisted due to the Drew Road Application. [32] The appellants claimed that Mr. Dass knew in 2015 that Jaswant Dass and CFO Capital had submitted a fraudulent loan application falsely claiming that Mr. Dass and his company agreed to guarantee the loan. Mr. Dass’s evidence was that he believed his reputation was tarnished by the Drew Road Application and that he would face a significant financial loss as a result. That loss would be the lost opportunity to expand his business and the loss resulting from higher financing costs. [33] However, Mr. Dass testified that in August 2015, he had no evidence to prove his suspicion that his inability to obtain financing was the result of the respondents’ conduct. He believed it to be the case, but the lenders denied it. This created an evidential problem. He sought counsel from his lawyer, who advised him that an action against the respondents would be unlikely to succeed given the absence of evidence that the respondents had caused his loss. He was told that an action was therefore inadvisable. [34] On Mr. Dass’ evidence, it was not until 2018, when he approached Roynat for the renewal of the mortgage for Wolfedale, that he knew he had suffered any loss. At that time, a representative of Roynat told him that he had been blacklisted in 2015 because of the Drew Road Application. Armed with that knowledge, he commenced his action. (ii) The Motion Judge Did Not Err [35] The motion judge did not err in her articulation or application of the discoverability principle as codified in s. 5(1). As recently restated by the Supreme Court, a claim is discovered when the material facts that are actually or constructively known by a plaintiff enable the plaintiff to determine that it has prima facie grounds to infer liability on the part of the defendant or, equivalently, enable the plaintiff “to draw a plausible inference of liability on the part of the defendant”: Grant Thornton , para. 45. The motion judge found, largely on the strength of the August 21, 2015 email, that Mr. Dass had the requisite knowledge by that date. The email speaks for itself, and the motion judge made no error in finding that the claim was discovered by that date. [36] Section 5(1)(a)(iv), as the appellants note, postpones the start of the limitation period until a claimant knows that “a proceeding would be an appropriate means to seek to remedy” an injury, loss, or damage. [37] The appellants argue that the motion judge erred by rejecting the proposition that an assessment of the appropriateness of litigation, within the meaning of 5(1)(a)(iv), includes an assessment of the prospect of the success of litigation, particularly where the party has relied on an assessment of merits by legal counsel. [38] For the reasons given below, I do not agree that the motion judge erred. [39] First, as explained above, the case law interpreting s. 5(1)(a)(iv) has, to date, recognized two situations delaying the start of the limitation period: (i) where a plaintiff relied on a defendant’s superior knowledge and expertise, especially where the defendant took steps to ameliorate the loss; and (ii) where the parties have engaged an alternative dispute resolution process offering an adequate remedy and it has not been completed. The appellants do not come within either situation. [40] Claimants such as the appellants who have relied on the advice of their legal counsel are not in an analogous position to claimants who have relied on the assessment of their situation provided by defendants. The case law recognizes that it would be unreasonable to discourage claimants from reasonably relying on a defendant’s good-faith efforts to remedy an issue and thereby potentially avoiding the need for a lawsuit: Brown v. Baum , 2016 ONCA 325, 397 D.L.R. (4th) 161, at paras. 18, 24; Presidential MSH Corp. v. Marr, Foster & Co. LLP , 2017 ONCA 325, 135 O.R. (3d) 321, at paras. 20, 26. Here, the appellants have been in no way dependent on the respondents for information, an understanding of their position in relation to Roynat or any other lender, or efforts to remedy the damage they claim to have suffered. The appellants accordingly never delayed bringing an action on that basis. [41] Neither have the appellants engaged in an alternative dispute resolution process with the respondents, such that it would be unfair not to take that process into account under s. 5(1)(a)(iv): 407 ETR Concession Co. Ltd. v. Day , 2016 ONCA 709, 133 O.R. (3d) 762, at para. 40, leave to appeal refused, [2016] S.C.C.A. No. 509; Presidential , at paras. 28-29. [42] The appellants are not, of course, restricted to the two categories of cases identified to date that delay the start of the limitation period. But if they cannot bring themselves within those two categories they must propose another set of circumstances in which it could be said, on a principled basis, that a person with a claim could not have known that an action would be an appropriate means to remedy the injury, loss, or damage. [43] What the appellants have proposed is, in effect, an expansion of the class of matters under s. 5(1)(a)(iv) to include any situation where plaintiffs know they have been wronged or suffered damage at the hands of the defendants, but doubt they will be able to marshal the evidence to prove the claim and are unsure whether the scale of the eventual commercial loss will make an action remunerative. [44] This proposal has been considered and rejected by courts repeatedly: Sosnowski , at para. 19; Peixeiro v. Haberman , [1997] 3 S.C.R. 549, at para. 18. The motion judge made no error in not accepting it. To give s. 5(1)(a)(iv) the meaning that the appellants propose would substantially reduce the certainty the Limitations Act, 2002 is intended to provide. [45] Second, as the respondents argue, the appellants’ argument conflates the concepts of “damage” and “damages”. The difference has been explained by the Nova Scotia Court of Appeal in Smith v. Union of Icelandic Fish Producers Ltd. , 2005 NSCA 145, 238 N.S.R. (2d) 145, at para. 119, adopting A.I. Ogus’ explanation given in The Law of Damages (London, Butterworths, 1973), at p. 2: “‘damages’ should connote the sum of money payable by way of compensation , while the use of ‘damage’ is best confined to instances where it refers to the injury inflicted by the tort or breach of contract” (emphasis in original). See also Hamilton (City) v. Metcalfe & Mansfield Capital Corporation , 2012 ONCA 156, 347 D.L.R. (4th) 657, at para. 55; Brozmanova v. Tarshis , 2018 ONCA 523, at para. 35. [46] The limitation period does not commence only when one can ascertain what damages one would be entitled to as a remedy, such that one would be better able to assess whether litigation would be an attractive option. [47] Accordingly, I reject the appellants’ arguments under this ground of appeal. The motion judge did not err in law in her interpretation of the Limitations Act, 2002. (4) Issue 2: The Motion Judge Did Not Commit Any Palpable and Overriding Errors in Her Analysis Under s. 5 of the Limitations Act, 2002 [48] The appellants argue that the motion judge made palpable and overriding errors of fact in her characterization of the loss that the appellants claim to have suffered. [49] The appellants argue that there were two separate claims: (i) damages for Mr. Dass’ loss of reputation, quantified at $200,000 and (ii) damages for the higher interest costs payable by the appellant corporations, quantified at $500,000. The appellants argue that the motion judge only considered the latter. [50] They further argue that the motion judge erred in finding that the appellants knew they had suffered damage in July 2015, and by ignoring the fact that Mr. Dass sought legal advice to determine whether he should commence an action. [51] I do not agree that the motion judge made any error. [52] The motion judge made no error in finding that Mr. Dass knew in July 2015 that his reputation had been damaged by the actions of CFO Capital and that a proceeding was an appropriate means of seeking a remedy. The losses incurred by the corporate appellants as a result of having to pay disadvantageous interest rates were a direct consequence of Mr. Dass’ loss of reputation caused by the Drew Road Application. The motion judge found that Mr. Dass knew this in July 2015. That finding was open to her. [53] Similarly, the motion judge did not overlook any aspect of the appellants’ claim. She linked Mr. Dass’ alleged loss of reputation and the increased cost of borrowing incurred by the corporate appellants because they were, in fact, linked. The loss of reputation resulted in the increased carrying costs. [54] Finally, the suggestion that the motion judge overlooked the argument that the appellants relied on the advice of legal counsel, and that this reliance should have been considered under s. 5(1)(b) as a matter of when “a reasonable person with the abilities and in the circumstances of the person with the claim first ought to have known”, is of no assistance. On appeal, the issue is not what a reasonable person would have known, but what Mr. Dass in fact knew. That the appellants relied on the advice of legal counsel is not relevant to any matter in issue. F. DISPOSITION [55] I would dismiss the appeal and award the respondents costs of the appeal in the amount of $18,000, inclusive of HST and disbursements. Released: August 11, 2021 “G.R.S.” “B.W. Miller J.A.” “I agree. G.R. Strathy C.J.O.” “I agree. David Brown J.A.” [1] CFO Capital eventually submitted another loan application on behalf of Jaswant Dass to the Royal Bank of Canada. This application, which did not name the appellants or Mr. Dass’ non-party company in any capacity, was approved and the purchase of the Drew Road property closed on November 4, 2015.
WARNING The President of the panel hearing this appeal directs that the following should be attached to the file: An order restricting publication in this proceeding under ss. 486.4(1), (2), (2.1), (2.2), (3) or (4) or 486.6(1) or (2) of the Criminal Code shall continue. These sections of the Criminal Code provide: 486.4(1)       Subject to subsection (2), the presiding judge or justice may make an order directing that any information that could identify the victim or a witness shall not be published in any document or broadcast or transmitted in any way, in proceedings in respect of (a)     any of the following offences; (i)      an offence under section 151, 152, 153, 153.1, 155, 159, 160, 162, 163.1, 170, 171, 171.1, 172, 172.1, 172.2, 173, 210, 211, 213, 271, 272, 273, 279.01, 279.011, 279.02, 279.03, 280, 281, 286.1, 286.2, 286.3, 346 or 347, or (ii)      any offence under this Act, as it read at any time before the day on which this subparagraph comes into force, if the conduct alleged involves a violation of the complainant’s sexual integrity and that conduct would be an offence referred to in subparagraph (i) if it occurred on or after that day; or (iii)     REPEALED: S.C. 2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49). (b)     two or more offences being dealt with in the same proceeding, at least one of which is an offence referred to in paragraph (a). (2)     In proceedings in respect of the offences referred to in paragraph (1)(a) or (b), the presiding judge or justice shall (a)     at the first reasonable opportunity, inform any witness under the age of eighteen years and the victim of the right to make an application for the order; and (b)     on application made by the victim, the prosecutor or any such witness, make the order. (2.1) Subject to subsection (2.2), in proceedings in respect of an offence other than an offence referred to in subsection (1), if the victim is under the age of 18 years, the presiding judge or justice may make an order directing that any information that could identify the victim shall not be published in any document or broadcast or transmitted in any way. (2.2) In proceedings in respect of an offence other than an offence referred to in subsection (1), if the victim is under the age of 18 years, the presiding judge or justice shall (a) as soon as feasible, inform the victim of their right to make an application for the order; and (b) on application of the victim or the prosecutor, make the order. (3)     In proceedings in respect of an offence under section 163.1, a judge or justice shall make an order directing that any information that could identify a witness who is under the age of eighteen years, or any person who is the subject of a representation, written material or a recording that constitutes child pornography within the meaning of that section, shall not be published in any document or broadcast or transmitted in any way. (4)     An order made under this section does not apply in respect of the disclosure of information in the course of the administration of justice when it is not the purpose of the disclosure to make the information known in the community. 2005, c. 32, s. 15; 2005, c. 43, s. 8(3)(b); 2010, c. 3, s. 5; 2012, c. 1, s. 29; 2014, c. 25, ss. 22,48; 2015, c. 13, s. 18.. 486.6(1)       Every person who fails to comply with an order made under subsection 486.4(1), (2) or (3) or 486.5(1) or (2) is guilty of an offence punishable on summary conviction. (2)     For greater certainty, an order referred to in subsection (1) applies to prohibit, in relation to proceedings taken against any person who fails to comply with the order, the publication in any document or the broadcasting or transmission in any way of information that could identify a victim, witness or justice system participant whose identity is protected by the order. 2005, c. 32, s. 15. COURT OF APPEAL FOR ONTARIO CITATION: R. v. Primmer, 2021 ONCA 564 DATE: 20210810 DOCKET: C66032 Doherty, Watt and van Rensburg JJ.A. BETWEEN Her Majesty the Queen Respondent and Justin Primmer Appellant Richard Litkowski and Myles Anevich, for the appellant Emily E. Marrocco, for the respondent Heard: February 22, 2021 by video conference On appeal from the conviction entered on July 9, 2015, and from his designation as a dangerous offender and the sentence imposed on May 29, 2017, by Justice Alissa K. Mitchell of the Superior Court of Justice, with reasons reported at 2017 ONSC 2953. van Rensburg J.A.: OVERVIEW [1] The appellant appeals his convictions for assault, aggravated assault, assault causing bodily harm and uttering threats to property. He also appeals the decision declaring him a dangerous offender and imposing an indeterminate sentence. [2] The charges [1] arose out of events that occurred during a two-month period in 2013. The complainant was the appellant’s intimate partner, who, among other things, testified about two assaults by the appellant during their brief and volatile relationship: the “beating incident”, in which the appellant allegedly injured the complainant’s face, and the “cutting incident”, in which he allegedly cut her forearms. The central issue at trial was the assessment of the credibility and reliability of the complainant, who admitted having lied to the police, the Children’s Aid Society (the “CAS”), to family members and to her best friend when asked about the cause of her injuries. The appellant did not testify. [3] The appellant raises four issues on his conviction appeal. He asserts that the trial judge erred: (1) by using the complainant’s prior consistent statements and certain other evidence to corroborate her trial testimony; (2) in explaining away the complainant’s credibility problems by suggesting, without expert evidence, that she suffered from “Stockholm Syndrome”; (3) in shifting the burden of proof to the appellant when she concluded that he was the cause of the complainant’s injuries; and (4) in relying on the “ring of truth” as a basis for believing the complainant’s evidence about the appellant’s threat toward her father’s property. [4] In appealing the dangerous offender finding and his indeterminate sentence, the appellant submits that (1) contrary to the Supreme Court’s decision in R. v. Boutilier , 2017 SCC 64, [2017] 2 S.C.R. 936, the trial judge failed to consider the factors of treatability and intractability at the designation phase of her dangerous offender analysis; and (2) the trial judge misapprehended the evidence of Dr. Philip Klassen, the assessor appointed under s. 752.1 of the Criminal Code , and set too high a standard for whether there was a reasonable prospect of eventual control of the appellant in the community. [5] For the reasons that follow, I would dismiss the conviction appeal and the appeal of the dangerous offender designation and indeterminate sentence. THE CONVICTION APPEAL A. FACTS [6] The appellant and the complainant met in mid-March 2013 and began a volatile romantic relationship that lasted a little over two months. The complainant was 20 years old at the time and lived with her young daughter. The appellant regularly stayed overnight at the complainant’s apartment, where they would consume large amounts of alcohol and drugs. [7] On April 28, 2013, the appellant invited a friend to the complainant’s apartment to provide them with cocaine. The complainant testified that when she refused to have sex with the friend to pay for the drugs, the appellant struck her on the side of her head. Later that morning, after they drove the appellant’s friend home and were alone in the car, the appellant repeatedly punched the complainant in the head. The complainant had no further recollection of events until she woke up in her bed in the afternoon, took pictures of her injured face, and discussed what had happened with the appellant. She testified that the appellant admitted to continuing the beating after they returned to her apartment, both on the couch in the living room, and in the bathroom. The complainant was convinced the appellant told her the truth about the details of the beating after she found her broken necklace in the bathroom. [8] According to the complainant, the appellant became more controlling after the beating incident. He insisted that she cancel her social media accounts and placed spyware on her cellphone to track her communications. He prohibited her from wearing make-up and seeing friends. She stopped attending college. She also testified that, sometime after the beating, the appellant threatened to blow up her father’s car if she told anyone the true cause of the injuries to her face. [9] The complainant testified that the cutting incident took place at her apartment on May 17 or 18, 2013. She told the appellant she did not think they should be together anymore. In response, the appellant followed her into the kitchen, took a knife from the knife block, and cut each of her forearms. They took photos of the injuries, which were deep and resulted in scarring. [10] The appellant was arrested on May 25, 2013 for an unrelated assault on another woman. [2] [11] The complainant did not disclose the assaults to the police until February 5, 2014. She had sent a text to her father, R.E., after the beating incident, with photos of her face and a message saying that she had been jumped after getting pizza. She repeated the story to R.E.’s common law partner, S.M., who advised R.E. of the extent of the injuries. R.E. suspected the complainant was not telling the truth and that the appellant was responsible for her injuries. He contacted the police, who met with the complainant at her father’s house. The police in turn alerted the CAS. In repeated interactions with the police and the CAS, the complainant denied or failed to disclose that the appellant had assaulted her. [12] Following the cutting incident, the complainant told her friend, A.A., that the injuries to her forearms were caused by a freak gardening accident. On May 26, 2013, the police interviewed the complainant in relation to the appellant’s assault on another woman. The police observed a wound on the complainant’s left forearm that had begun to heal. The complainant repeated that the wound was caused by a gardening accident. On two further occasions she was questioned by police and she denied the appellant had assaulted her. [13] R.E. testified that he had received by text message from the complainant’s cell phone photos of her facial injuries and a message stating that she had been jumped while getting pizza. S.M. testified that the complainant had initially told her that she had been jumped, but that several days after the beating incident, the complainant admitted that she had lied about the cause of her facial injuries and told her that the appellant had beaten her. S.M. also testified that the complainant told her sometime in June 2013 that the appellant was responsible for the cuts to her arms. The complainant’s mother, H.E., testified that the complainant had initially denied that the appellant had anything to do with her facial injuries and that she was unable to contact the complainant to discuss the injuries to her arms until after the appellant’s arrest on unrelated charges on May 25, 2013, when the complainant told her that the appellant had cut her arms. The Trial Judge’s Reasons for Conviction [14] Certain aspects of the trial judge’s reasons are addressed below. It is sufficient at this point to say that the trial judge convicted the appellant based on her acceptance of the complainant’s evidence. She found that the complainant was a credible and reliable witness. Although the complainant lied to police, family and friends on several occasions, she had a reasonable explanation for doing so, namely, that she was afraid of the appellant and what he would do if she told anyone the truth. Further, the inconsistencies in her evidence were not material. [15] The trial judge concluded that the complainant’s evidence about the beating and cutting incidents and the appellant’s threat to destroy her father’s car was truthful. The trial judge found that her evidence was “corroborated” by photographs of her injuries, the broken necklace, and the evidence of other witnesses. The trial judge also considered and rejected alternate explanations for the complainant’s injuries that could have raised a reasonable doubt. B. Issues AND DISCUSSION (1) Did the trial judge err in finding corroboration for the complainant’s testimony where there was none? [16] This ground of appeal focusses on a passage in the trial judge’s reasons which begins: “I find that [the complainant’s] evidence relating to the beating and the cutting is corroborated by the photographs, the broken necklace, and also the evidence of the other witnesses for the following reasons”. [17] The appellant submits that the trial judge erred in law in concluding that the photos, the broken necklace, and the evidence of other witnesses “corroborated” her evidence. He asserts that the photos of the complainant’s injuries, including one of the cuts to her arms with the appellant’s shoe in the background, could corroborate only uncontroversial details, such as the fact that the complainant was injured, and that the broken necklace could not corroborate her evidence because it did not come from a source independent of the complainant. With respect to the evidence of S.M. and H.E., the appellant argues that the complainant’s prior consistent statements to these witnesses were used improperly, to bolster her credibility. [3] [18] In the discussion that follows, I will address the trial judge’s use of the complainant’s prior consistent statements to S.M. and H.E. in her assessment of the complainant’s evidence. Then, I will turn to her treatment of the evidence of the photos and the necklace. The Complainant’s Statements to S.M. and H.E. [19] The complainant’s injuries to her face and her arms, and the timing of such injuries were not seriously in dispute. They were evident in the contemporaneous photos that were introduced in evidence at the trial, and they were described by various witnesses. There was no question that the complainant had repeatedly denied that the appellant had caused her injuries, and that she had offered other explanations to friends and family, the police and the CAS. She had first told the police that the appellant caused the injuries in February 2014, many months after the assaults had taken place. The key issue at trial was the assessment of the credibility of the complainant’s testimony, particularly in view of her prior inconsistent explanations for her injuries and her insistence that she had not been assaulted by the appellant, and the reliability of her evidence, because of the effect of drugs and alcohol on her perception and memory. [20] While many of the witnesses at trial confirmed that the complainant denied having been assaulted by the appellant and offered other explanations, three witnesses, S.M., H.E. and R.E., testified about conversations with the complainant in which she disclosed that she had been assaulted by the appellant. The Crown led some of the evidence about these conversations. Defence counsel cross-examined each witness about the details of the conversations. In her reasons for conviction, the trial judge only referred to the consistency between S.M. and H.E.’s accounts of what the complainant told them about the assaults, and the complainant’s own account. [4] Accordingly, the appellant’s submissions on appeal focused on whether the trial judge used for an improper purpose, prior consistent statements of the complainant, adduced through these witnesses: · S.M., the common law partner of the complainant’s father R.E., testified in chief that, although the complainant initially claimed that her facial injuries were caused when she was jumped on the way home from getting pizza, over time the complainant opened up to her more, and disclosed that they were caused by the appellant. The complainant also told her the details of how the appellant had cut her when S.M. saw the bandages on her arms. S.M. was cross-examined on the details of what she had been told by the complainant about both incidents. · The complainant’s mother, H.E., testified in chief that, after the appellant had been arrested on an unrelated matter, the complainant told her that the appellant cut her arms. Under cross-examination H.E. confirmed that, after the appellant was arrested on the unrelated matter, the complainant told her that the appellant caused the injuries to her face, and she was taken through the details of her conversations with the complainant about both incidents. [21] In closing submissions at trial, Crown counsel proposed that the evidence of what the complainant told S.M., H.E. and R.E. could be used for three purposes: first, to provide narrative of what the complainant told family, friends and police and how her story had changed over time; second, to neutralize the possibility that the complainant’s testimony at trial was the product of a faulty memory or influenced by the consumption of alcohol or drugs; and third, to respond to the defence argument that the complainant’s prior statements revealed inconsistencies that rendered her trial testimony unreliable. Crown counsel stated: “It is the inconsistency of [the complainant’s] evidence that will be the focus of [the defence’s] submissions to you in your assessment of the reliability or the credibility of [the complainant]”. He submitted that the evidence of the witnesses about what they were told by the complainant was “remarkably consistent with” her testimony. [22] In his closing submissions, defence counsel challenged the complainant’s credibility and reliability. He referred to the various versions of the complainant’s accounts of what had caused her injuries which were inconsistent with her testimony, and he suggested that she was an unreliable witness because of the influence of drugs and alcohol. He specifically invited the trial judge to focus on inconsistencies between S.M. and H.E.’s versions of the beating and cutting incidents as relayed to them by the complainant, and the complainant’s version of the incidents in her eventual disclosure to police in February 2014 and in her testimony in court. He argued that, based on such inconsistencies, the complainant provided a “third version” of each of the beating and cutting incidents, that differed from her evidence at trial and what she had told the police. [23] The trial judge said the following about the evidence of S.M.: [S.M.] testified to the extent of the facial injuries she observed on April 30th. She also testified as to the events leading up to the cutting described to her by [the complainant]. Her evidence is largely consistent with the evidence of [the complainant] with respect to these same events. Any inconsistency between her evidence and [the complainant’s] evidence does not discredit the evidence of the [complainant], rather it goes to the reliability of [S.M.’s] evidence and its weight. [24] The trial judge said the following about the evidence of H.E.: [The complainant’s] mother’s evidence is similarly consistent with [the complainant’s] evidence with respect to the beating incident and the cutting incident. Similarly, any inconsistency between her evidence and [the complainant’s] evidence, does not discredit the evidence of [the complainant], rather it goes to the reliability of [H.E.’s] evidence and its weight. [25] The appellant asserts that the trial judge erred in using the complainant’s prior consistent statements to H.E. and S.M. to bolster her credibility by comparing the statements for their truth with the complainant’s testimony. The appellant says that this is apparent from the trial judge’s use of the word “corroborate” in her introduction to the discussion of this evidence and her observation that the witnesses’ evidence and that of the complainant were “consistent”. [26] I disagree. [27] No objection was taken to the introduction of the evidence of the prior consistent statements; indeed, much of the evidence about the details of the conversations was elicited during cross-examination. The evidence was, without question, admissible for certain purposes in the context of the issues at trial. As Crown counsel submitted, the evidence of the complainant’s explanations for her injuries and her disclosures were part of the narrative: see e.g. R. v. Vlaski , 2019 ONCA 927, at para. 25, leave to appeal refused, [2020] S.C.C.A. No. 78. Moreover, her changing account, which was focused on by the defence, was central to the assessment of her credibility and reliability. She had repeatedly denied that she had been assaulted by the appellant, including to the CAS and the police, and it was only months after she sustained the injuries that she told the police they were inflicted by the appellant. [28] The fact that the complainant told others on earlier occasions that she had been assaulted by the appellant was relevant to her credibility in that it could help the trial judge assess the defence argument that the complainant should not be believed because of the different accounts of the relevant events she had given. Defence counsel not only highlighted the complainant’s lies about the cause of her injuries, he also attacked her credibility by arguing that there were material inconsistencies between what she told S.M., H.E., and R.E., when she disclosed that the appellant had caused her injuries, and her evidence at trial. The trial judge was entitled to consider that argument having regard to the entirety of the statements made to these witnesses. Using the complainant’s prior statements in assessing the effectiveness of the defence challenge to her credibility does not constitute using those statements for their truth or for the prohibited inference that repetition enhances credibility. In addressing the prior statements, the trial judge did what she was invited to do: she considered S.M. and H.E.’s accounts of what the complainant told them about the incidents and the complainant’s testimony to assess whether the complainant’s account was materially inconsistent when looked at as a whole, and to gauge the impact that any differences in detail should have on the complainant’s overall credibility and reliability. This is a permissible use of prior consistent statement evidence: see e.g., R. v. L. (O.) , 2015 ONCA 394, 324 C.C.C. (3d) 562, at paras. 34-36. [29] Nor does the trial judge’s reference to the fact that the evidence of the other witnesses “corroborated” the complainant’s evidence mean that she was relying on the truth of the statements or the fact of repetition to enhance the complainant’s credibility. [30] In a strict, legal sense,  evidence can corroborate the testimony of a witness only if that evidence is independent of the witness’s testimony. What the witness said on a prior occasion is not independent evidence capable of corroborating her evidence: R. v. A.S. , 2020 ONCA 229, at para. 52. In this case however I am not persuaded that the trial judge was using the word “corroborate” in the strict legal sense. [31] In a case relied on by the appellant, R. v. Zou , 2017 ONCA 90, 346 C.C.C. (3d) 490, the question was whether the trial judge improperly used an email by the complainant as a prior consistent statement to bolster her credibility. The trial judge had referred to the fact that the email “corroborated” the complainant’s testimony, however the use of the word “corroborate” was not determinative. Doherty J.A. explained, at para. 40, that “corroboration”, as commonly understood, refers to evidence from a source other than the witness whose evidence is challenged which is capable of confirming the veracity of the evidence of the challenged witness. He observed however that, “[a] proper contextual reading of the reasons will sometimes demonstrate that the trial judge used the word ‘corroboration’ in a more limited sense than it is typically used”: at para. 42. [5] [32] This is what occurred in R. v. D.A. , 2018 ONCA 612. Although the trial judge stated that the complainant’s torn bra provided “some corroboration of the complainant’s version of events [that she had been sexually assaulted]”, this court found that the word “corroboration” was not used to suggest that the technical legal standards of corroboration had been met. Rather, the trial judge was communicating “no more than that the torn bra provides support for the allegation”. Because sexual assault did not require technical corroboration, the trial judge would have had no reason to invoke the technical legal concept: at para. 17. [33] Similarly, in the present case, the trial judge was not required to find corroboration of the complainant’s evidence. Rather, at the point in her reasons where she made the impugned comments, the trial judge was examining the credibility and reliability of the complainant’s evidence, in the context of the various challenges that had been made by defence counsel. [34] When her reasons are considered as a whole, together with the submissions of counsel, it is apparent that the trial judge was not relying on what the complainant told H.E. and S.M. for the truth of the statements, and she was not using the statements as “corroboration”. The fact that the complainant had disclosed the events to H.E. and S.M. was relevant in a case where the complainant had repeatedly denied that the appellant caused her injuries. In remarking on the consistency between what H.E. and S.M. recounted about what they were told by the complainant and the complainant’s evidence, the trial judge was rejecting the defence argument that these were prior inconsistent statements that undermined her credibility. The Photos and the Broken Necklace [35] Several photos of the complainant’s injuries were in evidence. These included photos of her facial injuries that she took immediately after the beating incident, photos of the facial injuries taken by S.M., photos the complainant had taken of the injuries to her arms, a photo of injuries to her arm taken by her friend A.A., and photos of scarring to her forearms taken by the police in February 2014. In the background of one of the photos the complainant had taken of her right arm both shoes and slippers were visible. She testified that the photo depicted her slippers and the appellant’s shoes. Also introduced in evidence was a broken necklace. [36] The appellant’s argument is essentially that the photos and the broken necklace were not corroborative of the complainant’s evidence about the cause of her injuries. The photos only confirmed parts of her evidence – that she had been injured, but not the core of her evidence – that the appellant had caused the injuries. And the evidence about the broken necklace could not corroborate the complainant’s account because it was not independent of the complainant. The appellant submits that the trial judge erred in law in relying on such evidence as corroboration. [37] I disagree. [38] As I have already observed, in saying that the evidence of the complainant’s statements, the necklace and the photos “corroborated” the complainant’s evidence, the trial judge was not using the term in the strict legal sense. Rather, she was referring to evidence that supported the complainant’s evidence. [39] The fact that the evidence did not directly confirm the most contentious point of the complainant’s evidence is of no moment. The consideration of evidence which is capable of confirming or supporting certain aspects of a witness’s testimony is typically part of the assessment of credibility in making findings of fact. “[C]onfirmatory evidence is often merely other circumstantial evidence that tends to support the Crown’s case, or to dispose of alternative hypotheses put forward by the defence. Such evidence can be given weight even if it does not directly ‘confirm the key allegations of sexual assault’ or ‘directly implicate the accused’”: R. v. Demedeiros , 2018 ABCA 241, 364 C.C.C. (3d) 271, at para. 8, aff’d 2019 SCC 11, [2019] 1 S.C.R. 568. [40] The complainant testified that she could not recall the continuation of the beating by the appellant, but that he had told her that he continued to beat her in the bathroom, and that she had believed him when she found her broken necklace in the bathroom. She produced the broken necklace. While the broken necklace was not independent of the complainant, it was consistent with her account. The complainant was unable to provide direct evidence about the continuation of the beating, but she testified about how she had come to understand what had happened: that the appellant told her that he continued the beating in the bathroom, and that, after finding her broken necklace in the bathroom, she believed him. The broken necklace was simply some evidence that supported this aspect of her testimony: that the appellant told her that he beat her in the bathroom. [41] As for the photos, the trial judge noted the injuries that were depicted and their timing. She also noted that one photo captured a shoe worn on the foot of the appellant and the slippers on the feet of the complainant. [42] The appellant is correct in saying that the photos corroborated the fact of the complainant’s injuries, but not who caused them. However, the production of the photos was confirmatory not only of the injuries she sustained, but of the complainant’s evidence that she and others had taken photos. They were consistent with her account. The photo showing a pair of slippers and a set of shoes supported her evidence that the appellant was present when she took the photo of her arms, in the aftermath of the cutting incident. The trial judge did not overstate the importance of this evidence. It was open to her to conclude that the photos supported the complainant’s evidence relating to the beating and the cutting incidents. (2) Did the trial judge err by invoking “Stockholm Syndrome” as an explanation for the complainant’s conduct? [43] The complainant testified that she had repeatedly lied about the cause of her injuries, including to the police, because she was afraid of the appellant. Yet, after the appellant was arrested and taken into custody for an unrelated assault on May 25, 2013, the complainant installed a landline in her apartment to receive his collect calls, she scheduled a visit with him in June 2013 (though she did not follow through), and she met and was intimate with him on two occasions following his release. The defence relied on this evidence to say that the complainant was not really afraid of the appellant, and to urge the court to reject her explanation for the accounts she provided to the police and others. [44] In the context of addressing the complainant’s behaviour, the trial judge stated that she “suffered from something akin to Stockholm Syndrome”. The appellant says that it was an error of law for the trial judge to take judicial notice of this psychiatric diagnosis (as no expert evidence had been led on this point), and to invoke it to explain away or minimize the complainant’s lies and apparently irrational behaviour. [45] I agree with the Crown’s submission that, in making a passing reference to Stockholm Syndrome, the trial judge was not employing a psychiatric diagnosis to explain the complainant’s behaviour. [46] Leading up to her reference to Stockholm Syndrome, the trial judge was considering the complainant’s explanation for her repeated lies to the police. She posed the question, “Does [the complainant]’s explanation as to why she repeatedly lied to the police make sense? Is it a rational or reasonable explanation in all of the circumstances?” She then explained why it was understandable that the complainant would be afraid of the appellant and why her conduct following the assaults was not inconsistent with such fear: [The complainant] knew that [the appellant] was trained as a mixed martial arts fighter. She knew that [the appellant] had a previous conviction for manslaughter. She was aware that [the appellant] had been charged with the assault of another woman, which occurred around the time of the beating, and the cutting, and of which he was later convicted and for which he was given a jail sentence. He had threatened her and her father if she told anyone the truth. She had set up a safe word with [A.A.] to use if she was in danger. He had effectively cut her off from the support network of family and friends, and controlled her by plying her with drugs and alcohol. She was submissive to [the appellant]. She was in essence, his puppet, his property. Her complete submission to [the appellant] caused her to make decisions which otherwise defy a rational explanation, such as setting up a landline to facilitate communication while he was in jail, and being intimate with [the appellant] following his release. Her conduct suggests she suffered from something akin to the Stockholm Syndrome. [Emphasis added.] [47] Contrary to the appellant’s argument, there was no “evidentiary shortcut” here, nor did the trial judge invoke a psychiatric diagnosis to explain the unexplainable. The trial judge accepted that the complainant’s otherwise irrational conduct was explained by her “complete submission” to the appellant, a conclusion that was amply supported by the evidence, and which is not challenged on appeal. After reaching this conclusion, and accordingly accepting the complainant’s explanation for her lies, the trial judge used the term “Stockholm Syndrome” as a descriptive label and not as the justification for the conclusion she had reached. (3) Did the trial judge shift the burden of proof to the appellant? [48] The appellant asserts that the trial judge shifted the burden of proof when she said, “without any evidence to support an alternate theory, I am left wondering if not [the appellant], then who? These injuries did not spontaneously appear. Someone caused these injuries to [the complainant].” The trial judge made this statement after observing that the defence called no evidence to support an alternate theory for the cause of the complainant’s injuries and noting that the defendant had no obligation to do so or to testify. The trial judge then proceeded to consider and reject alternate theories, including that the complainant was jumped after returning home from getting pizza, that her injuries were self-inflicted, and that her cuts were caused by a gardening accident. [49] The appellant submits that the trial judge’s reasoning reflects a failure to consider whether a reasonable doubt had been raised by the possibility that someone other than the appellant caused the complainant’s injuries. Instead, the trial judge erred by shifting the burden of proof to the appellant to find another explanation for the complainant’s injuries that was supported by the evidence. [50] I am not persuaded that, contrary to her clear articulation of the burden of proof elsewhere in her reasons and her specific acknowledgment that “the defendant has no obligation to testify or to offer up an alternate theory”, the trial judge reasoned that the appellant had the onus of advancing an explanation for the complainant’s injuries, and that his failure to do so supported an inference of guilt. [51] There was no question that the complainant had been injured. It was incumbent on the trial judge to consider whether she had a reasonable doubt as to how the injuries were caused. In grappling with the evidence, she considered the alternatives, including those that had been offered by the complainant herself, in the context of the evidence at trial. She found that there was no evidence to support these alternatives, and that they were illogical. [52] The conviction did not rest on a reversal of the burden of proof; rather, it was based on the trial judge’s considered analysis and acceptance of the complainant’s evidence about the cause of her injuries as credible and reliable, and her rejection of alternative causes as potential sources of reasonable doubt. (4) Did the trial judge err by relying on the “ring of truth” to believe a witness with obvious credibility problems? [53] The appellant submits that the trial judge erred in relation to the “uttering threat to property” charge. He asserts that the trial judge accepted the complainant’s uncorroborated evidence that he had uttered a threat to destroy R.E.’s vehicle based on her observation that it had the “ring of truth”. The trial judge said it had the ring of truth because she would have expected something far less theatrical than a threat to blow up the father’s car, if the threat was contrived. [54] The appellant relies on this court’s decision in R. v. G.(G). (1997), 115 C.C.C. (3d) 1 (Ont. C.A.), where a trial judge found the complainant to be credible after observing that she gave her evidence in a straightforward manner and it had the “ring of truth”. In that case, the use of the words “ring of truth” did not constitute reversible error; rather the court allowed the appeal because there were several material inconsistencies in the complainant’s evidence that the trial judge had not considered. [55] In this case, by contrast, by the time the trial judge described the complainant’s evidence about the threat to damage R.E.’s car as having the “ring of truth” she had already conducted a thorough assessment of the complainant’s credibility and reliability. She had accepted the complainant’s evidence as truthful. [56] The term “ring of truth” is not itself objectionable; the problem is that it adds nothing to the analysis. Saying that a witness’s evidence has the “ring of truth” is never sufficient to justify an assessment of credibility. It is simply a conclusion that the testimony sounds truthful. The important question is why this is so – which involves an examination of the various factors specific to the case that bear on the witness’s credibility and reliability. [57] I do not interpret the trial judge’s observation that the complainant’s evidence about the threat “had the ring of truth” – that it sounded true and not contrived – as the sole or even the main justification for acceptance of this evidence. Having already found the complainant to be credible, there was no reason for the trial judge to reject the evidence about the threat. The complainant was the only person to have testified about the threat and she was not cross-examined on this evidence. [58] I would also note that, in using the term “ring of truth”, the trial judge echoed and implicitly rejected a defence argument made in closing submissions. In addressing the complainant’s evidence about the threats – both the threat of damage to her father’s car and of having received death threats from the appellant – defence counsel submitted that the complainant’s ability to recall specific words and details was “almost entirely limited to” words and details that would negatively impact the appellant, and as such, “does not have the ring of truth, [but] has the ring of vindictiveness”. THE APPEAL OF THE DANGEROUS OFFENDER DESIGNATION AND SENTENCE [59] At the time of his sentencing the appellant was 33 years old. He had 47 convictions, 10 of which were for violent offences and 21 for failing to comply with parole or probation orders. He had spent close to 14 years of his adult life in prison, with only 7 months in the community without supervision. There were escalating situations of intimate partner violence that occurred in a nine month period between April 2013 and January 2014 – beginning with the beating and cutting incidents forming the predicate offences, continuing with a violent assault on another woman, D.G., just hours after meeting her, and then, while he was on probation for the assault on D.G., an assault on a third woman, S.S., days after meeting her on a dating website. [60] Three experts testified at the sentencing hearing. In addition to Dr. Klassen, there were two defence experts: psychiatrist Dr. Gary Chaimowitz and forensic psychologist Dr. Mini Mamak. As the trial judge noted, there was general agreement between the experts on the appellant’s diagnosis (substance use disorder and antisocial personality disorder with narcissistic traits) and on the risk posed by the appellant to the community (that the appellant had a moderate to high risk of violent recidivism, and a high risk of intimate partner violence). [61] The trial judge concluded that the criteria for finding that the appellant was a dangerous offender were satisfied under both ss. 753(1)(a)(i) and (ii) of the Criminal Code. His history of intimate partner violence and the similarities between the assaults exhibited a pattern of repetitive behaviour, and he had a high likelihood of committing further violent offences. He also displayed a pattern of persistent aggressive behaviour and substantial indifference respecting its foreseeable consequences to other persons. [62] Although the experts suggested that with the proper controls and supervision, the appellant’s risk to reoffend could be managed in the community, the trial judge was of the view that the extent of monitoring or verification required to ensure compliance with the proposed conditions of release was not possible. In arriving at her conclusion she considered the feasibility and likely effectiveness of the conditions for supervision proposed by the experts in the context of the appellant’s history of breach of conditions, his habitual lying to parole and police officers and treatment providers, and his recent history of intimate partner violence. She concluded: “Only maximum control and 24 hour supervision [would] ensure the safety of the public and, in particular, potential intimate partners of [the appellant]. That level of control and supervision cannot be achieved in the community”. In rejecting the option of a fixed sentence with a ten-year long-term supervision order (“LTSO”), the trial judge also rejected as speculative the suggestion that, as the appellant ages, his violent tendencies would significantly decline to the point at which he no longer poses a risk of danger to the community. [63] The appellant appeals his designation as a dangerous offender and the imposition of an indeterminate sentence. He makes two main arguments. First, he says that the trial judge erred in failing to consider the factors of intractability and treatability at the designation stage of her analysis. Second, he submits that the trial judge erred at the penalty stage in misapprehending certain aspects of the evidence of Dr. Klassen (respecting the risk of recidivism, group data and “burnout”) and in adopting a standard of absolute control, when she concluded that nothing less than 24-hour supervision of the appellant in the community would adequately protect the public against the appellant’s risk to reoffend. [64] The standard of review on a dangerous offender appeal was articulated by Tulloch J.A. in R. v. Sawyer , 2015 ONCA 602, 127 O.R. (3d) 686, at para. 26, as follows: Appellate review of a dangerous offender designation “is concerned with legal errors and whether the dangerous offender designation was reasonable”: R. v. Sipos , 2014 SCC 47, [2014] 2 S.C.R. 423, at para. 23. While deference is owed to the factual and credibility findings of the sentencing judge, appellate review of a dangerous offender designation is more robust than on a “regular” sentence appeal: Sipos , at paras. 25-26; R. v. Currie, [1997] 2 S.C.R. 260, [1997] S.C.J. No. 10, at para. 33. [65] Where the error of law has not resulted in a substantial wrong or miscarriage of justice, an appellate court may dismiss an appeal against a dangerous offender declaration, relying on s. 686(1)(b)(iii) of the Criminal Code . This power may be exercised only where there is no reasonable possibility that the verdict would have been any different had the error of law not been made: Boutilier , at para. 82. [66] As I will explain, I am not persuaded that there was any reversible error in the trial judge’s designation of the appellant as a dangerous offender and in the imposition of an indeterminate sentence. To the extent that the trial judge erred in law in saying that treatability and intractability were not factors to be considered at the initial designation stage, these factors were considered in her decision, and there is no reasonable prospect that her decision would have been different but for the error. The trial judge did not err in her assessment of Dr. Klassen’s evidence or in observing that the appellant’s risk for violent recidivism, especially involving intimate partners, could not be controlled in the community. The trial judge’s assessment of the evidence was thorough, her reasons are comprehensive and her conclusions with respect to the appellant’s dangerousness and the need for an indeterminate sentence are reasonable. [67] I will address the appellant’s arguments in turn. Considering Intractability and Treatability at the Designation Stage [68] The appellant’s first argument is that, not having the benefit of the Supreme Court’s decision in Boutilier , which was released after she delivered her reasons for sentence, the trial judge did not consider intractability or treatability at the designation stage of her dangerous offender analysis. Indeed, she specifically stated that both were relevant only at the penalty stage. The appellant contends that this was an error of law that resulted in a substantial wrong or a miscarriage of justice, necessitating a new dangerous offender hearing. [69] The appellant did not address this error in oral argument, and for good reason. This is a case where the trial judge thoroughly considered whether the appellant’s behaviour was intractable (in the sense of being something the appellant was unable to surmount) and whether he was treatable. Her findings on both issues fully supported the conclusion that the appellant met the criteria for designation as a dangerous offender, both under s. 753(1)(a)(i) and (ii). [70] First, despite saying that intractability was not something to consider at the designation phase, the trial judge did in fact address the fact that the appellant’s behaviour was intractable when she assessed his future threat, and found that his conduct posed a high likelihood of violent recidivism. After considering the expert evidence that the appellant posed a moderate to high risk of violent reoffending generally and a high risk of intimate partner violent reoffending, the trial judge stated that “common sense suggests the past is the best predictor of the future”. She noted that the appellant was incapable of controlling his anger and violent impulses, without exception in an unsupervised environment, and frequently in a controlled setting. She referred to his history of reoffending, his inability to comply with court-ordered conditions in place to control the triggers for reoffending (prohibiting alcohol use, requiring intimate relationship reporting, and prohibiting criminal associations), as well as the testimony of Dr. Chaimowitz that “[t]his is a man who’s going to continue to offend… I can’t see it any other way, based on his history”. At the conclusion of her reasons, in imposing an indeterminate sentence, the trial judge reiterated that, based on the appellant’s violent history having repeated itself many times over, there was no reason to believe that, if given the opportunity in an uncontrolled setting, history would not repeat itself: at para. 200. [71] Second, while the trial judge did not address the appellant’s treatability at the designation stage, it was addressed extensively in the discussion of penalty. The trial judge concluded that, despite the appellant’s stated intention to seek treatment, she could not conclude on the evidence that his risk could be controlled through treatment. The appellant had participated in various kinds of treatment but there was no evidence that treatment had been successful in the past or would be durable. Notwithstanding the treatment and counselling he received during his eight year prison term, the appellant started using cocaine and alcohol immediately after his warrant expiry. The trial judge referred to Dr. Klassen’s evidence that approximately 15 prior treatment interventions had not effected a change in the appellant, and the opinion of all three experts that treatment could at best be used as a means to monitor the appellant in the community. [72] In the circumstances, although the trial judge erred in saying that treatability and intractability were not factors to consider at the designation stage, this error occasioned no substantial wrong or miscarriage of justice. She considered both factors in the course of her reasons. There is no reasonable prospect that the trial judge would have come to a different conclusion about the appellant’s dangerousness if she had explicitly considered these factors at the designation phase. Alleged Errors in Imposing an Indeterminate Sentence [73] I turn now to the essence of the appellant’s sentence appeal: his arguments based on the trial judge’s treatment of the evidence in determining whether there was a reasonable expectation that a sentencing option less than an indeterminate sentence would adequately protect the public: Criminal Code , s. 753(4.1). [74] The appellant submits that the trial judge misapprehended and did not give effect to certain aspects of Dr. Klassen’s evidence respecting his risk of recidivism, and the use of group data and actuarial studies in relation to “burnout” after the age of 50. He also asserts that the trial judge set too high a standard for the prospect of his eventual control in the community. By stating that only 24-hour supervision would suffice, she set an impossible standard of absolute compliance. It was unreasonable for the trial judge to conclude that nothing but 24-hour supervision would suffice, when no one suggested this was necessary. [75] I will deal with each issue in turn. (1) The alleged misapprehension of Dr. Klassen’s evidence [76] First, the appellant refers to the evidence that he did not reoffend during the five-year period that he was on parole after serving an eight year sentence for manslaughter. He contends that this is evidence that he responds well to supervision in the community, evidence that the trial judge ignored when she concluded that the appellant’s risk could not be controlled through an LTSO. [77] I disagree. There was no error in the trial judge’s treatment of this evidence. She recognized that, while the appellant did not violently reoffend while under supervision, he did breach his conditions of release, including the condition that he report intimate relationships. The five-year period did not assist in assessing the appellant’s risk to violently offend against an intimate partner. The trial judge recognized that the nature of the appellant’s violent offending had escalated to intimate partner violence and his substance abuse escalated from alcohol to cocaine. [78] Dr. Klassen did not suggest that the five-year offence-free period translated into a lower risk of recidivism for intimate partner violence. He was circumspect. He noted that the appellant did better in highly structured settings, such as when he was in federal custody and that when there was less structure, like on federal parole, there tended to be “bigger problems”. As the trial judge noted, at para. 98: Dr. Klassen noted a shift after 2012 towards intimate partner violence and expanded addiction issues. Dr. Klassen opined that these shifts pose a different set of risk factors which could make management in the community more difficult than was management of [the appellant] following his manslaughter conviction. [79] Accordingly, there was no misapprehension of Dr. Klassen’s evidence about the impact of the five-year period when the appellant did not reoffend while on parole. [80] I turn to the appellant’s argument about the trial judge’s treatment of the evidence of Dr. Klassen respecting “burnout”: that after age 50 there is a significant decline in violent offending. The appellant asserts that, in considering the appellant’s risk of reoffence after the expiry of the proposed LTSO, the trial judge misunderstood “actuarial and group data” and its application to the issue of burnout. The appellant contends that the trial judge wrongly rejected Dr. Klassen’s evidence because he declined to provide a view as to how burnout might apply to the appellant, when, according to Dr. Klassen, this was the best tool for assessing the appellant’s future risk. [81] This was a central focus of the appellant’s submissions on the sentence appeal. As I will explain, the trial judge did not misapprehend Dr. Klassen’s evidence. Rather, the appellant’s argument confuses Dr. Klassen’s actuarial approach (using group data) to the assessment of the individual appellant’s risk for violent recidivism, with his evidence about the general trend to “burnout” based on studies using group data. [82] In order to provide an opinion about the appellant’s risk of a future serious personal injury offence, Dr. Klassen used an actuarial approach. In part this was necessitated by the fact that the appellant, on the advice of counsel, had refused to meet with him. In any event, Dr. Klassen said that this was the best approach. He stated: [W]hen it comes to the issue of probability and percentile, what’s this person’s ranking compared to their peers in terms of risk, and what, if anything, can we say about the absolute probability of similar individual recidivating…you would never use clinical judgment. It would, I would submit to you it would fall grossly below the standard of practice in forensic psychiatry. [83] Dr. Klassen went on to identify the available risk assessment tools for evaluating the appellant’s risk of violent offending, including tools specifically designed to assess the risk of intimate partner violence. After explaining why the tools he selected were appropriate, Dr. Klassen indicated that, based on the appellant’s individual scores, he was at a high risk of general violent recidivism and at a very high risk of domestic violent recidivism. [84] Dr. Klassen’s conclusion, based on his assessment using various actuarial tools, was consistent with the opinion of defence experts Dr. Chaimowitz and Dr. Mamak. Dr. Mamak conducted the testing on which Dr. Chaimowitz relied in providing his clinical assessment of the appellant’s risk to reoffend. Some of the risk assessment tools used by Dr. Mamak differed from those used by Dr. Klassen. The trial judge noted that, because of the consistency between the parties’ expert evidence regarding diagnosis and risk assessment, it was unnecessary to undertake a comprehensive assessment of the limitations and advantages between and among the various diagnostic tools used by the experts. [85] In utilizing the actuarial tools to assess the risk of violent recidivism and intimate partner violence, Dr. Klassen referred to and took into consideration the appellant’s specific diagnoses, criminal record and history. The result was to arrive at a conclusion about the appellant’s specific risk. This was the context in which Dr. Klassen advocated the use of actuarial and group data. [86] Later in his evidence, Dr. Klassen was asked about the concept of burnout, or age-related decline in violent recidivism. In contrast to his opinion using actuarial and group data to assess the appellant’s individual risk, at this stage in the evidence, Dr. Klassen was asked about general trends. He stated that there was lots of data from different samples showing that as people get older their rates of violent offending decline significantly, so that one approach was “how do we get people to 50?”. Dr. Klassen stated, “while I cannot say exactly what will happen to [the appellant], because group data cannot always predict the behaviour of an individual…group data suggests that…violence is significantly reduced over time”. However, he specifically declined to apply the general trend or group data to whether the appellant was likely to recidivate after age 50. This is apparent in the following exchange: Q. … I know we’ve been talking about general trends, can we say that getting [the appellant] to 50 is gonna be the game changer? A. I can’t say that it, it, remember, I’m just talkin’ about group data Q. Right. A. … I can’t tell you exactly how that might apply to [the appellant]… because I offer group data, because it might be of assistance, and it’s more likely to be accurate than my clinical opinion. But I cannot tell you exactly what will happen to [the appellant], whether [he] will actually age, quote, unquote , ‘quicker than most’, or, quote, unquote , ‘slower than most’, in terms of age and violence…I don’t know the answer to that. [87] In his evidence on burnout Dr. Klassen was only asked about general trends based on group data: unlike his assessment of the appellant’s risk for violent recidivism and for intimate partner violence – where he was able to score the appellant applying actuarial tools to the information about the appellant contained in his file, he was not asked for, nor did he express, an opinion about the likelihood that the appellant would reoffend after age 50. Contrary to the appellant’s submission, Dr. Klassen did not advocate an approach that would assume that the appellant would not require supervision after age 50. At its highest Dr. Klassen’s evidence about burnout spoke to general trends based on group data, and not to the appellant’s individual circumstances. [88] The trial judge accurately dealt with this evidence at paras. 178-182 of her reasons for sentence. She noted that “burnout” was a general trend based on group data. She referred to Dr. Chaimowitz’s view that age-related decline did not apply to the appellant, and the fact that Dr. Klassen declined to provide a view as to how the concept of burnout might apply to the appellant. She noted Dr. Chaimowitz’s observation that an offender will not be young forever but can be immature forever, and that there was no evidence that the appellant’s future maturation was anything more than a possibility. The trial judge reasonably concluded that it would be purely speculative to assume that as the appellant ages, his violent tendencies would significantly decline to the point at which he no longer poses a risk of danger to the community. Referring to the escalating aggression and brutality in the appellant’s most recent offences, she noted that “[t]he theory that the likelihood of [the appellant] reoffending is significantly reduced from the age of 50 onward has little application to the circumstances of [the appellant]. Intimate partner violence is perpetrated against vulnerable persons away from the public’s eye”: at para. 182. [89] There is no misapprehension or error in the trial judge’s treatment of Dr. Klassen’s evidence about the appellant’s risk of recidivism based on the fact that he did not reoffend during his five years of parole following his manslaughter sentence, or Dr. Klassen’s evidence about burnout. (2) The requirement for 24-hour supervision to control the appellant’s risk [90] The appellant contends that the trial judge set too high a standard with respect to whether there was a reasonable prospect of his eventual control in the community. The three experts agreed that with proper controls and supervision – including prevention plans for substance abuse and intimate partner violence – the appellant’s risk to the public could be managed in the community. The appellant submits that the trial judge erred in not accepting their evidence and instead concluding that only 24-hour supervision would suffice. [91] I disagree. The trial judge was required to assess, based on the evidence, whether there was a reasonable expectation that a determinate sentence followed by an LTSO with conditions would adequately protect the public against the commission of another serious personal injury offence by the appellant. This entailed an assessment of the proposed conditions in the context of her findings about the appellant’s risk and risk factors. [92] The trial judge described as “[t]he most compelling evidence to support a lesser sentence”, the agreement among the three experts that the risk to the public could be managed with proper controls in place. She set out the conditions of release into the community that were proposed by each of Dr. Klassen and Dr. Chaimowitz (which were quite similar). Dr. Klassen’s proposed conditions were as follows: · Treatment with respect to values and attitudes and management of aggressive behaviour only as a monitoring function; · Treatment for substance use, again as a monitoring function; · Abstinence from the use of alcohol and non-prescribed agents and the requirement to submit samples of breach or urine; · Maintenance of employment subject to verification by third parties; · Refraining from associating with individuals known to have a criminal record other than when such association is inevitable; and · Regular disclosure of financial circumstances and any current or anticipated intimate relationships. [93] Dr. Klassen was examined on the proposed conditions and their purpose and feasibility in the context of the appellant’s history. He had testified that the “key element” was control, since treatment of the appellant was not an option, and that reoffence would occur if there were a lack of supervision or external controls. Dr. Klassen testified that the goal of the specific conditions he proposed was not to change the appellant’s behaviour, but to monitor it. He observed that the conditions about abstinence from drugs and alcohol, maintenance of employment, and refraining from associations with people with criminal records, were asking for a “lifestyle change”: these were “empirically risk-reducing” factors, although whether they were risk-reducing in the appellant’s case was “a little harder to say”. Dr. Klassen noted that, if the offender wanted to conceal his criminal associations, the condition prohibiting such associations would be a lot tougher to monitor without 24-hour supervision, and he agreed that the appellant had violated such a condition in the past (when his association with the Hell’s Angels, which he denied, led to the suspension of his parole on the manslaughter sentence). Dr. Klassen acknowledged that when an offender is residing in a community correctional facility or a community residential facility (halfway house), these kinds of controls are dependent upon luck, surveillance, or the offender being truthful about what they are doing, and that offenders are typically not supervised when they are away from the facility. [94] As for the condition requiring disclosure of intimate relationships, Dr. Klassen stated that this condition was included because intimate partner violence was the issue of greatest concern in this case. He acknowledged this was another condition the appellant had violated while on parole, when he had not disclosed that he was living with his girlfriend and her parents. He agreed that the condition depended on the appellant to be truthful, and that the appellant had lied to his probation officer in January 2014 about whether or not he knew a woman named S.S. (S.S. became his next victim). When Dr. Klassen was asked whether they would be trusting the appellant to provide the information about his intimate relationships and to respond truthfully when asked, he responded, “well, one would hope”. [95] I do not accept the appellant’s argument that the trial judge erred in refusing to impose a determinate sentence followed by an LTSO, based on the conditions proposed by Dr. Klassen. Having heard and considered the evidence, she reasonably concluded that the extent of the monitoring and verification required to ensure the appellant’s compliance with the various conditions was not possible. This was not, as the appellant submits, a standard of perfection, or a requirement for absolute compliance with supervision conditions rather than preventing violent offences. The trial judge focussed on the most pertinent risk – that of intimate partner violence. She concluded, reasonably, that the requirement to self-report intimate partners, even assuming that the appellant complied with the condition, would not have protected D.G., who was assaulted by the appellant mere hours after they met. Because of the appellant’s history of non‑compliance with court orders, lying and intimate partner violence, the safety of the public, and in particular of potential intimate partners of the appellant, could only be achieved with maximum control and 24-hour supervision. The trial judge concluded, at para. 193: I am not satisfied that intensive supervision of [the appellant] in the community as proposed by the experts is a realistic means of protecting the public. There is no evidence of available resources adequate to ensure the level of supervision and the extent of controls needed in a long-term supervision order can be achieved. Because [the appellant] is a habitual liar and cannot be trusted to do as he is court-ordered and furthermore, his offending has expanded to intimate partner violence, the checks and balances needed to ensure the protection of the public are not workable. Only maximum control and 24 hour supervision will ensure the safety of the public and, in particular, potential intimate partners of [the appellant]. That level of control and supervision cannot be achieved in the community. [96] In R. v. K.P. , 2020 ONCA 534, 152 O.R. (3d) 145, this court dismissed an appeal from a dangerous offender designation and indeterminate sentence where the sentencing judge concluded that the conditions for an LTSO proposed by two experts were inadequate to protect the public. As in this case, K.P. had limited success with treatment and had battled substance abuse for decades, including on the night of the predicate offence. The sentencing judge, like the trial judge in the present case, was concerned about the feasibility of monitoring intimate relationships that can form and escalate quickly. She had identified the specific frailties in the expert’s proposed plan of supervision, including that monitoring intimate relationships depends on self-reporting, and she had concluded that, due to his history of fast attachment and tendency to resort to violence in intimate relationships “no amount of supervision could prevent yet another victim being attacked by [K.P.] should he be released into the community too soon”: at para. 68. This court upheld the indeterminate sentence, finding that the sentencing judge properly engaged in an individualized assessment of all relevant circumstances. [97] Similarly, in the present case the trial judge considered the proposed conditions in the context of an individualized assessment of the relevant circumstances. There was a troubling history of non-compliance with conditions of release and extreme violence within hours of meeting someone. The appellant had no real response to treatment. His transition into domestic abuse enhanced the risk of uncontrollability. The trial judge’s finding that there was no reasonable possibility of eventual control of the appellant’s risk to reoffend in the community reveals no error. The terms of an LTSO were not feasible for the reasons that the trial judge explained. DISPOSITION [98] For these reasons, I would dismiss the conviction appeal and the appeal of the decision that the appellant is a dangerous offender and of his indeterminate sentence. Released: “DD” August 10, 2021 “K. van Rensburg J.A.” “I agree. Doherty J.A.” “I agree. David Watt J.A.” [1] The appellant was charged with six counts. He was acquitted of charges of uttering a death threat and attempted procuring. [2] The circumstances of the assault, the appellant’s guilty plea, and his conviction were relevant to the dangerous offender application. [3] The appellant’s factum also asserts that the trial judge erred in saying that the testimony of the complainant’s friend, A.A., and C.B., someone the appellant had previously dated, corroborated certain evidence of the complainant. It is unnecessary to address this submission, which was not pursued in oral argument. It is sufficient to note that, in challenging the trial judge’s reliance on such evidence as corroborating (or supporting) certain aspects of the complainant’s evidence, the appellant simply takes issue with the trial judge’s reasonable interpretation of the evidence of A.A. and C.B., without identifying any reversible error. [4] In her reasons for conviction t he trial judge did not refer to R.E.’s evidence about what he was told by the complainant about the beating incident and the cutting incident. Rather, in describing their evidence as consistent, the trial judge restricted herself to R.E. and the complainant’s respective accounts of the photos and text messages sent to R.E after the beating incident. She said that “both testified that three photos and a text were sent to [R.E.] on April 28th, 2013. Any inconsistency between his evidence and her evidence as to the sequence and timing of the photos and text being sent and received is not material” (emphasis added). This responded to defence counsel’s submissions challenging the complainant’s credibility on the basis that there were inconsistencies in the complainant’s evidence with respect to the timeline after the beating when she took the pictures and sent them to her father, and used her cellphone to text her father. [5] Unless the court intends to use “corroboration” in its strict legal sense, this term is best avoided. The use of the term “corroboration” for evidence that supports or confirms material aspects of a witness’s evidence - but is not independent of its source - invites the argument that the trial judge misapprehended the evidence: David M. Paciocco, Palma Paciocco & Lee Stuesser, The Law of Evidence, 8 th ed. (Toronto: Irwin Law, 2020), at pp. 674-75. See, for example, R. v. Mackenzie , 2015 ONCA 93 and R. v. Flores , 2020 ONCA 158.
COURT OF APPEAL FOR ONTARIO CITATION: Nemchin v. Green, 2021 ONCA 573 DATE: 20210819 DOCKET: C67869 Roberts, Trotter and Thorburn JJ.A. BETWEEN Tatiana Nemchin Plaintiff (Appellant) and Yvonne Green Defendant (Respondent) Joseph Y. Obagi and Elizabeth A. Quigley, for the appellant Stephen G. Ross, Thomas Macmillan and Meryl Rodrigues, for the respondent Heard: October 27, 2020 by video conference Supplementary reasons to the judgment in Nemchin v. Green , 2021 ONCA 238, released on April 16, 2021. ADDENDUM [1] In our reasons dated April 16, 2021, reported at 2021 ONCA 238, we allowed the appellant’s appeal from the order requiring her to top up the amount of the long-term disability benefits received from her employer’s group benefits insurer, Sun Life Assurance Company of Canada (“Sun Life”), that she assigned to the respondent’s insurer, Aviva Insurance Company of Canada (“Aviva”), pursuant to s. 267.8(12) of the Insurance Act , R.S.O. 1990, c. I.8. Costs were determined in our May 19, 2021 endorsement, reported at 2021 ONCA 342. [2] In paragraph 46 of our reasons, we invited the parties to make brief written submissions if they required further direction concerning the treatment of any tax refund they may obtain with respect to the tax remittances that Sun Life has made from the disability payments since the date of the assignment to Aviva and the wording of the amended formal order of the trial judge in accordance with this court’s reasons. We have received and reviewed the parties’ further written submissions on these matters. [3] The appellant raises the following issues. First, she submits that in the event Aviva chooses not to request that Sun Life cease to deduct taxes from the plan payments, she will be prejudiced because she will continue to receive a T4A document from Sun Life and will have to pay taxes on monies she is not receiving and that should not be taxable. In this event, the appellant submits she should be entitled to independently contest Sun Life’s tax deduction. Second, in the event that Aviva chooses not to apply for a tax refund of the Sun Life tax remittances made during the assignment, she is entitled to apply for any tax refund and Aviva must pay her expenses to do so and pay for any other expenses related to the assignment’s operation. Finally, if she is successful in her independent applications to Sun Life or the Canada Revenue Agency (“CRA”), she submits that Aviva cannot then reassert a claim to any tax differential because it has abandoned its interest. [4] The respondent submits that this court’s order does not compel Aviva to contest Sun Life’s tax remittances or seek a tax refund with respect to those remittances from the CRA. The respondent does not object to the appellant contesting Sun Life’s tax deductions at source or her seeking a tax refund from the CRA but she must do so at her own expense. Moreover, in the event she receives a tax refund of any Sun Life remittances, she must pay any such tax refund to Aviva in accordance with the assignment of her rights under the plan to avoid double recovery. [5] While it is certainly consistent with the respondent’s position on appeal that Aviva should request that Sun Life cease deducting taxes at source and seek a refund of tax remittances from the CRA, we agree that our order does not compel it to do so. Neither party raised and accordingly we did not determine the question of whether, if Aviva does not make these applications, the appellant should be permitted to do so and at Aviva’s expense. [6] In paragraph 29 of our reasons, we clarified that “by virtue and for the term of the assignment, [Aviva] has all the appellant’s rights and is subject to all the provisions under the plan, including, subject to the [Sun Life] plan, the ability to deal directly with Sun Life and to contest the deduction of income taxes from the payments” (footnote omitted). In other words, as we also stated at paragraphs 39-42 and 44, Aviva steps into the appellant’s shoes during the assignment and is entitled to receive the benefits, but for the assignment, the appellant would have received under the plan and make any claim to Sun Life that the appellant would have been entitled to make in relation to her rights under the plan, with the appellant’s cooperation, if required by Sun Life, and at Aviva’s expense. By the same token, as a result and for the duration of the assignment, the appellant is relieved from any further cost in relation to the assignment of her rights under the plan. Accordingly, if Aviva wishes to contest Sun Life’s remittances or pursue any tax refund for the period of the assignment, it must pay the expenses for doing so. [7] The practical difficulty with the appellant’s request that she be permitted to deal directly with Sun Life concerning the source deduction issue is that we have not been advised nor do we have any evidence whether, given the assignment of the appellant’s rights, Sun Life is content to deal directly with the appellant concerning the source deduction issue or whether that request must come from Aviva, as assignee. As a result, we are not in a position to make an order that may affect a non-party, Sun Life. However, this is something that the parties should be able to work out on consent with Sun Life. In the event that Sun Life will deal directly with the appellant, Aviva has indicated that it has no objection to her doing so. However, as we noted at paragraph 35 of our April 16 reasons, Sun Life previously took the position that absent a CRA ruling or court order, it would continue to make source deductions. [8] With respect to the reimbursement of the appellant’s expenses, there is no evidence that the appellant has incurred or will incur any additional expense to respond to the T4A slip received from Sun Life. If Sun Life has been deducting and remitting the correct amount of taxes, it is difficult to see why the appellant would have additional taxes to pay; and if the appellant is submitting an annual tax return in any event, it is unlikely that including the T4A slip would add to the cost of the return’s preparation. That said, to the extent that the appellant is actually incurring additional expense to respond to the T4A slip, she is entitled to be reimbursed by Aviva as part of the expenses related to the assignment that we have already determined are Aviva’s responsibility. Again, this is an issue that the parties should be able to resolve upon the appellant providing to Aviva evidence of her expenses. [9] With respect to the issue of the tax refund, given that Aviva, as assignee of the appellant’s rights, would be entitled to the gross payments under the plan if Sun Life made no source deductions, it follows that it is entitled to receive any tax refund of those source deductions, just as the appellant would but for the assignment. Aviva has not agreed to forego its entitlement to any tax refund and there is no basis to order that it should. [10] That said, as confirmed by the respondent, if Aviva does not pursue a tax refund, there is no impediment to the appellant seeking from the CRA a refund of the Sun Life remittances. Indeed, any such application to the CRA would likely have to be in the name of the appellant, the taxpayer. The question is whether Aviva should fund the appellant’s costs of such an application as part of the costs of the assignment. We conclude that it should because Aviva would receive the greater benefit of the tax refunds as part of the assignment. [11] Accordingly, if Aviva does not pursue the application for a tax refund, then it shall reimburse the appellant’s reasonable expenses for bringing such an application. “L.B. Roberts J.A.” “Gary Trotter J.A.” “J.A. Thorburn J.A.”
WARNING The President of the panel hearing this appeal directs that the following should be attached to the file: An order restricting publication in this proceeding under ss. 486.4(1), (2), (2.1), (2.2), (3) or (4) or 486.6(1) or (2) of the Criminal Code shall continue.  These sections of the Criminal Code provide: 486.4(1)       Subject to subsection (2), the presiding judge or justice may make an order directing that any information that could identify the victim or a witness shall not be published in any document or broadcast or transmitted in any way, in proceedings in respect of (a)     any of the following offences; (i)      an offence under section 151, 152, 153, 153.1, 155, 159, 160, 162, 163.1, 170, 171, 171.1, 172, 172.1, 172.2, 173, 210, 211, 213, 271, 272, 273, 279.01, 279.011, 279.02, 279.03, 280, 281, 286.1, 286.2, 286.3, 346 or 347, or (ii)      any offence under this Act, as it read at any time before the day on which this subparagraph comes into force, if the conduct alleged involves a violation of the complainant’s sexual integrity and that conduct would be an offence referred to in subparagraph (i) if it occurred on or after that day; or (iii)     REPEALED: S.C. 2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49). (b)     two or more offences being dealt with in the same proceeding, at least one of which is an offence referred to in paragraph (a). (2)     In proceedings in respect of the offences referred to in paragraph (1)(a) or (b), the presiding judge or justice shall (a)     at the first reasonable opportunity, inform any witness under the age of eighteen years and the victim of the right to make an application for the order; and (b)     on application made by the victim, the prosecutor or any such witness, make the order. (2.1) Subject to subsection (2.2), in proceedings in respect of an offence other than an offence referred to in subsection (1), if the victim is under the age of 18 years, the presiding judge or justice may make an order directing that any information that could identify the victim shall not be published in any document or broadcast or transmitted in any way. (2.2) In proceedings in respect of an offence other than an offence referred to in subsection (1), if the victim is under the age of 18 years, the presiding judge or justice shall (a) as soon as feasible, inform the victim of their right to make an application for the order; and (b) on application of the victim or the prosecutor, make the order. (3)     In proceedings in respect of an offence under section 163.1, a judge or justice shall make an order directing that any information that could identify a witness who is under the age of eighteen years, or any person who is the subject of a representation, written material or a recording that constitutes child pornography within the meaning of that section, shall not be published in any document or broadcast or transmitted in any way. (4)     An order made under this section does not apply in respect of the disclosure of information in the course of the administration of justice when it is not the purpose of the disclosure to make the information known in the community. 2005, c. 32, s. 15; 2005, c. 43, s. 8(3)(b); 2010, c. 3, s. 5; 2012, c. 1, s. 29; 2014, c. 25, ss. 22,48; 2015, c. 13, s. 18.. 486.6(1)       Every person who fails to comply with an order made under subsection 486.4(1), (2) or (3) or 486.5(1) or (2) is guilty of an offence punishable on summary conviction. (2)      For greater certainty, an order referred to in subsection (1) applies to prohibit, in relation to proceedings taken against any person who fails to comply with the order, the publication in any document or the broadcasting or transmission in any way of information that could identify a victim, witness or justice system participant whose identity is protected by the order. 2005, c. 32, s. 15. COURT OF APPEAL FOR ONTARIO CITATION: R. v. M.R., 2021 ONCA 572 DATE: 20210823 DOCKET: C64651 Hourigan, Zarnett and Coroza JJ.A. BETWEEN Her Majesty the Queen Respondent and M.R. Appellant Eric Neubauer, for the appellant Nicholas Hay, for the respondent Heard: May 31, 2021, by videoconference On appeal from the conviction entered by Justice R. Cary Boswell of the Superior Court of Justice on October 6, 2017, with reasons reported at 2017 ONSC 5891. Hourigan J.A.: A. INtroduction [1] The appellant invited the complainant, who was his employee, to his house to discuss the complainant’s employment. The two had dinner and drinks, after which they both fell asleep. What happened next is at the crux of the case. According to the complainant, he awoke to the appellant fondling his genitals and rubbing his buttocks, and then the appellant inserted something into his anus. He testified that when he tried to leave, the appellant grabbed and stopped him. In contrast, the appellant's evidence was that he never touched the complainant, and when the complainant awoke, he was panic-stricken and incoherent. Both parties agreed that the complainant ended up in a bathroom. The complainant stated that while in this bathroom, he called his sister for assistance. [2] The appellant was convicted of sexual assault and was acquitted of unlawful confinement. He appeals his conviction, submitting that the trial judge erred in: (1) relying on speculative conclusions to make his credibility and reliability assessments; (2) failing to consider comments made by the complainant that suggested his account of the sexual assault was unreliable; (3) providing insufficient reasons; and (4) employing different levels of scrutiny in his assessment of the appellant’s and the complainant’s evidence. [3] As I will explain, I find these arguments to be unpersuasive. I am not satisfied that the trial judge relied on speculative reasoning to bolster his credibility and reliability assessments. The remaining grounds of appeal all amount to essentially the same submission: the trial judge should have disbelieved the complainant because he was in a state of cognitive impairment on the evening in issue. In my view, the trial judge’s credibility and reliability assessments were well-grounded in the evidence, and there is no basis for appellate interference. I would accordingly dismiss the appeal. B. facts [4] The complainant worked as a ramp attendant at a municipal airport. The appellant was a part-owner of the company where the complainant was employed. In August 2014, the complainant made his third significant error on the job, and the appellant was called into work to deal with the situation. According to the complainant, the appellant informed him that he would be dismissed. He became upset with the news, and went into the washroom and cried. The appellant denied that he told the complainant that he would be fired, but he agreed that the complainant went to the bathroom after speaking with him and that when the complainant returned, it was apparent he had been crying. [5] In any event, it is common ground that when the complainant came out of the washroom, the appellant said that they could have a meeting to discuss a second chance. The complainant testified that the appellant told him that the meeting had to remain a secret. In contrast, the appellant testified that the meeting was originally supposed to occur in the hangar and that anyone around could participate. [6] The appellant and the complainant ultimately met in the early evening at the parking lot of a Canadian Tire store. The complainant then followed the appellant to his house. The two ate dinner together and began drinking alcohol. The complainant testified that he did not expect or want to drink, but the appellant demanded that he take a shot during each commercial break. He did not believe that the appellant drank every time he did. On the other hand, the appellant testified that the complainant was in control of how much he drank and that he simply told the complainant to help himself to alcohol. It was the complainant, he says, who was mixing the drinks throughout the evening. [7] At some point, the complainant became very emotional when discussing his family. According to the complainant, the appellant asked him if his parents had hurt him and said his father must have “hurt him really bad”. The appellant then put his arm around the back of the complainant’s torso and pulled him over his lap. The appellant’s account of this conversation was that he simply asked the complainant why he was having difficulty concentrating at work. At that point, the complainant became very emotional, began to cry, and hugged the appellant. [8] Later that evening, the complainant vomited on himself. The appellant offered to wash his clothes. The complainant testified that he asked if he could go and see if he had extra clothes in his car, but the appellant said no and provided the complainant with his bathrobe. The pair returned to the couch and eventually fell asleep. [9] The complainant testified to waking up with his underwear around his knees. The appellant was standing beside him with his belt undone, his pants unbuttoned, and his zipper down. According to the complainant, the appellant was fondling his penis and rubbing his buttocks. The complainant said that he tried to push his back up against the couch and pull up his underwear, but the appellant grabbed his buttocks and penetrated his anus with something other than his penis. The complainant’s evidence was that he then "freaked out," pulled up his underwear, and raised his voice. The appellant told him to calm down and that he had a nightmare. The complainant ran out of the basement exit door, but the appellant grabbed him, pulled him back, and told him he could not go outside because it was not safe. [10] The appellant testified that he woke up to the complainant standing up and having some sort of seizure. He was unsteady, hyperventilating, and asking, “where am I?” and “what’s happening to me?” According to the appellant, he helped steady the complainant and directed him outside to get some fresh air. The appellant denied ever touching the complainant on the buttocks or genitals. [11] The complainant testified that the appellant told them they were going to the spare bedroom. The complainant said that he tried to escape through the front doors, but was stopped by the appellant. He ran into a bathroom, where he said he called his sister. His sister testified to receiving a call at approximately 6:00 a.m. The complainant was panic-stricken; he did not know where he was or how to get home and asked her for help. The call dropped, and she called back. The complainant continued to talk as if he did not realize that they had been disconnected. He told her that the devil was taking over his body. She called 911. [12] The 911 operator contacted the complainant, who said that he had never felt like this before, that he was “screwed up," and that the appellant was "giving him drugs." The appellant also spoke to the operator and provided his name, date of birth, and address. He told the operator that the complainant was not injured and that he had gone to bed and suffered a panic attack. In the background of the call, the complainant could be heard yelling, "I know everything I did; I know everything that happened" and "I don't want him to fuck me, please." [13] When the police arrived, the complainant was escorted to an ambulance. The responding officer, P.C. Ledwidge, testified that the complainant smelled of alcohol and was clearly under its influence, but was able to provide a coherent account of what happened. The officer noted that the appellant did not appear intoxicated. The complainant was taken to a hospital where he saw a sexual assault and domestic violence nurse. Blood samples and penile and rectal swabs were taken from the complainant. His blood alcohol content was 100 mg of alcohol per 100 ml of blood. A small quantity of the appellant's D.N.A. was found on the complainant's penis. C. Decision below [14] Credibility and reliability were the central issues at trial. The trial judge explained why he found the complainant credible and reliable and why he disbelieved much of the appellant’s testimony. He rejected the attacks on the complainant's credibility, which centred on the manner in which he testified and the alleged inconsistencies in his testimony. Regarding the appellant's evidence, the trial judge rejected critical components of his testimony, including who was directing the consumption of alcohol by the parties that evening. The trial judge ultimately concluded that he was satisfied, beyond a reasonable doubt, that the appellant sexually assaulted the complainant. [15] The appellant was acquitted of unlawful confinement. The trial judge was not satisfied that, post-sexual assault, the complainant’s perception of the events was entirely reliable. This was mainly due to the complainant's heightened emotional state. The trial judge also had doubts about whether the appellant would be physically capable of restraining the complainant. Additionally, he noted that the complainant was not deprived of his mobile phone, which he ultimately used to call for help. D. Analysis (1) Speculation in Credibility and Reliability Assessment [16] The appellant's first ground of appeal is that the trial judge erred by using speculative conclusions in assessing credibility and reliability. Specifically, he submits that the trial judge erred in: (a) his consideration of the D.N.A. evidence; (b) assessing the complainant's level of intoxication by using his blood alcohol content and neglecting his consumption of marijuana; and (c) his assessment of the appellant’s level of intoxication. (a) The D.N.A. Evidence [17] The first complaint is regarding the trial judge's use of the D.N.A. evidence. The appellant argues that the trial judge erred in concluding that it was "significantly more likely that [the appellant's] DNA found its way onto [the complainant’s] penis through direct transfer." This was speculation, he submits, because the D.N.A. expert called by the Crown testified that “there’s nothing in this case file that [would] indicate whether it’s indirect or direct transfer.” According to the appellant, the trial judge then used his speculative conclusion to bolster the credibility of the complainant and the reliability of his evidence. [18] At trial, the primary defence position was that the D.N.A. had been indirectly transferred in one of the bathrooms used that night. The defence theory rested on the appellant's evidence that "[m]ost times" he spits in the toilet when he urinates. The complainant testified that he urinated in the downstairs washroom (but could not remember how many times) and that he defecated once in the upstairs washroom after the assault. The appellant testified that he used the downstairs washroom three to four times and the upstairs washroom a couple of times. The defence also suggested, in its cross-examination of the Crown’s D.N.A. expert, that there could be indirect D.N.A. transfer through the handling of a remote control or as a consequence of the complainant wearing the appellant's bathrobe. [19] The Crown's D.N.A. expert testified that, due to the small size of the D.N.A. material, he could not opine on whether the presence of the appellant's D.N.A. on the complainant's penis was the result of an indirect or direct transfer. His evidence was that his findings were consistent with the "handling or fondling" of the complainant's penis. However, he fairly conceded that an indirect transfer by means of a toilet seat or through the use of the robe or remote was possible in certain conditions. According to the expert, four factors would have to be considered in assessing whether an indirect transfer was possible: dryness, pressure/friction, duration, and amount of source material. [20] The evidentiary foundation in support of this indirect transfer theory was weak. There was no evidence that the appellant had, in fact, spit on the toilet seat (as opposed to in the toilet) or any other area that could have come in contact with the complainant's penis. There was also no testimony about the sequence or the timing of the complainant’s and the appellant’s respective trips to the downstairs bathroom. Nor was there any evidence — and the complainant was never asked — about whether his penis had come into contact with a toilet seat. Further, neither the appellant nor the complainant testified about the complainant touching the remote. The complainant wore the appellant’s robe but kept his underwear on, thus reducing the chance of direct contact between the complainant’s penis and the robe. [21] Contrary to the assertion that the trial judge speculated regarding the D.N.A. evidence, he was, in fact, careful to downplay its significance in his analysis. His treatment of the evidence was as follows: [120]  I should also comment on the DNA evidence more directly. I have used this evidence only as a piece of circumstantial evidence that is consistent with [the complainant’s] version of events. [121]  I accept that it is consistent with other, innocent means of transfer and for that reason I have not used it as the "powerfully corroborative" evidence that the Crown suggested it is. [122]  I think in the circumstances it is significantly more likely that [the appellant’s] DNA found its way onto [the complainant’s] penis through direct transfer. Indeed, I consider the suggestion of possible indirect transfer to be little more than speculation. [123]  In the usual course, it is not necessary for the Crown to establish any given fact to the reasonable doubt standard. It is usually enough that I be satisfied that the evidence on offer is sufficiently reliable to conclude that a fact in issue is proven. But if I were to conclude that the DNA on [the complainant’s] penis was the result of direct transfer, the essential element of an intentional touching would be established on that inference alone. Whether the touching occurred is the central issue in the case and for that reason, it is my view that I must apply the reasonable doubt standard to my consideration of the means by which [the appellant’s] DNA came to be on [the complainant’s] penis. Given the limited amount of DNA and the evidence of [the Crown’s expert], I am unable to say that the evidence meets that high standard. [22] Based on the foregoing, it is clear that the trial judge concluded that it was more likely than not that the D.N.A. was transferred directly and not indirectly. In other words, if he applied a balance of probabilities standard, he would have been satisfied that there was a direct transfer. This was a finding that was open to the trial judge, as he was not bound by the expert opinion proffered in a factual vacuum: R. v. McNeill-Crawford , 2020 ONCA 504, 392 C.C.C. (3d) 127, at para. 40. The trial judge properly considered the issue of the D.N.A. evidence, having regard to all of the evidence adduced at trial as he was required to do: R. v. Singh et al ., 2020 MBCA 61, at para. 69. [23] In his reasons, the trial judge was at pains to avoid an inference of guilt based on a finding, on a balance of probabilities standard, that there was no indirect transfer. Instead, the trial judge held the Crown to the beyond a reasonable doubt standard. Therefore, rather than using his finding regarding the D.N.A. to draw the inference that was open to him, the trial judge limited its use to a piece of circumstantial evidence that was consistent with the complainant's version of events. This use of the evidence in assessing the credibility of the parties worked to the appellant's benefit. [24] Further, there was nothing impermissible in the trial judge using this evidence as a piece of circumstantial evidence consistent with the complainant's version of events. Evidence does not become irrelevant simply because it can be interpreted in more than one way or because multiple inferences can be drawn from it. The trial judge's responsibility is to decide on the weight to be given the evidence in light of the other evidence: R. v. Sutherland , 2016 ONCA 674, 342 C.C.C. (3d) 309, at para. 36; R. v. Carroo , 2010 ONCA 143, 259 O.A.C. 277, at para. 33. The trial judge did just that, and there is no basis for appellate interference. (b) The Complainant’s Intoxication [25] The appellant submits the trial judge erred in finding that the complainant’s “blood alcohol content was not sufficiently high enough to support a conclusion that he was not capable of distinguishing between a nightmare and the experience of his boss fondling his penis.” He argues that this is another instance where the trial judge wrongly used speculation to bolster his credibility findings. [26] Specifically, the appellant says there are two problems with this finding. The trial judge was not entitled to infer the effects of a blood alcohol content on the complainant without evidence. Second, he says that the trial judge drew this inference from an incomplete evidentiary record. The evidence spoke only to the complainant’s blood alcohol content at the time of testing, not at the time of the assault. In addition, the trial judge did not consider that the complainant also had marijuana in his system. [27] The Crown submits that the point made by the trial judge was that there was no evidence adduced about whether alcohol, at any level, is capable of causing someone to hallucinate or lose the ability to distinguish between dream and reality. Further, the Crown says that it was open to the trial judge, in the absence of such evidence, to conclude that he could not infer any such effects. [28] In my view, in this part of his reasons, the trial judge was turning his mind to the critical issue of whether the complainant was so intoxicated that it prevented him from accurately perceiving what was happening to him. His reference to the complainant's blood alcohol content without mentioning the other evidence on the complainant’s intoxicated level was unfortunate. However, leaving aside whether extreme intoxication is capable of causing someone to lose the ability to distinguish between dream and reality, there was ample evidence to ground a finding that the complainant was not so intoxicated that he hallucinated or was in a delusional state. [29] For example, P.C. Ledwidge, who spoke with the complainant shortly after the sexual assault, testified that he “was under the influence of alcohol, but he was coherent enough to have a conversation.” The complainant was able to explain, in detail, to P.C. Ledwidge why he was at the appellant’s house and the events of the evening. In addition, there was also evidence from the appellant that the complainant remained coherent despite the amount of alcohol he drank. In cross-examination, the appellant was adamant that, throughout the night, the complainant was not “extremely drunk.” [30] I also agree with the Crown that the complainant’s marijuana use was a non-issue. The complainant smoked marijuana approximately 21 hours before the assault. He was clear in his testimony that he was not feeling any effects from it by the time he met the appellant. In addition, he testified that marijuana has never caused him to have delusions, and that mixing marijuana and alcohol had never affected his recall. [31] In summary, I am not persuaded that the trial judge engaged in speculation in his consideration of the complainant's level of intoxication. The record well supported his finding that there was no basis for concluding that the complainant was so intoxicated that he could not distinguish between a nightmare and an actual sexual assault. (c) The Appellant’s Intoxication [32] The trial judge found that if the appellant had been matching the complainant's drinking as he said he was, he would have been "quite intoxicated" when the responding officer arrived. The appellant submits that the trial judge had no evidentiary basis for concluding whether the appellant would have been intoxicated from drinking the same amount as the complainant. [33] I would not give effect to this argument. It highlights the folly in dissecting a trial judge's reasons and reviewing them in a piecemeal fashion. The more significant point that the trial judge was making concerned the vital issue of who was directing the alcohol consumption that evening. The complainant testified that the appellant told him to drink at every commercial, but that the appellant had very little to drink himself. In contrast, the appellant testified that the complainant was leading the drinking and that they consumed a significant amount together. This discrepancy was a critical issue in understanding the competing narratives of what occurred that evening. [34] The trial judge rejected the appellant’s suggestion that the complainant was in control of the amount of alcohol consumed. He found that the appellant was dominant and clearly a person of authority over the complainant. Further, he noted that it was the appellant's home and alcohol, and that the appellant was the complainant's boss and almost 40 years older than the complainant. In his view, it was unlikely that the complainant would have chosen to consume excessive amounts of alcohol at his boss' house while trying to save his job. The trial judge also did not believe the complainant would be drinking as he was planning on driving home. As such, the trial judge found that the appellant was likely the one directing the consumption of alcohol. He noted that none of this was positive evidence of guilt, but that he was simply rejecting these portions of the appellant's evidence. [35] In this context, the trial judge did not believe the appellant's assertion that he had drunk as much as the complainant. That finding was supported by independent evidence. For example, the trial judge determined that the appellant gave no impression of being intoxicated when he spoke to the 911 operator or P.C. Ledwidge. Further, during an interview by the police two months after the incident, the appellant said he was sober when P.C. Ledwidge and the ambulance arrived at his home. (2) The Reliability Assessment of the Complainant [36] The appellant further argues that the trial judge failed to consider evidence relevant to the material issue of the reliability of the complainant’s testimony, which he says amounts to a misapprehension of evidence. According to the appellant, that misapprehension played an essential role in convicting him and thereby undermined trial fairness. [37] The appellant submits that the fact the complainant believed he was assaulted is not determinative of guilt. The trial judge's reliability assessment needed to grapple with whether the complainant had falsely perceived the assault in a state of cognitive impairment. According to the appellant, the trial judge failed to consider several pieces of evidence regarding the complainant’s cognitive impairment at the time of the incident, including: · telling his sister that the devil was taking over his body and being unresponsive on the phone with her; · stating that he did not know where he was; · appearing unaware that their conversation ended when she phoned him back; and · telling the 911 operator that he did not "know anything" and that he thinks he is "screwed up" and that the appellant was giving him drugs. [38] Additionally, the appellant says that the trial judge’s reliability assessment also ignored that the complainant expressed reservations about whether he recalled the assault accurately. Finally, the appellant submits that the verdict on the count of unlawful confinement itself raised doubt about whether the complainant was able to perceive events accurately. [39] I would not give effect to this ground of appeal, which amounts to an invitation to redo the trial judge’s reliability assessment. The trial judge was alive to the complainant’s actions and statements after waking up, and drew an inference that his erratic behaviour was due to genuine traumatization. That was a finding open to the trial judge. We are long past the point in our jurisprudence where we impose on sexual assault victims stereotypical notions of how they are to behave after being assaulted and then assess their credibility and reliability based on whether their behaviour was consistent with those stereotypes. [40] In my view, the appellant also places undue emphasis on the complainant's statement about whether he recalled the assault accurately. It is correct that the complainant explained that he had doubts in the sense that he did "not [want] to think [the assault] actually happened." However, he was unshaken in cross-examination that he "know[s] it happened" and that he "wasn't imagining." [41] I also see nothing in the acquittal on the count of unlawful confinement that is supportive of this ground of appeal. The trial judge distinguished between the complainant's memory of waking to find his boss sexually assaulting him from his ability to recall what happened immediately afterward when he was increasingly in a state of emotional trauma. That was a sensible and available interpretation of the evidence. (3) Insufficient Reasons [42] In a submission largely overlapping the grounds of appeal considered above, the appellant argues that the trial judge provided insufficient reasons for his decision. According to the appellant, by speculating and ignoring critical evidence, the reasons insufficiently articulate how serious reliability concerns were resolved. He says that the primary concern was whether the complainant’s perception of the sexual assault was sufficiently reliable to ground a conviction. [43] The thrust of the appellant's submission is that the trial judge resolved this issue by relying on speculation and without reference to evidence which suggested that the complainant did not accurately perceive events. He argues that the central question remains unanswered when these errors are stripped from the reasons. In particular, sufficient reasons were needed to explain why the complainant feeling like the devil had taken over his body, falsely believing that the appellant gave him drugs, feeling “screwed up” and not knowing anything, and expressing doubts about what actually occurred, did not give the trial judge some concern that the complainant could not accurately perceive reality. [44] The most recent guidance from the Supreme Court regarding insufficient reasons is R. v. G.F. , 2021 SCC 20. Karakatsanis J., writing for the majority, said the following, at paras. 69-70: [69] This Court has repeatedly and consistently emphasized the importance of a functional and contextual reading of a trial judge’s reasons when those reasons are alleged to be insufficient: Sheppard , at paras. 28-33 and 53; R. v. Gagnon , 2006 SCC 17, [2006] 1 S.C.R. 621, at para. 19; Hill v. Hamilton-Wentworth Regional Police Services Board , 2007 SCC 41, [2007] 3 S.C.R. 129, at para. 101; R. v. Dinardo , 2008 SCC 24, [2008] 1 S.C.R. 788, at para. 25; R. v. R.E.M. , 2008 SCC 51, [2008] 3 S.C.R. 3, at para. 15; R. v. Laboucan , 2010 SCC 12, [2010] 1 S.C.R. 397, at para. 16; R. v. Vuradin , 2013 SCC 38, [2013] 2 S.C.R. 639, at paras. 10, 15 and 19; R. v. Villaroman , 2016 SCC 33, [2016] 1 S.C.R. 1000, at para. 15; R. v. Chung , 2020 SCC 8, at paras. 13 and 33. Appellate courts must not finely parse the trial judge’s reasons in a search for error: Chung , at paras. 13 and 33. Their task is much narrower: they must assess whether the reasons, read in context and as a whole, in light of the live issues at trial, explain what the trial judge decided and why they decided that way in a manner that permits effective appellate review. As McLachlin C.J. put it in R.E.M. , “The foundations of the judge’s decision must be discernable, when looked at in the context of the evidence, the submissions of counsel and the history of how the trial unfolded”: para. 17. And as Charron J. stated in Dinardo , “the inquiry into the sufficiency of the reasons should be directed at whether the reasons respond to the case’s live issues”: para. 31. [70] This Court has also emphasized the importance of reviewing the record when assessing the sufficiency of a trial judge’s reasons. This is because “bad reasons” are not an independent ground of appeal. If the trial reasons do not explain the “what” and the “why”, but the answers to those questions are clear in the record, there will be no error: R.E.M. , at paras. 38-40; Sheppard , at paras. 46 and 55. [45] Further, Karakatsanis J. observed that particular deference should be afforded credibility findings, as they are often difficult to articulate with precision. This is especially the case in sexual assault cases. Karakatsanis J. stated, at para. 81: [81] As Slatter demonstrates, a trial judge's findings of credibility deserve particular deference. While the law requires some articulation of the reasons for those findings, it also recognizes that in our system of justice the trial judge is the fact finder and has the benefit of the intangible impact of conducting the trial. Sometimes, credibility findings are made simpler by, for example, objective, independent evidence. Corroborative evidence can support the finding of a lack of voluntary consent, but it is of course not required, nor always available. Frequently, particularly in a sexual assault case where the crime is often committed in private, there is little additional evidence, and articulating reasons for findings of credibility can be more challenging. Mindful of the presumption of innocence and the Crown’s burden to prove guilt beyond a reasonable doubt, a trial judge strives to explain why a complainant is found to be credible, or why the accused is found not to be credible, or why the evidence does not raise a reasonable doubt. But, as this Court stated in Gagnon , at para. 20: Assessing credibility is not a science. It is very difficult for a trial judge to articulate with precision the complex intermingling of impressions that emerge after watching and listening to witnesses and attempting to reconcile the various versions of events. [46] With those comments in mind, I consider the sufficiency of the reasons issued by the trial judge. There is no merit in this submission, which, to my mind, is a reiteration of his argument that the trial judge’s credibility and reliability assessments were flawed. The trial judge’s reasons fairly read make plain that he concluded that the complainant was not hallucinating but was genuinely traumatized. It was this traumatization that the trial judge concluded was the explanation for the complainant’s behaviour post-sexual assault. [47] Obviously, the appellant disagrees with this finding, but this does not amount to insufficient reasons. In my view, the reasons of the trial judge are clear and do not frustrate appellate review. Consequently, I would reject this argument. (4) Uneven Scrutiny of the Parties’ Evidence [48] The final argument advanced by the appellant is that the trial judge subjected his evidence and the evidence of the complainant to different degrees of scrutiny. He says that the trial judge rejected his evidence because he disbelieved his account of who directed the drinking, because he disbelieved his amount of alcohol consumption, and because he described the complainant’s condition as a seizure. In addition, he submits that the trial judge's conclusion that the appellant could not have drunk as much as the complainant was a result of speculation. This, according to the appellant, is in sharp contrast to the trial judge’s use of speculation to boost the complainant’s credibility and reliability. Finally, he says that the trial judge ignored critical evidence and dismissed as insignificant many inconsistencies in the complainant’s testimony. [49] The law regarding the uneven security ground of appeal continues to develop. The seminal case on the point is R. v. Howe , (2005), 192 C.C.C. (3d) 480 (Ont. C.A.). In that case, Doherty J.A., at para. 59, made clear the limited scope of this argument: [59] [I]t is not enough to show that a different trial judge could have reached a different credibility assessment, or that the trial judge failed to say something that he could have said in assessing the respective credibility of the complainant and the accused, or that he failed to expressly set out legal principles relevant to that credibility assessment. To succeed in this kind of argument, the appellant must point to something in the reasons of the trial judge or perhaps elsewhere in the record that make it clear that the trial judge had applied different standards in assessing the evidence of the appellant and the complainant. [50] In G.F. , Karakatsanis J. cast doubt on the utility of uneven scrutiny as an analytical tool to demonstrate error in credibility findings. However, in the absence of full submissions on the issue, she declined to determine whether uneven scrutiny is a helpful or independent ground of appeal. [51] In my view, this is yet another argument made by the appellant that essentially asserts that the trial judge erred in his credibility and reliability assessments. For the reasons stated above, I see no error in the trial judge's analysis. I also reject the argument that he subjected the evidence of the appellant and the complainant to different levels of scrutiny. The trial judge canvassed the alleged inconsistencies in the complainant's evidence. He held that these inconsistencies were minor and explained by the traumatic circumstances. Accordingly, there is no merit in this submission. E. disposition [52] For the foregoing reasons, I would dismiss the appeal. In accordance with the parties’ agreement, I would also dismiss as abandoned the appellant’s sentence appeal and his application to re-open that appeal. Released: August 23, 2021 “C.W.H.” “C.W. Hourigan J.A.” “I agree. B. Zarnett J.A.” “I agree. S. Coroza J.A.”
WARNING The President of the panel hearing this appeal directs that the following should be attached to the file: An order restricting publication in this proceeding under ss. 486.4(1), (2), (2.1), (2.2), (3) or (4) or 486.6(1) or (2) of the Criminal Code shall continue. These sections of the Criminal Code provide: 486.4(1)       Subject to subsection (2), the presiding judge or justice may make an order directing that any information that could identify the victim or a witness shall not be published in any document or broadcast or transmitted in any way, in proceedings in respect of (a)     any of the following offences; (i)      an offence under section 151, 152, 153, 153.1, 155, 159, 160, 162, 163.1, 170, 171, 171.1, 172, 172.1, 172.2, 173, 210, 211, 213, 271, 272, 273, 279.01, 279.011, 279.02, 279.03, 280, 281, 286.1, 286.2, 286.3, 346 or 347, or (ii)      any offence under this Act, as it read at any time before the day on which this subparagraph comes into force, if the conduct alleged involves a violation of the complainant’s sexual integrity and that conduct would be an offence referred to in subparagraph (i) if it occurred on or after that day; or (iii)     REPEALED: S.C. 2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49). (b)     two or more offences being dealt with in the same proceeding, at least one of which is an offence referred to in paragraph (a). (2)     In proceedings in respect of the offences referred to in paragraph (1)(a) or (b), the presiding judge or justice shall (a)     at the first reasonable opportunity, inform any witness under the age of eighteen years and the victim of the right to make an application for the order; and (b)     on application made by the victim, the prosecutor or any such witness, make the order. (2.1) Subject to subsection (2.2), in proceedings in respect of an offence other than an offence referred to in subsection (1), if the victim is under the age of 18 years, the presiding judge or justice may make an order directing that any information that could identify the victim shall not be published in any document or broadcast or transmitted in any way. (2.2) In proceedings in respect of an offence other than an offence referred to in subsection (1), if the victim is under the age of 18 years, the presiding judge or justice shall (a) as soon as feasible, inform the victim of their right to make an application for the order; and (b) on application of the victim or the prosecutor, make the order. (3)     In proceedings in respect of an offence under section 163.1, a judge or justice shall make an order directing that any information that could identify a witness who is under the age of eighteen years, or any person who is the subject of a representation, written material or a recording that constitutes child pornography within the meaning of that section, shall not be published in any document or broadcast or transmitted in any way. (4)     An order made under this section does not apply in respect of the disclosure of information in the course of the administration of justice when it is not the purpose of the disclosure to make the information known in the community. 2005, c. 32, s. 15; 2005, c. 43, s. 8(3)(b); 2010, c. 3, s. 5; 2012, c. 1, s. 29; 2014, c. 25, ss. 22,48; 2015, c. 13, s. 18. 486.6(1)       Every person who fails to comply with an order made under subsection 486.4(1), (2) or (3) or 486.5(1) or (2) is guilty of an offence punishable on summary conviction. (2)     For greater certainty, an order referred to in subsection (1) applies to prohibit, in relation to proceedings taken against any person who fails to comply with the order, the publication in any document or the broadcasting or transmission in any way of information that could identify a victim, witness or justice system participant whose identity is protected by the order. 2005, c. 32, s. 15. COURT OF APPEAL FOR ONTARIO CITATION: R. v. R.S.L., 2021 ONCA 576 DATE: 20210823 DOCKET: C66965 Tulloch, Huscroft and Thorburn JJ.A. BETWEEN Her Majesty the Queen Respondent and R.S.L. Appellant R.S.L., acting in person Paul Alexander, appearing as duty counsel Phillipe Cowle, for the respondent Heard: March 11, 2021 by video conference On appeal from the conviction entered on April 30, 2019 and the sentence imposed on June 26, 2019 by Justice Robbie D. Gordon of the Superior Court of Justice, sitting without a jury. REASONS FOR DECISION [1] The appellant, R.S.L., appeals his conviction of the following offences: sexual assault (x2), receiving material benefits from sexual services (x2), and advertising sexual services (x2). As a result of these convictions, the appellant was sentenced to a global sentence of seven and a half years, less three years pre-trial custody. He also seeks leave to appeal his sentence, and if leave is granted, he appeals his sentence. [2] The appellant appeals his convictions on the basis that the trial judge committed a number of errors with respect to his factual findings. The appellant is essentially asking this court to review the credibility findings of the trial judge. For the following reasons, we are not satisfied that the trial judge committed any errors in his factual findings to warrant appellate intervention. The Background Facts [3] The underlying facts can be summarized as follows. [4] The allegations against the appellant involved three complainants: J.T., J.F., and J.L. The appellant was convicted of all charges related to J.T. and J.F., and acquitted on all charges in respect of J.L. All three complainants were in their early twenties at the time when they met and became involved with the appellant. The appellant was in his late forties. All the complainants were addicted to various types of illicit drugs, including cocaine and fentanyl. Because the appellant was acquitted of the charges pertaining to J.L., we focus our analysis only on the evidence relating to J.T. and J.F. [5] The two complainants, who were the subject of the convictions, testified that they were both sexually assaulted by the appellant, and that at various times the appellant used his own computer to create an escort service advertisement on the online website known as Backpage.com. Both complainants, J.T. and J.F. testified that the appellant took an active role in the advertisement for sexual services, the provision of a room rented by the appellant to meet clients, the amount of fees which each of them charged their various clients, and the monies that should be paid to the appellant in return, by each complainant. The appellant also provided each of J.T. and J.F. with a cellular phone for communications between their clients, and at times, he supplied both complainants with drugs that were to be paid for through escorting. [6] The appellant did not testify. [7] The trial judge found the evidence of both J.T. and J.F. credible and reliable, and convicted the appellant of all charges pertaining to these two complainants. He had a reasonable doubt with respect to the evidence of J.L. and acquitted the appellant with respect to the charges pertaining to her. The Grounds of Appeal [8] In oral argument, the appellant, through duty counsel, advanced three principal grounds of appeal, essentially attacking the trial judge’s credibility findings. He says that the trial judge erred: i.) By drawing the impermissible inference that both complainants’ evidence was more credible because they repeated the same version of events on several previous occasions; ii.) By not considering the risk of collusion by the various complainants, especially because J.T. and J.F. were friends; and iii.) By improperly relying on the lack of embellishment in both complainants’ allegations and evidence to support their credibility. Discussion [9] It must be noted at the outset that a trial judge’s findings of credibility are owed heightened deference and absent a palpable and overriding error will not be interfered with on appeal: R. v. G.F ., 2021 SCC 20, 71 C.R. (7th) 1, at para. 81; R. v. R.E.M. , 2008 SCC, [2008] S.C.R. 3, at para. 32. [10] The appellant argues that the trial judge committed palpable and overriding errors in his factual findings regarding the credibility of the complainants. [11] First, the appellant argues that the trial judge drew the impermissible inference that both complainants’ evidence was more credible because they repeated the same version of events on several previous occasions. [12] The appellant’s argument is based on the following excerpt from the trial judge’s reasons, where he made certain observations. With respect to the evidence of J.T., he stated: I find her evidence to be reliable for several reasons. To begin with, her version of events seemed to have remained quite consistent. She gave a lengthy statement to the police. She testified at the preliminary hearing. She gave evidence at trial. Yet I was directed to very few inconsistencies in her evidence. [13] In reference to the evidence of the complainant, J.F., the trial judge stated as follows: She gave a detailed statement to police, testified in the preliminary hearing, and gave evidence at trial. If there were significant changes in her story, they were not brought to my attention. In short, she was believable. There’s not good reason to doubt the reliability of her evidence and where corroboration might be expected to be found, it was. [14] These observations and comments by the trial judge were made within the context of arguments raised by the defence attacking the credibility and reliability of both complainants’ evidence, as they were both heavy drug users and were addicted to both fentanyl and cocaine. [15] In his closing submissions, the defence counsel at trial made the following statement, which outlined his approach to the evidence: Credibility in these cases is extremely important. We have to look at not only what they said in examination-in-chief, but what they said in cross-examination, how they presented themselves, what issues they had concerning drug use, drug consumption and how that affected their memory, if any, and the type of drug that was used. Now, Your Honour is well aware this is – We’re not just talking about just cocaine here. We’re talking about fentanyl. All three young ladies are talking about fentanyl, and I’m going to go about it in a different fashion than my friend. I’m going to start with [J.L.], Your Honour. [J.L.] was indicating that she, after leaving detox in early November, relapsed and started using fentanyl. She hadn’t met Mr. [L.]. yet, and from what we heard, she was already escorting with her friend named [B.] In her own words. And she’s on fentanyl and cocaine. So, all of this is memories made by her while under, what I would put a tremendous amount of drugs that she’s getting from – She gets patches from anybody. And then we recall that she got into fentanyl, and I think it was [J.], and I stand to be corrected about [fentanyl], Your Honour. So, all of that affecting memory recall and otherwise. [16] It is clear from the above excerpts that the defence strategy was to attack the credibility and reliability of the complainants’ evidence by highlighting and focusing on the impact of their heavy drug use and addictions on their memory, and their ability to accurately recall what had occurred in their lives during the time period of the allegations. [17] In his reasons for judgment, before making any reference to the consistency of the complainants’ prior statements, the trial judge specifically referenced the defence argument, which provided the context for his subsequent comments on the credibility and reliability of the complainants’ evidence: Defence counsel argued that the evidence of J.T. was neither credible nor reliable. He pointed out that she was, during much of the period in question, a heavy user of fentanyl and therefore her ability to recall and relate evidence would necessarily be compromised. He pointed out that by her own admission, she recruited J.F. to work with her as an escort for the accused. He questioned why she would have done so if she had been sexually assaulted by him. [18] It was perfectly appropriate for the trial judge to reference the previous consistent versions of the complainants’ evidence within the context of defence counsel’s attack on the reliability of their evidence due to faulty memory, which could have been induced by the consumption of heavy drug use. We do not agree that the trial judge used the prior consistent versions as corroboration, but rather to provide important context for assessing the reliability of the evidence of the two complainants: R. v. L.O. , 2015 ONCA 394, 324 C.C.C. (3d) 562, at para. 34. [19] The judge’s reasons when read as a whole and in the context of the submissions of defence counsel at trial do not reveal any error that warrants appellate intervention. Accordingly, we would not give any effect to this ground of appeal. [20] The second argument raised by the appellant is that the trial judge erred in not addressing the risk of collusion in the respective complainants’ evidence, as the two complainants were close friends who made very similar allegations against the appellant. [21] We do not agree. [22] At trial, the Crown filed a similar fact application which was dismissed by the trial judge. The issue of innocent collusion was relevant only to the similar fact application. Once this application was dismissed, it was no longer an issue on the trial proper. On the trial proper, the defence’s argument was that the complainants were either deliberately lying, or that their evidence was unreliable because of their drug use and addiction. The trial judge made specific findings of fact that the complainants’ evidence was both credible and reliable. [23] The veracity of their evidence was not affected by their drug consumption. As a result, there was no merit to the argument that the complainants were mistaken about the material elements of the offences they alleged against the appellant. [24] Both complainants were clear in their evidence that they were sexually assaulted by the appellant, and that they participated in sex work that financially benefitted the appellant. [25] We would not give any effect to this ground of appeal. [26] Finally, the appellant argues that the trial judge erred in his credibility assessment of the complainants’ evidence by improperly relying on lack of embellishment to support the complainants’ credibility. [27] The appellant relies on the following excerpt from the trial judge’s reasons to substantiate this position: I find her to be compelling for many of the same reasons I found the evidence of J.T. to be compelling. Like J.T., J.F. was quick to admit her shortcomings, no matter the light they cast her in. She admitted to a longstanding addiction to drugs. She admitted to voluntarily working as an escort. She placed blame for her actions nowhere but on herself. She did not overstate or dramatize her situation. She was very matter of fact at setting out how her life had played out. When she spoke of what her addiction had cost her, of her loss of self-respect, she did not speak angrily of Mr. [L.]. Even when she described being sexually assaulted by him, she did not express anger or resentment towards him. Rather she described it as a point at which she realized that all of her self-worth had gone. [28] We do not agree with the appellant’s characterization of the impugned portion of the trial judge’s reasons. [29] A trial judge’s reasons must be read as a whole, and within the context of the evidence adduced at trial. At trial, the appellant attacked the credibility and reliability of the complainants’ evidence. On several occasions in closing submissions, the defence highlighted the fact that the complainants were heavy drug users. They were both addicted to fentanyl and cocaine, and were admittedly, escorts. The judge’s observation is simply a recognition of the forthrightness and candour of both complainants’ evidence, a factor that goes directly to the credibility of each witness, and a factor that was properly within the purview of the trial judge to consider. [30] In the result, we are satisfied that the findings made by the trial judge were open to him. The specific complaints advanced do not rise to the level required to warrant our interference. Disposition [31] The appeal from conviction is dismissed. [32] In his notice of appeal, the appellant also appealed his sentence on the basis that the sentence was excessive. The appellant was sentenced to a total of seven and a half years, less three years pre-trial custody. The sentence comprised of two consecutive three-year sentences for two counts of sexual assault on two complainants, and an additional 18-month consecutive sentence for the prostitution-related offences. [33] The sentence imposed was within the appropriate range, considering the nature of the offences, as well as the aggravating factors outlined by the trial judge. [34] The sentencing decision is entitled to considerable deference unless this court is satisfied that the sentence imposed was demonstrably unfit, or that the sentencing judge made an error in principle that had an impact on the sentence: R. v. Lacasse , 2015 SCC 64, [2015] 3 S.C.R. 1089, at paras. 10-11, and 39-41. [35] We see no errors in the sentence imposed, nor was the sentence demonstrably unfit; as such, there is no basis for us to interfere. [36] Leave to appeal sentence is granted; sentence appeal is dismissed. “M. Tulloch J.A.” “Grant Huscroft J.A.” “J.A. Thorburn J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: Vu v. Canada (Attorney General), 2021 ONCA 574 DATE: 20210823 DOCKET: C68398 Fairburn A.C.J.O., Miller and Zarnett JJ.A. BETWEEN Huan Vu Plaintiff (Respondent) and Attorney General of Canada Defendant (Appellant) Kristina Dragaitis and Aleksandra Lipska, for the appellant Subodh S. Bharati and W. Cory Wanless, for the respondent Heard: March 4, 2021 by video conference On appeal from the order of Justice Paul B. Schabas of the Superior Court of Justice, dated April 21, 2020, with reasons reported at 2020 ONSC 2447. Fairburn A.C.J.O.: A. Overview [1] The respondent started a claim for false arrest, false imprisonment, and breaches of his rights under the Canadian Charter of Rights and Freedoms . The appellant brought a motion for summary judgment pursuant to r. 20 of the Rules of Civil Procedure , R.R.O. 1990, Reg. 194, on the basis that the respondent’s action is statute-barred pursuant to ss. 4 and 5 of the Limitations Act, 2002 , S.O. 2002, c. 24. That motion was dismissed. [2] This appeal is predicated on multiple alleged errors in the motion judge’s reasons, all of which are said to have led to the erroneous conclusion that the respondent’s action is not statute-barred. For the reasons that follow, I would dismiss this appeal. Brief Factual Overview [3] In 1999, the respondent, a Vietnamese citizen, came to Canada as a student. In 2001, his legal status in Canada expired, but he did not leave the country. In 2007, Citizen and Immigration Canada ordered his removal from Canada, but he remained in the country. Also in 2007, he was charged with and convicted of one count of possession of marijuana, for which he received a 3-month conditional sentence. [4] In 2009, the respondent was placed into immigration detention. He was later released on terms, including that he reside at the home of his friend and bondsperson, Mr. John Le, and adhere to a nightly curfew from 2:00 a.m. to 6:00 a.m. Mr. Le also signed a $10,000 performance bond and a $15,000 cash bond to guarantee the respondent’s compliance with his release terms. [5] In 2010, the respondent married his current wife. In 2012, he and his wife had a child. The respondent quickly became the child’s primary caregiver as his wife was the sole income earner. The respondent maintained that he would spend his days caring for the child in the home where his wife and child lived, but that he would always return to the residence of his bondsperson at night in order to comply with the terms of his release. [6] The crux of the allegation leading to the respondent’s arrest, lengthy detention, and eventual deportation from Canada occurred on June 25, 2013 at about 10:00 a.m. On that day, Canada Border Services Agency (“CBSA”) officers, including Officer Erin McNamara, conducted a compliance check at the bondsperson’s residence. The respondent was not there. According to Officer McNamara’s statutory declaration, used at the immigration proceeding resulting in the respondent’s detention and ultimate deportation from Canada, she “spoke to an English speaking resident Ms. Than Luong.” [7] Officer McNamara said that she showed Ms. Luong a picture of the respondent and asked if he was home. According to Officer McNamara, Ms. Luong responded that the respondent used to reside “in the basement with her daughter”, but that he had “moved out last summer” and did not live there anymore. [8] On June 27, 2013, the respondent was arrested for breach of the terms of his release and placed into detention. The respondent attended two detention reviews before the Immigration Division tribunal on July 2, 2013 and July 9, 2013. At the second review, the respondent filed the sworn affidavit evidence of Ms. Dau Thi Le, the mother of the bondsperson, Mr. Le. [9] In Ms. Le’s affidavit, she said that she was the woman who spoke to the CBSA officers on June 25, 2013, not Ms. Luong. Ms. Le said that she was present in the home that day because, despite her health problems, her daughter asked her to babysit her grandchildren. Ms. Le said that she does not “speak or understand English well, but [is] fluent in Vietnamese.” Even so, she said that she communicated with the officers in English. She described her interaction with the CBSA officers as follows: Around 12 noon on that day, two people, a man and a woman, came to my daughter’s home, and when I opened the door, I saw them in bullet proof vests and they looked like police officers to me. I asked them in English what happened and they showed me a photograph and asked me in English if Hoan Vu lived at my daughter’s house, and I answered that I did not know. When my daughter returned home at 3pm on that day, I told her that those two people came to her home to inquire if Hoan Vu lived there. My daughter then told me that Hoan Vu did live in her house, … but only at night. [10] Ultimately, the Immigration Division tribunal accepted Officer McNamara’s evidence about what Ms. Luong said in English at the residence and ordered the respondent detained. The detention stretched over 467 days in what he described as a maximum-security facility. [11] On October 7, 2014, well over a year after he was placed into detention, the respondent was escorted by CBSA officers to Vietnam, where he was released the next day. [12] Because the respondent breached his terms, Mr. Le’s bonds were forfeited. Mr. Le contested the forfeiture of the bonds in Federal Court. In the context of that litigation, CBSA Officer Derek Sliwka authored a document entitled “Notes to File” (“Notes”), dated March 2, 2015. Of course, this was after the respondent had already been removed from the country. [13] The Notes were disclosed and ultimately made their way to the respondent. In the Notes, Officer Sliwka wrote that, in preparation for writing the Notes, he “reviewed the electronic systems and the case file along with the submission from counsel”. [14] Officer Sliwka summarized Mr. Le’s counsel’s position that Officer McNamara actually encountered Ms. Le at the door of the bondsperson’s home on June 25, 2013, and that she “does not speak English.” Officer Sliwka explained that Officer McNamara maintains that she spoke to Ms. Luong during her investigation and that “an interpreter was contacted by phone to translate the specific questions asked by Officer McNamara.” [15] As a result of those Notes, the CBSA decided to reverse its position on the bond, settling the litigation with Mr. Le on June 13, 2016, ultimately agreeing to return his previously forfeited funds. In an internal email disclosed as part of the appellant’s motion record, it is clear that a decision had been reached to not forfeit the bonds because it “could not be defended due to the inconsistencies between the [statutory declaration of Officer McNamara] and the notes to file.” [16] In affidavit evidence, the respondent explained the many things he was dealing with during his lengthy period in custody, including attempting to navigate the complexities involved with being removed from the country while having a child who would remain in Canada. Ultimately, though, the respondent explains that it was not until the Notes were released in the context of the bonds litigation that he came to realize that he had a claim. As he puts it: Previously, I had trusted the Canadian government and had trusted the CBSA. I had put my faith in the adjudicators at my detention review hearings. I believed that they were doing their job and had not questioned them. I had thought that at worst the CBSA had made a mistake and misunderstood what I had done or what was going on. I thought maybe the Officer didn’t realize that John’s mom didn’t speak English. I had never believed that the CBSA would have withheld disclosure from the Immigration Division indicating that it knew the Statutory Declaration of Officer McNamara contained errors. [17] Accordingly, the respondent commenced his action on October 7, 2016. The motion judge summarized the respondent’s claim for false arrest, detention, and Charter breaches as follows: “[t]he claim arises from the actions of the CBSA in arresting and supporting the [respondent’s] detention in June and July 2013, and specifically presenting false evidence at the review hearing on July 9, 2013, regarding the information allegedly obtained from the woman McNamara spoke to” at the bondsperson’s home. B. The Reasons for Dismissing the Motion [18] In addition to his claims for false arrest, false imprisonment, and breaches of Charter rights, the respondent made other claims, including malicious prosecution and breach of a settlement. Those latter claims were struck by Schreck J. on June 1, 2018 because they disclosed no reasonable cause of action. [19] The appellant then moved for summary judgment, asking that the balance of the claim be struck on the basis that it was statute-barred by virtue of s. 5(2) of the Limitations Act , because the causes of action of false arrest, false imprisonment, and breaches of Charter rights are said to have been discoverable more than two years prior to the commencement of the action. [20] Before reviewing the motion judge’s reasons for dismissing the motion, it is perhaps helpful to provide a chart that summarizes the key dates informing the limitation period: Date Event June 25, 2013 Officer McNamara visits bondsperson’s home and communicates with what she describes as the “English speaking resident” June 27, 2013 Respondent is arrested and detained July 9, 2013 Immigration Division accepts Officer McNamara’s evidence over the respondent’s evidence, as captured in the sworn affidavit of Dau Thi Le, and orders the respondent detained October 7, 2014 Respondent is escorted by CBSA officers to Vietnam October 8, 2014 Respondent is released in Vietnam June 10, 2015 Notes disclosed in the context of the bonds litigation state that an interpreter was used to communicate with the person with whom the CBSA officers spoke on June 25, 2013 June 13, 2016 Decision communicated to the bondsperson that the $15,000 cash bond and $10,000 performance bond are “no longer required” and would be returned to him October 7, 2016 Action commenced by the respondent [21] The motion judge provided lengthy and considered reasons, commencing with a discussion of the legal principles that apply to both summary judgment and Limitations Act matters. [22] The appellant argued that the torts of false arrest and false imprisonment arise upon arrest. As the alleged breaches of the respondent’s Charter rights are tied to the allegations involving false arrest and false imprisonment, they are also said to arise on the date of arrest. Therefore, according to the appellant, the torts advanced by the respondent were discoverable on June 27, 2013 – the date the respondent was arrested. [23] The motion judge perceived some conflict in the law relating to when a limitation period commences for purposes of unlawful arrest and detention. Ultimately, though, he determined that he did not need to decide that issue because, in his view, even if the limitation periods for the intentional torts of false arrest and false imprisonment usually start on the date of arrest and detention, this is nothing more than a presumption. Like all limitation date matters, that presumption must be considered against the four-part test set out in s. 5(1)(a) of the Limitations Act . [24] When considered against the four-part test in s. 5(1)(a), the motion judge was satisfied that the presumption had been displaced because the respondent did not have sufficient facts on which to base his claim of arrest and detention until the Notes were disclosed on June 10, 2015. In addition, the motion judge found that, pursuant to s. 5(1)(a)(iv) of the Limitations Act , even if the respondent had sufficient facts by July 9, 2013 on which to allege wrongdoing, it would not have been appropriate to bring a claim until after the disclosure of the Notes. [25] The motion judge also rejected as “speculative and unpersuasive” the appellant’s suggestion that, even if the claim was not discoverable at the time of arrest, this resulted from the respondent’s failure to exercise due diligence in discovering his claim within two years of his arrest. [26] Finally, the motion judge determined that, pursuant to s. 5(1)(b) of the Limitations Act , the respondent acted reasonably in the circumstances in which he found himself and could “not reasonably have been expected to have discovered his claim earlier than June 2015.” [27] In the end, the motion judge concluded that June 10, 2015 was the pertinent discoverability date. Since the claim was started on October 7, 2016, the motion judge concluded that the claim was made well within the two-year limitation period. C. ISSUES (i) Overview [28] The appellant argues that the motion judge made multiple errors in his decision to dismiss the motion for summary judgment. [29] First, leaning on this court’s decision in Kolosov v. Lowe’s Companies Inc. , 2016 ONCA 973, the appellant argues that the limitation periods for the torts of false arrest and false imprisonment automatically commence upon arrest. As the alleged breaches of the respondent’s Charter rights are tied to the allegations involving false arrest and false imprisonment, the limitation periods for those breaches are also said to commence upon the date of arrest. Therefore, according to the appellant, the motion judge erred by failing to appreciate that the torts advanced by the respondent were, for all intents and purposes, automatically discoverable on June 27, 2013, the date the respondent was arrested, or, at the very latest, July 9, 2013, when the respondent learned of Officer McNamara’s evidence. [30] Second, the appellant argues that the motion judge erred in law by failing to articulate and apply the correct test for discoverability. [31] Third, even if the motion judge articulated the right test for discoverability, the appellant argues that he erred by making palpable and overriding errors of fact in arriving at the conclusion that the respondent had no claim to bring until the Notes were disclosed in June 2015. [32] Fourth, the appellant contends that the motion judge erred by failing to appreciate that the respondent did not act with due diligence. [33] Finally, the motion judge is said to have erred in concluding that it was appropriate within the meaning of s. 5(1)(a)(iv) and the circumstances of this case to delay bringing this action until after the Notes were disclosed. [34] The respondent advances an alternative argument in the event that the appellant’s position finds favour in this court. In particular, the respondent argues that because he was transported by the CBSA to Vietnam, rendering him detained for a period of time outside of Ontario, s. 32 of the Crown Liability and Proceedings Act , R.S.C. 1985, c. C-50 governs the limitation period in this case. If he is right on this, then a six-year (as opposed to two-year) limitation period would apply and the respondent’s claim would easily fall within that zone. As will become clear, there is no need to address this alternative argument (ii) The Application of Kolosov [35] The appellant argues that the motion judge erred in failing to find that this court’s decision in Kolosov stands for the clear proposition that the limitation period for wrongful arrest and detention commences on the date of arrest. [36] The appellant argued before the motion judge that the Limitations Act barred the respondent’s action because the causes of action of false arrest, false imprisonment, and breaches of Charter rights (as linked to the other causes of action) all crystallized and were discoverable on the date of the respondent’s arrest on June 27, 2013 and, at the latest, at the time of the detention hearing on July 9, 2013. In support of this proposition, the appellant relies upon this court’s decision in Kolosov , at para. 11: The law in relation to the commencement of the limitation period for the intentional torts of false arrest and false imprisonment, and associated Charter breaches, is well settled. As Chiappetta J. noted in Fournier-McGarry (Litigation guardian of) v. Ontario , 2013 ONSC 2581 , at para. 16: A claim for the common law torts of false arrest, false imprisonment and breach of Charter rights arising there-from crystallizes on the date of arrest (see, Nicely v. Waterloo Regional Police Force , [1991] O.J. No. 460 (Ont. Div. Ct.), para. 14; [ Ferri ] v. Root , [2007] O.J. No. 397 (Ont. C.A.), para. 102). [37] The respondent, citing different and earlier appellate authority that he argued was not overturned by Kolosov , urged the motion judge to instead conclude that the limitation period commenced not on the date of arrest, but on the date of his release from detention in Vietnam: Mackenzie v. Martin , [1952] O.R. 849 (C.A.), at paras. 6-8, aff’d [1954] S.C.R. 361. [38] The motion judge reviewed the issue in some detail, clearly expressing misgivings about the broad interpretation of Kolosov being urged upon him by the appellant. Among other things, the motion judge looked behind the cases cited in Kolosov in an effort to explain why the appellant’s position about the reach of Kolosov was not as clear as suggested. The motion judge also expressed some “concern that a false arrest and an unlawful imprisonment may not occur at the same time.” [39] Despite expressing these misgivings, in the end, the motion judge concluded that he need not resolve the parties’ disparate views as to whether the limitation period commenced on the date of arrest or release given that, even taking Kolosov at its highest, it only created a rebuttable presumption under s. 5 of the Limitations Act and that the presumption had been rebutted in this case: While I have concerns with the broad application of Kolosov urged on me by the defendant, I do not need to resolve the conflict in the cases in this matter. … [S]ince section 5(1)(a) of the Limitations Act establishes a four-part test, I regard Kolosov as simply setting up a presumption (which was not rebutted in that case) that the cause of action arose on the date of arrest and detention or, at latest, the date of the second detention hearing [July 9, 2013], but it does not address all four parts of the test. This means I must still consider when the plaintiff had sufficient facts on which to base an allegation of wrongful arrest and detention …. [40] Significantly, Kolosov has been cited by this court in subsequent decisions for the very proposition disputed by the respondent, that the limitation period presumptively runs from the date of arrest: see, for example, Winmill v. Woodstock (Police Services Board) , 2017 ONCA 962, 138 O.R. (3d) 641, at para. 44, per Huscroft J.A. (dissenting), leave to appeal refused, [2018] S.C.C.A. No. 39; McHale v. Lewis , 2018 ONCA 1048, 144 O.R. (3d) 279, at para. 42. Therefore, the appellant’s argument has some traction as to when limitation periods commence in cases of this nature. [41] At the same time, I understand the appellant’s concern to be the motion judge’s characterization of the appellant’s reading of Kolosov , and his expression of misgiving about it. At the end of the day, though, the motion judge did not find that Kolosov stands for any principle broader than the presumption that a cause of action arises on the date of arrest and detention or, at the latest, the date of the second detention hearing a few weeks later. Indeed, the motion judge was prepared to resolve the motion on that basis. In the end, he simply resolved that the date of arrest – the Kolosov date – was the presumptive date for the commencement of the limitation period, but that the respondent had effectively displaced that presumption. [42] Therefore, despite having expressed misgivings about the appellant’s submissions, I do not read the motion judge’s reasons as unfaithful to the plain language of Kolosov . Rather, he accepted, however reluctantly, the appellant’s position that the limitation period presumptively begins to run at the date of arrest. This makes sense legally, given that the arrest is the act on which the claim is based, and is therefore the presumptive date of discovery of the claim: Limitations Act , s. 5(2). It makes sense practically as well, as the plaintiff will often know at the time of arrest and detention whether the facts alleged to justify that arrest and detention are false, as was the case in Kolosov : see 2016 ONSC 1661, at para. 119. Accordingly, despite his expressed concerns, the motion judge’s reasoning turned on whether the Kolosov presumptive date was rebutted pursuant to ss. 5(1) and (2) of the Limitations Act . [43] I see no error in that approach. Section 4 of the Limitations Act requires an action in respect of a claim to be commenced within two years of the claim being discovered. Sections 5(1) and (2) of the Limitations Act read as follows: 5(1) A claim is discovered on the earlier of, (a) the day on which the person with the claim first knew, (i) that the injury, loss or damage had occurred, (ii) that the injury, loss or damage was caused by or contributed to by an act or omission, (iii) that the act or omission was that of the person against whom the claim is made, and (iv) that, having regard to the nature of the injury, loss or damage, a proceeding would be an appropriate means to seek to remedy it; and (b) the day on which a reasonable person with the abilities and in the circumstances of the person with the claim first ought to have known of the matters referred to in clause (a). (2) A person with a claim shall be presumed to have known of the matters referred to in clause (1)(a) on the day the act or omission on which the claim is based took place, unless the contrary is proved . [Emphasis added.] [44] Despite the presumption that Kolosov creates in relation to the running of the limitation period, s. 5(2) permits the contrary to be proved in accordance with the matters referred to in s. 5(1)(a). While that presumption was not rebutted in Kolosov , it was rebutted here. Accordingly, regardless of the hesitation expressed by the motion judge as to the reach of Kolosov , nothing in this case turns on those observations. (iii) The Proper Articulation of the Test for Discoverability Based on Sufficient Facts [45] The appellant next argues that, despite referring to the correct legal authorities respecting how to determine the date of discoverability based upon sufficient facts, the motion judge erred in his articulation and application of that test. [46] The appellant notes that the discoverability principle is satisfied once the party has sufficient information to infer the material facts underlying the claim, a test that does not turn in any way upon the viability of the claim. The motion judge is said to have erred in failing to appreciate that the respondent knew all material facts by, at the latest, the Immigration Division hearing on July 9, 2013. By extending the discoverability date to June 10, 2015 – the date the Notes were disclosed – the motion judge is said to have erred by focusing on when the claim was more likely to succeed, rather than when the respondent knew the claim existed. [47] Limitation periods are driven by when the “material facts on which [a cause of action] is based have been discovered or ought to have been discovered by the plaintiff by the exercise of reasonable diligence”: Central Trust Co. v. Rafuse , [1986] 2 S.C.R. 147, at p. 224; see also Grant Thornton LLP v. New Brunswick , 2021 SCC 31, at paras. 29, 42. As noted by this court in Zeppa v. Woodbridge Heating & Air-Conditioning Ltd. , 2019 ONCA 47, 144 O.R. (3d) 385, at para. 41, leave to appeal refused, [2019] S.C.C.A. No. 91: “discoverability means knowledge of the facts that may give rise to the claim. The knowledge required to start the limitation running is more than suspicion and less than perfect knowledge.” [48] In my view, the motion judge identified the correct law relating to limitation periods. Notably, the motion judge cited to this court’s judgment in Lawless v. Anderson , 2011 ONCA 102, 276 O.A.C. 75, at para. 22, which in turn quoted from this court’s earlier judgment in Aguonie v. Galion Solid Waste Material Inc. (1998), 38 O.R. (3d) 161 (C.A.), at p. 170: The principle of discoverability provides that “a cause of action arises for the purposes of a limitation period when the material facts on which it is based have been discovered, or ought to have been discovered, by the plaintiff by the exercise of reasonable diligence. This principle conforms with the generally accepted definition of the term ‘cause of action’ — the fact or facts which give a person a right to judicial redress or relief against another”: Aguonie v. Galion Solid Waste Material Inc. [citation omitted.] [49] As emphasized by the motion judge, the real question is whether the plaintiff knows enough facts with which to bring forward the claim: Lawless , at para. 23. If the plaintiff does know “enough facts”, then the claim is discovered and the limitation period begins to run. Knowing enough facts means knowing the “material facts” that are necessary to make the claim: Lawless , at para. 28. [50] I reject the suggestion that the motion judge did not appreciate that the principle of discoverability does not turn on whether the claim has a likelihood of success. As the motion judge put it, “the discovery of a claim is also not dependent upon the plaintiff knowing that his claim is likely to succeed”. The motion judge was right in this regard. As noted by Hourigan J.A. in Sosnowski v. MacEwen Petroleum Inc. , 2019 ONCA 1005, 441 D.L.R. (4th) 393, at para. 19, a determination of when it is appropriate to proceed with a claim does not include “whether a civil proceeding will succeed.” I see nothing in the motion judge’s reasons that would suggest he was unfaithful to that statement of law. [51] To the contrary, the motion judge’s reasons demonstrate that he was alive to the applicable law concerning discoverability. The law having been correctly stated, the question really becomes whether the motion judge made palpable and overriding errors of fact. I will now explain why he did not. (iv) No Palpable and Overriding Errors of Fact [52] The appellant acknowledged during oral argument that the real core of this appeal turns on what is said to be a palpable and overriding error of fact made by the motion judge. [53] The appellant claims that the motion judge erred in concluding that the Notes disclosed in the context of the bonds litigation brought anything new to the appellant’s attention. According to the appellant, the only way that the motion judge could have come to this conclusion would be if he had completely forgotten about or disregarded the Le affidavit that the appellant filed at the Immigration Division hearing on July 9, 2013. [54] The argument goes like this. At the latest, the respondent knew by July 9, 2013 (the Immigration Division hearing date) that Officer McNamara claimed to have spoken to an “English speaking resident Ms. Than Luong” at the doorway on June 25, 2013. Also by July 9, 2013, it is clear from the evidence filed by the respondent at the Immigration Division hearing that he maintained that it was not Ms. Luong but rather Ms. Le who spoke with the CBSA officers at the front door of the residence, and that she did not speak English well. The appellant places importance on the fact that the Le affidavit suggests that she attempted to communicate with the CBSA officers in English and makes no mention of an interpreter. [55] The appellant argues that the Le affidavit was fundamental to the resolution of the motion because it demonstrates that there was no interpreter used. And, even if there was an interpreter used, the appellant says that, with the McNamara statutory declaration and the Le affidavit in hand by July 9, 2013, it is clear that the respondent knew he had a claim if he wished to proceed. Therefore, the motion judge’s palpable and overriding error is said to be implicit in the failure to appreciate the importance of the Le affidavit, thereby leaving the motion judge with a distorted view of the importance of the new information provided in the Notes. [56] Based upon this line of argument, the appellant contends that the motion judge could not have come to the following conclusion: In the particular context of this case, therefore, I find as a fact that Vu did not have sufficient facts on which to allege wrongdoing by the CBSA for which he could seek damages until June 10, 2015, when he received the [Notes] disclosing that McNamara had used an interpreter when conducting her investigation in June 2013. [Emphasis added.] [57] In my view, it was open to the motion judge to arrive at this factual finding. [58] Importantly, he based the finding upon the respondent’s affidavit evidence explaining that, prior to receiving the Notes and learning that an interpreter had been used during the interaction at the doorway of the bondsperson’s home, he thought that the CBSA had only made a mistake and misunderstood what had been communicated by the woman who answered the door. As the respondent put it: “I thought maybe the Officer didn’t realize that John’s mom didn’t speak English.” It was only after receiving the Notes that the respondent came to realize, as he suggests in his affidavit, that the CBSA had actively misled the Immigration Division. I see no error in the motion judge leaning on that evidence to arrive upon his conclusion as reproduced above. [59] As well, the motion judge was not oblivious to the Le affidavit. To the contrary, he specifically referenced it in his reasons, albeit in his factual overview of the case: July 9, 2013 – Vu attends his second detention review before the ID. he submits affidavits that the woman the CBSA spoke to at [the bondsperson’s home] on June 25, 2013, Dau Thi Le, his bondsperson’s mother, did not speak English well, that she did not live there but rather was babysitting that day, and that she said she did not know if Vu lived there. [60] Clearly, the motion judge was alive to the Le affidavit. [61] In my view, it was open to the motion judge to come to the conclusion that he did. The Notes make clear reference to the fact that “Officer McNamara indicates that during her investigation, she was talking with Ms. Than Luong and an interpreter was contacted by phone to translate the specific questions asked by Officer McNamara.” Yet this stood in direct contrast with Officer McNamara’s statutory declaration. While the truth undoubtedly lies somewhere and, at some point, may see the light of day, it cannot be said that the motion judge committed a palpable and overriding error when he concluded that the respondent did not have sufficient facts on which to allege wrongdoing until he received the Notes. Nor can it be said that there is anything in the Le affidavit that detracts from that conclusion. (v) The Motion Judge Did Not Err on Due Diligence [62] The appellant also argues that, even if a later discoverability date applies, the respondent did not act with due diligence in discovering his claim within two years of his arrest. The motion judge is said to have erred in concluding that this argument was, at best, “speculative and unpersuasive”. To the contrary, the appellant contends that the respondent could have discovered additional details if he had proceeded with an application for leave and judicial review of his detention in Federal Court. [63] While a plaintiff is required to act with due diligence when determining if they have a claim to bring forward, the content of the duty of due diligence depends on the circumstances of each case: Longo v. MacLaren Art Centre Inc. , 2014 ONCA 526, 323 O.A.C. 246, at para. 42 . [64] I see no error in the motion judge’s conclusion that the appellant’s argument on due diligence was speculative and unpersuasive. [65] In light of all of the harsh circumstances involved in the respondent’s detention – all 467 days of them, including being detained outside of Toronto, far from family and his lawyer; enduring strip searches and frequent lockdowns; and having limited resources to investigate the lawfulness of his arrest and subsequent detention while incarcerated – it was open to the motion judge to find that the respondent did not fail to exercise due diligence in discovering his claim. [66] Moreover, the respondent explained that he did not pursue a review of the Immigration Division’s determination because the CBSA led him to believe that his detention would be brief and removal imminent, making what he believed to be a lengthy judicial review application pointless. This context is relevant to understanding what degree of due diligence was required of the respondent. [67] In any event, it was not clear how a review would have led to the disclosure of the content of the Notes. [68] The motion judge’s finding on this point is owed deference and I would not interfere with it. (vi) The Motion Judge’s Alternative Finding [69] Finally, the appellant argues that the motion judge erred in arriving at the alternative conclusion that it would not have been “legally appropriate” to bring the claim earlier than June of 2015: Federation Insurance Co. of Canada v. Markel Insurance Co. of Canada , 2012 ONCA 218, 109 O.R. (3d) 652, at para. 34. [70] In light of the resolution of the former issues, there is no need to address this one, other than to say that I see no error in the motion judge’s alternative reasoning. D. Conclusion and Costs [71] The appeal is dismissed. [72] The appellant raised the issue of costs, arguing that the $54,000 ordered by the motion judge was too high. I see no error in how the motion judge arrived at this amount. His decision is owed deference. Therefore, the appeal as to costs is dismissed. [73] Costs for the appeal will be fixed in the amount of $15,000, all inclusive. Released: “August 23, 2021 JMF” Fairburn A.C.J.O.” “I agree B.W. Miller J.A.” “I agree B. Zarnett J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: Asghar v. Toronto (City), 2021 ONCA 571 DATE: 20210820 DOCKET: M52232 (C68901) Strathy C.J.O., Feldman and Sossin JJ.A. BETWEEN Sajjad Asghar Plaintiff (Appellant/Moving Party) and The City of Toronto Defendant (Respondent/Responding Party) and The Mayor John Tory Defendant (Respondent/Responding Party) and The Toronto Police Services Board, Members Chair Jim Hart, Marie Moliner (Vice-Chair), Mayor John Tory, Michael Ford Councillor, Councillor Frances Nunziata, Ainsworth M. Morgan, Lisa Kostakis Defendants (Respondents/Responding Parties) and The Toronto Police Chief (Interim) James Ramer Defendant (Respondent/Responding Party) and The Toronto Police Deputy Chief Peter Yuen Defendant (Respondent/Responding Party) Sajjad Asghar, acting in-person Natalie Salafia, for the responding parties Heard: in writing REASONS FOR DECISION [1] The self-represented moving party, Mr. Asghar, brings this motion to review the order of the chambers judge, dated January 15, 2021, dismissing Mr. Asghar’s interim motion for an order: (1) requiring the responding parties to produce certain 911 call recordings, police video and audio recordings, transcripts etc.; (2) permitting electronic filing and service of all appeal materials; and (3) granting an extension of time to perfect his appeal. [2] The motion before the chambers judge was brought in the context of Mr. Asghar’s appeals from three orders of Ferguson J., all dated November 19, 2020, dismissing three separate actions brought by Mr. Asghar against the City of Toronto, the Mayor of Toronto, the Toronto Police Services Board, and various other Toronto municipal and police entities and officials. Ferguson J. found each of those actions to be frivolous, vexatious, and an abuse of process within the meaning of r. 2.1 of the Rules of Civil Procedure , R.R.O. 1990, Reg. 143. [3] Mr. Asghar filed a motion before the chambers judge seeking interim relief in two of his appeals, which bear court file numbers C68902 and C68901. The primary relief sought by Mr. Asghar on the motion in appeal C68901 was the production of 911 call recordings and other video and audio recordings and transcripts. Mr. Asghar submitted before the chambers judge that the material requested would be “important” for his appeal. [4] On January 15, 2021, the chambers judge concluded there was “no foundation to make the order requested” and dismissed Mr. Asghar’s motion. [5] On this panel review motion, Mr. Asghar seeks to set aside the order of the chambers judge and obtain the same relief sought on the underlying motion. We decline to grant that relief. A panel review of the motion in the C68902 appeal was dismissed in written reasons dated May 20, 2021. [6] As stated in those reasons, a panel review of a chambers judge’s decision is not a de novo determination. Where the chambers judge has made a discretionary decision, the decision is entitled to deference and the reviewing panel will not interfere absent legal error or misapprehension of material evidence: Machado v. Ontario Hockey Association , 2019 ONCA 210, at para. 9. In addition, if the chambers judge committed an error in principle, the panel may intervene: Yaiguaje v. Chevron Corporation , 2017 ONCA 827, 138 O.R. (3d) 1, at para. 21. [7] Applying the foregoing, as in appeal C68902, we see no basis on which to interfere with the decision of the chambers judge. [8] Accordingly, Mr. Asghar’s panel review motion for production is dismissed. [9] Mr. Asghar has also requested an extension of time of 30 days to perfect appeals C68901 and C68902, whether or not the other relief is granted. That extension of time to perfect is granted in both cases to 30 days from the date of these reasons. The respondents shall have 30 days to respond after service of the perfection materials. [10] Once the records are complete, these two matters will be listed to be argued with appeal C68903 which will be adjourned to a date to be fixed by the Registrar for the argument of all three appeals together. “G.R. Strathy C.J.O.” “K. Feldman J.A.” “Sossin J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: Herold Estate v. Canada (Attorney General), 2021 ONCA 579 DATE: 20210824 DOCKET: C68393 & C68467 Fairburn A.C.J.O., Miller and Zarnett JJ.A. BETWEEN DOCKET: C68393 The Estate of William Albin Herold, deceased Applicant (Respondent) and Attorney General of Canada , Curve Lake First Nation, Hiawartha First Nation and Mississaugas of Scugog Island First Nation Respondents ( Respondent / Appellants ) AND BETWEEN DOCKET: C68467 The Estate of William Albin Herold, deceased Applicant (Respondent) and Attorney General of Canada , Curve Lake First Nation, Hiawatha First Nation and Mississaugas of Scugog Island First Nation Respondent ( Appellant / Respondents ) Robert Janes, Candice S. Metallic, and Aubrey Charette, for the appellants (C68393)/respondents (C68467) Curve Lake First Nation, Hiawatha First Nation and Mississaugas of Scugog Island First Nation Daniel E. Luxat, for the appellant (C68467)/respondent (C68393) Attorney General of Canada D. Jared Brown, for the respondent (C68393/C68467) Estate of William Albin Herold Heard: March 2, 2021 by videoconference On appeal from the order of Justice C.M. Smith of the Superior Court of Justice, dated February 28, 2020 with reasons reported at 2020 ONSC 1202. Zarnett J.A.: I. INTRODUCTION [1] This litigation concerns the ownership of three islands (the “Islands”) located in Lake Katchewanooka [1] , which is part of the Trent-Severn Waterway. The Islands are in close proximity to each other. The largest is referred to as Island 27; the two smaller islands were at one time part of Island 27 but are now separated from it as a consequence of flooding and erosion. [2] [2] In the decision under appeal, the application judge held that  the respondent, the Estate of William Albin Herold (the “Estate”), owns the Islands by virtue of its ownership of Lot 35, Concession 11, in the Township of Smith, County of Peterborough (“Lot 35”). [3] The application judge found that when Lot 35 was first surveyed in 1818, the land that became the Islands was a headland or peninsula connected to Lot 35’s mainland. In 1868, the Province of Ontario, by Letters Patent, granted Lot 35 to Alexander Rose, the Estate’s predecessor in title. Although he was not satisfied that in 1868 the Islands were still physically part of the mainland of Lot 35, and the Letters Patent made no reference to any islands, the application judge declined to determine the intention of the parties to the Letters Patent. Instead, he concluded that since Island 27 had, by 1855, separated from the mainland as a result of changes in water levels brought about by dams erected in the 1830s, it was included as a matter of law in the Letters Patent’s conveyance of Lot 35. He further held that ownership of the Islands was not affected by treaties between the appellant First Nations [3] (the “First Nations”) and the Crown made in 1818 and 1856. He interpreted the treaties, by which the First Nations had surrendered their title to a vast tract of land in what is now Central Ontario, to include a surrender of the property in issue in this litigation, giving the Crown the right to sell. Accordingly, as the Islands had been sold as part of Lot 35, when the Estate became the owner of Lot 35, it also became the owner of the Islands. [4] The First Nations and the Attorney General of Canada (“AG Canada”) both appeal. For the reasons that follow, I would allow the appeals. [5] In my view, the application judge’s determination that the Letters Patent conveyed the Islands as part of the conveyance of Lot 35 is not subject to deference, since he made extricable errors of law. The application judge failed to follow the fundamental principle of interpretation—to determine the meaning of the Letters Patent in accordance with the intentions of the parties, objectively ascertained from the language they used in light of the relevant factual matrix. He also erred in treating a legal principle about the effect of sudden changes in water levels on boundaries between different owners as applicable and determinative. Finally, he failed to properly consider the Crown’s obligations to the First Nations in determining what the Crown intended to convey by the Letters Patent. [6] Properly interpreted, the Letters Patent did not include any conveyance of the Islands. As Mr. Rose did not obtain ownership of the Islands when he received a conveyance of Lot 35 under the Letters Patent, the Estate did not obtain ownership of them when it obtained ownership of Lot 35. II. Background A. Treaty 20 [7] In 1818, the Crown and the First Nations entered into the Treaty of Newcastle (“Treaty 20”). It provided for the surrender to the Crown of a vast tract of land in what is now Central Ontario. Although the description in Treaty 20 was general, the application judge found that it included the property in issue in this litigation. [8] Although there was no express exclusion in Treaty 20 of any islands, the evidence before the application judge, which he accepted, was that the First Nations had requested that any islands in the waterways within the surrendered lands be excluded, and the Crown’s representative had assured them that the request would be communicated to the King who would no doubt accede to it. B. The Wilmot Survey [9] At about the same time as Treaty 20 came into effect, the southern part of the Township of Smith was surveyed by Samuel Wilmot. The 1818 survey he prepared (the “Wilmot Survey”) showed bodies of water, concessions, and lots; of particular relevance is its depiction of Lot 35. [10] The Wilmot Survey depicts Lot 35 as a mainland lot roughly triangular in shape. Its northern boundary is the concession line separating Concessions 11 and 12; its western boundary is the division between Lots 34 and 35; and its southeastern boundary is the water’s edge of Lake Katchewanooka. The Wilmot Survey does not show any distances between the fixed boundaries on the north and west, and the southeastern water’s edge boundary. [11] The application judge noted that there was some concern about the precision of the Wilmot Survey’s depiction of the southeastern area of Lot 35, as the surveyor had noted that the “waters are not traversed only sketched”. However, according to evidence that the application judge accepted, at the time of the Wilmot Survey, what came to be the Islands was a headland or peninsula on part of the mainland of Lot 35. C. Dams in the Waterway [12] Dams were constructed in the Trent Severn waterway in the 1830s, downstream and upstream from Lot 35. The application judge did not make a finding of the distance between the dams and Lot 35. Some of the evidence suggests that one of the dams was about 7.5 kilometres away. The application judge found that these dams caused a rise in water levels, resulting in a change to the configuration of Lot 35. His precise findings concerning the timing and nature of the rise in water levels are discussed in more detail in the Analysis section below. D. The Haslett Survey [13] In 1854, a survey of islands in the “Rivers Trent and Otonabee and their lakes” was authorized by the Privy Council and commissioned by the Commissioner of Crown Lands. The application judge found that the resulting survey (the “Haslett survey”), completed in 1855, identified an island in Lake Katchewanooka in the location of what had been the headland or peninsula depicted on the Wilmot Survey of Lot 35. The Haslett survey named it Island 27. [14] The Estate contended before the application judge that the Haslett survey was unreliable to the extent it identified Island 27 as separated from the mainland of Lot 35 in 1855. The Estate maintained that the Islands continued to be physically connected to the mainland of Lot 35 at the time of the Letters Patent in 1868, and only became separated due to flooding in the 1870’s. Ultimately, the application judge found against the Estate, which bore the onus of proof, on these factual points. He noted that, based on the evidence of the expert witnesses, “it is reasonable to conclude that Island 27 existed as surveyed [by Haslett] in 1856”. The application judge concluded that “I cannot be satisfied on a balance of probabilities that Island 27 was still attached to the main land in 1868” – a reference to the date of the Letters Patent. E. Treaty 78 [15] In 1856, the Crown and the First Nations entered into the Islands of the Trent Treaty (“Treaty 78”). The application judge found that “Treaty 78 addressed any uncertainty there may have been regarding the status of the islands in the waters in question flowing from the wording of Treaty 20 in 1818”. Under Treaty 78, the First Nations conditionally surrendered to the Crown, “in trust, to [be] sold or otherwise disposed of to the best advantage for ourselves and our descendants forever … all islands and mainland … in the Newcastle and Colborne Districts, including the islands in Rice Lake which have not heretofore been ceded to the Crown” with the “principal arising from such sales to be safely funded and the interest accruing therefrom to be paid annually to us and our said descendants for all time to come.” [16] The application judge found that the description of land covered by Treaty 78 “would include the Township of Smith where the subject property is located”. F. The Letters Patent [17] In 1868, by Letters Patent, the Province of Ontario granted Lot 35 to Mr. Rose, from whom the Estate ultimately derived its title. The Letters Patent describe what was conveyed “as being composed of Lot Number Thirty five in the Eleventh Concession of the … Township of Smith”. An approximate acreage is provided but it is unclear if it is 21 or 71 acres. There is no express mention of any islands. The Letters Patent provided for the consideration to be paid by Mr. Rose – $17.00 – and did not allocate it between the mainland and any islands. G. The 1893 Resolution [18] In 1893, the federal Crown issued a Resolution (the “1893 Resolution”) approving a request by the First Nations that certain islands, including Island 27, not be sold under Treaty 78, but instead be reserved for their use. H. Conduct After the Letters Patent [19] The parties led evidence of conduct and views expressed after the Letters Patent relating to whether the Islands were part of Lot 35, and whether they were sold as part of the 1868 Crown grant. [20] The after-the-fact evidence included: that between 1894 and 1896, the federal, Ontario, and Quebec governments participated in arbitration proceedings regarding amounts owing to the First Nations from the sale of islands, which did not include anything about Island 27; compensation having been paid to Jane Rose for flooding damage to Lot 35 that occurred because of the reconstruction of a dam in 1879; the registration of the 1893 Resolution and related resolutions on title in 1973; the Islands having been assigned their own Property Identification Numbers as separate parcels with no owners specified; correspondence between various government agencies articulating different positions; and the Estate having used the Islands, made improvements, paid property taxes, and posted “Private Property” and “No Trespassing” signs on them. [21] The application judge summarized the effect of the after-the-fact evidence as follows: “The title to [Lot 35] has been plagued since 1868 by uncertainty about whether three islands in the lake, the largest of which is referred to as Island 27, are properly a part of [Lot 35]”. III. The Application Judge’s Decision [22] The Estate applied for various orders to confirm its ownership of the Islands. [23] The application judge identified three issues for determination: a) Did the 1868 Letters Patent convey the Islands to the Estate’s predecessor in title, Mr. Rose? b) What is the effect of Treaty 20 and Treaty 78 on the ownership of Island 27? c) What is the effect of the Resolution of 1893 on the ownership of Island 27? [24] On the first issue, the application judge declined to consider the intention of the parties to the Letters Patent on the basis that to do so would be “sheer speculation”. He also observed that the Beds of Navigable Waters Act , R.S.O. 1990, C. B-4 (the “ Act ”), which deemed a Crown grant not to include the bed of a navigable body of water unless a contrary intention is expressly stated, could not have been on the minds of either party at the time of the Letters Patent as it was not yet proclaimed into force. [25] The application judge reasoned that the southeastern boundary of Lot 35 was “riparian and ambulatory” at the time of the Wilmot Survey, but the “water boundary lost its ambulatory status sometime during the 1830s”, when the dams were first constructed. He relied on a legal principle that when “water levels are quickly raised through a process that is not gradual, then the boundary of the property in question is fixed in location at the time of encroachment”. Although he was not satisfied that the Islands were physically connected to Lot 35 in 1868, the Letters Patent conveyed them because they were within the boundary of Lot 35 that had been so fixed. [26] On the second issue, the application judge found that Treaty 20 provided for the surrender to the Crown of a vast tract of land which included Lot 35 and, based on his findings, the land that later became the Islands. He found that Treaty 20 contained no exceptions relating to the property in issue and imposed “no restrictions of any kind regarding subsequent dealings with the lands” by the Crown. He held that Treaty 78 did not detract from the Crown’s full ownership rights, which included a right to sell. He noted that while Treaty 78 imposed a condition that the Crown use the proceeds of any sale for the benefit of the First Nations, this did not estop the Crown from selling any of the surrendered lands. The honour of the Crown was not at risk as long as it used the proceeds in that way. [27] On the third issue, the application judge found that Island 27 was included in the 1893 Resolution by mistake, and that the 1893 Resolution should not affect title to the islands. IV. The Parties’ Positions [28] The First Nations argue that the application judge erred in giving Treaty 20 and Treaty 78 the effect of extinguishing the title of the First Nations to the Islands. Treaty 20 was subject to an orally agreed to reservation concerning islands. Treaty 78 was a conditional surrender in trust, which imposed obligations if the Crown were to effect a sale of any islands. There was no evidence of compliance with those obligations in the transaction contemplated by the Letters Patent. The application judge should have, but failed to, interpret the Letters Patent with reference to the Crown’s intention as grantor and in a manner that reconciled their meaning with the obligations of the Crown under Treaty 78. The only way to do so would be to conclude that the Letters Patent did not include the Islands. [29] The First Nations further submit that the application judge erred in applying legal principles respecting water boundaries and misapprehended the evidence concerning the nature and timing of any change in water levels. Finally, they submit that the application judge erred in finding that after the Letters Patent, the federal Crown had no authority to deal with the Islands and thus had included them in the 1893 Resolution by mistake. [30] The appellant AG Canada argues that the application judge erred by: failing to properly interpret the Letters Patent in accordance with the intentions of the parties, objectively ascertained; and, applying a legal principle respecting water boundaries between different owners to conclude that Island 27 remained part of Lot 35 at the time of the Letters Patent, when the principle was factually and legally inapplicable. [31] The Estate argues that the application judge properly found as a fact that, prior to the Letters Patent, flooding had occurred causing the separation of the Islands from the mainland of Lot 35. They submit that he correctly concluded, as a matter of law, that the flooding fixed the boundary of Lot 35 such that what became the Islands were included as part of the Lot 35 Letters Patent conveyance. The Estate also argues that the application judge properly interpreted the treaties as giving the Crown the right to sell the Islands and properly found that the honour of the Crown was not engaged in any way that detracted from the Estate’s ownership. V. Analysis [32] If the application judge erred in finding that the Letters Patent included a conveyance of the Islands by the Province of Ontario to Mr. Rose, that is determinative of the appeals. Accordingly, my analysis commences with identifying the interpretive issue under the Letters Patent, the principles of interpretation, and the standard of review. I then discuss the errors which, in my view, the application judge committed in his approach. Finally, I set out the proper resolution of the interpretive question. The effect of the treaties and the legal principles concerning water boundaries all play a part in this analysis. A. The Interpretive Issue and The Standard of Review [33] The Letters Patent did not include a metes and bounds description of the property conveyed or any express mention of islands. The property was described by what the parties agree was a reference to Lot 35 on the 1818 Wilmot Survey. [4] The Wilmot Survey depicted Lot 35 as a mainland lot with a southeastern boundary formed by the water’s edge of Lake Katchewanooka. In this court, all parties accept the application judge’s finding that Island 27 was beyond the water’s edge and was not connected to the mainland of Lot 35 at the time of the Letters Patent in 1868. [34] The interpretive question thus raised was whether the Letters Patent conveyed the land up to the water’s edge in 1868, and therefore did not include the Islands, or whether the Letters Patent also conveyed the Islands, as land that had previously been connected to the mainland of Lot 35, including at the time of the Wilmot Survey. [35] The parties advance different formulations of the issues and thus the applicable standard of review. The Estate characterizes the application, to the facts, of legal principles about the effect of flooding on boundaries and the resulting determination of what was conveyed as a question of mixed fact and law, subject to deference on appeal. The First Nations characterize the failure of the application judge to determine the intentions of the parties to the Letters Patent as an error of mixed fact and law, with a commensurate standard of appellate review. The AG Canada submits that the interpretation of the Letters Patent should be reviewed on a standard of correctness because it deals with title and the factual matrix is not required to resolve any ambiguity in the Letters Patent. [36] As I discuss in more detail below, the interpretation of the Letters Patent involves discerning what the parties to them objectively intended. That is a fact specific exercise; it is a function of the language used, read in light of the relevant factual matrix or surrounding circumstances, and the legal principles that arise from those circumstances. It follows that the interpretation of the Letters Patent is a question of mixed fact and law. Absent an extricable error of law, or a palpable and overriding error of fact, a determination of a question of mixed fact and law is subject to deference on appeal: Housen v. Nikolaisen , 2002 SCC 33, [2002] 2 S.C.R. 234, at paras. 26, 36-37; Sattva Capital Corp. v. Creston Moly Corp. , 2014 SCC 53, [2014] 2 S.C.R. 633, at paras. 50, 53; Corner Brook (City) v. Bailey , 2021 SCC 29, at para. 44. [37] In my view, the application judge made three extricable legal errors in his approach to the question of whether the Islands were included in the conveyance by the Letters Patent. First, he failed to follow the fundamental principle of interpretation, which is to determine the meaning of the Letters Patent based on the parties’ intentions, objectively derived from the words they used in light of the factual matrix. Second, he erroneously relied on a legal principle about a sudden change in water levels fixing boundaries between different owners; in the circumstances, that principle was neither applicable nor determinative. Third, he failed to consider how the apparent disconnect between the obligations of the Crown concerning a sale of an island covered by Treaty 78, and the terms of the Letters Patent, bore on the question of whether the Province of Ontario intended to include the Islands in the Letters Patent. [38] As a result of these extricable legal errors, the application judge’s conclusion about the meaning of the Letters Patent is not entitled to deference: Sattva , at para. 53. [39] Below, I will expand on the application judge’s three errors. I will then turn to what I consider to be the proper interpretation of the Letters Patent. B. The Application Judge’s Errors (1) Failure to Consider the Meaning of the Letters Patent from the Standpoint of the Intention of the Parties Objectively Derived [40] Although the meaning of the Letters Patent was a core issue identified by the application judge, he declined to determine the intentions of the parties to it. This was an error, as objectively ascertaining the intention of the parties is the very goal of interpreting a written instrument. [41] As the Supreme Court of Canada said in Sattva , the “overriding concern” in the interpretation of contracts is to: determine “the intent of the parties and the scope of their understanding”. To do so, a decision-maker must read the contract as a whole … consistent with the surrounding circumstances known [or that reasonably ought to have been known] to the parties at the time of formation of the contract. Consideration of the surrounding circumstances recognizes that ascertaining contractual intention can be difficult when looking at words on their own, because words alone do not have an immutable or absolute meaning [Emphasis added.] [Citations omitted.]: Sattva , at para. 47. [42] In other words, when interpreting a contract, the question is not the abstract meaning of its words, but what the parties to the contract are objectively taken to have intended by the words they chose in light of the circumstances – the factual matrix – in which they used them. A court objectively derives the parties’ intentions by examining the words to determine what the parties intended, and examining the surrounding circumstances “to deepen [its] understanding of the mutual and objective intentions of the parties as expressed in the words of the contract” (emphasis added): Sattva , at para. 48, 57-58, 60; McLean v. McLean , 2013 ONCA 788, 118 O.R. (3d) 216, at para. 54, leave to appeal refused, [2014] S.C.C.A. No. 76. [43] This approach is consistent with the goals of finality and certainty in contractual dealings – the interpretation that is reached is grounded in the text of the agreement read as a whole, and the factual matrix is used as an interpretive aid for determining the meaning of the written words chosen by the parties, not to overwhelm or deviate from them, or change or overrule their meaning: Sattva , at paras. 57, 59-60. [44] These general principles apply equally to the interpretation of an instrument that creates or conveys an interest in land. I draw that conclusion for three reasons. [45] First, the Supreme Court of Canada has noted that the construction of an easement – clearly an interest in land – is a question of mixed fact and law as it must be interpreted in light of the entire factual matrix: Owners, Strata Plan LMS 3905 v. Crystal Square Parking Corp. , 2020 SCC 29, 450 D.L.R. (4th) 105, at para. 101. In support of that proposition, the Supreme Court cited both Robb v. Walker , 2015 BCCA 117, 383 D.L.R. (4th) 554, at paras. 30-31 (which held the principles in Sattva to be applicable to the interpretation of an easement) and Sattva itself. There is no apparent reason to distinguish the principles applicable to the interpretation of an instrument granting or conveying an easement from those applicable to a different type of interest in land. Determining the objective intentions of the parties is thus equally the goal of interpreting a conveyance, as that is the overriding concern of interpretation as identified in Sattva . [46] Second, the need for certainty and finality in conveyancing is respected by determining the objective intentions of the parties to the instrument through examining its words in light of the factual matrix that illuminates their meaning, in accordance with the principles in Sattva . [47] Third, this approach is in line with this court’s holding in the leading case concerning the interpretation of conveyances by deed or Crown grant: Gibbs v. Grand Bend (Village) (1995), 129 D.L.R. (4th) 449 (Ont. C.A.) . Although expressed in pre- Sattva language, the basic principles articulated in Gibbs do not vary, in any respect that is material to this case, from those articulated in Sattva . Those principles equally focus on determining the intention of the parties to the deed or grant. [48] Under Gibbs , the primary determinant of the meaning of a conveyance, whether by deed between private parties or by Crown grant, is its language: Gibbs , at p. 461. This is consistent with the role played by the text of a written agreement under Sattva : at para 57. Extrinsic evidence cannot be used to contradict the unambiguous terms of a conveyance made by deed or Crown grant ( Gibbs , at p. 461), just as it cannot be used to contradict the meaning of the language of any contract ( Sattva , at paras. 59-60). But just as evidence of factual matrix or surrounding circumstances can be used to ascertain contractual intention when it is difficult to do so by looking at the words alone ( Sattva , at para. 47), in the case of a deed or Crown grant, extrinsic evidence can be used “ to explain the sense in which words, open to more meanings than one, have been used by the contracting parties" , and thus to give effect to the grantor’s intention: Gibbs , at p. 461 (citations omitted). [5] The purpose of reviewing such evidence is “to permit the court to carry out the intentions of the parties”: Gibbs , at p. 463. [49] Gibbs refers to the requirement that a latent ambiguity must exist in a deed or Crown grant before extrinsic evidence will be considered: at p. 461. Sattva permits the consideration of factual matrix or surrounding circumstances in any contractual interpretation, recognizing that it may be difficult to determine intention by the words alone. In this case, this is a distinction without a difference. The test for a latent ambiguity, and thus for the admission of extrinsic evidence under Gibbs , is met in cases where the description of the land in the deed or grant, when applied to the land itself, raises an issue about the location of a boundary. Clearly, that test is met in this case. [50] An example referred to with approval in Gibbs was a case in which a deed described “the old shore road” as the westerly boundary of a lot expropriated by the provincial government. However, the “old shore road” no longer existed at the time of expropriation, causing difficulty in determining the dimensions of the land. Extrinsic evidence was admitted to assist in determining the previous location of the road: at p. 462. [51] Similarly, the interpretive issue in this case arises since the description in the Letters Patent, referring to property depicted on a survey in 1818 as a mainland lot with a water’s edge boundary, when applied to the land in 1868 after Island 27 was no longer part of the mainland, raises an issue about the boundary of what was conveyed. Extrinsic evidence of the factual matrix or surrounding circumstances was thus admissible under both Gibbs and Sattva . [52] The parties introduced, and the application judge admitted, extrinsic evidence of the circumstances existing up to the time of the Letters Patent. Yet the application judge did not use this evidence to determine the intentions of Ontario and Mr. Rose, as revealed by the words of the Letters Patent, in light of the surrounding circumstances. He held that “[a]ny consideration of the intention of the parties to the 1868 Letters Patent is … sheer speculation”. [53] If all the application judge meant by this was that he was jettisoning from the analysis any consideration of the subjective thoughts of the parties, as opposed to what they objectively intended, he would have been correct. Evidence of subjective intentions plays no role in contractual interpretation: Sattva , at para. 59. But the application judge did not make that distinction. [54] He made numerous findings based on extrinsic evidence, including about the Wilmot Survey, the historical and then current location of the Islands, the Haslett survey, and Treaties 20 and 78. He did not hold that any of those matters fell outside of the category of background facts known or that reasonably ought to have been known to the parties at the time of the Letters Patent (the description of factual matrix used in Sattva ) or as evidence of writings prior to and leading up to the issue of the Letters Patent that explains the sense in which the parties used language open to more than one meaning (the description of extrinsic evidence used in Gibbs ). [6] Despite his acceptance of this evidence, he did not use it to assist in determining the objective intentions of the parties by examining the words used in the Letters Patent in light of those circumstances. [55] By failing to determine the objective intentions derived from the language of the Letters Patent in light of the surrounding circumstances, the application judge failed to consider and apply the correct principle of interpretation. This was an extricable legal error: Sattva , at para. 53. (2) Error in the Consideration of Boundaries Principles [56] The application judge identified three legal principles relating to water boundaries of property. He rejected the application of one of them, held that a second applied only up to a point in time, and treated one as applicable and determinative. [57] The appellants argue that the application judge erred in rejecting the applicability of the Act on the basis that it could not have been within the parties’ contemplation at the time of the 1868 Letters Patent, as it was not enacted until 1911. I agree that his basis for rejection was erroneous, but I do not agree that the error was material. [58] Section 1 of the Act provides that where land that borders a navigable body of water has been or is granted by the Crown, it shall be deemed, in the absence of an express grant of it, that the bed of that body of water was not intended to and did not pass to the grantee. Given the language of s. 1 (“has been … granted”), and the nature of the exceptions in s. 2 (for example, rights determined by a court before March 24, 1911), it is clear that s. 1 has retrospective effect, governing grants made before the first version of the Act came into force in 1911: Middlesex Centre (Municipality) v. MacMillan , 2016 ONCA 475, 132 O.R. (3d) 497, at para. 16. [59] The Act specifically and retrospectively regulates the meaning of a grant from the Crown. If the applicability of the Act were contingent on it being in force at the time of the grant, its provisions that give it retrospective operation would be meaningless. [60] Although the basis on which he rejected the applicability of the Act was erroneous, in my view the error was not material; as the Estate argues, interpreting the Letters Patent to exclude the water bed between Lot 35 and the Islands does not necessarily exclude the Islands themselves, as Island 27 was above the water. [61] A second principle the application judge referred to is that a riparian or water’s edge boundary may be ambulatory, in the sense that it may change to reflect gradual [7] movement of the water’s edge (the “Ambulatory Principle”). A parcel of land with this type of boundary is subject to accretion – the addition of land when the water’s edge gradually moves out – and erosion – the decrease of land when the water’s edge gradually moves in. Put differently, when this principle applies, the water’s edge, wherever it may gradually move to from time to time, is the boundary: Natural Resources Canada, Surveyor General Branch, Water Boundaries on Canada Lands: That Fuzzy Shadowland, (Edmonton: Her Majesty the Queen in Right of Canada, 2016) (the “Surveyor General Publication”), at p. 31. [62] The application judge concluded that in 1818, the southeastern boundary of Lot 35 as depicted on the Wilmot Survey – the water’s edge of Lake Katchewanooka – was ambulatory. [63] The application judge also referred to a principle (the “Flooding Principle”) that when “water levels are quickly raised through a process that is not gradual, then the boundary of the property in question is fixed in location at the time of encroachment”. In other words, where a sudden [8] change in water levels occurs, the boundary of the owner’s property will be fixed at the point where the land met the water’s edge at the time of the sudden rise of water levels: Surveyor General Publication, at p. 39; Neilson v. British Columbia (Attorney General) , [1956] S.C.R. 819 , at p. 840. The application judge applied this principle to conclude that the boundary of Lot 35 had ceased to be ambulatory in the 1830s. [64] The appellants argue that there are two problems with the application judge’s use of the Flooding Principle. [65] First, they say that the evidence was insufficient to support a finding that a non-gradual change in water levels separated the Islands. Indeed, the First Nations say that the application judge made findings that were contradictory, in that he referred to the rise in water levels as “a lengthy and gradual process which commenced in the 1830s”, but then applied the Flooding Principle as though the rise was sudden enough to engage it. [66] Second, the AG Canada argues that the Flooding Principle applies to prevent a person from losing land to another due to a sudden rise in water levels, not to determine where one parcel of unpatented land belonging to the Crown ends and another begins. Here, on the application judge’s findings, at the time that the water levels changed, the Crown owned Lot 35, the adjacent water bed, and the Islands that were separated from the mainland of Lot 35. [67] I address each point below. a) The Application Judge’s Factual Findings Do Not Support the Application of the Flooding Principle [68] The application judge found that the Islands separated from Lot 35 in a lengthy and gradual manner: I am also satisfied that the configuration of the subject property was radically altered by the installation of man-made dams on the river. This was a lengthy and gradual process which commenced in the 1830s with the Herriot dam, continued through the construction of the Trent Severn Waterway in the middle years of the 19th century, culminating in the more significant damage caused by the flooding in the 1870s which led to the damages paid by the Crown to Jane Rose, as evidenced by the release registered on title of the subject property in 1885 as Instrument Smith 3160. The Baird drawings and the Haslett survey are the only evidence available regarding flood conditions at the subject property in the mid-19th century. Those documents, particularly the Haslett survey, support the notion that water levels on the river at the point in question had risen by as much as 2.5 feet by the mid-1850s . [Emphasis added.] [69] After making these findings, he set out the Flooding Principle by reference to p. 44 of the Surveyor General Publication, which states that it applies where water levels rise quickly through a process that is not gradual: Watercourses regulated for navigation or reservoir (millpond) purposes have higher levels, which remain somewhat constant throughout the year (e.g. many lakes in Ontario). Such levels are upstream of dams and remove impediments to navigation such as rocks and reeds. This means that discharge varies greatly throughout the year. If water levels are quickly raised (through a process that is not gradual) , then erosion has not occurred and the boundary is fixed in location at the time of encroachment. The upland parcel is partially (or completely) submerged. [Emphasis added.] [70] The application judge’s factual finding of a gradual and lengthy process by which water levels changed over approximately 25 years was not a finding of a quick rise in water levels through a process that was not gradual, as necessary for the application of the Flooding Principle he described. Nonetheless, without explanation of this discrepancy, the application judge concluded : What does persuade me that Island 27 and the two smaller islands were [what] was conveyed to Alexander Rose in 1868 is the [principle] set out in the [Surveyor General Publication] to the effect that when, as here, water levels are quickly raised through a process that is not gradual , then the boundary of the property in question is fixed in location at the time of encroachment. That principle is set out in an article produced and published by no less an authority than the Surveyor General Branch of Natural Resources Canada. That same principle was also applied by this Court in the Gall v. Rogers case, also referred to above. In my view, that is the governing law. That being the case, I find that the applicant has met its onus and has established on the balance of probabilities that Island 27, as well as the two smaller islands which formed immediately adjacent to Island 27, were conveyed by the Crown to Alexander Rose by the Letters Patent of 1868. [Emphasis added.] [71] Although the application judge used the words “as here”, he did not make any factual findings that the change in water levels was non-gradual. He found the opposite – that the property was altered through a “lengthy and gradual process”. This characterization is also in line with what he described as the only evidence of the change in water levels and alteration of Lot 35, namely, that approximately 25 years after the dams were erected, Island 27 existed as depicted by the Haslett Survey, and that the water level had increased by 2.5 feet over the course of those years. There was no evidence of water levels in 1818 or the effect on them in the 1830s when the dams were erected. [72] The flooding principle requires a sudden alteration or displacement of land or water: Neilson , at p. 826 ; McLeay et al v. City of Kelowna et al. , 2004 BCSC 325, 27 B.C.L.R. (4th) 344, at para. 20. [73] The Estate seeks to support the application judge’s conclusion by relying on the cause of the rise in water levels having been artificial – the result of dams. However, the fact that the cause of a rise in water levels was artificial does not on its own make the Flooding Principle applicable if the rise was not sudden. Nor is the Ambulatory Principle inapplicable if accretion or erosion is the result but not the intended effect of a lawful artificial structure: Surveyor General Publication, at p. 29; Clarke v. Canada (Attorney-General) , [1930] S.C.R. 137, at p. 144. A change in water levels somewhere may be the natural result of a dam. But the inference that the dams erected in the 1830s were intended to cause erosion at, and to take land away from, Lot 35 was not one that the application judge drew. Nor is such an inference properly available from the fact that water levels were different, and Island 27 had separated from the mainland, some 25 years after the dams were erected. [74] Where the facts found by a trial judge are insufficient to engage a correctly articulated legal standard, the application of that standard is an error of law, since it is tantamount to the judge having altered the legal standard: Housen , at para. 27. On the factual findings of the application judge, the Flooding Principle was not applicable. It was thus an error of law for him to apply it. b) Applying The Flooding Principle to a Time Before the Crown Grant [75] The AG Canada submits that it was an error to apply the Flooding Principle to unpatented land, that is, to fix the boundary at a location other than the 1868 water’s edge because of  changes in water levels before the Letters Patent. [76] Although in light of my finding above it is unnecessary to finally conclude on this issue, I note that the authority that the application judge relied on, The Surveyor General Publication, does not seem to support applying the Flooding Principle in this circumstance. The authors make the following observation about the relevance of the movement of the water’s edge between the time a lot has been surveyed, and the time of the Crown grant: What if the watercourse shifts between time of survey and time of parcel creation (e.g. creating a Reserve, granting a Crown patent, registering a subdivision plan, or raising a new title)? The significant date is when the parcel is created. The location of the watercourse and thus the location of the water boundary pertains when the parcel is created and not when the parcel/watercourse is surveyed: “The test is whether the land in fact comes to the water’s edge under the grant and not upon the manner of land description within the grant.” The time of survey pales into insignificance because “riparian rights exist ... at the time of the original Crown grants.” at p. 5 (emphasis added). [77] Contrary to the submission of counsel for the Estate, the reference in Becker v. Walgate , 2020 ONCA 491, at footnote 4, that the water’s edge at the time of the Crown grant does not necessarily mean the water’s edge on the day of the grant but rather the water’s edge in its natural and calm condition cannot be read in this case to refer to the water’s edge some 30 years prior to the Crown grant. (3) Failure to Consider the  Implications of the Treaties on the Interpretation of the Letters Patent [78] After finding that, because of the Flooding Principle, the Letters Patent conveyed the Islands to Mr. Rose, the application judge considered the effect of Treaties 20 and 78 on ownership of the Islands. As described above, he found that Treaty 20 effected an absolute surrender of lands that included Lot 35, and that Treaty 78 resolved any uncertainty about the Islands and did not detract from the Crown’s full ownership rights which included a right to sell. The condition Treaty 78 imposed that the Crown use the proceeds of sale for the benefit of the First Nations did not estop the Crown from selling any of the surrendered lands, and the honour of the Crown was not at risk as long as the Crown used the proceeds in that way. [79] In other words, the application judge, having found without reference to the Treaties, that the Letters Patent meant that the Islands had been sold, then concluded that the Treaties did not affect the title that was conveyed. [80] The appellants argue that in approaching the matter this way the application judge made a number of errors. It is not necessary, in my view, to address each of those arguments. I accept the argument that in considering what the Letters Patent conveyed, the application judge erred by failing to consider the obligations in Treaty 78, and whether they were consistent with reading the Letters Patent to include Island 27. In other words, he failed to take them into account as something that shed light on the sense in which the words in the Letters Patent were used: Sattva , at para. 58; Gibbs , at p. 463. [81] Treaty 20 recorded an absolute surrender of title by the First Nations, but the application judge accepted that assurances were given that the King would accede to the First Nations’ request to exclude any islands. The application judge found that those assurances were not given effect until Treaty 78. However, Treaty 78 resolved those issues by effecting a surrender that was in trust and on conditions . It imposed limitations on the type of sale that could be made – “to the best advantage for ourselves and our descendants forever” – and obligations about any proceeds – the “principal arising from such sales to be safely funded and the interest accruing therefrom to be paid annually to us and our said descendants for all time to come.” [82] The Crown was under an obligation to ensure the conditions of surrender, which are construed liberally and through the lens of the honour of the Crown, were faithfully carried out: R. v. Badger , [1996] 1 S.C.R. 771, at para. 41 ; Guerin v. The Queen , [1984] 2 S.C.R. 335, at pp. 376, 382. And the Province was bound by those obligations if it carried out the Crown power to sell: Grassy Narrows First Nation v. Ontario (Natural Resources) , 2014 SCC 48, [2014] 2 S.C.R. 447, at para. 50. [83] The fact that the Crown had undertaken separate obligations in connection with islands, and the nature of the obligations, should have shed light on whether a sale of Island 27 was objectively intended by the Province by Letters Patent that referred only to Lot 35. The Crown is not presumed to act in a manner that ignores its duties: Badger , at para. 41. The fact that the Letters Patent neither identified Island 27 separately, although surrendered to the Crown in trust and on conditions, nor allocated any of the sale price to Island 27 (a seemingly necessary first step toward investing those proceeds for the benefit of the First Nations as the terms of Treaty 78 required) were facts that were objectively inconsistent with the inference that the reference to Lot 35 was intended to include Island 27. C. The Interpretation of the Letters Patent [84] In light of these errors, the application judge’s interpretation of the Letters Patent is not entitled to deference. I turn, therefore, to whether, applying the proper principles, his interpretation is nevertheless supportable. In my view, and as presaged by the discussion above, it is not. [85] I repeat the interpretive question: whether it was the intention of the parties, objectively ascertained, that the Letters Patent conveyed the land up to the water’s edge in 1868, which did not physically include the islands, or whether they conveyed land that in 1868 was beyond the water’s edge but which had been, at a prior point in time, connected to the mainland. [86] In my view, the former interpretation is the only one which reflects the objectively ascertained intentions of the parties, as determined by the language of the Letters Patent read in light of the factual matrix and the legal principles that apply: a) the language of the Letters Patent refer to Lot 35, which the Wilmot Survey depicted as a mainland lot having a southeastern boundary constituted by the water’s edge of Lake Katchewanooka, and that did not include any land beyond the water’s edge or any islands; b) the water’s edge boundary shown on the Wilmot Survey was ambulatory. Nothing in the language of the Letters Patent incorporating the Wilmot Survey, or in correctly applied legal principles concerning boundaries, would reasonably be taken to mean that the reference to Lot 35 was intended to include any land beyond the water’s edge at the time of the Letters Patent even if the water’s edge had moved after the date of the Wilmot Survey; c) by the time of the Letters Patent, Island 27 had not only separated from the mainland of Lot 35, but had also been separately identified on the Haslett Survey – this makes the absence of any reference to Island 27 in the Letters Patent all the more important; and d) by the time of the Letters Patent, the Crown, under Treaty 78, had undertaken obligations in connection with Island 27 in favour of the First Nations. Yet the Letters Patent did not reference Island 27 or set out a value for Island 27, nor is anything else in them consistent with a sale of Island 27 in accordance with those obligations. [87] Interpreting the Letters Patent to not include the Islands makes sense of their language – both the reference to Lot 35, a property that as depicted was a mainland lot that did not extend beyond the water’s edge, and the lack of reference to any islands being included in the conveyance. This interpretation is consistent with the relevant factual matrix at the time of the Letters Patent, namely that Island 27 was physically separate from Lot 35, located beyond the water’s edge, had been separately identified, and was the subject of a separate and fundamental set of Crown obligations in favour of the First Nations. [88] The effect of the application judge’s interpretation is that the Letters Patent were meant to convey land with a boundary defined not by the water’s edge at the time of the Letters Patent, but by a point defined by a historical event. In my view, this would not be a reasonable assessment of the parties’ intentions in these circumstances, as it would not be consistent with water boundary principles and would exclude from consideration all other factors noted above. Given that Island 27 was physically separate at the time and known by a designation, it seems highly likely, given the objectives of certainty in a conveyance, that if the parties had intended to include Island 27 in the conveyance, they would have simply said so. VI. Conclusion [89] For these reasons, I would allow the appeals, set aside the orders of the application judge, and substitute an order dismissing the Estate’s application. [90] The Estate sought costs of $43,754 if successful. The appellants indicated they were content with the quantum referred to by the Estate. I would award costs of the appeals to the First Nations in the sum of $21,500, and to AG Canada in the sum of $21,500–both inclusive of disbursements and applicable taxes. Released: August 24, 2021 “J.M.F.” “B. Zarnett J.A.” “I agree. Fairburn A.C.J.O.” “I agree. B.W. Miller J.A.” [1] Also known as the Otonabee River. [2] The ownership of Island 27 determines the ownership of the other Islands – no party argued otherwise. I refer in these reasons to the Islands or to Island 27 as the context requires. [3] The appellants Curve Lake First Nation (formerly known as the Mud Lake Indian Band or Mud Lake Reserve), Hiawatha First Nation (formerly known as Rice Lake Indian Band or Rice lake Reserve) and Mississaugas of Scugog Island First Nation (formerly known as The Scugog Band of Indians). [4] The application judge did not resolve the acreage reference in the Letters Patent or use it to assist in determining what was conveyed. [5] In this case, it could not be seriously contended that the interpretive issue could be resolved by the words of the Letters Patent alone. Extrinsic evidence was led and relied on by all parties. [6] Nor was any party’s position comprehensible without reference to these matters. For example, the Estate’s position turned on the location of the Islands in relation to the mainland of Lot 35 in 1818, and if separated, when and why that occurred. The appellants’ positions required consideration of the location and identification of the Islands at various points prior to and at the time of the Letters Patent, as well as the obligations of the Crown to the First Nations. [7] Gradual is usually accompanied by additional modifiers that reinforce its meaning – imperceptible (in the moment, though perceptible over time), and incremental. The applicability of the principle is also a function of the cause of the change of water levels – either natural forces or the unintentional effects of an artificial structure. [8] The principle is sometimes described as involving a change in water levels that is sudden and artificial.
WARNING The President of the panel hearing this appeal directs that the following should be attached to the file: An order restricting publication in this proceeding under ss. 486.4(1), (2), (2.1), (2.2), (3) or (4) or 486.6(1) or (2) of the Criminal Code shall continue.  These sections of the Criminal Code provide: 486.4(1)       Subject to subsection (2), the presiding judge or justice may make an order directing that any information that could identify the victim or a witness shall not be published in any document or broadcast or transmitted in any way, in proceedings in respect of (a)     any of the following offences; (i)      an offence under section 151, 152, 153, 153.1, 155, 159, 160, 162, 163.1, 170, 171, 171.1, 172, 172.1, 172.2, 173, 210, 211, 213, 271, 272, 273, 279.01, 279.011, 279.02, 279.03, 280, 281, 286.1, 286.2, 286.3, 346 or 347, or (ii)      any offence under this Act, as it read at any time before the day on which this subparagraph comes into force, if the conduct alleged involves a violation of the complainant’s sexual integrity and that conduct would be an offence referred to in subparagraph (i) if it occurred on or after that day; or (iii)     REPEALED: S.C. 2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49). (b)     two or more offences being dealt with in the same proceeding, at least one of which is an offence referred to in paragraph (a). (2)     In proceedings in respect of the offences referred to in paragraph (1)(a) or (b), the presiding judge or justice shall (a)     at the first reasonable opportunity, inform any witness under the age of eighteen years and the victim of the right to make an application for the order; and (b)     on application made by the victim, the prosecutor or any such witness, make the order. (2.1) Subject to subsection (2.2), in proceedings in respect of an offence other than an offence referred to in subsection (1), if the victim is under the age of 18 years, the presiding judge or justice may make an order directing that any information that could identify the victim shall not be published in any document or broadcast or transmitted in any way. (2.2) In proceedings in respect of an offence other than an offence referred to in subsection (1), if the victim is under the age of 18 years, the presiding judge or justice shall (a) as soon as feasible, inform the victim of their right to make an application for the order; and (b) on application of the victim or the prosecutor, make the order. (3)     In proceedings in respect of an offence under section 163.1, a judge or justice shall make an order directing that any information that could identify a witness who is under the age of eighteen years, or any person who is the subject of a representation, written material or a recording that constitutes child pornography within the meaning of that section, shall not be published in any document or broadcast or transmitted in any way. (4)     An order made under this section does not apply in respect of the disclosure of information in the course of the administration of justice when it is not the purpose of the disclosure to make the information known in the community. 2005, c. 32, s. 15; 2005, c. 43, s. 8(3)(b); 2010, c. 3, s. 5; 2012, c. 1, s. 29; 2014, c. 25, ss. 22, 48; 2015, c. 13, s. 18. 486.6(1)       Every person who fails to comply with an order made under subsection 486.4(1), (2) or (3) or 486.5(1) or (2) is guilty of an offence punishable on summary conviction. (2)     For greater certainty, an order referred to in subsection (1) applies to prohibit, in relation to proceedings taken against any person who fails to comply with the order, the publication in any document or the broadcasting or transmission in any way of information that could identify a victim, witness or justice system participant whose identity is protected by the order. 2005, c. 32, s. 15. COURT OF APPEAL FOR ONTARIO CITATION: R. v. W.G., 2021 ONCA 578 DATE: 20210824 DOCKET: C66451 Fairburn A.C.J.O., Watt and Huscroft JJ.A. BETWEEN Her Majesty the Queen Respondent and W.G. Appellant Brian H. Greenspan and Naomi Lutes , for the appellant Christine Bartlett-Hughes , for the respondent Heard: January 27, 2021 by videoconference On appeal from the conviction entered by Justice Douglas K. Gray of the Superior Court of Justice on September 20, 2018, with reasons reported at 2018 ONSC 5404. Watt J.A.: [1] They met first on a dating app where both had an account. They chatted. [2] Then they met at a hotel. This was their first meeting in person. They had sex. [3] The relationship continued for a few weeks. Virtually and in person. Usually sexual. But at other times, not. Interrupted by various events. [4] After the relationship ended, the appellant was arrested on charges of sexual interference and sexual assault. A judge of the Superior Court of Justice found both charges proven beyond a reasonable doubt. The judge entered a conviction on the count of sexual interference and a conditional stay on that of sexual assault. [5] The appellant appeals his conviction. These reasons explain why I would dismiss the appeal and affirm the conviction entered at trial. The Background Facts [6] The issues raised in this court do not require any detailed reference to the evidence adduced at trial. A brief overview of the underlying circumstances will provide the background necessary to understand the claims of error advanced and how I propose to resolve them. The Principals [7] L.S. was born female. Early in high school, L.S. began to identify as male. At all material times, L.S. was 15 years old. [8] The appellant was a married father of two children. Self-employed, he was 50 years old when the offences alleged were committed. The Grindr App [9] Grindr is a dating app used by gay men. Its account holders must be 18 or older, but the service does not verify any information its account holders provide. Despite the age requirement, an account holder need not disclose their age. [10] L.S. left his age blank on his Grindr profile. He included a photograph of his eye. An account holder could indicate the type of gay subculture with which he identified. L.S. did so. He indicated “twink”, a younger man with a boyish look. [11] The appellant used the name “Tom” on his Grindr profile. He listed his age as 48. This was a lie. He was actually 50 years old and did not go by the name of “Tom” in his daily activities. The appellant knew that information provided in Grindr profiles was not verified. The Grindr Chats [12] L.S. and the appellant chatted on Grindr for about two or three weeks before they actually met. L.S. said he was 18. He had been born female but was transitioning to male. L.S. claimed he was doing a “lap” year at high school. He lived at home with his parents and a sibling. [13] During their chats on Grindr, L.S. did not tell the appellant that he (L.S.) was seeing an older man, “Steven”. The First In-Person Meeting [14] Early in the month following their virtual meetings, the appellant and L.S. met in person. The appellant picked up L.S. at school. They drove in the appellant’s truck to a nearby hotel. There they engaged in various forms of sexual activity before the appellant drove L.S. back to the parking lot of his high school. [15] The appellant proposed another meeting the next day. L.S. demurred because he was seeing another man, “Steven”. The Later Meetings [16] Over the next several weeks, the appellant and L.S. continued to chat and to meet. In most of their meetings, they had sex. [17] Later in the month of their first in-person meeting, L.S. told the appellant that he (L.S.) had chlamydia. He advised the appellant that he should be examined by a doctor. The appellant did so. The examination confirmed that the appellant also had chlamydia. Both received medical treatment. Their sexual activity ceased during the period of treatment. [18] The appellant believed that “Steven” was the source of the chlamydia that he (the appellant) had contracted from L.S. The appellant told L.S. that their relationship was over if L.S. continued to see other men. [19] The day following this ultimatum, L.S. told the appellant that he would end his relationship with “Steven”. [20] The relationship between L.S. and the appellant continued over a few more weeks. They chatted and met. Medical treatment, and vacations interrupted their sexual activity. The Confession about Age [21] On April 7, 2015, as the appellant and L.S. returned from sexual activity, the appellant asked L.S. what he proposed to do after completion of his “lap” year. L.S. paused as he had when “Steven” had asked him the same question. L.S. then told the appellant that he was only 15 – not 18, as he had said in their early meeting. [22] L.S. and the appellant diverged in their accounts of what happened after L.S. disclosed his true age – 15 – to the appellant. [23] L.S. testified that the relationship continued after his age disclosure. This included sexual activity. He was challenged on this issue in cross-examination. Among other suggestions put to him was that he had confused what had happened after he had made a similar disclosure to “Steven” with what had occurred with the appellant. [24] The appellant gave evidence that once L.S. disclosed his true age, they agreed that they could no longer see each other. Their only further contact, about which they were also agreed, was that the appellant could wish L.S. happy birthday when L.S. turned 16. The appellant extended his best wishes. L.S. did not reply. The Appellant’s State of Mind [25] The appellant testified that until L.S. told him that he was only 15, he (the appellant) believed that L.S. was 18. L.S. had told him so as their virtual relationship began and, according to the appellant, had said nothing to the contrary until their relationship ended. [26] The appellant recounted several factors that confirmed his belief that L.S. was 18 during their sexual relationship. L.S. said he was 18 and used the Grindr app which required account holders to be 18. L.S. said that he was doing a “lap” year at high school, meaning Grade 13. L.S. demonstrated maturity in their conversations and assuredness in his sexual preferences. L.S.’s demeanour and physical appearance, which were consistent with his photograph, confirmed his stated age. The Appellant’s Inquiries [27] The appellant was cross-examined about what steps he had taken to confirm his belief that L.S. was 18. He acknowledged that he only asked L.S. his age once, when they first met over Grindr. He did not inquire about why L.S. was doing a “lap” year at high school. Nor did the appellant tell anyone about their relationship. After they met in person, the appellant did not ask L.S. for any identification or whether he had a driver’s licence. The appellant did not inquire about the age of L.S.’s brother or ask to meet L.S.’s parents. They never met at L.S.’s home. The appellant picked up L.S. and dropped him off after their meetings some distance away from his home. The appellant acknowledged that people lie about their age and other things on Grindr. Indeed, he had lied about his own age in creating his profile on the Grindr app. The Positions at Trial [28] The trial Crown advanced two alternative bases upon which the appellant’s guilt could be proven. First, he submitted that the appellant could be found guilty on the basis that the appellant continued his sexual relationship with L.S. after L.S. had disclosed his true age as 15. [29] Second, even if the appellant honestly believed that L.S. was at least 16, the Crown contended that it was proven beyond a reasonable doubt under s. 150.1(4) of the Criminal Code, R.S.C. 1985, c. C-46, that the appellant had not taken all reasonable steps to ascertain L.S.’s age. The Crown advanced this as an alternative path to conviction and as the principal basis of liability. [30] For the appellant, defence counsel submitted that the trial judge should have a reasonable doubt that any sexual activity took place between the parties after L.S. told the appellant that he was 15. In the alternative, trial counsel argued that, throughout, the appellant honestly believed that L.S. was 18. Further, Crown counsel had failed to prove beyond a reasonable doubt, as he was required to do, that the appellant did not take all reasonable steps to ascertain L.S.’s age. It followed, defence counsel urged, that the appellant should be acquitted. The Reasons of the Trial Judge [31] Considering the first basis of liability advanced by the Crown, the trial judge was not satisfied beyond a reasonable doubt that the sexual relationship of the appellant and L.S. continued after L.S. told the appellant that he was 15. [32] Turning to the alternative basis of liability, the trial judge was satisfied that the appellant had an honest but mistaken belief throughout the sexual relationship that L.S. was 18, or at least 16. However, the trial judge was persuaded beyond a reasonable doubt that the appellant did not take all reasonable steps to ascertain L.S.’s age. He expressed his conclusion in these terms: In the final analysis, W.G. simply took L.S.’s word that he was 18 years old, and he made assumptions that were not warranted in the particular circumstances. While concrete steps are not required in every case, they were clearly required in this case. The simplest step would have been to ask for identification. That was not done. In the final analysis, I am satisfied beyond a reasonable doubt that W.G. did not take all reasonable steps to ascertain the age of L.S. before he engaged in sexual activity with him. Thus, as specified in s. 150.1(4) of the Code , it is not a defence to the charges under s. 151 or s. 271 that W.G. believed that L.S. was 16 years of age or more. The Grounds of Appeal [33] The appellant identifies three errors in the trial judge’s analysis which he says warrant entry of an acquittal, or at worst, an order for a new trial. He says that the trial judge erred: i. in finding the fault element in sexual interference satisfied on the basis of the appellant’s failure to take all reasonable steps to ascertain the true age of L.S.; ii. in his interpretation of the “all reasonable steps” requirement in s. 150.1(4); and iii. in misapprehending the evidence about L.S.’s online dating profile on Grindr. [34] The first two grounds of appeal are related and can be combined for the purpose of analysis. Ground #1: The Fault Element in Sexual Interference [35] The argument advanced in support of this ground of appeal does not require further reference to the evidence adduced at trial or the reasons of the trial judge. A canvass of the arguments advanced in this court is sufficient prelude to the discussion that follows. The Arguments on Appeal [36] The appellant begins with the unassailable: subjective fault is a bedrock principle of the criminal law in Canada. Yet here, the appellant says, the trial judge failed to give effect to that principle. This is because the judge, having found that the appellant honestly believed L.S. was over 16, nonetheless convicted the appellant because he failed to take all reasonable steps to ascertain L.S.’s age. [37] The failure to take all reasonable steps requirement in s. 150.1(4) of the Criminal Code , the appellant says, simply bars an accused from raising a positive defence – mistaken belief in age – in answer to a charge of sexual interference. The failure does not provide, and thus cannot be invoked, as an independent pathway to conviction as occurred here. Previous authority notwithstanding, no longer can the Crown establish an accused’s guilt of sexual interference on either of two bases – actual knowledge of the complainant’s underage status, or the failure to take all reasonable steps to ascertain the complainant’s true age. Only actual knowledge of the complainant’s underage status will suffice. [38] Here, the appellant continues, the trial judge required him to show not only that he honestly but mistakenly believed that L.S. was at least 16 years old, but also that he had taken all reasonable steps to ascertain L.S.’s age. But the onus is on the Crown to disprove the defence for which s. 150.1(4) provides, by proving beyond a reasonable doubt that the appellant either did not honestly believe L.S. was of age, or that he failed to take all reasonable steps to ascertain L.S.’s true age. [39] The trial judge’s findings, according to the appellant, require entry of an acquittal or, at the very least, a new trial. To establish the fault element of sexual interference, the Crown had to prove beyond a reasonable doubt that the appellant believed, was wilfully blind, or was reckless as to whether L.S. was under 16. The trial judge found that the appellant honestly believed that L.S. was 18, thus not under 16 years of age. On this finding, the appellant was entitled to an acquittal. [40] Even if the appellant is not entitled to an acquittal under the new sexual assault fault regime, a new trial is required. The trial judge, the appellant contends, failed to consider and decide whether the Crown had proven beyond a reasonable doubt that the appellant had the state of mind necessary to establish guilt. The trial judge found that there was an air of reality to the appellant’s assertion that he had taken all reasonable steps to ascertain L.S.’s true age. Even if the trial judge was satisfied beyond a reasonable doubt that the appellant had not taken all reasonable steps as required by s. 150.1(4), it remained incumbent on the Crown to prove beyond a reasonable doubt that the appellant believed, was wilfully blind to, or was reckless as to whether L.S. was under 16. But the trial judge never adverted to, much less decided whether the Crown had proven the required fault element beyond a reasonable doubt. Thus, the need for a new trial. [41] In addition to the above, the appellant also challenges the trial judge’s interpretation and approach to the “all reasonable steps” element in s. 150.1(4) of the Criminal Code . The trial judge, the appellant complains, failed to conduct the assessment contextually, in particular, by failing to take into account the appellant’s subjective belief that L.S. was over 16. What constitutes “all reasonable steps” depends on the context of each case and requires an assessment of all the circumstances. The term “steps” has two modifiers: “all” and “reasonable”. The trial judge read “all” as “every”, thus approaching the requirement as a checklist, contrary to what the authorities teach. Steps that are not reasonably necessary in the circumstances need not be taken. [42] The subjective belief of an accused informs but is not determinative of the contextual “all reasonable steps” inquiry under s. 150.1(4). Here, the trial judge’s failure to consider the appellant’s belief in L.S.’s age resulted in a disproportionate focus on the positive steps taken, rather than whether the context required any further inquiries. An honest belief not based on ignorance, but as here, grounded on L.S.’s own representation may obviate the need for further inquiry. Indeed, the appellant engaged the very inquiry necessitated by the circumstances. His conduct belies the states of mind required to establish the fault element in sexual interference. [43] The respondent disagrees. The Crown rejects any suggestion of legal error in the trial judge’s analysis and conclusion. Admittedly, the analysis did not conform to what is now required because the trial judge did not have the teachings of those cases to guide him. But once the trial judge found that the Crown had proven beyond a reasonable doubt that the appellant had not taken all reasonable steps required by the circumstances to ascertain L.S.’s true age, the appellant was not entitled to rely on the mistaken belief in age defence. The appellant’s conviction, in turn, was inevitable. [44] In several pages of her factum, the respondent articulated her concern with the reasoning of the majority of the Supreme Court of Canada in R. v. Morrison , 2019 SCC 15, [2019] 2 S.C.R. 3. The purpose of this critical analysis, she indicated, is to preserve a right of appeal to the Supreme Court of Canada on this basis. These submissions are best left to another place, at another time. [45] When s. 150.1(4) is properly interpreted, the respondent contends, the subsection does not overlay a discrete mistaken belief in age defence on top of a fault element with respect to age for offences involving sexual activity with children. Instead, the mens rea component requires the Crown to prove beyond a reasonable doubt the absence of a reasonable mistaken belief with respect to the complainant’s age. However, even accepting that disproof of a mistaken belief of age is an inquiry distinct from that involving proof of the elements of an offence, negating mistaken belief in age to the extent of reasonable doubt is tantamount to proof of the culpable mental state required for offences such as sexual interference. A conviction of that offence is inevitable. [46] The “all reasonable steps” requirement in s. 150.1(4) obliges an accused who advances a mistaken belief in age defence to have exercised the same degree of care in ascertaining a complainant’s age that a reasonable person would exercise in equivalent circumstances. This inquiry is a highly contextual, fact-specific exercise. It includes both objective and subjective components. When the Crown proves beyond a reasonable doubt that an accused did not take all reasonable steps to ascertain the complainant’s age, the defence of mistaken belief in consent is no longer available for the trier of fact to consider. [47] Although rejection of the mistaken belief defence in s. 150.1(4) and the nature of the fault element required in respect of the age-specific sexual offences remain closely associated, the fault element must be defined in terms of the accused’s state of mind. The fault element in s. 151 includes actual knowledge or belief and wilful blindness. But it also extends to recklessness, that is to say, an awareness of some level of risk and a determination to proceed despite that risk. An accused who decides to proceed with sexual activity with an underage complainant after adverting to the possibility that the complainant was underage, is reckless with respect to the complainant’s age, even if the risk that the complainant is underage is low. Where an accused cannot rely on his evidence about mistaken belief in age because he has not taken reasonable steps to ascertain the complainant’s age, no reasonable doubt can arise with respect to proof of the fault element of the offence. [48] In this case, the respondent argues, the appellant did advert to the question of L.S.’s age. If the trial judge correctly concluded that the appellant failed to take all reasonable steps in the circumstances as he knew them, then he cannot rely on the defence of mistaken belief and his claim in that respect is of no legal effect. The trial judge made no error in his “all reasonable steps” analysis. The appellant was properly convicted. The Governing Principles [49] The principles that control our decision are of recent origin. They differ from those applicable when the trial judge rendered his decision. [50] The principles at work have to do with the essential elements of the offence of sexual interference; the mistaken belief in age defence in s. 150.1(4); and the combined effect of these principles in the circumstances of this case. Those circumstances include two findings of fact made by the trial judge: i. that the appellant honestly believed L.S. was 18; and ii. the appellant failed to take all reasonable steps to ascertain L.S.’s age as required by s. 150.1(4) of the Criminal Code . The Offence Charged: Sexual Interference [51] The appellant was charged with sexual interference, an age-specific offence created by s. 151 of the Criminal Code prohibiting defined sexual conduct with a prescribed class or group of persons. To establish this offence in the circumstances of this case, the Crown had to prove beyond a reasonable doubt: i. L.S. was under 16; ii. the appellant touched L.S.; and iii. the touching was for a sexual purpose. [52] Like the cognate offence of invitation to sexual touching in s. 152, the language of the section creating the offence of sexual interference says nothing expressly about the mens rea requirement or fault element as it relates to an accused’s belief about the age of the complainant: see R. v. Carbone , 2020 ONCA 394, 150 O.R. (3d) 758, at para. 67. See also R. v. B.J.T ., 2019 ONCA 694, 378 C.C.C. (3d) 238, at para. 37. [53] The language in s. 151 does not track the formula expressed in s. 172.1(1) requiring that the complainant be “a person who is, or who the accused believes is, …” under a specified age: see Carbone , at paras. 98-99. Thus, the fault element in s. 151 would appear to be the intention to touch the body of a person under 16 with a part of the accused’s own body for a sexual purpose. Mistaken Belief in Age: Section 150.1(4) [54] Section 150.1(4) applies to the sexual interference offence of s. 151. Section 150.1(4) refers to a defence and imposes restrictions upon its availability. The defence, absent the statutory restrictions, has its roots in the common law which permit a defence of mistake about an essential element of an offence requiring proof of mens rea . The section precludes the defence of an honest but mistaken belief that the complainant was at least 16 years old unless the accused took “all reasonable steps” to ascertain the complainant’s age. A similar statutory provision appears in s. 172.1(4) which, like s. 150.1(4), forecloses the defence where the claim is entirely devoid of an objective basis: Morrison at para. 45; Carbone , at para. 67. [55] Substantive defences like s. 150.1(4) have implications for the burden of proof. An evidentiary burden is imposed on the accused. A persuasive burden on the Crown. The threshold evidentiary burden on the accused is to adduce evidence sufficient to give the defence an air of reality: Morrison , at paras. 84, 118; R. v. Levigne , 2010 SCC 25, [2010] 2 S.C.R. 3, at para. 32(3); and Carbone , at para. 129. This requires the introduction of evidence that would permit the trier of fact to find that the accused believed the complainant was the required age and took all reasonable steps to determine the complainant’s age: Morrison , at paras. 119-120; Carbone , at para. 129. This is consistent with general principles: R. v. Cinous , 2002 SCC 29, [2002] 2 S.C.R. 3, at paras. 2, 50-54. [56] Where an accused fails to meet the evidentiary burden under s. 150.1(4), the defence available under that section fails in limine in accordance with general principle. However, where the evidentiary burden is met, the defence is in play and becomes available for the trier of fact to consider in accordance with its terms. Once the defence is in play, the burden settles upon the Crown to negate the defence for which the subsection provides. This too accords with general principle, except for those few defences where the legal burden also falls upon the accused. [57] Where the defence of s. 150.1(4) is in play, the Crown may negate it in either of two ways. The Crown may prove that the accused did not honestly believe that the complainant was at least 16 years old at the time of the alleged offence. Or the Crown may prove that, despite the accused’s claim that they honestly believed that the complainant was at least 16, the accused did not take all reasonable steps to ascertain the complainant’s age: Morrison , at para. 88; Carbone , at para. 118. See also R. v. Saliba , 2013 ONCA 661, 304 C.C.C. (3d) 133, at paras. 26-28; R. v. Duran , 2013 ONCA 343, 306 O.A.C. 301, at para. 51. [58] The “all reasonable steps” analysis required under s. 150.1(4) is highly contextual and fact specific. As a general rule, the more reasonable an accused’s perception of the complainant’s age, the fewer steps required of the accused to satisfy the standard of diligence imposed: R. v. George , 2017 SCC 38, [2017] 1 S.C.R. 1021, at para. 9. [59] Some steps are of no avail in the “all reasonable steps” analysis. The sexual activity itself cannot be summoned in support because the steps must precede the activity which forms the subject matter of the charge. Equally unavailing are steps taken after the alleged interference, although these steps may have purchase on an assessment of the credibility and reliability of a witness. The steps must precede the conduct in issue: George , at paras. 18-21. [60] “Reasonable steps” are steps that a reasonable person would take, in the same circumstances known to the accused at the time, to ascertain the complainant’s age. The reasonable steps requirement includes both objective and subjective elements. The steps, viewed objectively, must be reasonable. And the reasonableness of those steps must be asserted in the circumstances known to the accused: Morrison , at para. 105. [61] “Reasonable steps” are steps that provide information reasonably capable of supporting an accused’s belief that the complainant is of legal age. In other words, the steps must be meaningful. Steps that solicit information that does not reasonably support a belief in legal age are not reasonable steps. Relevant considerations include not only the nature of the steps themselves, but also the information that those steps solicit. The steps need not always be active. However, where the early steps of an accused could reasonably support a belief that the other person is of legal age, but later events raise “red flags” that the other person may not be of legal age, additional steps may be required to meet the standard of s. 150.1(4): Morrison , at paras. 106-109. [62] There is no magic number or exhaustive list of steps that an accused must take to satisfy the “all reasonable steps” requirement in s. 150.1(4). A practical, common sense approach should prevail, informed by the overarching purpose of the provision – to protect vulnerable young people from sexual crimes by assigning responsibility for preventing adult/youth sexual activity on adults. And by an enhanced standard. Not simply “reasonable steps”, but “all reasonable steps to ascertain the age” of the complainant. Section 150.1(4) and Proof of Guilt [63] Where a substantive defence to a charge is in play, but disproved by the Crown, the consequences for proof of the essential elements of the offence vary. To illustrate what I mean, consider the offence of second degree murder and the defences of self-defence, alibi, and provocation. [64] When the Crown disproves a defence of self-defence that is advanced as the sole defence to a charge of second degree murder, the Crown has established an essential element of the offence – an unlawful killing – but not the offence itself. This is because rebuttal of the defence says nothing about proof of the fault element in second degree murder. [65] Where an accused advances a defence of alibi and the Crown disproves it beyond a reasonable doubt, the effect is of no consequence to proof of any essential element of second degree murder. It does not establish the accused’s presence when and where the offence was committed, only that they were not elsewhere as they claimed. [66] Where the Crown proves beyond a reasonable doubt that the accused was not acting under provocation, the effect is that the accused committed murder. This is because provocation only enters the picture when murder has been proven. When provocation is negated, murder remains proven. [67] Where the defence of honest belief in age is in play in a prosecution for sexual interference and the Crown proves beyond a reasonable doubt that the accused did not take all reasonable steps to ascertain the complainant’s age, this means that the defence is unavailing. But it does not mean that, on this basis alone, the offence charged has been proven beyond a reasonable doubt. Whether the offence charged has been so proven depends on whether the trier of fact concludes that the Crown has proven beyond a reasonable doubt that the accused believed that the complainant was underage: Morrison , at para. 129. [68] Where the Crown has disproven the honest belief in age defence in s. 150.1(4), the trier of fact is left with three possible states of mind. The accused may have believed or have been wilfully blind to the fact that the complainant was under 16. The accused may have appreciated that there was a risk that the complainant was under 16 but decided to go ahead anyway despite that risk. Or the accused may never have adverted to the complainant’s age and chose to proceed with the touching: Carbone , at para. 122. [69] The fault element under s. 151 may be proven by establishing that the accused believed that the complainant was under 16, or that the accused was wilfully blind to the fact that the complainant was under 16. The Crown may also establish the fault element by proving beyond a reasonable doubt that the accused believed that there was a risk that the complainant was under 16, but went ahead anyway, choosing to do so despite the risk. In other words, the accused was reckless as to the complainant’s true age. And the Crown may also demonstrate that the accused never turned their mind to the complainant’s age as they proceeded. This too may establish recklessness on the accused’s part with respect to the complainant’s age. Reckless indifference is a subjective state of mind bespeaking a choice on the part of an accused to treat the complainant’s age as irrelevant and to assume the risk associated with their choice: Carbone , at paras. 123, 126-127. [70] As Carbone teaches, the fault element of recklessness is subjective. It involves the appreciation of some level of risk coupled with the conscious decision to take that risk. Under s. 151, an accused who chooses to proceed with the activity the section prohibits – sexual activity with young persons – after having adverted to the possibility that the complainant was underage, will inevitably be found to have been reckless with respect to the complainant’s age: Carbone , at para. 125. So too, at least in most cases, indifference to the complainant’s age, a state of mind that reflects a positive choice by an accused to treat the complainant’s age as irrelevant to their decision to engage in the sexual activity: Carbone , at paras. 126-127. The Principles Applied [71] I would not give effect to this ground of appeal. To explain why, I begin with some background. [72] At trial, several circumstances were uncontroversial. The sexual activity which the appellant and L.S. participated took place within the time period alleged in the indictment and amounted to the external circumstances or actus reus of the offences charged. The appellant touched the body of L.S. with a part of his own body. The touching was for a sexual purpose. L.S. was 15. [73] The defence the appellant advanced at trial was that he honestly believed that L.S. was 18, thus not under 16 as the offence-creating provision requires, and that he had taken all reasonable steps in the circumstances as he knew them to ascertain L.S.’s age. In other words, the appellant had satisfied all the requirements of s. 150.1(4) of the Criminal Code . [74] In his reasons for judgment, the trial judge made two findings of fact upon which he rested his decision that the Crown had proven the appellant’s guilt beyond a reasonable doubt. He found that the appellant honestly believed that L.S. was 18 and would have made the same finding even if the appellant had to establish this fact beyond a reasonable doubt. The trial judge also found that the Crown had proven beyond a reasonable doubt that the appellant failed to take all reasonable steps the circumstances required to ascertain L.S.’s true age. On the basis of the then existing authorities, these two findings together established the appellant’s guilt of both offences charged. [75] We now know that this reasoning, which treats the failure to take all reasonable steps to ascertain a complainant’s age as a discrete pathway to conviction, is erroneous. This is because this reasoning fails to take into account the fault element the Crown is required to prove in cases of sexual interference where the mistaken belief in age defence of s. 150.1(4) has failed for want of all reasonable steps. [76] To establish the requisite fault element in the circumstances of this case, the Crown had a suite of options. Actual belief that L.S. was under 16. Wilful blindness as to whether L.S. was under 16. And recklessness, either through the appellant’s appreciation of the risk that L.S. was under 16 and proceeding anyway in spite of that risk, or in never turning his mind to L.S.’s age. [77] This court has indicated that this additional step – assessing the adequacy of the proof of the fault element – will have little practical effect on verdicts rendered on the basis of the former alternative pathway analysis. This is so because removal of the positive belief that the complainant was the required age, in tandem with recklessness as a basis for a finding of mens rea , will leave little room for a conclusion other than that an accused was, at minimum, reckless as to the complainant’s true age: Carbone , at para. 130. [78] Whether the result would have been the same under the additional step now required in the mens rea analysis under the alternative pathway approach, which this court has said is likely to be the case in the majority of instances, will turn largely on the trial judge’s analysis of the failure of the accused to take all reasonable steps to determine the age of the complainant. [79] In this case, the trial judge likened the analysis required as akin to an inquiry into the exercise of due diligence. There was no checklist of factors dipositive of the issue. The benchmark was what steps a reasonable person in equivalent circumstances would have undertaken to determine the complainant’s age. The analysis was highly contextual and fact specific. The trial judge then listed the factors upon which the appellant relied and rejected the submission that they met the standard required by s. 150.1(4). He concluded that the appellant essentially accepted L.S.’s statement about his age without further meaningful inquiry. [80] Here, contrary to the position advanced by the appellant, the trial judge specifically rejected a checklist approach to the issue framed by s. 150.1(4). He did not require a standard of perfection. The offences charged were complete within minutes of the first actual meeting between the parties. The appellant relied on what L.S. had said on his Grindr profile and in their chats. He well knew that things were not as advertised on Grindr. Account holders lied about many things. Their identity. Their age, as he did himself. The age gap between the parties was three decades. This is not a case where L.S.’s physical appearance showed him to be clearly of age. The appellant had no external benchmarks against which to test L.S.’s representation about his age. He made no request for identification, simply took L.S. at his word and made unwarranted assumptions. [81] In the circumstances of this case, I am satisfied that, had he had the benefit of the later authorities, the trial judge would have reached the same conclusion. The trial judge rejected the single defence advanced, that is to say, that the appellant honestly believed L.S. was over 16 when the sexual activity prohibited by s. 151 took place. The rejection was grounded on the appellant’s failure to take all reasonable steps to ascertain L.S.’s true age. This rejection took the appellant’s claim that he believed L.S. was at least 16 out of the evidentiary mix. This rejection, on these facts, left only two possibilities. Either the appellant actually knew or was wilfully blind as to whether L.S. was under 16, or that he was reckless about L.S.’s true age . Either is sufficient to establish the mens rea required by s. 151. Ground #2: Misapprehension of Evidence [82] The appellant urges a second ground of appeal. He says that the trial judge misapprehended evidence that was material to the finding of guilt. This misapprehension provided context to the reasonableness of the appellant’s inquiries and his perception of L.S.’s appearance. It was thus important to the “all reasonable steps” analysis under s. 150.1(4) that led the trial judge to reject the only defence put forward at trial. The Essential Background [83] The misapprehensions in this case include a mistake about the substance of evidence and the failure to consider evidence about L.S.’s representation that he was 18. The Online Dating Profile [84] In his online dating profile on Grindr, L.S. indicated he identified as a “twink”, a younger gay man who had a boyish look. Briefly, a boyish gay man. This attracted plenty of attention on Grindr from older men. [85] In examination-in-chief, the appellant testified that on Grindr L.S. also associated himself with an “older guy” tribe. Selection of a tribe indicated a person’s preference of what he liked, things of interest to the account holder. The Age Representation [86] As he began his relationship with the appellant and “Steven”, L.S. represented himself as 18. [87] In cross-examination, it was suggested to L.S. that when he met others in person, they accepted or appeared to accept that he was 18. He agreed. He was not asked and gave no evidence about having or using fake identification documents describing his age as 18. No submissions were made about him having or using fake identification. The Reasons of the Trial Judge [88] In his written reasons, the trial judge referred to evidence that on his Grindr profile, the appellant indicated his interest in two “tribes”: “The ‘ twink’ tribe (being younger-looking men) and another tribe, being older men.” [89] The trial judge made no reference to any evidence about the appellant being accepted by others as older than his true age or his possession or use of false identification. The Arguments on Appeal [90] In brief submissions on this issue, the appellant contended that the trial judge was in error about the substance of the evidence about the online Grindr profile of L.S. His designation of the tribe “twink” did not indicate his interest in younger men, as the trial judge recounted it, but that he was someone who had a youthful appearance. This misapprehension was material because it provided further context to the reasonableness of the appellant’s inquiries and his perception of L.S.’s appearance. [91] In addition, the appellant says that the trial judge failed to consider evidence that others accepted that the complainant was 18 and that he had used fake identification in the past. This evidence indicated that the appellant’s failure to cross-examine L.S. about his age or to ask for identification were unlikely to produce any truthful response about his actual age. It follows that the appellant’s failure to do so should not have tolled against him in the “all reasonable steps” analysis . [92] The respondent demurs. There was no misapprehension of evidence, in either sense advanced by the appellant, material to the reasoning process that led to the findings of guilt. This is a stringent test. The misapprehension must be an essential, rather than peripheral, part of the reasoning process leading to the finding of guilt. For it to amount to a miscarriage of justice, the misapprehension must leave the balance of the reasoning on shaky ground when struck from the determination of guilt. [93] First, the respondent submits, the trial judge was not mistaken about the substance of the evidence about the “twink” tribe selected on L.S.’s Grindr profile. L.S. explained its meaning. The tribe “twink” referred to younger gay men. This comported with his youthful appearance and reinforced his later representations that he was 18. [94] Second, the trial judge’s failure to refer to evidence that others accepted that L.S. was 18, including others on Grindr such as “Steven”, was of no consequence to the trial judge’s findings of guilt. Neither was it of consequence that the trial judge failed to refer to evidence that L.S. had apparently used or tried to use fake identification, and thus might have done so if asked by the appellant for identification. None of these steps were taken by the appellant. The Governing Principles [95] The principles governing appellate review of claims of misapprehension of evidence are well established in our jurisprudence. [96] A misapprehension of evidence includes a mistake about the substance of evidence, a failure to consider evidence relevant to decide a material issue, or a failure to give proper effect to evidence: R. v. Morrissey (1995), 22 O.R. (3d) 514 (C.A.), at pp. 217-218. [97] For a misapprehension of evidence to vitiate a conviction on the ground of a miscarriage of justice, the misapprehension must have to do with the substance of the evidence, not merely its details. The misapprehension must be material, not merely peripheral, and the error must play an essential part in the reasoning process leading to conviction, not just in the narrative of the judgment: R. v. Lohrer , 2004 SCC 80, [2004] 3 S.C.R. 732, at para. 2. An error in the assessment of evidence amounts to a miscarriage of justice only if striking it from the judgment leaves the reasoning leading to the finding of guilt on shaky ground: R. v. Sinclair , 2011 SCC 40, [2011] 3 S.C.R. 3, at para. 56. The Principles Applied [98] In my respectful view, this ground of appeal fails. As I will explain, the claims of misapprehension advanced here, whether considered individually or in combination, simply do not ascend to the stringent threshold required to warrant our intervention. [99] First, the evidence about L.S.’s Grindr profile. [100] The reasons of the trial judge include two references to the “tribes” included in L.S.’s Grindr profile. Each refers to “twink” and another tribe with interest in older men. The profile itself was not tendered or filed as an exhibit. [101] The initial reference to “another tribe, being older men” appears under the heading “Background”. This is a narrative part of the judgment. It informs no part of the reasoning process leading to conviction. The second reference is contained in a summary of the appellant’s testimony at trial, recounting the factors upon which the appellant relied on to found his belief that L.S. was 18. The reference is faithful to the appellant’s testimony that the designation of a “tribe” reflected the account holder’s sexual preferences, “things that you’re interested in.” [102] To the extent that the submission about misapprehension of evidence is grounded on a mistake about the substance of this evidence, the argument fails. [103] Nor am I persuaded that the omission of references to the acceptance by others of L.S.’s representations that he was 18, or that he had used fake identification in the past, contaminated the judge’s conclusion that the appellant failed to take all reasonable steps to ascertain L.S.’s true age. [104] The evidence was of doubtful admissibility – at least to the extent that it consisted of a witness reporting what others had said about acceptance of L.S.’s age-related representations as evidence of actual acceptance, or L.S.’s possession or use of false identification. It would appear to offend the hearsay rule and fall well short of admission by exception. Even received as non-hearsay, there was no evidence that it formed part of the appellant’s consideration. Similar admissibility concerns emerged when L.S. was asked in cross-examination whether others accepted that he was 18. That they did so was scarcely something about which he could testify, all the more so when the circumstances of such acceptance were not disclosed. Disposition [105] For these reasons, I would dismiss the appeal. Released: “MJF” August 24, 2021 “David Watt J.A.” “I agree. Fairburn J.A.” “I agree. Grant Huscroft J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: Politis v. Politis, 2021 ONCA 587 DATE: 20210826 DOCKET: C68238 Tulloch, Nordheimer and Jamal * JJ.A. BETWEEN Catherine Elizabeth Politis Applicant (Appellant and Respondent by way of cross-appeal) and Themistocles Politis Respondent (Respondent and Appellant by way of cross-appeal) Herschel I. Fogelman and Lauren Daneman, for the appellant and respondent by way of cross-appeal James D. Singer, for the respondent and appellant by way of cross-appeal Heard: in writing On appeal from the order of Justice E. Llana Nakonechny of the Superior Court of Justice, dated February 27, 2020, with reasons reported at 2020 ONSC 1306. On cross-appeal from the costs endorsement of Justice E. Llana Nakonechny of the Superior Court of Justice, dated April 9, 2020 . COSTS ENDORSEMENT [1] On July 28, 2021, we released our decision in which we dismissed the appeal and the cross-appeal of the costs order. We invited the parties to make written submissions on the costs of the appeal. We have now reviewed those submissions. [2] The respondent asks for his costs of the appeal in the amount of $38,580. The appellant submits that the costs should be fixed in the amount of $7,500. [3] In our view, taking into account the issues raised in the appeal and the limited resources of the parties, an award of costs in favour of the respondent in the amount of $15,000, inclusive of disbursements and HST, is a fair and reasonable amount for the appellant to bear. [4] The appellant is ordered to pay that amount to the respondent. “M. Tulloch J.A.” “I.V.B. Nordheimer J.A.” * Jamal J.A. did not take part in this decision.
COURT OF APPEAL FOR ONTARIO CITATION: R.F. v. J.W., 2021 ONCA 586 DATE: 20210826 DOCKET: C68225 Juriansz, van Rensburg and Sossin JJ.A. BETWEEN R.F. Applicant (Appellant) and J.W. Respondent (Respondent) Ken Nathens and Denniel Duong, for the appellant Kirsten Hughes and Darryl Willer, for the respondent Heard: in writing On appeal from the order of Justice Mary Jo McLaren of the Superior Court of Justice, dated February 26, 2020, with reasons reported at 2020 ONSC 1213. COSTS ENDORSEMENT [1] The court has received and reviewed the costs submissions of the parties in respect of the appeal, which was dismissed on July 22, 2021. [2] The respondent’s reliance on the circumstances of the intervention motion before Fairburn A.C.J.O., in respect of which no costs were awarded, is misplaced. Nor are there any other circumstances in relation to the appeal that would warrant an award of substantial indemnity costs. [3] Costs of the appeal, including the motion for fresh evidence, are fixed in favour of the respondent in the sum of $22,500, inclusive of disbursements and HST. “R.G. Juriansz J.A.” “K. van Rensburg J.A.” “L. Sossin J.A.”
COUR D’APPEL DE L’ONTARIO RÉFÉRENCE : R. c. Dansereau, 2021 ONCA 580 DATE : 20210827 DOSSIER : C67867 Les juges Rouleau, Hoy et van Rensburg ENTRE Sa Majesté la Reine Intimée et Jean Jacques Dansereau Appelant Eric Granger, pour l’appelant Vallery Bayly, pour l’intimée Date de l’audience : 31 mai 2021 par visioconférence En appel de la condamnation prononcée le 8 août 2019 et de la peine imposée le 9 décembre 2019 par la juge Nathalie Champagne de la Cour supérieure de l’Ontario. MOTIFS DE LA COUR [1] L’appelant a été reconnu coupable des infractions de contact sexuel et d’incitation à des contacts sexuels avec une personne âgée de moins de 14 ans. [1] Il interjette appel de ses condamnations et il fait demande d’autorisation d’appel de sa peine de 30 mois d’emprisonnement. [2] Pour les motifs qui suivent, l’appel est rejeté. Interdiction de publication [3] Au début de l’audience de l’appel, l’avocat de la couronne a informé la Cour que la plaignante cherchait à lever l’ordonnance d’interdiction de publication imposée au procès selon l’article 486(4) du Code criminel . L’appelant n’a pas présenté d’arguments sur cette question. Dans les circonstances, nous sommes de l’avis que l’ordonnance de l’interdiction n’est pas nécessaire et nous l’avons levée. Contexte [4] La plaignante a allégué que l’appelant, son grand-père, l’a régulièrement abusée sexuellement lorsqu’elle avait entre cinq et sept ans, de 2003 à 2005. Ses parents étaient séparés et son père habitait avec ses propres parents : les grands-parents de la plaignante et de sa sœur cadette. Les deux filles ont commencé à leur rendre visite lorsque la plaignante avait quatre ans. Éventuellement elles passaient une partie de chaque fin de semaine ou chaque deux fins de semaine chez eux. [5] La plaignante a témoigné que les incidents d’abus sexuel ont eu lieu dans l’atelier de son grand-père au sous-sol de la maison. Elle a témoigné qu’à plusieurs reprises, l’appelant a touché ses parties génitales, essayant même de pénétrer son vagin avec son pénis, mais sans succès, et qu’il l’a forcée à le masturber et à lui faire une fellation. La plaignante a témoigné que les agressions sexuelles ont continué jusqu’à ce que ses grands-parents aient déménagé de leur maison (entre 2005 et 2007). Elle a porté plainte à la police à l’âge de 19 ans. Elle avait 21 ans quand elle a témoigné au procès. [6] La défense de l’appelant au procès a consisté, en grande espèce, à contester la crédibilité de la plaignante. L’appelant a nié les allégations et il a maintenu qu’elle n’était presque jamais au sous-sol quand elle et sa sœur rendaient visite à leurs grands-parents, et qu’il ne travaillait pas au sous-sol quand elles é taient chez eux. La juge de première instance a conclu que le témoignage de l’appelant n’était ni crédible ni fiable. Elle a accepté le témoignage de la plaignante. L’Appel des Condamnations [7] L’appelant soulève un seul argument dans l’appel de ses condamnations. Il maintient que la juge de première instance a erré dans son évaluation de la crédibilité et de la fiabilité de la plaignante. [8] L’évaluation de la crédibilité des témoins par la juge de procès commande la retenue judiciaire en appel. Cependant, l’évaluation des erreurs de droit permet une intervention en appel : R. c. F.J. , 2021 ONCA 268, au para. 11. [9] L’appelant fait valoir qu’il y a une erreur fatale dans ce cas : l’appelant prétend que la juge n’a pas adéquatement considéré une déclaration antérieure incohérente de la plaignante qui était adulte quand elle a témoigné au procès au sujet des événements qui ont eu lieu dans son enfance. Dans sa déclaration écrite devant la police, elle avait dit que son grand-père avait éjaculé pendant le premier incident, ce qui contredit son témoignage au procès où elle a maintenu qu’il n’a pas éjaculé la première fois. [10] L’appelant s’appuie sur un passage dans l’arrêt R. c. W. (R.) , [1992] 2 R.C.S. 122, o ù la juge MacLachlin a dit : « En règle générale, lorsqu’un adulte témoigne relativement à des événements survenus dans son enfance, il faut évaluer sa crédibilité en fonction des critères applicables aux témoins adultes »: à la p. 134. Il affirme que la juge de procès a ignoré ce principe et a plutôt appliqué une norme moins exigeante en é valuant le t é moignage de la plaignante. [11] Selon l’appelant, la juge de première instance aurait dû considérer la déclaration antérieure incohérente de la plaignante comme preuve de sa négligence envers la vérité. Même si la plaignante a prétendu qu’elle pouvait se rappeler des événements d’une façon détaillée, elle a erré dans son témoignage sur ce détail important. L’appelant prétend que ce que la juge a caractérisé comme une explication de l’incoh é rence est illogique. L’appelant s’appuie sur l’arrêt R. v. A.M. , 2014 ONCA 769, 123 O.R. (3d) 536, o ù cette cour a affirmé l’importance des déclarations antérieures incohérentes dans l’évaluation de la crédibilité d’un témoin adulte qui décrit des événements qui se sont passés pendant son enfance. [12] Il est convenable de décrire comment l’avocat de la d é fense a utilis é la d é claration é crite de la plaignante au cours de son contre-interrogatoire. D’abord, l’avocat a remarqu é le manque de d é tails dans la d é claration é crite et le fait que la d é claration n’indiquait pas que les gestes de l’appelant avaient tendance à changer d’un incident à l’autre. La plaignante a expliqu é qu’on lui a demandé d’écrire selon ce qu’elle se souvenait; donc elle n’avait décrit que la première fois qu’un des divers attouchements a eu lieu. Quand les policiers lui ont demandé si les agressions ont persisté, elle leur a répondu qu’elles ont persisté pendant deux ans. Puis, l’avocat de la défense a contre -interrog é la plaignante sur l’incohérence : Q. …vous avez aussi parlé plus tôt [en interrogatoire principale] aujourd’hui que, durant la première fois que cette interaction-là sexuelle s’est produite qu’il n’y a pas eu d’éjaculation de votre grand-père. C’est ça? A. Pas cette occasion-là, non, pas la première. Q. Je vais vous ramener à la deuxième page de votre témoignage écrit au policier où vous décrivez la première fois. Je vais vous faire lire ici…je peux vous diriger là-dessus – cinquième question…je vais vous demander de lire à vous-même essentiellement cette cinquième question-là et votre réponse. A. (La témoin accède à la demande) Oui. Q. Donc, n’est-il pas vrai…en revoyant votre témoignage écrit au policier, que vous avez indiqué que durant la première fois il y aurait eu éjaculation? A. Oui, j’ai dit ça. Q. Okay. Donc, je vais vous suggérer…que soit que vous vous trompiez dans votre témoignage ce matin ou lors de la fois où vous avez donné votre témoignage au policier. A. J’ai écrit toutes les choses qui me sont arrivées et il se peut que ça ne soit pas dans le bon ordre pour cette chose spécifique, mais ce sont toutes des choses qui me sont arrivées. [Nous soulignons]. [13] Il est important d’observer que l’avocat de la défense n’a pas demandé directement une explication de l’incohérence : il a plutôt suggéré que la plaignante s’était trompée soit au procès ou à l’occasion de donner sa déclaration au policier. Après avoir reçu la réponse qui est soulignée ci-dessus, l’avocat de la défense au procès n’a pas poursuivi l’incohérence. Plutôt il s’est lancé dans une autre série de questions sans rapport avec la d é claration é crite. [14] Nous ne donnons pas effet aux arguments de l’appelant que la juge de procès a erré en droit dans son traitement du t é moignage de la plaignante. Contrairement aux représentations de l’appelant, la juge de procès a bien considéré les principes de l’arrêt W. (R). et elle n’a pas trait é le t é moignage de la plaignante comme celui d’un t é moin enfant. [15] Au cours de son analyse, la juge de proc è s a fait référence aux représentations de l’avocat de la défense : en particulier, que le témoignage de la plaignante en ce qui concerne si l’appelant avait éjaculé pendant le premier incident des attouchements était contredit par sa déclaration écrite, et que la déclaration ne contenait pas plusieurs détails qu’elle a fournis au procès. [16] La juge a dit : En acceptant le manquement de détails sur la durée et le nombre de fois que les gestes auraient eu lieu et en acceptant son contredit sur la question de l’éjaculation de son grand-père la première fois, j’applique les principes dans l’arrêt W.R. qui exigent que le témoignage d’un adulte doit être considéré dans le contexte que les évènements ont eu lieu en enfance. Selon le témoignage de la plaignante, les gestes de son grand-père ont eu lieu répétitivement pendant deux ans. Ce n’est pas donc surprenant qu’elle se serait trompée sur le connexe de certains gestes. [17] Dans l’arrêt W. (R.) , la Cour supr ê me a expliqu é l’approche appropriée envers le témoignage d’un adulte qui raconte les événements v é cus pendant son enfance, à la p. 134 : Il n’est ni souhaitable ni possible d’établir des règles inflexibles sur les situations où il y a lieu d’évaluer les témoignages selon des normes applicables soit aux adultes, soit aux enfants, car on rétablirait ainsi des stéréotypes aussi rigides et injustes que ceux que visaient à dissiper les récents changements apportés en droit relativement aux témoignages des enfants. Quiconque témoigne devant un tribunal, quel que soit son âge, est une personne dont il faut évaluer la crédibilité et le témoignage selon les critères pertinents compte tenu de son développement mental, de sa compréhension et de sa facilité de communiquer. J'ajouterais cependant ce qui suit. En règle générale, lorsqu'un adulte témoigne relativement à des événements survenus dans son enfance, il faut évaluer sa crédibilité en fonction des critères applicables aux témoins adultes. Toutefois, pour ce qui est de la partie de son témoignage qui porte sur les événements survenus dans son enfance, s'il y a des incohérences, surtout en ce qui concerne des questions connexes comme le moment ou le lieu, on devrait prendre en considération l'âge du témoin au moment des événements en question. [Nous soulignons.] [18] L’appelant s’appuie sur l’arrêt A.M. , o ù cette cour a conclu que le juge de proc è s a commis une erreur de droit quand il a trait é le t é moignage de la plaignante comme s’il était rendu par un t é moin enfant : au para. 25. [19] Ici, la juge de proc è s n’a pas fait la m ê me erreur. Elle a attentivement examin é le t é moignage de la plaignante. Elle a noté que son t é moignage était direct et n’était pas exag éré , et que la plaignante était franche quand elle ne se souvenait pas du nombre de fois ou de la dur é e des gestes, que la plaignante se souvenait des d é tails du sous-sol et de l’atelier de l’appelant, y compris l’image d’un dauphin accroch é e au mur, et que sa sœur n’avait pas les m ê mes souvenirs. La juge a r é pondu aux repr é sentations de l’avocat de la d é fense au sujet de la d é claration é crite de la plaignante. Elle n’a ni ignor é ni attribu é moins d’importance à l’incoh é rence à cause de l’ â ge de la plaignante quand les incidents ont eu lieu. Plutôt elle a analys é le t é moignage de la plaignante dans le contexte n é cessaire, et selon les principes articul é s dans l’arrêt W. (R.). Même si la plaignante était adulte quand elle a témoigné et quand elle a fait sa déclaration écrite, elle décrivait des év é nements qui ont eu lieu répétitivement lors de son enfance. Pour cette raison, la juge de proc è s a accepté qu’il n’ é tait pas surprenant que la plaignante se soit tromp é e sur le connexe de certains gestes. [20] La juge de proc è s n’a pas ignor é les directives de la Cour suprême dans l’arrêt W. (R.). Elle a expliqu é pourquoi elle a ttribuait peu d’importance à l’incoh é rence dans son analyse du t é moignage de la plaignante. Elle n’a pas commis d’erreur de principe dans son é valuation de la cr é dibilit é de la plaignante. [21] La juge de procès avait expliqué pourquoi elle rejetait le témoignage de l’appelant et celui de sa femme. L’appelant a témoigné d’une façon contradictoire sur la question du temps qu’il a passé au sous-sol dans son atelier quand la plaignante et sa sœur étaient en visite, et sur la question du temps que les petites-filles ont passé au sous-sol. Il n’a pas répondu directement aux questions à propos des allégations contre lui. Son témoignage a changé plusieurs fois sur plusieurs points. Sa femme a témoigné que son mari n’était jamais seul avec leurs petites-filles et n’avait jamais travaillé dans son atelier quand elles étaient là, ce que la juge de procès trouvait inconcevable quand on prend en considération la fréquence des visites des enfants et le fait que travailler dans son atelier était le passe-temps de l’appelant. [22] L’appelant n’a d é montr é aucune erreur de droit dans les motifs de jugement de la juge de proc è s. Par cons é quent, l’appel des condamnations est rejeté. Appel de la Peine [23] L’appelant fait demande d’autorisation d’appel de sa peine de 30 mois en prison. En f é vrier 2020, il a été mis en libert é sous caution en attendant l’issue de l’appel apr è s avoir pass é 68 jours en prison. [24] L’appelant soul è ve deux arguments. D’abord, il soumet que la juge de proc è s a err é quand elle a rejet é la demande de la d é fense pour une peine d’emprisonnement avec sursis : elle n’a pas consid é r é avec attention ses circonstances personnelles, en particulier son â ge (il a maintenant 78 ans) et sa mauvaise sant é . [25] Nous rejetons cet argument. La juge de proc è s n’a commis aucune erreur de principe ayant une incidence sur la d é termination de la peine, et la peine n’est pas manifestement non indiqu é e : R. c. Lacasse , 2015 CSC 64, [2015] 3 R.C.S. 1089, au para. 11. Dans ses motifs pour la peine, la juge de proc è s a sp é cifiquement fait r é f é rence à l’ â ge et à la sant é de l’appelant pour réduire sa peine. Apr è s avoir identifié une fourchette des peines pour des condamnations similaires entre 3 et 5 ans d’emprisonnement, elle a conclu que « ces probl è mes m é dicaux et l’ â ge de [l’appelant] rendront son emprisonnement plus difficile que celui d’une personne plus jeune et en meilleure santé. Pour cette raison je lui accorde une r é duction. » Elle n’a ignor é ni l’âge ni les problèmes de santé de l’appelant quand elle a impos é une peine de 30 mois. « [L]a d é cision d’accorder plus ou moins d’importance à des circonstances aggravantes ou att é nuantes rel è ve strictement du pouvoir discrétionnaire du juge qui prononce la peine. » : Lacasse , au para. 78. La juge de proc è s a prononc é une peine appropri é e aux circonstances du crime et du contrevenant. Et elle n’a pas err é quand elle a rejet é une peine d’emprisonnement avec sursis, en consid é rant la gravit é et la nature des crimes. [26] Deuxi è mement, l’appelant maintient qu’une peine d’emprisonnement avec sursis devrait être impos é e par cette cour à cause des effets de la pandémie COVID-19. Il s’appuie sur le principe articul é dans la cause R. v. Morgan , 2020 ONCA 279 : que la COVID-19 a cr éé des cons é quences indirectes pour les personnes incarc é r ée s qui peuvent dans certaines circonstances justifier une intervention dans la peine. Il pr é tend que son é tat de sant é est une circonstance exceptionnelle dans le contexte de la pandémie. [27] Le contexte de la pand é mie ne doit pas inciter la cour à r é viser une peine autrement appropri é e : R. v. Larivière , 2020 ONCA 324, aux paras. 16, 17. M ê me si l’appelant a 78 ans et qu’il a des probl è mes de sant é , il n’a offert aucune preuve de ses circonstances et des risques particuliers qu’il subirait en prison à cause de la pand é mie. Par cons é quent, la pand é mie ne justifie pas une r é vision de la peine prononc é e par la juge de proc è s. [28] La demande d’autorisation d’interjeter appel de la peine est accordée, mais l’appel de la peine est rejeté. « Paul Rouleau j.c.a. » « Alexandra Hoy j.c.a » « K. van Rensburg j.c.a. » [1] La cour a prononcé un arrêt conditionnel des procédures sur un chef d’accusation d’agression sexuelle en conformité avec l’arrêt R. c. Kienapple , [1975] 1 S.C.R. 729.
COURT OF APPEAL FOR ONTARIO CITATION: Zwaan v. Laframboise, 2021 ONCA 583 DATE: 20210827 DOCKET: M52725 (C69721) Doherty, Huscroft and Roberts JJ.A. BETWEEN Sylvia Zwaan Plaintiff (Respondent in the Appeal) and Douglas Laframboise Defendant (Appellant in the Appeal) Robert N. Kostyniuk, Q.C., for the plaintiff (respondent) Douglas Laframboise, acting in person Heard: August 25, 2021 by video conference REASONS FOR DECISION [1] The order of Justice Varpio, made on July 15, 2021, adjourning the proceedings on the specified terms, is clearly an interlocutory order. There is no appeal to this court. The appeal brought by Mr. Laframboise (Court File No. C69721) is quashed for want of jurisdiction. [2] Costs to the moving party (Sylvia Zwaan), fixed at $4,000, inclusive of disbursements and relevant taxes. “Doherty J.A.” “Grant Huscroft J.A.” “L.B. Roberts J.A.”
Corrected decision: The text of the original judgment was corrected on September 22, 2021 and the description of the correction is appended. COURT OF APPEAL FOR ONTARIO CITATION: 1758704 Ontario Inc. v. Priest, 2021 ONCA 588 DATE: 20210830 DOCKET: C68390 Benotto, Miller and Trotter JJ.A. BETWEEN 1758704 Ontario Inc. and 1191305 Ontario Inc. Plaintiffs (Respondents/Appellants by way of cross-appeal) and Carl Priest Defendant (Appellant/Respondent by way of cross-appeal) AND BETWEEN Carl Priest and 1737161 Ontario Limited Plaintiffs by Counterclaim (Appellants/Respondents by way of cross-appeal) and 1758704 Ontario Inc., 1191305 Ontario Inc. and Martin Donkers Defendants by Counterclaim (Respondents/Appellants by way of cross-appeal) Maanit Zemel, for the appellants/respondents by way of cross-appeal Krista McKenzie, for the respondents/appellants by way of cross-appeal Heard: April 22, 2021 by video conference On appeal from the judgment of Justice Annette Casullo of the Superior Court of Justice, dated May 22, 2020, with reasons reported at 2020 ONSC 3222, and from the costs order, dated August 18, 2020. Trotter J.A.: [1] These appeals arise from the sale of a business. Almost two years after the deal closed, things went awry. The purchasers/assignees, who are the appellants in this appeal, defaulted on a promissory note, secured by certain assets (i.e., heavy construction equipment). Without notice, the respondents/cross-appellants (hereafter “the respondents”) seized these assets from the appellants, putting them out of business. [2] The respondents sued for the money still owing. The appellants filed a counterclaim pleading breach of contract, intentional interference with economic relations, and the tort of conversion based on the seizure without notice. [3] In the main action, the trial judge granted judgment in favour of the respondents, based on the unpaid debt. She also dismissed the appellants’ counterclaim, based on her conclusion that the respondents were not required to provide notice to the appellants prior to seizing the assets. [4] The appellants originally appealed from the judgment against them in the main action and from the dismissal of the counterclaim. However, at the oral hearing, they focused solely on the counterclaim. The respondents appeal the trial judge’s award of damages. [5] I would allow the appeal from the dismissal of the counterclaim. At common law, and under the terms of the Asset Purchase Agreement (“APA”) entered into by the parties, the appellants were entitled to notice before the equipment was seized. This amounted to a breach of contract. I would remit the case to the Superior Court for an assessment of damages. As I see no error in the trial judge’s assessment of damages in the main action, I would dismiss the cross-appeal. A. BACKGROUND FACTS (1) Overview [6] The appellants are 1737161 Ontario Ltd. (“173 Ltd.”) and its principal, Carl Priest. The respondents are 1758704 Ontario Inc. (“175 Inc.”) and 1191305 Ontario Inc. (“119 Inc.”) and their principal, Martin Donkers. [7] In May 2010, the numbered companies entered into an APA, whereby 173 Ltd. Agreed to purchase the assets of 175 Inc. and 119 Inc. [8] The APA covered two key transactions. First, 173 Ltd. Agreed to purchase all the assets set out in Schedule “A” of the APA (the “purchased assets”). This purchase was to be satisfied through a promissory note in the amount of $558,740.00, plus 7% annual interest, which Mr. Priest personally guaranteed. The note was payable by monthly blended installments from June 2010 to May 2013. [9] Second, 173 Ltd. Agreed to assume a number of third-party leases from 175 Inc. for several pieces of equipment (the “leased equipment”), as set out in Schedule “B” of the APA. 173 Ltd. Was to assume the leases for a loader and an excavator and make all subsequent payments directly to the lessor, John Deere. 173 Ltd. Was to assume the lease for a truck and trailer and make monthly payments to 175 Inc., which would remit the payments to the lessor, General Electric. [10] The numbered companies executed a General Security Agreement (“GSA”), which secured payment under the promissory note and granted the corporate respondents security over the purchased assets and leased equipment. The GSA was registered under the Personal Property Security Act , R.S.O. 1990, c. P.10 (“ PPSA ”). (2) The First Default: The Leased Equipment [11] 173 Ltd. Properly assumed the lease for the loader and made all required payments to John Deere until it was paid off in December 2011. 173 Ltd. Also properly assumed the lease for the truck and trailer and made all required payments to 175 Inc. until the truck and trailer were seized in December 2012. [12] However, 173 Ltd. Never properly assumed the lease for the excavator. The circumstances surrounding the failed assumption are immaterial. Suffice it to say, 173 Ltd. Took possession of the excavator, but made no payments on the lease. This resulted in arrears for which 175 Inc. was ultimately responsible to John Deere. [13] In April 2012, the respondents gave the appellants notice that there was $115,399.12 owing in arrears under the APA and GSA for the unassumed excavator lease. The notice advised that the respondents considered the arrears “an occurrence of an event of default” and, as a result, the arrears for the excavator lease, the amount outstanding under the truck and trailer lease, and the amount outstanding under the promissory note became due and payable in full. The notice further advised the appellants that they had 10 days to satisfy the excavator arrears in full, failing which the respondents would seize the appellants’ assets and sue for any shortfall. [14] The appellants made no payments towards the excavator arrears but continued to make monthly payments under the truck and trailer lease, and the promissory note until November 2012. (3) The Second Default: The Promissory Note [15] The appellants made every payment under the promissory note from June 2010 to October 2012. However, on November 18, 2012, the appellants gave Mr. Donkers a cheque for the truck and trailer lease, but made no payment on the promissory note. Instead, Mr. Donkers received an unsigned letter advising him that the appellants were in the final stages of obtaining funding to satisfy the remaining seven payments on the promissory note. The letter asked Mr. Donkers to call Mr. Priest to discuss. [16] On November 19, Mr. Donkers emailed Mr. Priest about the missing cheque. Mr. Priest’s response merely referenced the letter and asked Mr. Donkers to call him. Mr. Donkers replied by email, telling Mr. Priest that “putting together financing to pay the balance” was up to him. There is no evidence of any further discussion on the outstanding payment. (4) Seizure and Sale of Assets and Equipment [17] On December 8 and 9, 2012, the respondents seized 173 Ltd.’s assets, including some of the purchased assets, the truck and trailer, and the loader. The respondents did not give the appellants notice; the appellants discovered that their equipment was gone on December 10, 2012 and called the police. [18] On December 14, 2012, the appellants received a “Notice to Retain Articles” from Lloyd’s Bailiff Services. [1] The Notice advised 173 Ltd. Of the following: Lloyd’s intended to retain the seized articles; 173 Ltd. Owed 175 Inc. and 119 Inc. $132,634 for “late payments”; and Lloyd’s would be charging ongoing storage fees at $900 per day, or $27,000 per month. The equipment was stored at Call Service Towing/Classic Towing and Storage (“Call Service”), and the storage fees from the date the assets were seized to the date they were sold totalled $160,200. [19] Shortly after the seizure, Mr. Donkers began running another business out of the same address as Call Service and used Call Service to store some of his own equipment. Mr. Donkers’ storage costs were considerably less: $1,500 per month for roughly 35% less space than that required to store the seized assets. B. Procedural History [20] This litigation has been lengthy, rancorous, and messy. Although there were multiple actions and many steps in the litigation prior to trial, two events are relevant to the issues on appeal: (a) an appeal to this court (March 17, 2014) from an order granting partial summary judgment to 175 Inc. and 119 Inc.; and (b) a default judgment granted on February 28, 2017 (which was later set aside). (1) Partial Summary Judgment [21] In June of 2013, in an action brought by 175 Inc. and 119 Inc. against Mr. Priest, the companies moved for summary judgment on the promissory note. McDermot J. granted partial summary judgment in which he found Priest had defaulted on the promissory note but ordered a trial on the issue of damages. He also struck Mr. Priest’s Statement of Defence: 1758704 Ontario Inc. v. Priest , 2013 ONSC 5395, 1 P.P.S.A.C. (4 th ) 279. [22] On appeal, this court agreed with McDermot J.’s finding that Mr. Priest defaulted on the promissory note, holding “there can be no dispute about that fact”: 1758704 Ontario Inc. v. Priest , 2014 ONCA 202, at para. 4. However, the court set aside the part of McDermot J.’s order that struck Mr. Priest’s Statement of Defence. The court further held that, “the appellant is not precluded from arguing, on the return of the injunction application and the trial of the issue, that the seizure and sale of the assets was unlawful and should prevent the respondent’s recovery of any deficiency from the appellant” (at para. 8). This decision is referenced in the trial judge’s reasons, discussed below. (2) The Default Judgment [23] The underlying actions were consolidated in April 2014 and the respondents issued and served a consolidated Statement of Claim on July 15, 2016. After failing to file a Statement of Defence, the appellants were noted in default on August 30, 2016, and the respondents appeared before Mulligan J. on February 28, 2017, on a default judgment motion. The appellants did not attend the hearing and Mulligan J. awarded the respondents $368,339.79 in damages, calculated as follows: · $161,943.65 in damages for the outstanding principal and interest owing under the Promissory Note, calculated from the date of default until the date of the default judgment hearing, plus 7% annual interest from the date of judgment; plus · $189,804.49 in damages for the outstanding principal and interest owing under the excavator lease, after deducting credits from John Deere’s sale of the equipment, plus 7% post-judgment interest; plus · $50,814.84 in damages for the outstanding principal and interest owing under the truck and trailer lease, plus 7% post-judgment interest; and minus · $34,223.19 in credit to the appellants, representing the difference between the respondents’ expenses ($236,082.65) and amount the respondents recovered after selling the seized equipment ($ 270,305.84) . [24] The default judgment was set aside on an unopposed motion. At a subsequent appearance before Di Tomaso J. on June 14, 2019, he made an order, on consent, issuing a Writ of Seizure and Sale against the appellants for $383,409.79, being roughly the amount awarded under the default judgment. C. the trial judge’s reasons [25] After reviewing the evidence, the trial judge referred to this court’s earlier decision in this litigation and framed the issues before her as follows (at para. 86): Mr. Priest’s failure to make the November payment on the Promissory Note has already been judicially determined to be a default, of which I am in full agreement. Pursuant to the GSA, any default permitted Mr. Donkers to pursue the remedies contained in the GSA, including seizure and sale. Thus, the issues before me are: 1. Was notice required prior to the 2012 seizure? 2. If not, what damages flow from the default? (1) Notice [26] The trial judge found that, by operation of the PPSA , the respondents were not required to give the appellants notice of their intention to seize the equipment as a result of the default on the promissory note. [27] The trial judge rejected the appellants’ argument that the duty of good faith in the performance of contracts obliged Mr. Donkers to tell Mr. Priest that he considered the missed November 2012 payment a default on the promissory note and that he intended to seize the equipment: see Bhasin v. Hrynew , 2014 SCC 71, [2014] 3 S.C.R. 494; C.M. Callow Inc. v. Zollinger , 2020 SCC 45, 452 D.L.R. (4 th ) 44. [28] Consequently, the trial judge dismissed the counterclaim. (2) Damages [29] The trial judge re-calculated the quantum of damages. She resisted the respondents’ invitation to simply endorse the accounting of Mulligan J. on the default judgment. The trial judge said (at para. 99): “I concur to a certain degree, but adjustments are required. Recall that Mulligan J. was presented only with Mr. Donkers’ version of events; I have had the benefit of a full trial, with submissions from all parties.” While Mulligan J. had calculated damages in the amount of $368,339.79, the trial judge awarded $200,865.48. [30] Additionally, the trial judge found the appellant Priest to be jointly and severally liable with 173 Ltd. For the failure to assume the excavator lease. (3) Writ of Seizure and Sale [31] As for the Writ in the amount of $383,409.79, the trial judge waived the requirements under r. 60.07(18) of the Rules of Civil Procedure , R.R.O. 1990, O. Reg. 194, which provides that no sale of real property may proceed until six months after the writ has been filed with the sheriff. (4) Costs [32] The trial judge ordered $137,812.65 in costs against the appellants on a joint and several basis. D. ISSUES ON APPEAL [33] The appellants appeal the dismissal of the counterclaim on the notice issue. In the alternative, they submit that the trial judge erred in finding Mr. Priest personally liable for failing to assume the excavator lease. Finally, they appeal the decision to waive the six-month waiting period under the Writ of Seizure and Sale. [34] The respondents appeal the trial judge’s calculation of damages, urging this court to substitute the order of Mulligan J. E. ANALYSIS (1) Notice Was Required [35] In my view, the appellants were entitled to notice prior to the seizure of the collateral, at common law and pursuant to the APA. [36] The APA, promissory note, and GSA all include provisions relevant to an event of default. [37] The APA provides that, if 173 Ltd. Defaults on any payments under the Agreement, the respondents must give 173 Ltd. 15 days’ notice before seizing the purchased assets. The leased equipment is excluded from this provision. [38] The promissory note includes an acceleration clause in the event of default, such that the entire unpaid balance and accrued interest becomes payable immediately. It contains no notice requirement. [39] Similarly, the GSA makes any outstanding obligations – including those under the promissory note and equipment leases – immediately payable in full upon default. It also specifies the remedies available to the respondents, including the right to enter any premises where the purchased assets or leased equipment are located, and to repossess and sell those items. Like the promissory note, the GSA stipulates no notice requirement. (a) The PPSA [40] In my respectful view, the trial judge erred in finding that the PPSA relieved the respondents of the obligation to give the appellants notice of its intention to seize the secured assets. [41] Part V of the PPSA provides rights and remedies to a creditor upon default of a debtor. More specifically, s. 62 gives the creditor the right to take possession of the secured goods, unless otherwise agreed, or if the secured goods are equipment, the right to render the equipment unusable, but without removing it from the debtor’s premises. Section 63 then grants the creditor the right to dispose of the secured goods, provided the creditor gives the debtor at least 15 days’ advance notice, in writing: s. 63(4). However, pursuant to s. 63(7)I, no notice is required under s. 63(4) where the goods are “of a type customarily sold on a recognized market.” [42] Relying on Lloyds Bank Canada v. Transfirst Inc. , 71 O.R. (2d) 481 (Ont. H.C.) and AJM Leasing v. Brown (2002), 6 P.P.S.A.C. (3d) 58 (Ont. S.C.), the trial judge was satisfied the seized assets fell within the exception under s. 63(7) of the PPSA ; therefore Mr. Donkers had no obligation to give Mr. Priest notice. [43] In my view, s. 63(7)I of the PPSA had no application in the circumstances; it could not relieve the respondents of its common law obligation to provide notice to the appellants, and its contractual obligation under the APA. [44] Looking at the scheme of the PPSA as a whole, s. 62 (“Possession Upon Default”) addresses the rights of creditors in terms of seizing secured assets, whereas s. 63 (“Disposal of Collateral”) speaks to disposition. In Jacob S. Ziegel, David L. Denomme & Anthony Duggan, The Ontario Personal Property Security Act – Commentary and Analysis , 3 rd ed. (Toronto: LexisNexis, 2020), the authors describe the operation of s. 63, at p. 486: “Once the secured party has repossessed the collateral it will typically proceed with its disposition either directly or through a receiver. Section 63 is concerned with all aspects of the disposal process.” [45] Although the trial judge may have been correct in finding that the seized equipment was fungible for the purposes of s. 63(7)I, the provision has no application at the pre-seizure stage. The respondents were required to give notice at common law, and according to the terms of the APA. (b) Common Law Duty The Principle in Lister v. Dunlop [46] The trial judge did not consider the position advanced by the appellants on the common law obligation to give notice to a debtor before seizing secured assets. This principle was adopted in Canada in R.E. Lister Ltd. V. Dunlop Canada Ltd. , [1982] 1 S.C.R. 726. Writing for the Court, Estey J. said, at p. 746: The rule has long been that enunciated in Massey v. Sladen (1868), L.R. 4 Ex. 13 at 19, 38 L.J. Ex. 34: the debtor must be given “some notice on which he might reasonably expect to be able to act”. The application of this simple proposition will depend upon all the facts and circumstances in each case. Failure to give such reasonable notice places the debtor under economic, but nonetheless real duress, often as real as physical duress to the person, and no doubt explains the eagerness of the courts to construe debt-evidencing or creating documents as including in all cases the requirement of reasonable notice for payment. [47] See also Royal Bank of Canada v. W. Got & Associates Electric Ltd. , [1999] 3 S.C.R. 408, at p. 417, where it is applied in a debt collection action that shares some similarities with this case. [48] In Kavcar Investments Ltd. V. Aetna Financial Services Ltd. (1989), 70 O.R. (2d) 225 (C.A.), this court applied and clarified the Lister principle. McKinlay J.A. wrote that it applies, “regardless of the wording of the security document” (at p. 228) and that “[r]easonable time must be given by the creditor, whether or not asked for by the debtor” (at p. 235). See also Waldron v. Royal Bank (1991), 53 B.C.L.R. (2d) 294 (B.C.C.A.), at p. 7, per Lambert J.A. [49] In Kavcar and Got Electric , both courts considered what constitutes reasonable notice in the circumstances. However, it is not necessary to address that issue in this case because, as discussed below, no notice was given at all. [50] The Lister principle has been embedded in Canadian debtor-creditor law for decades. This reality is important when considering the reach and effect of the PPSA . The respondents submit that it has been ousted by the PPSA . Even if I were to accept the respondents’ interpretation of s. 63(7) of that Act, there is no basis to conclude that the Legislature intended to extinguish the Lister v. Dunlop line of authority: Owners, Strata Plan LMS 3905 v. Crystal Square Parking Corp ., 2020 SCC 29, 41 B.C.L.R. (6 th ) 1, at para. 39; Parry Sound (District) Social Services Administration Board v. O.P.S.E.U., Local 324 , 2003 SCC 42 , [2003] 2 S.C.R. 157, at para. 39 . In Goodyear Tire & Rubber Co. of Canada Ltd. V. T. Eaton Co. Ltd. , [1956] S.C.R. 610, at p. 614, Fauteux J. (as he then was) wrote, “a Legislature is not presumed to depart from the general system of the law without expressing its intentions to do so with irresistible clearness, failing which the law remains undisturbed.” [51] In my view, the Lister v. Dunlop line of cases remains undisturbed by the PPSA . Application to his Case [52] Despite their assertion that they were under no duty to give the appellants notice, the respondents submit that they did give reasonable notice to the appellants. In their Factum, they assert, “The Trial Judge found as a fact that there was a demand for payment and notice of default given by the Respondents to the Appellants on April 20, 2012.” [53] This is a distortion of the trial judge’s reasons. She found that the seizure of the equipment was not based on the April 2012 Notice. The trial judge found that the respondents did not take any steps on that notice and, “[m]atters continued on much as they had for the previous two years” (at para. 33). [54] The trial judge rejected Mr. Donkers’ evidence that he had always intended to seize the equipment on the strength of the earlier notice. He testified that he waited until after the summer because he did not want to harm the appellants’ business. The trial judge rejected this evidence, holding that it did not “ring true”, especially since the respondents were forced to pay more than $100,000 in relation to the excavator lease. [55] The trial judge concluded her analysis of this aspect of the facts in the following way: “Given the deficiencies contained in the 2012 Notice, had Mr. Donkers relied upon it to seize equipment , he would have been on tenuous ground. Fortunately for Mr. Donkers, and unfortunately for Mr. Priest, however, a second breach intervened” (at para. 55). In relation to the second default, the trial judge made the following finding, at para. 63: Mr. Donkers seized the defendant’s assets over the weekend of December 8, 2012. Priest was not given notice of the seizure, nor was he given an opportunity to cure the default or redeem the equipment before seizure. [Emphasis added.] [56] Consequently, the question of reasonable notice was tethered to the November 2012 default on the promissory note, not the April 2012 default concerning the excavator lease. Indeed, the trial judge found that Mr. Donkers “acted out of spite when he did not tell Mr. Priest he was treating the missed payment as a default” (at para. 96). [57] The trial judge erred in dismissing the counterclaim. As the Supreme Court held in Got Electric at paras. 20-21, the seizure of assets without notice amounts to a breach of contract. The same set of circumstances may also support an action for the tort of conversion. In that case, the Court decided that it was unnecessary to consider whether conversion was made out because the quantum of damages would not differ, whether liability sounded in contract or in tort (at pp. 418-419). Here too, having found that the respondents’ conduct amounted to a breach of  contract, it is not necessary to address the tort claim. (c) Notice Requirement in the APA [58] In addition to the common law doctrine discussed above, the appellants rely upon the APA, which also provides a duty to give notice in the event of default. Para. 3.03 of the APA provides: 3.03   That upon default of any payment owing hereunder the Vendor shall forthwith provide notice of such default to the Purchaser or its solicitor by fax or by electronic communication at fax numbers or email addresses to be designated by the Purchaser. Upon such default existing for a period of fifteen (15) days following receipt notification of such default , the Vendor shall thereafter be entitled to forthwith have all licences and certificates howsoever related to the assets included hereunder reverted back to name of the Vendor or as it might direct which to such reversion of said licences and certifications the Purchaser does hereby consent and agree. Further in the event of such default, the Vendor shall have the right to seize all chattels and assets included hereunder pursuant to its security documentation however to mitigate its losses and without interference from the Purchaser. [Emphasis added.] [59] The trial judge did not address this provision in her reasons. The appellants submit that the trial judge erred in failing to give effect to this provision in relation to the default on the promissory note. The respondents submit that the notice provision in Article 3.03 is inapplicable because it “merged” on closing. [60] I would reject the respondents’ submissions. The notice provision in Article 3.03 remained operative. It did not “merge” upon closing. [61] Although the doctrine of merger has some application to real property transactions (see Fraser-Reid v. Droumtsekas , [1980] 1 S.C.R. 720, at pp. 734-738), “[t]he doctrine has never applied to transactions involving personal property, such as goods”: G.H.L. Fridman, The Law of Contract in Canada , 6 th ed. (Toronto: Thomson Reuters Canada Limited, 2011), at p. 566. Moreover, even when applicable, merger is not automatic; it is the intentions of the parties that must prevail: Fraser-Reid , at p. 738. This is a fact-specific inquiry. [62] In this case, the inclusion of Article 3.03 would make no sense if it were to “merge” upon closing. The entire transaction, for both purchased and leased equipment, was structured on installment payments to satisfy outstanding debt. It provided that, in the event of default “of any payment owing hereunder”, the respondents would have certain remedies, and the appellants would be entitled to  notice. [63] The respondents breached this term of the APA. (d) Conclusion [64] For the foregoing reasons, the trial judge erred in finding that the respondents had no duty to give the appellants notice upon the default on the promissory note. [65] The failure to provide notice was not an academic exercise or a mere formality in this case. The record before the trial judge established that, in October 2012, the appellants applied to their bank for financing to retire the balance on the promissory note, which was roughly $120,645 at the time. Just days after the illegal seizure, on December 12, 2012, the bank approved the advance of $122,000. [66] Given my conclusion that the appellants were entitled to notice at common law and according to the terms of the APA, it is not necessary to address the appellants’ alternative argument that the duty of good faith in the performance of contracts required the respondents to give notice of its intention to seize the appellants’ assets. The application of this duty would be especially difficult in this case given the trial judge’s apt finding, at para. 95: “To be frank, both parties acted dishonourably.” [67] I would set aside the trial judge’s order dismissing the counterclaim, allow the counterclaim, and remit the matter to the Superior Court for an assessment of damages. During her submissions at the hearing, appellants’ counsel advised us that the matter could be addressed in writing because the trial judge heard all of the evidence relevant to this issue. While that may well be the case, the matter of how to proceed is best determined by that court. (2) Personal Liability and the Excavator Lease [68] The trial judge found that both 173 Ltd. And Mr. Priest were liable for failing to properly assume the excavator lease. At para. 48 of her reasons, the trial judge found, “[b]ased on the evidence before me, I am satisfied that Mr. Priest failed to assume the Excavator lease pursuant to the Agreement.” She awarded damages against both 173 Ltd. And Priest. This finding may well have been inadvertent, a simple result of failing to distinguish between Priest and his company. [69] Nonetheless, I agree with the appellants that the trial judge erred in awarding damages against Mr. Priest personally. Mr. Priest was not a party to the APA. Although he was personally liable on the promissory note, the note only applied to purchased assets, not leased equipment. In the absence of findings that would support a decision to pierce the corporate veil, and there were none, this part of the trial judge’s order cannot stand. (3) Damages [70] The respondents appeal the trial judge’s calculation of damages. As noted above, at para. 29, the trial judge made adjustments to Mulligan J.’s calculations. She did so because she had the benefit of a more robust record, including input from both sides. The trial judge’s assessment of damages must be accorded significant deference unless tainted by an error in principle, or is unreasonably high or low: Awan v. Levant , 2016 ONCA 970, 133 O.R. (3d) 401, at paras. 100-101 and Whitefish Lake Band of Indians v. Canada (Attorney General) , 2007 ONCA 744, 87 O.R. (3d) 321, at para. 28. The respondents have failed to identify any such error. Promissory Note and Excavator [71] The trial judge accepted Mulligan J.’s calculations and only adjusted the amount to reflect interest to date. Loader [72] Although Mulligan J. did not address the loader in his endorsement, the trial judge determined the loader was sold for $15,000 less than it was worth. Mr. Donkers commissioned three appraisals for the loader, which averaged out at $49,000. However, the loader was only sold for $34,000. The trial judge also noted the fact the loader was sold to the owner of Call Service rendered the sale “questionable”. She granted Mr. Priest a $15,000 credit for the sale of the loader. [73] In my view, it was in the trial judge’s purview to make this finding. Truck and Trailer [74] Mulligan J. awarded $50,814.84 in damages for the outstanding payments on the truck and trailer lease, plus interest. The trial judge rejected this award and removed the amount from her consideration of damages. She noted that there was $33,661.33 outstanding on the lease between the seizure and sale of the truck and trailer. General Electric repossessed the truck and trailer from Mr. Donkers and consigned them to a third party, which sold the equipment at auction for $101,500. The third party paid General Electric the outstanding $33,661.33 and remitted the remaining $65,538.67 to Mr. Donkers. That amount was then properly credited to Mr. Priest. Since Mr. Donkers was never required to make any payments to General Electric for the truck and trailer, there was no basis upon which to award him $50,814.84 in damages. [75] I agree with the trial judge’s assessment of this issue. Storage Costs [76] Mulligan J. approved the respondents’ expenses at $236,082.65, which included $160,200 for the 178 days the seized assets were stored at Call Service. However, the trial judge found the $900 per day storage fee was excessive. Mr. Donkers had eight months (from April 2012, when the appellants received the 2012 Notice, to December 2012, when the respondents seized 173 Ltd.’s assets) to find a suitable facility at a reasonable rate, yet there was no evidence he made any effort to look elsewhere than Call Service. Considering the rate Mr. Donkers was paying to store his own equipment with Call Service, the trial judge concluded $10,000 was a reasonable monthly fee, for a total of $60,000 for the roughly six months the seized assets spent in storage. Accordingly, she gave Mr. Priest a $100,200 credit, representing the excessive storage fees. [77] It was unclear whether interest applied to the Call Service storage costs that Mr. Donkers personally guaranteed. Accordingly, the trial judge held that if Mr. Donkers satisfied Mr. Priest’s counsel that interest applied, it would be calculated at the rate set out in s. 127 of the Courts of Justice Act , R.S.O. 1990, c. C-43. [78] Again, I see no error in the trial judge’s approach. (4) The Writ of Seizure and Sale [79] Given that this case must be returned to the Superior Court for an assessment of damages on the counterclaim, the writ is set aside altogether. It is not necessary to consider the issue of waiver. F. conclusion [80] I would allow the appellants’ appeal against the dismissal of its counterclaim and remit the case to the Superior Court for an assessment of the appellants’ damages. I would dismiss the cross-appeal against the trial judge’s award of damages in the main action. [81] Both parties agreed that the successful party is entitled to costs of the appeal in the amount of $20,000, plus disbursements and HST. Costs are awarded to the appellants in this amount. [82] As for the costs awarded at trial, the parties are content that they be addressed in the Superior Court in conjunction with the assessment of damages on the counterclaim. Released: “MLB” August 30, 2021 “Gary Trotter J.A.” “I agree. M.L. Benotto J.A.” “I agree. B.W. Miller J.A.” Erratum Correction made September 22, 2021: The phrase “inclusive of disbursements and HST” in paragraph 81 was replaced with “plus disbursements and HST”. [1] Note that the bailiff in this case used the wrong form. This notice was under the Repair and Storage Liens Act , R.S.O. 1990, c. R.25. Where creditors seek to secure payment of a debt by taking a security interest in property of the debtor, they must issue a “Notice of Intent to Enforce Security” pursuant to the PPSA .
COURT OF APPEAL FOR ONTARIO CITATION: R. v. Bakal, 2021 ONCA 584 DATE: 20210830 DOCKET: C67651 Fairburn A.C.J.O., Juriansz and Paciocco JJ.A. BETWEEN Her Majesty the Queen Respondent and Mustafe Bakal Appellant Lance Beechener, for the appellant Jeffrey Pearson, for the respondent Heard: February 10, 2021 by video conference On appeal from the convictions entered by Justice John M. Johnston of the Superior Court of Justice on July 3, 2019. Fairburn A.C.J.O.: A. OVERVIEW [1] In the early morning hours of August 13, 2017, a woman called 911 to report that she had just been assaulted by the appellant, Mustafe Bakal, who was her boyfriend at the time. She told the 911 operator that the appellant had just left the apartment with a firearm in the waistband of his pants. That 911 call precipitated a quick police response. [2] With the assistance of the appellant’s cell phone service provider, Detective Constable (“D.C.”) Meredith of the Toronto Police Service (“T.P.S.”) was able to successfully track the appellant’s phone moving in an eastbound direction from Toronto toward Ottawa. The tracking information was conveyed to the Ontario Provincial Police (“O.P.P.”), who were then able to locate the appellant and his brother travelling in a vehicle on Highway 401 just east of Kingston, Ontario. The police stopped the vehicle and arrested the appellant for assault. [3] When the vehicle was searched incident to the arrest for assault, a vacuum-sealed package of what was believed to be cocaine was located in a hidden compartment in the trunk. The police then stopped the search and obtained a telewarrant for further inspection, after which they discovered two loaded firearms hidden in a locked compartment in the centre console of the vehicle. [4] At their trial for multiple firearm and drug related offences, the appellant and his brother alleged various violations of the Canadian Charter of Rights and Freedoms , seeking the exclusion of all evidence seized from the motor vehicle. While the appellant’s brother succeeded in that pursuit (including in relation to a serious s. 10(b) breach that the trial Crown acknowledged), the appellant did not. Ultimately, the appellant was convicted of multiple drug and firearm counts, resulting in a global custodial sentence of six years. The charges against his brother were dismissed. [5] This appeal is predicated on three alleged errors said to have been made by the trial judge. Two of those errors are said to be rooted in the trial judge’s reasons for dismissing the appellant’s s. 8 Charter application. The appellant contends that the trial judge erred by concluding that: (1) the exigent circumstances doctrine justified the warrantless tracking of his cellular phone; and (2) the search incident to arrest doctrine justified the initial warrantless search of the motor vehicle. [6] The third alleged error relates to what the appellant argues was the improper admission of expert evidence at trial related to drug pricing and jargon. The appellant maintains that if this court concludes that the expert evidence should not have been admitted, then acquittals must be entered because, without that evidence, the verdicts were necessarily unreasonable. Conversely, if the expert evidence was properly admissible, the appellant acknowledges that the reasonableness of the verdicts cannot be questioned. [7] For the reasons that follow, I would dismiss the appeal. B. The General Facts Leading up to the Police Response [8] Shortly before 3 a.m. on August 13, 2017, the complainant called 911 to report that she had just been assaulted by her boyfriend. The complainant conveyed to the 911 operator that, after assaulting her, the appellant had left the apartment with a gun in the waistband of his pants. The complainant said that the appellant “always” carried his gun with him and, while he had threatened her with his gun in the past, he had not specifically done so that night. Rather, the appellant had told the complainant that he was going to “cho[ke] [her] and put [her] to sleep and throw [her] over the balcony”. [9] The complainant told the 911 operator that the appellant had taken a suitcase containing her belongings with him when he left the apartment. While she did not know where the appellant had gone, she said that he had family in both Toronto and Ottawa. She also provided his cell phone number. [10] Shortly after the 911 call was made, Constable (“Cst.”) Cicchirillo of the T.P.S. arrived at the apartment. The complainant provided him with a few additional details, including about the assault and firearm. She said that the assault occurred in the bedroom and included the appellant banging her head against the wall multiple times, pushing her onto the bed, and choking her with both of his hands. The complainant also explained that the appellant’s gun was on the bedside table during the assault and that she “didn’t want to get shot.” When asked whether the appellant threatened her with the gun, she said: “No, but it was right there at the time.” She described the gun as resembling Cst. Cicchirillo’s service firearm. C. The Warrantless Tracking of the Appellant’s Cell Phone (1) The Facts Leading up to the “Pinging” of the Cell Phone [11] D.C. Meredith worked as an investigator in the Major Crime Unit of the T.P.S. While it was unusual for an investigator in that unit to be involved in a domestic allegation, D.C. Meredith got involved because of the information about the gun. [12] After listening to the information being conveyed over the police radio and speaking with Cst. Cicchirillo (who had just spoken to the complainant), D.C. Meredith formed the view that it was critical for public safety that the appellant be located as quickly as possible. In his view, this required the use of an investigative technique known as “pinging”, a colloquial term used to refer to an exchange of signals between a cell phone tower and a cell phone. As cell phone towers only cover a certain geographical radius, the exchange of signals can provide information about the general location of the cell phone at the time the signal exchange occurs: R. v. Grandison , 2016 BCSC 1712, 342 C.C.C. (3d) 249, at paras. 64-65. [13] Given D.C. Meredith’s opinion about the urgency of the situation, he asked a T.P.S. civilian supervisor to contact the appellant’s telecommunications provider to request the company’s assistance in “pinging” the appellant’s cell phone. The civilian supervisor declined to do so because, in his view, there was no urgency associated with finding the appellant and the matter could wait until judicial authorization had been obtained. [14] In contrast, it was D.C. Meredith’s belief that time was of the essence: “there was a male who was unlawfully in possession of a firearm who had just committed an offence of violence while he had the firearm and it was in the public interest … and for the public safety to get the firearm and, if I didn’t, … I’d be in neglect of my duty”. Accordingly, D.C. Meredith contacted the telecommunications company himself and asked for its assistance in locating the appellant’s phone. The company agreed to assist. Over the next short while, the “pings” demonstrated that the appellant’s cell phone was moving in an eastbound direction along Highway 401. That information was conveyed to the O.P.P., allowing officers to locate the vehicle in which the appellant was travelling. (2) The Trial Judge’s Reasons [15] The appellant claimed at trial that his s. 8 Charter rights had been infringed when his cell phone was tracked without a warrant. He argued that there were no exigent circumstances that could justify this warrantless tracking, given that the complainant was safe and in police protection at the time that the “pinging” occurred. As there was no immediate risk of danger, the police should have been required to obtain a warrant before tracking his cell phone. [16] The trial judge dismissed that argument, concluding that, while the complainant may well have been safe, exigent circumstances remained. Given the appellant’s history of violence, his assaultive behaviour that night, the proximity of the firearm to the acts of violence, and the placement of the firearm in the waistband of the appellant’s pants when he left the apartment, the trial judge determined that there was a strong inference that the appellant was prepared to use the firearm on short notice. In these circumstances, the trial judge concluded that exigent circumstances justified the warrantless tracking of the appellant’s cell phone in an effort to locate him. (3) The Appellant’s Argument on Appeal [17] For the most part, the appellant repeats on appeal the same argument he advanced before the trial judge. He maintains that, given the complainant had been moved out of harm’s way, there were no objective circumstances justifying the warrantless search. The appellant emphasizes that there was no suggestion that he used or threatened to use the gun during the alleged assault of the complainant, and he did not threaten to shoot or harm anyone after he left the apartment. Therefore, the appellant says that there was nothing that could justify a warrantless tracking of the appellant’s cell phone. (4) Exigent Circumstances Justified the Warrantless Tracking [18] In the normal course, the police need prior judicial authorization to track a cell phone, which in turn provides information about an individual’s whereabouts: Criminal Code , R.S.C. 1985, c. C-46, s. 492.1(2). The question for determination on appeal is whether the warrantless approach taken was justified on the basis that the police were operating in exigent circumstances. I see no error in the trial judge’s conclusion that this was the case. [19] This warrantless search doctrine, involving as it does exigent circumstances, is not designed to promote efficiency or expediency. Rather, its singular purpose is to accommodate those situations where the state can forgo obtaining prior judicial authorization because of the urgency of the matter at hand. In particular, the police can act without prior judicial authorization where there exists an imminent threat to police safety or public safety or in circumstances where there exists a risk of imminent loss or destruction of evidence: R. v. Paterson , 2017 SCC 15, [2017] 1 S.C.R. 202, at paras. 32-33; R. v. Feeney , [1997] 2 S.C.R. 13, at para. 52; R. v. Kelsy , 2011 ONCA 605, 280 C.C.C. (3d) 456, at para. 24. [20] The exigent circumstances doctrine has deep roots in both the common law and statute: see e.g. Criminal Code ss. 117.02, 487.11, 529.3; Controlled Drugs and Substances Act , S.C. 1996, c. 19, s. 11(7). While the respondent made reference on appeal to the fact that the warrantless tracking of the appellant’s cell phone was provided for under s. 117.02(1)(b) of the Criminal Code , I will only briefly address this point as no submissions or authorities were provided to justify that suggestion. [21] Undoubtedly, s. 117.02(1)(b) reflects an important codification of the common law exigent circumstances doctrine where firearms and other forms of weaponry are involved. It is frequently used to search motor vehicles and other locations for firearms: see e.g. R. v. T.A.V. , 2001 ABCA 316, 299 A.R. 96, at paras. 23-26; R. v. Narayan , 2007 BCCA 429, 245 B.C.A.C. 243; Virgo c. R. , 2013 QCCA 1114. The provision reads as follows: Where a peace officer believes on reasonable grounds that an offence is being committed, or has been committed, under any provision of this Act that involves, or the subject-matter of which is, a firearm, and evidence of the offence is likely to be found on a person, in a vehicle or in any place or premises other than a dwelling-house , the peace officer may, where the conditions for obtaining a warrant exist but, by reason of exigent circumstances, it would not be practicable to obtain a warrant, search, without warrant, the person, vehicle, place or premises, and seize any thing by means of or in relation to which that peace officer believes on reasonable grounds the offence is being committed or has been committed . [Emphasis added.] [22] It is not clear that the warrantless tracking of a cell phone to locate a person is provided for under s. 117.02(1)(b). Included in the list of outstanding questions would be: whether “pinging” a cell phone constitutes “evidence of the offence”; if it is evidence of the offence, whether it is evidence “likely to be found on a person, in a vehicle or in any place or premises other than a dwelling-house”; and, if these requirements were met, whether the search of one of those locations without a warrant would lead to the seizure of a “thing by means of or in relation to which that peace officer believes on reasonable grounds the offence is being committed or has been committed.” [23] While I would not rule out the application of s. 117.02(1)(b) for purposes of the investigative technique used in this case, in my view, it would be unwise to determine the matter in the absence of submissions on the point. This is particularly true in this case given that the common law fills the void. Indeed, it is the common law that the trial judge leaned on to resolve the question of exigent circumstances at trial. [24] I reject the appellant’s assertion that there were no exigent circumstances present because he did not pose an imminent risk to others. While the exigent circumstances doctrine should be invoked only where it is “necessary”, the factual matrix within which the decision to track the appellant’s cell phone was made met that requirement: Kelsy , at para. 35. [25] The police are charged with the responsibility of protecting the community’s safety. To this end, what the police knew was that the appellant had just violently assaulted his girlfriend on a bed while his firearm lay next to them. The police had been informed that the appellant had a history of violence, including previously threatening his girlfriend with his gun. They also knew that he had left this highly volatile situation with his firearm in the waistband of his pants. It is against that factual backdrop that the trial judge concluded that the concerns over public safety were well-founded. [26] The trial judge also concluded that, had there been time, the police could have obtained a tracking warrant. [27] Section 492.1 of the Criminal Code was amended in 2015 to create two types of tracking warrants, one for the tracking of “transactions” and “thing[s]” (s. 492.1(1)) and the second for tracking “an individual’s movement by identifying the location of a thing that is usually carried or worn by the individual” (s. 492.1(2)): Protecting Canadians from Online Crime Act , S.C. 2014, c. 31, s. 23. [1] When it comes to tracking individuals (s. 492.1(2)), a reasonable grounds standard is operative: “A justice or judge who is satisfied by information on oath that there are reasonable grounds to believe …”. See: Robert W. Hubbard, Peter M. Brauti & Scott K. Fenton, Wiretapping and Other Electronic Surveillance: Law and Procedure , loose-leaf (2020-Rel. 76) (Aurora, Ont.: Canada Law Book, 2000), at ch. 3-13. [28] Although not strictly necessary to the reasoning process in this case, I agree with the trial judge that , if there had been time, a tracking warrant pursuant to s. 492.1(2) of the Criminal Code could have been obtained. Indeed, the warrant likely would have been issued on the force of the complainant’s information alone. Yet the police were operating in exigent circumstances and, quite simply, did not have the time to obtain a tracking warrant. [29] While it was suggested to D.C. Meredith in cross-examination that he could have obtained a telewarrant to track the appellant’s cell phone in 15 minutes, the officer rejected that suggestion. So did the trial judge. So do I. [30] Section 487.1(1) of the Criminal Code allows an application for a s. 487 warrant to be made by telephone or other means of telecommunication where a peace officer believes that “it would be impracticable to appear personally before a justice”. Several other warrant provisions incorporate s. 487.1 by reference: see e.g., ss. 529.5, 487.092(4), 487.05(3), 487.01(7). Notably, s. 492.1 of the Criminal Code is absent from that list of provisions. [31] In any event, a telewarrant is not free for the asking. To be sure, a telewarrant application carries the same degree of solemnity as an application that would be determined after being dropped at a courthouse in the light of day. While s. 487.1 provides for more flexibility in terms of how an application for a warrant is placed before a justice, it does not alleviate the normal demands placed upon an affiant in relation to preparing that application. Nor does it relieve the application justice from taking the time necessary to properly consider the application to determine whether the requested authorization should be granted. [32] In my view, even if a telewarrant had been available for purposes of obtaining prior judicial authorization to track the appellant’s phone, the police would have been hard pressed to obtain one in the less than three hours that transpired between when it became clear that the appellant had to be located and when he actually was located a few hundred kilometres away. [33] For all of these reasons, I would not give effect to this ground of appeal. D. The Search of the Motor Vehicle Incident to Arrest (1) The Facts Leading up to the Search Incident to Arrest [34] Once it was determined that the appellant’s cell phone was travelling in an eastbound direction, D.C. Meredith contacted the O.P.P. to ask for their assistance. While D.C. Meredith said that he believed that the appellant was headed for Ottawa, he also said that “the only thing we know for sure is, he’s heading eastbound on [Highway] 401.” D.C. Meredith also said that the appellant was wanted for a domestic assault in Toronto and that a warrant would be issued for his arrest. [35] Cst. Snider was the O.P.P. officer involved in locating the vehicle, stopping it, arresting the appellant for domestic assault, and conducting the search of the vehicle. While a cursory search was originally done at the scene, the vehicle was quickly towed to the police detachment to permit for a safer search environment. [36] Once at the police detachment, and before continuing the search, Cst. Snider called D.C. Meredith to discuss the alleged domestic assault and to gain a better understanding of what he should be looking for within the vehicle. Cst. Snider stated that he knew that, pursuant to the search incident to arrest doctrine, he could only search for “offence-related property to the domestic assault.” [37] While Cst. Snider knew that there was “speak of a firearm”, until he spoke with D.C. Meredith, he was unsure as to whether the firearm was “offence-related property”. He testified that D.C. Meredith told him that the firearm was “related” to the assault and that this information had been received from the “victim of the domestic assault”. The content of that discussion is clearly memorialized in Cst. Snider’s handwritten notes, which were provided as part of the record on the Charter application: “Advised firearm was related to domestic assault. Info from victim.” [38] The call with D.C. Meredith occurred at 6:46 a.m., and the search incident to arrest at the police detachment commenced at 7:01 a.m. [39] Recall that the complainant told the police that the appellant had taken her suitcase, which was full of her possessions. Cst. Snider testified that he located suitcases in the back of the vehicle and that one of them contained women’s clothing and a passport bearing a female’s identification. [40] The police also located a compartment in the trunk of the vehicle. Once opened, it appeared to contain a vacuum-sealed package of cocaine. A short time later, a superior officer directed that the search be stopped and a telewarrant obtained. A number of hours later, with the telewarrant in hand, the search recommenced, and two loaded firearms were found hidden in a locked compartment in the centre console of the vehicle. Both had their serial numbers removed. One had its trigger guard removed. (2) The Trial Judge’s Reasons [41] The trial judge concluded that Cst. Snider subjectively believed that he was entitled to search the vehicle incident to the arrest of the appellant for assault and that it was objectively reasonable to conduct that search in the circumstances. [42] While the trial judge acknowledged that the firearm was not “used” by the appellant in the course of the assault, he emphasized that the assault occurred in the bedroom, that the appellant had his gun on the bedside table in the same room, and that the complainant feared that she would be shot. He described the gun as being “part of the events that unfolded in the condominium in Toronto on that early morning.” [43] The trial judge concluded that Cst. Snider was entitled to rely upon the information he had received from D.C. Meredith “as to the circumstances of the assault”, and that those circumstances formed his reasons for searching the vehicle incident to arrest. Cst. Snider was “entitled to search the vehicle for any evidence related to the assault and threats alleged by [the complainant] .” [44] The trial judge then went on to express serious concerns regarding D.C. Meredith’s credibility. The details around why that is so are beyond the scope of these reasons. What is important is that the trial judge was so concerned with D.C. Meredith’s evidence that, “ [ t ] o the extent that” he had to rely upon D.C. Meredith’s evidence, he would only do so if it was “corroborated.” While it was true that Cst. Snider relied in part upon D.C. Meredith’s information “to form his belief that the firearm was involved in the assault”, the trial judge found that Cst. Snider was also searching the vehicle for “other offence-related evidence and not exclusively for the firearm.” According to the trial judge, Cst. Snider was “entitled to do that.” Ultimately, the trial judge concluded the following: I do find the search was incident to the lawful arrest. The grounds formed by [Cst.] Snider, in my view, were not tainted by [D.C.] Meredith to the point that it was not a lawful search incident to arrest. (3) The Appellant’s Position on Appeal [45] The appellant advances two broad arguments regarding the search incident to arrest: (1) the trial judge erred by extending the search incident to arrest doctrine too far by including searches for what he describes as “collateral evidence” to corroborate a complainant’s version of events; and (2) the trial judge erred by concluding that Cst. Snider had a lawful basis to search the vehicle incident to arrest despite D.C. Meredith providing false and misleading statements to Cst. Snider. (4) The Firearm was Related to the Assault [46] The appellant takes issue with the following statement from the trial judge’s reasons: While the firearm was not involved as part of the actus reus of the assault, according to [the complainant], in any event, it was present. It was evidence at the scene. The firearm may well have been evidence to corroborate the complainant[’s] version of what she claimed happened in that condominium bedroom. In other words, locating a firearm could be seen as evidence to bolster [the complainant’s] statement that the [appellant] had the handgun at the time of the assault, and the threats . Again it is clear that she is not alleging the gun itself was involved in the assault. [Emphasis added.] [47] The appellant contends that it is a step too far to use the search incident to arrest doctrine to seize evidence that might bolster the credibility of a complainant on what the appellant refers to as collateral matters. The appellant suggests that such an extension of the doctrine would lead to unbridled warrantless search powers because virtually anything could be seen to bolster a complainant’s credibility. [48] In support of this position, the appellant points to R. v. Caslake , [1998] 1 S.C.R. 51, at para. 22, where Lamer C.J. emphasized that for the police to search incident to arrest, “there must be some reasonable prospect of securing evidence of the offence for which the accused is being arrested ” (emphasis in original). The appellant argues that the trial judge’s reasons are unfaithful to Caslake , as they improperly expand the scope of the search incident to arrest doctrine beyond its intended limit to capture all forms of evidence, not just that which is necessary to proving the offence. [49] I reject the suggestion that Caslake , or any other authority for that matter, places the types of restrictions advocated for by the appellant upon the search incident to arrest doctrine. Before addressing why that is so, I will first address why the firearm was much more than evidence that would serve to “corroborate the complainant [ ’s ] version of what she claimed happened in that condominium bedroom.” [50] To be clear, the firearm was not some benign object lying on the bedside table beside the bed where the complainant was being choked. Rather, it was a deadly weapon that she had been previously threatened with and that she was afraid may actually be used during the violent assault. As before, she told the police that the firearm “was right there at the time” and that she “didn’t want to get shot”. [51] The firearm was very clearly part and parcel of the offence, part of the physical and psychological domination taking place during the assault. While it was not “used” in the sense of being pointed at the complainant during the assault, it was plainly “related” to the assault and would be entirely relevant at a later trial for assault. It would also be entirely relevant to any sentencing proceeding that may ensue were the appellant to be convicted. Therefore, it was not merely corroborative of the complainant’s account, but fundamentally linked to the offence. [52] In any event, I reject the suggestion that the search incident to arrest doctrine turns on the nuanced distinction the appellant draws between “collateral” and non-collateral evidence. Even if the appellant were right, and the firearm could be properly characterized as “collateral” in nature because it could only serve to bolster the complainant’s credibility, the search incident to arrest doctrine would justify its seizure. [53] The search incident to arrest doctrine is a warrantless search power that strikes a vital balance between the privacy interests of individuals and the objectives of law enforcement: Cloutier v. Langlois , [1990] 1 S.C.R. 158 ; Caslake , at para. 14; R. v. Golden , 2001 SCC 83, [2001] 3 S.C.R. 679, at para. 46. There are three legitimate goals that can justify searching incident to arrest: (1) ensuring the safety of the police and the public; (2) protecting evidence from destruction; and (3) discovering evidence “ of the offence for which the accused is being arrested ”: Caslake , at para. 22 (emphasis in original). [54] Cst. Snider made clear that he searched the vehicle to discover evidence. While one can imagine another officer having said that the search was done for safety, staying with Cst. Snider’s justification for the search, I will remain focused upon the evidence discovery component of the search incident to arrest doctrine. [55] There are three conditions that must be satisfied to certify the validity of a search incident to arrest: R. v. Stillman , [1997] 1 S.C.R. 607, at para. 27 . First, the arrest must be lawful: Caslake , at para. 39. There is no complaint on appeal about the lawfulness of the appellant’s arrest. Second, the search must be “truly incidental” to the lawful arrest, meaning that the search must be directed at achieving a “valid purpose connected to the arrest”: Caslake , at para. 19. And, third, any search incident to arrest must be conducted reasonably: R. v. Fearon , 2014 SCC 77, [2014] 3 S.C.R. 621, at para. 27; R. v. Saeed , 2016 SCC 24, [2016] 1 S.C.R. 518, at para. 37. [56] Searching incident to arrest is undoubtedly an extraordinary power because: (1) it permits the police to search without a warrant; and (2) it permits the police to search in circumstances where judicial authorization might not even be available: Fearon , at para. 16. This latter observation means that, for a search incident to arrest to take place, the police need not possess the reasonable grounds that would be required to obtain prior judicial authorization: Caslake , at para. 20. Rather, all the police need is “some reason related to the arrest for conducting the search at the time the search was carried out, and that reason must be objectively reasonable”: Caslake , at para. 25. [57] I take the appellant to be arguing that where a search incident to arrest is directed at discovering evidence, it will only be justified where there is a real prospect of securing actual evidence of the offence that can be admitted at trial. On this basis, the appellant contends that there was nothing the police would be justified in looking for within the vehicle incident to arrest. [58] Respectfully, I do not accept this submission. In my view, the common law animating the principles around the doctrine of search incident to arrest is clear. There is nothing in that body of jurisprudence that limits the police to searching only for evidence that is admissible at trial as going to prove an element of the offence. To the contrary, the police can search for those things that relate directly to the arrest. While those things may, from time to time, be admissible at trial as proof of the offence, when the police are searching for those things, they are not concerning themselves with questions of admissibility. Rather, as the common law directs, they are concerning themselves with whether there is a direct link between the arrest and what is being looked for. [59] The common law makes good, practical sense – sense that can be applied on the ground in real search incident to arrest scenarios. Importantly, the common law does not expect the police to ask themselves pristine questions about the elements of an offence and how what they are looking for might tie into those elements. Nor does the common law expect the police to consider complicated questions of admissibility. [60] Rather, the common law requires the police to ask whether the search is “truly incidental to the arrest in question”: Caslake , at para. 17. Officers must take into account all of the known information when deciding whether what they are looking for is truly incidental to the arrest. At the end of the day, what is required is that the police are able to clearly explain why they did what they did and how it was connected to the arrest. On that basis, an after-the-fact reviewer will be able to determine whether a “valid purpose connected to the arrest” was being pursued and, if so, whether it was “objectively reasonable” in the circumstances: Caslake , at paras. 19, 25. [61] Cst. Snider understood exactly that. As Cst. Snider explained, it is precisely why he called D.C. Meredith, so that he could discuss the alleged domestic assault and gain a better understanding of what related to the arrest and, therefore, what he was entitled to look for in the vehicle. As he put it, he could only search for “offence-related property”. He was right, and he did just that. (5) The Impact of D.C. Meredith’s False and Misleading Statements [62] The appellant advances two arguments related to the trial judge’s adverse credibility findings as they related to D.C. Meredith. [63] First, the appellant asserts that the trial judge’s conclusion about D.C. Meredith’s credibility should have resulted in a finding of an unlawful search because Cst. Snider based his reasons to search only upon what he was told by D.C. Meredith. I do not agree with this suggestion. [64] The appellant’s argument conflates the rejection of a witness’s credibility on a voir dire with the need to reject everything that the witness has said on an earlier occasion. That is not so. [65] Importantly, this is not a case where a trial judge determined that the information supplied by D.C. Meredith to Cst. Snider was inaccurate. To the contrary, and as previously discussed, it was entirely accurate and well supported in the record. While it is true that the trial judge had difficulty with D.C. Meredith’s credibility in his capacity as a witness on the Charter voir dire , those credibility findings did not touch on the accuracy of the information that D.C. Meredith conveyed to Cst. Snider. Accordingly, the trial judge was right to conclude that “[Cst.] Snider was entitled to rely on the information that he received from [D.C.] Meredith as to the circumstances of the assault, and that those formed the grounds for his belief and the grounds to search the vehicle incident to arrest.” [66] Second, the appellant argues that, even if this court concludes that the firearm was related to the domestic assault (which I have concluded), there is nothing supporting the suggestion that D.C. Meredith knew that to be the case when he advised Cst. Snider that, as reflected in Cst. Snider’s notes, the: “firearm was related to the domestic assault. Info from victim.” It is the appellant’s position that D.C. Meredith merely invented that suggestion when he spoke to Cst. Snider and that it is pure happenstance that his invention turned out to be true. According to the appellant, the fact that it turned out to be true should not excuse that it was an invention in the first place and, therefore, the search incident to arrest should be found unlawful. [67] I reject the suggestion that D.C. Meredith was inventing anything. [68] The appellant emphasizes that Cst. Cicchirillo agreed with defence counsel’s suggestion in cross-examination that the firearm was “not related to the assault”. In my view, this observation on Cst. Cicchirillo’s part does not advance the appellant’s cause. The fact is that Cst. Cicchirillo’s evidence is riddled with detailed accounts about what the complainant had shared with him about the appellant’s firearm. [69] Police officers do not provide evidence on Charter voir dires to assist the court with the law. Rather, like all witnesses, they testify to assist the court with understanding the facts and it is up to the court to settle upon the actual facts and then draw legal conclusions from them. To this end, Cst. Cicchirillo testified about facts that established the clear legal nexus between the firearm and the assault. The fact that he did not characterize the firearm as related to the assault is neither here nor there. [70] While Cst. Cicchirillo could not recall exactly what he told D.C. Meredith, what is clear from both of their testimonies is that they spoke to each other after Cst. Cicchirillo spoke to the complainant, meaning after Cst. Chicchirillo learned the information about the firearm being related to the assault. What is also clear from Cst. Cicchirillo’s evidence is that, while he could not recall the specifics by the time of trial, he knows that he told D.C. Meredith about the firearm. [71] Like Cst. Cicchirillo, D.C. Meredith did not have good notes about what they discussed. What D.C. Meredith recalled by the time of trial was that Cst. Cicchirillo told him that the complainant had informed him that the appellant had a firearm. While by the time of trial D.C. Meredith could not recall telling anyone that the firearm was related to the assault, Cst. Snider’s notes memorialized the fact that D.C. Meredith had done just that. [72] Therefore, of central importance is the fact that Cst. Snider had a note memorializing what he says that D.C. Meredith told him: that the firearm was related to the assault and that that information had come from the victim. That is true; that is accurate; and that is correct. Accordingly, I reject the appellant’s suggestion that D.C. Meredith was engaged in an elaborate invention when he spoke to Cst. Snider and told him what is actually true: “Advised firearm was related to domestic assault. Info from victim.” When looked at in context, it is clear that, while this case involved some foggy police memories by the time of trial, foggy police memories do not make for Charter breaches. Rather, looked at in its full context, as the trial judge did, it is clear that Cst. Cicchirillo learned from the complainant of the nexus between the firearm and the offence and passed that information on to D.C. Meredith, who in turn passed it on to Cst. Snider. Cst. Snider then memorialized that accurate information in his notebook. [73] Against that factual backdrop, it is clear that both Cst. Cicchirillo and D.C. Meredith will want to take better notes in the future. What is equally clear is that D.C. Meredith was not inventing anything. He simply forgot the specifics of his conversations with colleagues by the time of trial. [74] Accordingly, Cst. Snider had lawful grounds to search the vehicle incident to arrest. As such, the appellant’s s. 8 Charter rights were not violated during the search incident to arrest of the vehicle. E. THE Expert Evidence [75] The trial Crown proffered the expert evidence of a police officer, Detective Sergeant (“D.S.”) Canham of the O.P.P. Organized Crime Section, to testify about various subjects pertaining to drug trafficking, including drug pricing and drug jargon. The appellant opposed the admission of that evidence on the basis of D.S. Canham’s lack of training in the matter of drug jargon and the fact that he does not have “the requisite degree of expertise and the experience to offer a fair, informed, balanced and reliable opinion on the definition and meaning of language that is used by suspected drug traffickers.” [76] At the conclusion of the voir dire , the trial judge ruled as follows: The issue that I struggle with and have struggled with over the break is on the issue of [D.S. Canham’s] expertise in jargon and language, and whether this officer’s expertise or experience meets the threshold reliability. At the end of the day, for reasons that I am going to expand on, I do find that he meets the threshold reliability. I will allow him, therefore, to testify in both of those areas. [77] We are informed by the parties that the reasons for this ruling do not appear to have been provided. Even so, this court has held that a failure to provide reasons for an evidentiary ruling is not fatal, “provided that the decision is supportable on the evidence or the basis for the decision is apparent from the circumstances”: R. v. Tsekouras , 2017 ONCA 290, 353 C.C.C. (3d) 349, at para. 156, leave to appeal refused, [2017] S.C.C.A. No. 225. In this case, as in Tsekouras , the absence of reasons on the ruling is not fatal on this issue. In my view, considered in the entire context, the record provides an adequate basis upon which to decide the matter. [78] The appellant points to the fact that D.S. Canham is a member of the O.P.P., the same police service as Cst. Snider. The appellant contends that this should have been a relevant factor in determining the admissibility of the expert evidence. [79] I do not take the appellant to be saying that, standing on its own, the fact that D.S. Canham is a member of the same police service as Cst. Snider necessarily disqualified him based on lack of impartiality. Nor could that argument be advanced: see R. v. Mills , 2019 ONCA 940, 151 O.R. (3d) 138, at para. 62. Whether of the same police service or not, the real question for determination is whether the expert was unable or unwilling to carry out the duties of an expert: Mills , at para. 62. Here, D.S. Canham stated that he had “zero involvement” in the investigation into the appellant, and he clearly explained his understanding that he had an obligation as an expert to “give impartial opinion.” I see no difficulty on this record with the expert being proffered from the same police service as the one that conducted the investigation. [80] In challenging the admissibility of this expert evidence, the appellant also emphasizes that D.S. Canham did not have any specific training in the area of drug jargon. The appellant also points to the fact that evidence about drug jargon is not capable of scientific validation. [81] Expert evidence does not need to be predicated upon years of training. From time-to-time, police officers will testify as experts on the basis of expertise that has been obtained through practical experience on the job over many years: Mills , at para. 54; R. v. Sekhon , 2014 SCC 15, [2014] 1 S.C.R. 272, at paras. 73-74, per LeBel J. (dissenting, but not on this point). While D.S. Canham had not taken a course in drug jargon, his experience with on-the-ground policing was vast, involving approximately twenty years of involvement with drug trafficking investigations. He had been working in a milieu involving drug culture for many years and had come to know the language used by those involved in its trade. [82] Moreover, expert opinion evidence does not have to be capable of scientific validation. To make this point, I would simply adopt what Doherty J.A. said in R. v. Abbey , 2009 ONCA 624, 246 C.C.C. (3d) 301, at para. 109, leave to appeal refused, [2010] S.C.C.A. No. 125: "[m]ost expert evidence routinely heard and acted upon in the courts cannot be scientifically validated." Examples abound, including psychiatrists testifying about the existence of mental states; doctors testifying about the causes of injury or death; and accident reconstructionists testifying about the location or causes of accidents: Abbey , at para. 109. Like these types of expertise, the evidence about drug jargon cannot be supported by scientific error rates, resting as it does upon "specialized knowledge gained through experience and specialized training in the relevant field": Abbey , at para. 109; Mills , at para. 53. [83] Finally, the appellant maintains that D.S. Canham was partial, in the sense that he was disposed to only assisting the Crown’s case, and that he did not meet the test for threshold reliability. [84] A few examples are provided to demonstrate D.S. Canham’s alleged partiality, including the witness being confronted with and outright rejecting the suggestion that a “zip”, which he said referred to an ounce of cocaine, could in fact be an ounce of marijuana. Indeed, the expert went so far as to suggest that he did not need to check on the Internet to see whether “zip” could be used to refer to marijuana because, in his experience, “zip was a common term for an ounce of cocaine” and he’s “never heard anyone call an ounce of marijuana a zip.” [85] In oral submissions, the appellant gave another example of what is said to be demonstrative of the expert’s lack of reliability and his partiality. At one point, the expert testified in-chief that drug prices have not changed that much over the years, only to later acknowledge in cross-examination that he did not know the price of cocaine per kilogram in some earlier years. [86] In my view, what is referred to on appeal as examples of partiality are really just examples of the expert being unprepared to accede to suggestions put on cross-examination. While it may be true that at points the expert was dug in a little more than others experts may have been, these were all matters for the trial judge to take into account in determining the weight he would place upon the expert opinion. [87] In the end, it was open for the trial judge to accept the expert evidence. Importantly, it did not overwhelm the inquiry. Rather, the trial judge’s reasons make it clear that he considered the expert evidence as only one piece of circumstantial evidence in arriving at his conclusion on the appellant’s guilt. This is underscored by the following passage in the trial judge’s lengthy reasons: I do consider the expert’s evidence, particularly as it relates to the general drug chatter on the cell phones. I take into account the fact that each individual had two cell phones. I do take into account that in this day and age sometimes people have more than one phone. I take into account the quantity of cocaine that was seized. I take into account that two firearms were located, that both were loaded. I take into account that the Bakal brothers were stopped after leaving Toronto. Taking into account all of the circumstances , the location of where the items were seized, I conclude that Crown counsel has proven beyond a reasonable doubt that both individuals in the vehicle had possession and control of both the drugs and the two firearms. [Emphasis added.] [88] Therefore, it cannot be said that the trial judge erred by admitting D.S. Canham’s expert evidence pertaining to drug pricing and drug jargon. [89] As this ground of appeal does not gain traction, and in accordance with the appellant’s position, there is no need to consider the argument regarding unreasonable verdicts. F. Disposition [90] For the reasons above, I would dismiss the appeal in its entirety. “Fairburn A.C.J.O.” “I agree R.G. Juriansz J.A.” Paciocco J.A. (Concurring): A. overview [91] I, too, would dismiss the appeal, but on a different basis. I agree with Fairburn A.C.J.O. that the exigent circumstances doctrine justified the warrantless tracking of Mustafe Bakal’s cellular phone, and that the expert evidence was properly admitted by the trial judge. However, unlike my colleague, I am persuaded that the trial judge erred in finding that the search of the motor vehicle incident to the arrest that led to the discovery of the handguns was lawful. In my view, the search that led Cst. Snider to find the handguns was, in fact, unconstitutional. [92] I agree with my colleague that Cst. Cicchirillo and the police dispatcher had objective grounds linking the handgun to the assault. But that is not enough. Cst. Snider conducted the search of the motor vehicle. As a matter of law, it is Cst. Snider who required grounds for the search and he lacked objective information that could link the handgun to the assault for which Mr. Bakal was arrested. To be sure, Cst. Snider conducted the search in reliance on D.C. Meredith’s grounds, and if D.C. Meredith had the requisite grounds for the search that would have been enough. But no evidence was led during the Charter voir dire that D.C. Meredith had objective information linking the handgun to the assault for which Mr. Bakal was arrested. Indeed, the evidence was to the contrary. Unfortunately, the trial judge missed this crucial fact, and thereby erred in upholding the constitutionality of the search. [93] Despite finding a Charter violation I would deny this ground of appeal. In my view, the repute of the administration of justice requires that the evidence obtained during the unconstitutional search of the motor vehicle be admitted. [94] I therefore join my colleague in the outcome of her decision, but not in all her reasoning. B. the legal principles [95] Four legal principles animate my conclusion that the trial judge erred in finding that the search of the motor vehicle incident to Mr. Bakal’s arrest was lawful. [96] First, given the intrusive and powerful authority that searches incident to arrest entail, courts are obliged to “strictly interpret” the “central guiding principle … that the search must be … truly incidental to the arrest”: R. v. Balendra , 2019 ONCA 68, [2019] O.J. at para. 44; R. v. Fearon , 2014 SCC 77, [2014] 3 S.C.R. 621, at para. 16. Of relevance to this case, “the purpose relied on to justify the search at trial must have been the actual reason the police conducted the search”: R. v. Santana , 2020 ONCA 365, at para. 28, per Doherty J.A.; R. v. Caslake , [1988] 1 S.C.R. 51, at paras. 21-22; 26-27. It follows that if Cst. Snider lacked the lawful authority to search the hidden compartments of the motor vehicle for evidence of the alleged assault incident to Mr. Bakal’s arrest, the search was unconstitutional. The fact that there may have been other legal avenues available to Cst. Snider for searching those hidden compartments does not change this, a point I will return to below, when determining that the evidence obtained must be excluded pursuant to s. 24(2) of the Charter . [97] Second, a subjective/objective test applies to searches incident to arrest, including for the purpose of discovering evidence. As Cromwell J. noted in Fearon , at paras. 21-25: [T]he police must be attempting to achieve some valid purpose connected to the arrest. That turns on what they were looking for and why. The police must have one of the purposes for a valid search incident to arrest in mind when the search is conducted, and the officer conducting the search must reasonably believe that this purpose may be served by the search. This is not a standard of reasonable and probable grounds, but simply a requirement that there be some reasonable basis for doing what the police did. For example, if the purpose of the search is to find evidence, there must be some reasonable prospect of finding evidence of the offence for which the accused is being arrested. [In R. v. Nolet , 2010 SCC 24, [2010] 1 S.C.R. 851] Binnie J. reiterated the important point made in Caslake and Golden that a search is properly incidental to arrest when ‘the police attempt to achieve some valid purpose connected to the arrest, including ensuring the safety of the police and the public, the protection of evidence from destruction at the hands of the arrestee or others, and the discovery of the evidence’: para. 49, quoting Caslake , at para. 19. As Binnie J. put it, “ [t]he important consideration is the link between the location and purpose of the search and the grounds for the arrest” … the basis of the warrantless search is not exigent circumstances, but connection or relatedness to the crime for which the suspect has been arrested (Emphasis added.) [98] Third, as the above passage confirms, it is “the officer conducting the search” who “must reasonably believe that” a valid purpose “may be served by the search”. When evaluating the constitutionality of the conduct of the officer conducting the search, it is not enough that others, including other police officers, may have had lawful grounds to act. The issue is whether the state agent exercising the challenged police power had the authority they purported to be exercising: R. v. Gerson-Foster , 2019 ONCA 405, [2019] O.J. No. 2877, at paras. 77-78. [99] Fourth, there is an exception to the third principle just described that permits officers who do not personally have the requisite grounds, to exercise police powers on the instruction or advice of other officers who do have the requisite grounds. However, an officer who lacks the requisite grounds cannot confer authority on other officers to act lawfully: R. v. Debot , [1989] 2 S.C.R. 1140, at pp. 1166-1167; Gerson-Foster , at para. 84. As noted by the majority in R. v. Ahmad , 2020 SCC 11, 63 C.R. (7th) 1 (S.C.C.), at para. 32, “[T]he hunch or ‘mere suspicion’ of one police officer cannot become something more simply because it was shared with other officers”. [100] To illustrate this fourth point in the context of this case, even if Cst. Snider personally lacked the objective grounds for the search he conducted, it would have sufficed if D.C. Meredith had the requisite grounds since Cst. Snider was conducting the search at D.C. Meredith’s behest. The problem is that D.C. Meredith did not have the requisite grounds. C. THE REQUISITE OBJECTIVE KNOWLEDGE WAS LACKING (1) Cst. Snider’s Grounds [101] Cst. Snider testified that his purpose in searching the motor vehicle incident to arrest was to discover evidence of the offence for which Mr. Bakal was arrested, namely, the alleged domestic assault. In law, he could search only for items he reasonably believed to be linked to that assault. It is evident from his testimony that Cst. Snider understood this. [102] At the time of the initial roadside search, Cst. Snider had only “minimal information” that he obtained from the “call for service”, specifically, that Mr. Bakal was in possession of a semi-automatic handgun as well as several kilograms of cocaine, and that an arrest warrant would be issued for a domestic assault which had happened in Toronto. Although there was “speak of a firearm” Cst. Snider had no information as to whether the handgun was “offence-related property” linked to the alleged assault. Indeed, when testifying about his knowledge at the time of the roadside search about the role, if any, that the handgun played in the assault he said, “[t]he information on that is still not clear in regards to the firearm, if it’s offence-related property or what the status of that is.” At this point, Cst. Snider clearly lacked the objective grounds to search for the handgun as evidence of the assault for which Mr. Bakal was arrested. [103] Cst. Snider testified that after Mr. Bakal was arrested and the vehicle was impounded and brought to the police detachment, he “want[ed] to gain a better understanding of what [he would] be looking for within the confines of the vehicle”. He therefore contacted D.C. Meredith, who had sought the assistance of the OPP in arresting Mr. Bakal. During their conversation, D.C. Meredith advised Cst. Snider that “the firearm was believed to potentially have been related to the domestic assault, information from the victim”. However, in his testimony Cst. Snider confirmed that he was not told that the handgun had been used in the commission of the offence, or that it had been present during the assault. [104] Simply put, Cst. Snider was aware that D.C. Meredith believed, based on unspecified information from the complainant, that the handgun was potentially related to the assault. But even after speaking personally to D.C. Meredith, Cst. Snider had no specific information supporting the reasonableness of that belief. [105] Armed with knowledge that D.C. Meredith was of the view that the handgun was potentially related to the assault, Cst. Snider proceeded to search for the handgun. He conducted a more intrusive search of the motor vehicle, including by forcefully opening the two hidden compartments that had been discovered. [2] The handgun that Cst. Snider was searching for was found along with another handgun in the second compartment that had been forcibly opened. (2) D.C. Meredith’s Grounds [106] Although Cst. Snider personally lacked objective information linking the handgun to the assault, he was entitled to rely on D.C. Meredith’s grounds in searching for the handgun, but only if D.C. Meredith had the requisite grounds. However, there is no evidence that D.C. Meredith had an objective basis for believing that the handgun was evidence of the assault. To be sure, D.C. Meredith did testify that he believed that the handgun had been used during the domestic assault, but that conclusory statement, even if credited, affirms only his subjective belief, not the objective foundation for that belief. An examination of D.C. Meredith’s evidence shows that he lacked a reasonable or objective basis for his subjective belief that the handgun was potentially related to the domestic assault. [107] Specifically, D.C. Meredith testified that he had received information “over the air” that the complainant was assaulted by Mr. Bakal and that he “banged her head against the wall, punched her in the face and choked her”. He provided no evidence about having been told that a handgun was used in the assault or was present when the assault occurred. [108] D.C. Meredith also testified that he had received information over the air that Mr. Bakal was seen walking away from the complainant’s apartment, and that he was in possession of two suitcases and a handgun and a quantity of cocaine. This information provided D.C. Meredith with a sound basis for concluding that Mr. Bakal had a handgun with him when he left the apartment, but no basis for reasonably inferring that the handgun was linked to the assault. [109] Based on his testimony, this is the total of what D.C. Meredith knew. He testified explicitly that he did not believe he received any further information from Cst. Cicchirillo. He also said that when he attended at the scene he was not following through with the details of the assault. When asked if he inquired whether the handgun had been used in the commission of the assault he said, “no”, and he gave the same answer when asked if he had inquired into whether Mr. Bakal had possession of the handgun during the assault. When pressed again on whether he asked Cst. Cicchirillo, “look, did this firearm have anything to do with the assault?”, D.C. Meredith replied, “I don’t recall if I did, no.” He also agreed with the suggestion that he did not know even when testifying whether the handgun was related to the assault. [110] Simply put, at no point did D.C. Meredith testify to having any knowledge relating to any role that the handgun played in the assault. [111] In my view, Cst. Cicchirillo’s testimony that he told D.C. Meredith that there was “the possibility of a handgun in play” cannot be relied upon to conclude that D.C. Meredith had a reasonable basis for inferring that the handgun was linked to the assault. Cst. Cicchirillo’s reference to a handgun “in play” is simply too obscure to have reasonably enabled D.C. Meredith to infer that the handgun was linked to the assault. [112] Indeed, when Cst. Cicchirillo’s evidence about telling D.C. Meredith that there was a handgun “in play” is read in context it becomes clear that Cst. Cicchirillo was testifying that he told D.C. Meredith that there was a handgun “in play” in the community, not that the handgun had been “in play” in the assault. I say this for three reasons. [113] First, when the entire answer Cst. Cicchirillo gave relating to the handgun being “in play” is considered, it is apparent that he was telling D.C. Meredith that the handgun was in play in the community. Specifically, he said: We were discussing what was – what was – we were discussing the possibility of a handgun in play and someone – I mean, [the] possibility of someone having a handgun in public basically is a concern (Emphasis added.) [114] Second, when asked during cross-examination whether he told D.C. Meredith anything “beyond the fact that [Mr. Bakal] had [a handgun] at some point and that it was black”, Cst. Cicchirillo testified, “that’s it. I just told him he had a gun, she says he had a gun”. Cst. Cicchirillo’s answer is consistent with his having told D.C. Meredith that the handgun was in play in the community and is inconsistent with the suggestion that he told D.C. Meredith that it was in play during the assault. [115] Third, when asked specifically if he told D.C. Meredith what the complainant said about the gun being located on the table while the assault was underway, Cst. Cicchirillo answered, “no”. Once again, this answer is consistent with his having told D.C. Meredith that the handgun was in play in the community, but it is not consistent with the suggestion that he told D.C. Meredith the handgun was in play during the assault. [116] I am therefore persuaded that on the evidence presented during the Charter voir dire , the Crown failed to establish that D.C. Meredith had the objective basis required to support a search for the handgun incident to arrest. (3) Conclusion on the Objective Grounds [117] In my view, the Crown failed to establish that either the searching officer, Cst. Snider, or the directing officer, D.C. Meredith, had an objectively reasonable basis linking the handgun to the assault. [118] With respect, I cannot accept my colleague’s view that it can be inferred that the officers exchanged the objective foundation for the search but had foggy memories about having done so. The Crown bore the burden of establishing the reasonableness of this warrantless search. It is inconsistent with the Crown’s burden to infer that forgotten evidence would have supported the Crown’s position. The absence of evidence of the objective basis for a warrantless search, whether attributable to forgotten memories or not, is a basis for allowing the Charter challenge, not for defeating it. [119] Indeed, as I have described, the inference that the officers must have exchanged the objective information that Cst. Cicchirillo possessed is inconsistent with the affirmative evidence. [120] It was therefore unlawful for Cst. Snider to open the hidden compartments to search for the handgun incident to Mr. Bakal’s arrest for assault. D. the trial judge’s decision [121] The trial judge nonetheless upheld the search for the handgun as a lawful search incident to arrest. I see ambiguity in his reasons. The trial judge said that “[Cst.] Snider was entitled to rely on the information that he received from [D.C.] Meredith as to the circumstances of the assault, and that those formed the grounds for his belief and the grounds to search the vehicle incident to arrest”. This passage suggests that the trial judge relied upon D.C. Meredith’s grounds to support Cst. Snider’s search. But after addressing credibility problems with D.C. Meredith’s evidence, the trial judge appears to have upheld the search for the handgun not based on Cst. Snider’s reliance on D.C. Meredith’s grounds, but because Cst. Snider was searching for “other offence-related evidence” when he found the handgun. Specifically, the trial judge said: Notwithstanding my concern about [D.C.] Meredith’s evidence, I do accept that [Cst.] Snider had grounds incident to arrest to search the vehicle. It is true that [Cst.] Snider did rely in part on [D.C.] Meredith’s information to form his belief that the firearm was involved in the assault. However, [Cst.] Snider also testified that he was searching the vehicle for other offence-related evidence and not exclusively for the firearm. In my view, he was entitled to do that. There was a connection, subjectively and objectively. [122] Neither line of reasoning withstands scrutiny. If the trial judge upheld the search based on Cst. Snider’s reliance on D.C. Meredith’s grounds, he erred in failing to consider whether D.C. Meredith had an objective basis for his belief that the handgun was linked to the assault. As I have explained, no such grounds existed. [123] Alternatively, if the trial judge concluded that Cst. Snider had the requisite grounds because he was conducting a search for other offence-related evidence when he found the handgun, this too would have been in error. For a search incident to arrest to be valid there must be a “link between the location and purpose of the search and the grounds for arrest”: R. v. Nolet , 2010 SCC 24, [2010] 1 S.C.R. 851, at para. 49 quoted in Fearon , at para. 25 (emphasis added). Therefore, police may only search a place for evidence incidental to an arrest if they reasonably believe that they will find such evidence in the place searched: Fearon , at para. 21; R. v. Rutten , 2006 SKCA 17, 279 Sask. R. 201, at para. 30. As indicated, the handguns were found in a hidden compartment in the motor vehicle. Although there was a reasonable basis for believing that cocaine or handguns could be found in the hidden compartments that were forcibly opened, recall that Cst. Snider purported to justify his search as a search for evidence incidental to the assault for which Mr. Bakal was arrested. There was no reasonable basis for believing that evidence linked to the assault, such as the female clothing Cst. Snider referred to, would have been secreted inside a hidden compartment. In my view, the seizure of the handguns cannot be upheld based on the theory that Cst. Snider was searching for offence-related property when he found them, and the trial judge erred in finding to the contrary. E. section 24(2) [124] Although the search for the handgun was contrary to s.8 of the Charter , I would not remedy that breach by excluding the evidence. The balancing of the three factors identified in R. v. Grant , 2009 SCC 32, [2009] 2 S.C.R. 353 requires that the evidence, including the handguns and the cocaine, be admitted into evidence in Mr. Bakal’s prosecution. (1) The Seriousness of the Violation [125] The first Grant factor concerns the seriousness of the Charter -infringing state conduct, a determination that is heavily influenced by the state of mind of police officers relating to the Charter breach. The strongest pro-exclusionary factor is the trial judge’s finding that D.C. Meredith gave “disingenuous, if not downright deceitful” testimony during the Charter voir dire . This reprehensible behaviour strikes at “the integrity of the judicial system and the truth-seeking function of the courts” which “lie at the heart of the admissibility inquiry envisaged under s. 24(2) of the Charter ” and this significantly aggravates the seriousness of the Charter breach: R. v. Harrison , 2009 SCC 34, [2009] 2 S.C.R. 494, at paras. 26-27; R. v. Pino , 2016 ONCA 389, 130 O.R. (3d) 561, at paras. 102-103. However, whether dishonest testimony during a Charter voir dire will lead to exclusion depends on all the circumstances: R. v. Lai , 2019 ONCA 420, 438 C.R.R. (2d) 1, at paras. 36-37. In this case, three factors mitigate the need for the court to dissociate itself from such behaviour by excluding the evidence. [126] First, the false testimony was not about the search for the handguns, the legal issue now under consideration. Specifically, the trial judge found that D.C. Meredith “was not forthright in his testimony related to whether he had knowledge that Mustafe Bakal left the condominium in Toronto with cocaine”. Although D.C. Meredith was found to have misled the court on this issue because he believed it had some relevance to the Charter application, that lie did not relate to the issues now under consideration. [127] Second, and more importantly, Cst. Snider, who conducted the search, clearly did so in good faith, which reduces the taint of D.C. Meredith’s behaviour: R. v. James , 2016 ONSC 4086, at paras. 47, 49. [128] Third, there were legal avenues available that would have permitted the officers to search for the handgun, had those legal avenues been used. As my colleague intimates, a search incident to arrest for the firearms may have been justifiable for officer safety or on the same exigent circumstances that permitted the motor vehicle to be tracked to the location where the initial search occurred. Indeed, there is authority suggesting that a search incidental to arrest may be conducted for evidence “which may … assist [the police] in their determination as to whether the arrested person should be held”: R. v. Lim , [1990] 1 C.R.R. (2d) 136, at para. 31, per Doherty J., as he then was, aff’d (1993), 12 O.R. (3d) 538. In this case, possession of a firearm in a car while leaving the scene of a domestic assault would certainly have informed that decision. [129] I am not suggesting that the availability of Charter -compliant means to secure unconstitutionally obtained evidence will always mitigate the seriousness of the breach. Rather, if police knowingly use illegal means to search in order to forgo legal avenues, the breach will be undertaken in bad faith and this will aggravate the seriousness of the breach: R. v. Buhay , 2003 SCC 30, [2003] 1 S.C.R. 631, at para. 63; R. v. Feeney , [1997] 2 S.C.R. 13, at para. 76; R. v. Côté , 2011 SCC 46, [2011] 3 S.C.R. 215, at para. 82. Where, however, the failure to pursue Charter -compliant means to secure unconstitutionally obtained evidence arises from the non-negligent failure of the police to know the law, the availability of those means can mitigate the seriousness of the breach: R. v. Kitaitchik (2002), 166 C.C.C. (3d) 14 (Ont. C.A.), at paras. 43-44. [130] Although the breach remains serious because of D.C. Meredith’s “disingenuous, if not downright deceitful” testimony and his failure to take the modest investigative steps necessary to ensure that there were proper grounds to encourage a search for the handgun, this is the only Grant factor that offers any support for exclusion. (2) The Impact of the Breach [131] The second Grant factor, the impact of the breach on Mr. Bakal, does not offer any such support. Mr. Bakal did not have a reasonable expectation of privacy in the place that was searched, namely, the motor vehicle. Although that search was aggressive, causing damage to the motor vehicle, it was not Mr. Bakal’s motor vehicle that was impacted. The impugned search did not touch upon Mr. Bakal’s person or property, other than to rid him of possession of a handgun he could not legally possess. (3) Society’s Interest [132] The third Grant factor focuses on society’s interest in the adjudication of the case on its merits. This factor works decidedly in favour of inclusion. The charges are serious, the evidence is reliable, and its exclusion will entirely gut the Crown’s case. F. conclusion [133] In the circumstances, I am persuaded that the admission of the unconstitutionally obtained evidence would not bring the administration of justice into disrepute. It would therefore be improper to exclude it. [134] Accordingly, I would reject this ground of appeal. Released:   “August 30, 2021 JMF” “David M. Paciocco J.A.” [1] Notably, s. 487.11 of the Criminal Code allows for warrantless tracking in exigent circumstances: see, Kelsy , at para. 27; R. v. Chuhaniuk , 2010 BCCA 403, 261 C.C.C. (3d) 486, at para. 68. The difficulty is that s. 487.11 has not kept stride with the amendments to s. 492.1, meaning that it does not make reference to what is now s. 492.1(2), the provision that allows for the tracking of an individual’s movements. Section 487.11 reads: “A peace officer … may … exercise any of the powers described in … s. 492.1(1) without a warrant if the conditions for obtaining a warrant exist but by reason of exigent circumstances it would be impracticable to obtain a warrant” (emphasis added). The respondent does not rely upon s. 487.11 as providing a statutory basis for the exercise of exigent circumstances in this case, presumably because it does not make reference to s. 492.1(2). [2] Although a telewarrant was secured after cocaine was found in the first hidden compartment that had been forced open, the trial judge upheld the search for the handgun based on the search incident to arrest.
COURT OF APPEAL FOR ONTARIO CITATION: Heliotrope Investment Corporation v. 1324789 Ontario Inc., 2021 ONCA 589 DATE: 20210831 DOCKET: C68121, C68122 & C68123 Feldman, Lauwers and Trotter JJ.A. DOCKET: C68121 BETWEEN Heliotrope Investment Corporation Plaintiff (Respondent) and 1324789 Ontario Inc., Martha Lorraine Beach, Johnathan Gary Beach and 1073650 Ontario Inc. Defendants (Appellants) and 1324789 Ontario Inc., Martha Lorraine Beach, Johnathan Gary Beach and 1073650 Ontario Inc. Plaintiffs by Counterclaim (Appellants) and Canadian Western Trust Company (In Trust for RRSP Plan Number #10084752 and Plan #10084190), Heliotrope Investment Corporation, Magenta Capital Corporation and Magenta Mortgage Investment Corporation Defendants by Counterclaim (Respondents) DOCKET: C68122 AND BETWEEN Canadian Western Trust Company (In Trust for RRSP Plan Number #10084752 and Plan #10084190) Plaintiff (Respondent) and 1324789 Ontario Inc., Martha Lorraine Beach, Johnathan Gary Beach and 1073650 Ontario Inc. Defendants (Appellants) and 1324789 Ontario Inc., Martha Lorraine Beach, Johnathan Gary Beach and 1073650 Ontario Inc. Plaintiffs by Counterclaim (Appellants) and Canadian Western Trust Company (In Trust for RRSP Plan #10084752 and Plan #10084190), Heliotrope Investment Corporation, Magenta Capital Corporation and Magenta Mortgage Investment Corporation Defendants by Counterclaim (Respondents) DOCKET: C68123 AND BETWEEN Canadian Western Trust Company (Incorporation No. A46845), In Trust for RRSP Plan Number #10084189 and Plan #10084190 Plaintiff (Respondent) and 1324789 Ontario Inc., 1073650 Ontario Inc., Johnathan Gary Beach and Martha Lorraine Beach Defendants (Appellants) Bruce Marks, for the appellants Charles L. Merovitz, Denise Sayer and Eric Lay, for the respondents Heard: February 18, 2021 by video conference On appeal from the judgment of Justice Patrick Hurley of the Superior Court of Justice, dated February 5, 2020, with reasons reported at 2020 ONSC 810. Lauwers J.A.: I. Introduction [1] The appellants are Johnathan Gary Beach, Martha Lorraine Beach, and companies under Mr. Beach’s control, collectively, “the Beach parties”. The respondents are companies under the control of Gavin Marshall, collectively, “the Magenta parties”. The appellants and the respondents were involved in real estate developments. In the course of their collaboration, the Magenta parties loaned money to the Beach parties, secured by mortgages on properties owned by the Beach parties. The relationship deteriorated, and in the litigation that followed, the Magenta parties sought to enforce the mortgages by way of motions for summary judgment in three different mortgage enforcement actions. Those motions were heard together by the motion judge, who granted summary judgment in all three actions in a single set of reasons. He refused to stay the enforcement of those judgments under r. 20.08 of the Rules of Civil Procedure , R.R.O. 1990, Reg. 194, pending the resolution of the Beach parties’ claims against the Magenta parties. [2] Although the appellants raise many issues, they can be distilled into two: 1. Did the motion judge err in granting the summary judgments? 2. Did the motion judge err in declining to stay the enforcement of the summary judgments? [3] I address these issues after setting out the facts and the motion judge’s decision. For the reasons that follow, I would dismiss the appeals. II. Facts (1) The Parties’ Relationship [4] Mr. Beach first approached Mr. Marshall in 2013 for a loan. He had been developing two waterfront properties on Loughborough Lake, north of Kingston, with another individual whom he wished to buy out. Mr. Marshall first loaned money to Mr. Beach secured by a number of mortgages and later invested in the venture. They entered into two “Joint Venture Agreements” (“the JVAs”) in February and July 2014, and collaborated on four residential land development projects, specifically Applewood Lane and Johnson Point, both on Loughborough Lake, Pine Point, and Cranberry Cove. However, one project, Cranberry Cove, was not included in either JVA, though Mr. Beach claims that the parties had intended the same arrangement to apply to it. [5] Under the JVAs, Mr. Marshall was primarily responsible for financing the projects, and Mr. Beach was the project manager. Each JVA provided for each party’s “Proportionate Share” of that JVA, and both contemplated that each party would contribute to development costs according to their proportionate share. [6] The Beach parties borrowed money from the Magenta parties in order to make their financial contributions to the projects. The loans were secured by various mortgages on properties owned by the Beach parties, including some unrelated to the projects. The mortgages listed below secured the loans. The 2013 mortgages preceded the JVAs. (2) The Mortgages [7] In April 2013, Mr. Marshall and his spouse loaned funds through RRSPs they held with Canadian Western to the Beach parties, secured by two mortgages, collateral to one another. The advances were made on April 4, 2013 for $801,443, and on October 17, 2014 for $8,847. The Beaches used the funds to discharge the mortgages on their principal residence and to repay other debts. The maturity date was April 3, 2014. The amount due and owing under these mortgages, as of September 4, 2019, was $780,853.74. [8] In December 2013, Heliotrope, a company owned by Mr. Marshall, loaned funds to the Beach parties, secured by a mortgage. The advance was made on December 31 for $300,000. The funds were used to pay down an existing mortgage on one of the development properties. The maturity date was January 20, 2014, which was extended to October 31, 2015. The amount due and owing, as of September 4, 2019, was $488,359.80. [9] In February 2014, through Canadian Western, the Magenta parties loaned funds to the Beach parties secured by two mortgages. The advances were made on February 14, 2014 for $1,087,616, and on October 17, 2014 for $240,779. The funds were used to discharge two previous mortgages on the development properties, totaling $1 million. The balance of funds went to the Beaches’ personal debts, to some joint venture expenses, and a previous mortgage on a development property. The amount due as of July 9, 2019 was $2,171,265.71. (3) The Litigation [10] After cost overruns and delays on the projects, the relationship between Mr. Beach and Mr. Marshall soured and a flurry of litigation commenced. [1] Mr. Beach was the first to threaten litigation [2] but the Magenta parties sued first on May 11, 2018, for the enforcement of promissory notes totaling over $1.1 million (“the Promissory Notes action”). On May 22, 2018, the Beach parties sued the Magenta parties, pleading breach of contract, breach of fiduciary duties, bad faith, and constructive trust claims over Cranberry Cove (“the JVA action”). [11] Between June 22, 2018 and July 4, 2019, the Magenta parties started five mortgage enforcement actions, including the three decided in the summary judgment motions under appeal. [12] On September 25, 2020, Mr. Beach sued the Magenta parties claiming wrongful termination and breach of human rights, as well as breach of contract and breach of fiduciary duties (“the Wrongful Termination action”). Counterclaims have been made in many of these actions, as described in more detail below. The parties have also issued crossclaims in other actions: in an action started by the Magenta parties against Above All Builders, the homebuilder engaged in building homes on some of the lots on the JVA properties; and in an action brought by the prospective buyers of a home on one of the JVA properties, where the buyers sued Above All Builders, 1324789 Ontario Inc. (“132 Ontario”), and the Magenta parties for the return of deposits after the home was not completed by the outside occupancy date. [13] Many interlocutory motions have been argued in the litigation, including for the appointment of a receiver-manager, certificates of pending litigation, contempt orders, and injunctions. Decisions and costs orders have been issued on many of these motions. Most, but not all, were decided by the motion judge, who has been case managing this morass of litigation. III. The Motion Judge’s Decision [14] The Beach parties did not dispute that the Magenta parties had advanced the monies secured by the mortgages or that the mortgages were in default. The motion judge found the three mortgages to be enforceable and granted summary judgment. [15] The Beach parties made four arguments before the motion judge. First, they defended on the basis of an alleged forbearance agreement, relying on emails from Mr. Marshall in which he suspended the obligation to make payments and advised the Beach parties that he would forbear enforcement in anticipation of the sale of lots. However, the motion judge pointed out that the legal effect of these emails was considered by Ryan Bell J. in Canadian Western Trust Company v. 1324789 Ontario Inc. , 2019 ONSC 4789, at paras. 26-27, who found that the emails did not satisfy the requirements of the Statute of Frauds , R.S.O. 1990, c. S.19, and as a result, the alleged forbearance agreement was unenforceable. Her decision was not appealed, and the motion judge agreed with her conclusion. The motion judge quoted Archibald J., who said in SK Properties & Development Inc. v. The Equitable Trust Co , [2003] O.J. No. 2234 (S.C.), at para. 18: [T]he principle of equitable estoppel cannot be invoked in these circumstances to modify the principle that a variation of a mortgage must be in writing. In my view, the public policy behind that principle is obvious. Parties must be able to conduct their business on an orderly basis. Mortgage agreements such as the one before the court must be reduced to writing so that there can be clarity and certainty in business negotiations. Any extensions or renewals must also be in writing for that sound policy reason. [16] The motion judge found that there had been no part performance of the alleged verbal forbearance agreement. Mr. Beach’s actions in becoming project manager, doing extra work, and incurring debt, did not fall within the doctrine of part performance, and he could show no relevant detrimental reliance. [17] The Beach parties’ second argument was that the Magenta parties had wrongly allocated revenue from the sale of lots to pay down the Beach parties’ other debts rather than the debts secured by the three mortgages. The motion judge found that the parties had agreed in the JVAs that debt incurred in relation to the projects would be repaid before revenue from the sale of the lots would be shared between them. Further, he found that Mr. Marshall was entitled to use proceeds from lot sales to pay down other loans instead of those at issue on the summary judgment motions, and to apply those proceeds in priority to unsecured loans made to the Beach parties. [18] The Beach parties’ third argument was that summary judgment on the mortgages would constitute impermissible partial summary judgment in the overall context of the lawsuits among the parties. The motion judge found that while these mortgage actions are related to the lawsuits brought by the Beach parties, the legal issues are distinct. In his view, granting judgment would advance the litigation as a whole. There was no risk of inconsistent findings of fact, and no risk of substantive injustice because the Beach parties would not be prevented from pursuing their claims for damages. [19] The Beach parties’ fourth argument was that enforcement of the judgments should be stayed under r. 20.08 of the Rules of Civil Procedure pending the determination of other litigation between the parties. The motion judge declined to stay the enforcement of the summary judgments, finding little merit in the Beach parties’ claims, insufficient evidence of prejudice to the Beach parties in the enforcement of the summary judgments, and prejudice to the Magenta parties if a stay were to be granted. IV. Fresh Evidence [20] Before turning to the issues, I address the Beach parties’ fresh evidence motion. The test for admitting fresh evidence is well established. The party seeking to introduce it must show that the proposed evidence is credible, could not have been obtained by reasonable diligence before trial or application, and if admitted, would likely be conclusive of an issue in the appeal. The admission of the fresh evidence must be in the interests of justice: St. Amand v. Tisi , 2018 ONCA 106, 89 R.P.R. (5th) 1, at para. 8. [21] The Beach parties wish to introduce: · Final appraisal reports on the sale prices of properties sold by the Magenta parties under the power of sale since the motion judge decided the enforcement motion, to demonstrate that the Magenta parties sold these properties at below-market values; · A “Recommended Report” to Frontenac Council, prepared by Joe Gallivan, Director, Planning & Economic Development, in which he recommended extending the approval for one of the JVA projects for six months, to demonstrate that the Magenta parties were motivated to delay the project to accrue further interest on the mortgages; · A September 2019 affidavit of Mr. Beach, with exhibits, and a May 2017 email authored by Mr. Marshall, to demonstrate that Mr. Marshall breached the principle of good faith and the duty of honest performance in relation to Cranberry Cove. [22] The Cranberry Cove documents were available to the Beach parties when the motion judge heard the summary judgment motions and are not properly fresh evidence. The other fresh evidence purportedly strengthens the claims of the Beach parties in the counterclaims and the other actions, but is of marginal relevance on this appeal. The final appraisals are arguably indicative of reduced prejudice to the Magenta parties if a stay were granted under r. 20.08, because the property values are higher. However, with reasonable diligence, the appraisals could have been obtained before the motions were heard. [23] I would therefore not admit the fresh evidence on appeal. V. Analysis [24] As noted, there are two primary issues on appeal: did the motion judge err in granting the summary judgments and in refusing to stay the judgments. The Beach parties raised only the second issue in their initial appeals, asserting that the motion judge applied the wrong test in refusing to grant a stay of enforcement under r. 20.08. The Beach parties moved successfully for leave to appeal the entire judgment and amended their notices of appeal to raise more issues. [25] The Beach parties add the claim that the motion judge erred in allowing Mr. Marshall to allocate sale proceeds contrary to the JVAs. However, the Magenta parties point to clear evidence that the Beach parties did not object to these allocations at the time they were made. The motion judge did not find any misallocation, but found that Mr. Marshall was entitled to allocate the funds as he did under the JVAs. The Beach parties do not challenge this finding or the motion judge’s interpretation of the JVAs by which he reached it. [26] The Beach parties argue that the claims they advance in their counterclaims, in the JVA action and in the Wrongful Termination action (which was started after the date of the judgments under appeal), warrant reversal of the summary judgments. They assert that the motion judge failed: to apply doctrines of good faith, fiduciary duty, and unconscionability, to determine whether the JVAs created a fiduciary duty, to review the evidence of Mr. Marshall’s bad faith conduct, to consider whether the bad faith terminations provide grounds to reverse the summary judgments, and to determine whether the JVAs are unconscionable. [27] With respect, these are not properly constituted issues on this appeal. The motion judge considered whether the Beach parties’ counterclaims could render the mortgages unenforceable and found they could not. That finding is not directly challenged. [28] I now turn to the two issues. VI. Issue One: DID THE MOTION JUDGE ERR IN GRANTING The SUMMARY JUDGMENTs? [29] The Beach parties argued below that summary judgment should be denied because it would, in effect, constitute partial summary judgment in the context of all the litigation in which the parties are involved. [3] On appeal, the Beach parties assert that their counterclaims make summary judgment inappropriate. (1) Standard of Review [30] The standard of review for a decision to grant summary judgment is deferential, except if there are extricable errors: Baywood Homes Partnership v. Haditaghi , 2014 ONCA 450, 120 O.R. (3d) 438, at para. 30; Service Mold + Aerospace Inc. v. Khalaf , 2019 ONCA 369, 146 O.R. (3d) 135, at paras. 14-15. (2) Partial Summary Judgment [31] The motion judge summarized the Beach parties’ arguments that granting the motion “would, in effect, constitute partial summary judgment” and that “these three motions would be akin to partial summary judgment because the issues are significantly intertwined with those raised in the lawsuit commenced by 132 Ontario”. [4] The motion judge did not expressly agree with the Beach parties that these were effectively motions for partial summary judgment but he addressed their argument. [32] Summary judgment might not be in the interest of justice where there is a “risk of duplicative proceedings or inconsistent findings of fact”: Hryniak v. Mauldin , 2014 SCC 7, [2014] 1 S.C.R. 87, at para. 60. See also Baywood Homes , at para. 34; Canadian Imperial Bank of Commerce v. Deloitte & Touche , 2016 ONCA 922, 133 O.R. (3d) 561, at paras. 36-38, leave to appeal requested but appeal discontinued, [2017] S.C.C.A. No. 58; Butera v. Chown, Cairns LLP , 2017 ONCA 783, 137 O.R. (3d) 561, at para. 25; and Service Mold , at paras. 14, 17-18. However, in some cases, “the resolution of an important claim against a key party could significantly advance access to justice, and be the most proportionate, timely and cost-effective approach”: Hryniak , at para. 60. [33] The motion judge was alive to these requirements, citing the following passage from para. 34 of Butera : A motion for partial summary judgment should be considered to be a rare procedure that is reserved for an issue or issues that may be readily bifurcated from those in the main action and that may be dealt with expeditiously and in a cost effective manner. Such an approach is consistent with the objectives described by the Supreme Court in Hryniak and with the direction that the Rules be liberally construed to secure the just, most expeditious, and least expensive determination of every civil proceeding on its merits. [34] The motion judge’s analysis of the appropriateness of summary judgment in this case was brief. He stated, at para. 54: Although the debt enforcement actions are connected to the lawsuit because they involve the same parties and relate to loans made to the Beaches, the legal issues are distinct. There is no serious dispute that the mortgages and promissory notes are valid, that the money was loaned and the defendants have defaulted in payment of all the loans. They are claims that can be easily determined. The litigation as a whole will be advanced by dealing with them separately as the factual and legal issues can be summarily determined without the need to make any credibility findings. There is no risk of inconsistent findings of fact. There would also be no substantive injustice because 132 Ontario can still pursue its claim for damages based on Mr. Marshall’s alleged wrongful conduct. [35] The motion judge clearly adverted to – and found absent – the reasons why partial summary judgment would not be advisable. His reasons should be read in the context of the litigation between these parties as a whole, including his own decisions on related motions. His decision not to consolidate the two other Magenta debt enforcement actions with the JVA action is particularly helpful in this regard. [5] There (i.e., in Heliotrope v. 1324789 Ontario Inc. , 2020 ONSC 808), the motion judge stated, at para. 15: If the pleadings were the sole consideration, I would agree that there appear to be common factual and legal issues which would tend to support a consolidation order. But this motion comes more than 18 months after the litigation was commenced and the evidentiary record demonstrates that the most expeditious and inexpensive determination of the disputes between the parties is to order that the debt enforcement actions proceed separately from the action commenced by 132 Ontario. I am also satisfied that there is no risk of inconsistent judicial findings in doing so. [36] He continued, at para. 18: If 132 Ontario is successful in its action, it would be entitled to an award of damages. None of the claims made by it would have to be re-litigated in the debt enforcement actions. The counterclaims in each of those actions, because they duplicate the ones made in 132 Ontario’s lawsuit, would not have to be tried. Rather, the trial in 132 Ontario’s action would proceed first and the result of that trial would dictate the outcome for each of the counterclaims. [37] Although there appeared to be common factual and legal issues between the Beach parties’ counterclaims in the Magenta debt enforcement actions and their own claims in the JVA action that would ordinarily favour consolidation, the motion judge found no risk of inconsistent findings of fact if he refused the Beach parties’ motion. That conclusion was supported by his careful consideration of whether the Beach parties’ claims could undermine either the enforceability of the mortgages or the amounts owing. The Beach parties received the money advanced under the mortgages and are in default. [38] The motion judge was deeply familiar with the lawsuits, the issues, the facts, and the parties, and has made several rulings in the litigation. He was clearly of the opinion that the most efficient route to resolving the disputes between the parties would be for the substantive counterclaims in the mortgage enforcement actions to be heard in the trial of the JVA action. He found that ordering summary judgment would not duplicate proceedings or judicial efforts, and would mitigate rather than cause delay. As the motion judge noted in his 2020 ONSC 808 decision, at para. 8, apart from the three motions on which he granted summary judgment, “the litigation remains at the pleadings stage.” In these circumstances, the orders for summary judgment advanced the Hryniak objectives of proportionality, efficiency, and cost-effectiveness. [39] I would defer to the motion judge’s assessment in light of his grasp of the state of play in the obscuring blizzard of litigation and dismiss the Beach parties’ appeal of the summary judgments. VII. Issue Two: DID THE MOTION JUDGE ERR IN DECLINING TO GRANT A STAY OF EXECUTION? [40] The Beach parties argue that the motion judge should have stayed the summary judgments under r. 20.08 of the Rules of Civil Procedure pending the determination of other issues in the parties’ litigation. Rule 20.08 provides: Where it appears that the enforcement of a summary judgment ought to be stayed pending the determination of any other issue in the action or a counterclaim, crossclaim or third party claim, the court may so order on such terms as are just. [41] The Beach parties argue that the motion judge erred by applying the wrong standard. They submit that a stay should be granted under r. 20.08 unless the counterclaim is without merit. As Epstein J.A. stated in Hinke v. Thermal Energy International Inc. , 2012 ONCA 635, at para. 29: The law is clear that a stay should be granted unless the counterclaim is without merit: Freedom International Brokerage Company v. Anastakis (2006) , 21 B.L.R. (4th) 246 (Ont. S.C.). It is significant that Hinke did not, in the relief sought in his motion for summary judgment, seek dismissal of the counterclaim. By inference, Hinke must consider the counterclaim as having sufficient merit so as to raise a genuine issue requiring a trial. Hinke reflects a line of jurisprudence spanning several versions of the rules governing civil procedure in Ontario. [42] However, the motion judge relied on the approach to r. 20.08 described in Zucchetti Rubinetteria S.P.A. v. Natphil Inc. , 2011 ONSC 2275, at para. 15, per Perell J., aff’d 2011 ONCA 726: The jurisdiction to grant a stay is discretionary and depends on the facts of the case. In exercising its discretion, the court will consider such factors as: (a) whether the plaintiff resides out of the jurisdiction or is impecunious and potentially unable to satisfy a judgment on the defendant's counterclaim; (b) whether factually the claim and the counterclaim are closely connected; (c) whether the counterclaim appears to be meritorious; (d) whether the counterclaim was tardy or appears to be an afterthought to the plaintiff’s claim; and (e) whether the counterclaim appears to have been brought for delay or for tactical reasons. [Citations omitted.] [43] The motion judge’s discretionary, multi-factorial approach to r. 20.08 is also well-supported by the jurisprudence. [6] (1) The Governing Principles Concerning Stays Under r. 20.08 [44] Two distinct and somewhat inconsistent approaches to r. 20.08 have emerged. The first might be called the merits test, which arose in the jurisprudence under the old Rules of Practice . The second is the multi-factorial test, which has emerged since 1985 under the Rules of Civil Procedure . I explain the origin of each test and then consider how they should be reconciled. (a) The Merits Test [45] The merits test is reflected in Hurwitz v. Baz , [1955] O.J. No. 352 (C.A.), an oral endorsement of this court under the old Rules of Practice . The court said: Rule 56, which has been called to our attention, provides a counter claim shall be deemed to be a defence within the meaning of the rule. The affidavit of merits does set up a counter claim and there is nothing in the record to show that that counter claim is without [merit]. We are, therefore, of the opinion that the learned Judge erred in directing judgment to be entered for the plaintiff in these circumstances without staying proceedings on the claim of the plaintiff until the counter claim was disposed of. [7] [46] To explain the terminology at play, I note that the old Rules of Practice allowed the plaintiff to issue a specially endorsed writ of summons where the claim was “to recover a debt or liquidated demand in money” arising in certain prescribed circumstances, such as recovery on a cheque, promissory note, or bill of exchange, or recovery on a mortgage. [8] To defend against a specially endorsed writ, the defendant was required to serve and file an affidavit of merits setting out a defence to the action within 15 days. [9] If the defendant did not do so, the plaintiff was entitled to sign default judgment and proceed to execution. Under r. 42(4), a counterclaim was deemed to be a defence to a specially endorsed writ. The plaintiff could cross-examine the defendant on the affidavit of merits, and either move for judgment or convert the action into one destined for trial. [10] [47] Rule 118 of the Rules of Practice applied where the defendant had a counterclaim. It provided: “Where a defendant does not dispute the plaintiff’s claim but sets up a counter-claim, the court may stay proceedings respecting the claim until the counterclaim is disposed of.” This court invoked r. 118 in General Printers Ltd. v. Algonquin Publishing Co. , [1970] O.J. No. 1534 (C.A.), and found, at para. 5, the appropriate question to be whether the counterclaim could “give rise to a triable issue” or whether “the defendants would necessarily fail to gain success”. [11] [48] As can be seen by this court’s decision in Hinke in 2012, the merits test survived the adoption of the Rules of Civil Procedure in 1985. [12] [49] The gist of the jurisprudence on the merits test for a stay can be distilled. First, the court may stay the judgment if the defendant alleges a legal set-off, as Strathy J. (as he was then) noted in Univar Canada Ltd. v. Pax-All Manufacturing Inc., 2008 CanLII 44741 (Ont. S.C.), at para. 12: There are two requirements of legal set-off. First, both obligations – the plaintiff's claim and the defendant's claim for which set-off is asserted – must be debts. Second, the debts must be mutual cross-obligations. A mutual cross-obligation is a debt due from each party to the other for liquidated sums, or money demands which can be ascertained with certainty at the time of pleading: see Telford v. Holt [(1987), 41 D.L.R. (4th) 385] at 393. [50] Second, the court may stay the judgment if the counterclaim constitutes an equitable set-off, as Strathy J. noted in Univar . He set out the elements of equitable set-off, at para. 15, summarizing this court’s test in Algoma Steel Inc. v. Union Gas Ltd. , [2003] O.J. No. 71 (C.A.), at para. 26: 1. The party relying on a set-off must show some equitable ground for being protected against the adversary's demands. 2. The equitable ground must go to the very root of the plaintiff's claim. 3. A cross-claim must be so clearly connected with the demand of the plaintiff that it would be manifestly unjust to allow the plaintiff to enforce payment without taking into consideration the cross-claim. 4. The plaintiff's claim and the cross-claim need not arise out of the same contract. 5. Unliquidated claims are on the same footing as liquidated claims. [51] Third, the court will consider the strengths and weaknesses, or the merits of the counterclaim. As noted in Hinke , a stay will be issued where the counterclaim has some merit. If the counterclaim is without merit or a sham, a stay will not be issued. [52] The underlying purpose of the merits test for a stay is to ensure that the defendant’s claims against the plaintiff are fully determined on their merits before the plaintiff can enforce judgment. (b) The Multi-Factorial Test [53] The multi-factorial test emerged from the policy orientation of the Rules of Civil Procedure . Walter Williston was tasked with proposing a modernization of the Rules of Civil Procedure and released his proposal in June 1980. The terms of reference provided to him included the need to balance “expense… against convenience, efficiency and social purpose” and the “consideration of alternative, more expeditious and less formal adjudicative procedures”. [13] In describing the proposed changes to summary judgment, he described how plaintiffs had seldom been able to obtain judgment on contested specially endorsed writs: “No matter how shadowy or unlikely a defence is disclosed by the Affidavit, the Court has been exceedingly reluctant to allow the plaintiff to obtain judgment without giving the defendant the right to go to trial.” [14] Mr. Williston’s proposal included the current wording of r. 20.08. [15] [54] Morden J.A. was tasked with the revision of the Rules of Civil Procedure after Mr. Williston’s death. He noted that the goal presented in r. 1.04(1), being “the just, most expeditious and least expensive determination of every civil proceeding on its merits,” must be balanced against the competing demands of “the desire to provide a mechanism that will assist in ascertaining the truth, on the one hand and, on the other, the concern not to make litigation too cumbersome or expensive.” [16] Balancing is necessary because “it is not possible to achieve perfection in the solution to all problems.” [17] [55] The discretionary, multi-factorial approach allows for a stay to be refused where its imposition would lead to prejudice, or disproportionate delay or expense to the plaintiff. It seeks to achieve the effective summary judgment procedure sought by Mr. Williston and the balance sought by Morden J.A. (c) A Restated Multi-Factorial Approach to r. 20.08 [56] In 35 years of experience with r. 20.08, judges have developed several factors to be taken into account in considering whether to exercise discretion to grant a stay under r. 20.08. [18] The principle of fundamental fairness is the basis for equitable set-off, which underpins the rule and requires an assessment of the equities between the parties. [19] The multi-factorial test can now be restated. [57] The first factor is the merits of the counterclaim. On balance, the stronger the merits, the more likely the stay. If there is little or no merit to the counterclaim, a stay is not warranted. But if there is some merit, a stay might be warranted because it might be impossible to know before the trial of the counterclaim who will be the net winner and it would be unjust to compel the defendant to pay the judgment in advance. A court is therefore required to undertake a more robust assessment of the merits rather than making a simple finding that the counterclaim is not without merit. [20] Other factors must also be considered and balanced. For example, a legal set-off is a complete defence to the extent of the set-off and might warrant a partial, if not a complete, stay of the plaintiff’s judgment. [21] The analysis of the impact of an equitable set-off is more nuanced, as the next factors show. [58] The second factor is the relationship between the judgment and the counterclaim. On balance, the closer the relationship, the more likely the stay. [22] If the relationship is very close, for example, in the context of the same or a closely connected transaction, then the argument is stronger that it would be unfair or unjust to allow the plaintiff to enforce a judgment before the disposition of the counterclaim. If the parties are the same but the disputes are not factually related, then the fairness argument is weaker. [59] The third factor is the conduct of the defendant, including whether the counterclaim was launched late, or for strategic purposes, or for the purpose of delay. Questionable litigation strategy is part of this factor, including the failure to diligently pursue the counterclaim. [23] [60] The fourth factor is the balance of prejudice to the parties. As examples, a court might need to balance the plaintiff’s need for the funds as against a weak counterclaim, [24] assess whether the defendant is able to pay the judgment now but possibly unable to do so in the future, or consider if the plaintiff is impecunious or resides out of the jurisdiction, which puts in doubt the defendant’s recovery on a counterclaim that has some merit. [25] [61] The fifth factor is whether the terms of a stay can sufficiently mitigate the negative effects on the plaintiff. Rule 20.08 provides that where it appears a judgment ought to be stayed, “the court may do so on such terms as are just.” In describing the phraseology and syntax adopted in drafting the Rules of Civil Procedure , Morden J.A. commented that the phrase, “as are just” or “as is just”, confers the power described in objective rather than subjective terms (as may be expressed by “as are considered just”). [26] As examples, the court could make an order requiring the payment of the judgment into court, [27] requiring the judgment to be paid on a net basis where the judgment exceeds the counterclaim, [28] or requiring the trial of the counterclaim to be expedited where that has a realistic prospect of success. [29] [62] The factors set out above are interrelated but not exhaustive. More than one can apply in any given situation. [63] This restated multi-factorial approach has substantial support in the cases, and, in my view, best achieves both the purposes of r. 20.08 and the summary judgment procedure as well as the goals of the Rules of Civil Procedure more broadly in securing the just, most expeditious and least expensive determination of every civil proceeding on its merits. (2) Application to the Appeals [64] Recall that there are many actions between the Magenta parties and the Beach parties with many counterclaims and crossclaims. These are summarized in the Appendix. The motion judge appears to have been case managing them. [65] The business relationship between the parties is irretrievably broken. This litigation is, in short, a recovery exercise in which it is in the interests of both parties to maximize the values of the properties subject to the JVAs and to sell them, with the proceeds used to pay off the loans. Under the JVAs, this is the responsibility of Mr. Marshall. The motion judge noted, at para. 62: The parties had the good sense to retain lawyers at the outset and negotiate agreements that governed their rights and obligations. There is nothing unfair in holding them to the bargain they made. This is especially the case where, as here, the debtors greatly benefited from the loans when they were made. [66] There is potential unfairness to the Beach parties in enforcing the summary judgments before their counterclaims are determined. In assessing whether they were entitled to a stay, the motion judge used the multi-factorial test and relied on the factors set out by Perell J. in Zucchetti. He did not err in doing so. (a) The Merits of the Counterclaims [67] The merits of the counterclaim is the first factor in the restated test. The motion judge assessed the merits of the counterclaims, at paras. 60-61: The counterclaims in these three actions mirror those made in the lawsuit commenced by 132 Ontario. As I noted at the outset of these reasons, I concluded in my earlier decision that the claims made in that lawsuit were not strong ones. The defendants did not adduce any evidence in these motions that would cause me to change my opinion. Despite the passage of almost two years, the defendants have still not provided any evidence that there was third party financing available at lower interest rates. Nor have they even attempted to do so – for example, by identifying financial institutions or other lenders that might have provided such financing but were not solicited by Mr. Marshall. The lawsuit rests on alleged breaches of fiduciary duty which, as I noted before, is a steep road to climb in this type of commercial dispute and an amorphous bad faith allegation. There is also no evidence that Mr. Marshall engaged in a “fraudulent scheme” aimed at depriving the defendants of their potential profit from the joint venture. Although not labelled as fraudulent, 132 Ontario made, in substance, the same allegation in the statement of claim and the motion for an interlocutory injunction. I made a finding on this issue in my previous decision, stating that it was an unsupportable grievance. There were voluminous affidavits filed in these motions and the other ones I heard in December of last year and also extensive cross-examinations. The defendants did not present any new evidence in the motions that would change my conclusion. [68] The “earlier decision” referred to in para. 60 of the motion judge’s reasons was his decision in 1324789 Ontario Inc. v. Marshall , 2019 ONSC 517, where he dismissed a Beach motion for the appointment of a receiver-manager, or for an interlocutory injunction restraining Mr. Marshall from taking steps to remove Mr. Beach as the manager, or from taking steps to compel the payment of Mr. Beach’s debt. The motion judge addressed the merit of Mr. Beach’s claims in his earlier decision, at paras. 33-37, which he then invoked in para. 60 of the judgments under appeal: The plaintiff’s claim arising from MWDC’s [Magenta Waterfront Development Corporation’s] failure to obtain third party financing at lower interest rates, on the basis of the record before me, is weak. The Joint Venture Agreements required reasonable efforts by MWDC to obtain this funding and it has provided detailed evidence of the efforts made by it. The plaintiff did not submit any countervailing evidence that such funding was available but maintains that this is a “triable issue”. It complains that Mr. Marshall did not offer his personal guarantee in order to secure a loan when he said that he would do so. At its highest, this was a pre-contractual representation which is not likely legally enforceable. The Joint Venture Agreements specifically imposed this obligation on Mr. Beach and his wife, not Mr. Marshall. Finally, when the plaintiff and the Beaches borrowed the money, it was at their request and they signed documents which clearly identified the interest rates. The argument that they had no choice but to borrow the money is without merit. Although it is disputed by MWDC, I am prepared to find, for the purposes of this motion, that the work performed by Mr. Beach as project manager was more extensive than originally contemplated by the parties. However, the Joint Venture Agreements did not impose an obligation on MWDC to increase his remuneration. Therefore, it did not breach the Agreements by declining to do so. The plaintiff will have an uphill battle in establishing that MWDC owed it a fiduciary duty that superseded, or was in addition to, the terms of the Joint Venture Agreements. Even if the plaintiff is able to establish a fiduciary duty, I have difficulty in ascertaining what that fiduciary duty is and how it was breached by MWDC. In the statement of claim, the plaintiff alleges that MWDC’s failure to obtain the third party financing was a breach of fiduciary duty but this cannot be because its obligation was specifically set out in the Joint Venture Agreements. The other alleged breach was MWDC’s refusal to renegotiate Mr. Beach’s remuneration. The plaintiff pleads, in the alternative, that this was a breach of “the reciprocal obligations of good faith and loyalty”. Again, the parties’ rights and obligations in this regard are covered by the Agreements. I conclude that there are serious issues to be tried because I cannot say the claims are frivolous or vexatious but I would not find that the plaintiff has made out a strong prima facie case. [Emphasis added.] [69] While the motion judge found that the claims were not frivolous or vexatious, he did not find them to be without potential merit. However, he was clearly of the well-considered opinion that the claims have only minimal potential merit and a small chance of success. This was not an unreasonable assessment. (b) The Connection Between the Claims and Counterclaims [70] There is a clear connection between the Magenta claims and the Beach counterclaims in the mortgage enforcement actions. While some of the mortgages were granted before the JVAs were signed, advances on two of the three mortgages were used to pay down other debt on the joint venture properties. The mortgages arose out of a single course of dealings between the Beach parties and the Magenta parties, and their collaboration in bringing the development projects to completion. Considered on their own, these facts would favour a stay. (c) The Conduct of the Defendants [71] The motion judge considered, at para. 57, the more narrowly framed factors from Zucchetti of “whether the counterclaim was tardy or appears to be an afterthought” and “whether the counterclaim appears to have been brought for delay or for tactical reasons”. Here, while the Beach parties’ claims were not the first claims brought, the Beach parties were the ones who raised the prospect of litigation, and they brought their claims shortly after the Magenta parties launched the Promissory Notes action. The Beach parties also brought the JVA action before any of the mortgage enforcement actions were commenced. [72] However, despite their initial eagerness, some of the Beach parties’ conduct during the litigation could be seen as a failure to diligently pursue their claims. At the same time that the motion judge heard the motions for summary judgment, he heard a Beach motion for the consolidation of various actions involving the parties. He noted, at para. 8 of the latter decision ( Heliotrope v. 1324789 Ontario Inc. , 2020 ONSC 808), that both sides have focused their efforts on bringing interlocutory motions rather than advancing the litigation in the usual manner. Although the motion judge, at para. 20, did not blame either side for the delay in moving beyond the pleadings stage, such litigation conduct does not elicit patience and indulgence from this court. [73] The motion judge also specifically referenced Ryan Bell J.’s criticism of the Beach parties’ “reprehensible litigation conduct” in footnote six to para. 63 of his reasons for summary judgment. The Beach parties had brought motions for certificates of pending litigation over the lands on which the Magenta parties sought to enforce mortgages. In Canadian Western Trust Company v. 1324789 Ontario Inc. , 2019 ONSC 5948, Ryan Bell J. stated, at paras. 8-9: The Beach parties’ motion was an ill-conceived effort to stop power of sale proceedings in the absence of any evidence of fraud or any pleading of fraud in relation to the mortgages. They relied on the alleged “fraudulent scheme” set out in paragraph 27 of their statement of defence and counterclaim even though on its face, this allegation of fraud had nothing to do with the validity of the mortgages or the Beach parties’ ability to redeem the mortgages. If the Beach parties had any basis to allege deliberate wrongdoing by the Marshall parties in relation to the mortgages, they ought to have tried to prove their allegation. They did not. This was not the tenacious pursuit of a certificate of pending litigation founded on a serious claim of fraud in relation to the mortgages. In my view, the pursuit of the motion was reprehensible litigation conduct that justifies punitive cost sanctions. [Emphasis added.] [74] Ryan Bell J.’s comments, taken together with the motion judge’s concerns about the Beach parties’ contribution to the delay in moving the litigation forward, suggest that the Beach parties’ conduct does not weigh in favour of granting the stay. [75] Since the release of the decision under appeal, the parties have continued with their litigation. The motion judge’s findings in subsequent judgments confirm that the Beach parties’ litigation conduct does not weigh in favour of granting the stay. In July 2020, the motion judge allowed a motion from the Magenta parties requesting security for costs in the JVA action, based on two costs awards that the Beach parties had not yet paid: 1324789 Ontario Inc. v. Marshall et al. , 2020 ONSC 4651. The motion judge determined, at para. 6(g), that: [Mr. Beach] has been dilatory in advancing the litigation as a whole. The lawsuit was started in May 2018 and remains at the pleadings stage. The plaintiff has not delivered an affidavit of documents nor proposed or agreed to a discovery plan. [76] In December 2020, the motion judge heard a Magenta motion seeking a variety of relief essentially allowing Mr. Marshall to secure the completion of the JVA projects without Mr. Beach, and restraining Mr. Beach from interfering. [30] In his decision, 1324789 Ontario Inc. v. Marshall et al. , 2021 ONSC 86, the motion judge referred back to his decision in 2020 ONSC 7592, and observed, at para. 10: My guarded optimism that the parties could work together, to their mutual benefit, was misplaced. Mr. Beach has continued to act, particularly towards third parties, as if he has the legal authority under the JVAs to dispute the decisions of Mr. Marshall if he believes that they are not in his best interests. He has refused to execute documents that government authorities require in order to approve the further development of the lands and has taken the position that he will not do so unless and until certain information is provided to him. In addition to not cooperating with Mr. Marshall, he has communicated with third parties, including the municipality, its legal counsel and the real estate broker handling the sale of lots, objecting to what Mr. Marshall has done or is planning to do. [77] The motion judge proceeded to note, at para. 11, that Mr. Beach had commenced another action (i.e., the Wrongful Termination action), and that while the wrongful termination claim in that lawsuit seemed to have merit, “many of [the claims] are duplicative of the first action”. He found, at para. 16, that Mr. Beach’s conduct “evinces a determination to obstruct Mr. Marshall’s efforts to complete the development of the lands”, and accordingly granted an interlocutory injunction against the Beach parties. The motion judge commented, at para. 24: “This action must move forward. It can no longer remain at the pleadings stage, mired in costly interlocutory skirmishing.” He directed the parties to agree on a discovery plan within 60 days. [78] The Beach parties have not pursued their claims with any diligence or dispatch. They have pursued ill-conceived motions, failed to pay costs awards against them in a timely way, initiated new actions with duplicative claims, and obstructed efforts to bring the JVA projects – and hopefully with them the litigation – to a close. These facts seriously undermine any unfairness to the Beach parties by refusing to grant them a stay of enforcement. Given their own actions, the Beach parties can no longer expect patience and indulgence from the court. (d) The Balance of Prejudice [79] The context for assessing prejudice was set by the argument of the Beach parties, as noted at para. 58 of the motion judge’s decision: “[T]he mortgages are also on properties not included in the joint venture and a judgment at this stage would be a ‘substantial windfall’ for the plaintiffs; and there would be no prejudice to the plaintiffs because the value of the properties exceeds the debt owed to the plaintiffs.” It is worth noting that the interest rates in the mortgages are high so that the earlier payment of the mortgages might well result in lower total interest costs. [80] While the Beach parties asserted on the motion that the enforcement of the judgments would leave them unable to continue their litigation, the motion judge found that they had not provided any evidence to substantiate this assertion. He noted, at para. 63, “they have not made comprehensive disclosure of their financial position and to date have been able to fully engage in costly litigation.” This factor therefore did not bear on the motion judge’s decision to deny a stay. [81] The motion judge considered the prejudice to the Magenta parties. He observed, at para. 63: “[T]he prejudice to the plaintiffs is certain: if a stay is granted, they will not be repaid the millions of dollars they loaned to the defendants until years down the road.” Another potential prejudice was whether the value of the property would exceed the debt. The motion judge was of the view, based on the inadequate evidence put forward by the Beach parties, that the value of the secured property was speculative. [82] From the perspective of the Beach parties, the motion judge observed that the Magenta parties are not impecunious, noting in para. 63: There is no risk that the defendants, if they succeed on their counterclaims, would not recover any award of damages made against the plaintiffs. The same is true in 132 Ontario's lawsuit. [83] This morass of litigation seems likely to continue for a good while longer. While the Magenta parties might be able to recoup the debt from the proceeds of the sales of lots on the JVA properties, Mr. Beach has acted to delay that process. There is prejudice to the plaintiffs in being out of pocket during the time it takes for either of these events to occur. [84] A term of the stay could be imposed to require the Beach parties to pay the amount of the judgments into the court, but they appear unlikely to be able to satisfy such a term. It does not appear possible to impose terms that would render a stay order just in the circumstances. While there is disadvantage to the Beach parties by refusing to grant a stay of the summary judgments, any perceived unfairness is outweighed by their conduct and the potential prejudice to the Magenta parties of granting a stay. [85] In the circumstances, I agree with the motion judge’s conclusion that a stay under r. 20.08 should not be granted. I would defer to the exercise of the motion judge’s discretion in refusing a stay. He was fully conversant with the relevant factors and applied the correct principles. He made no error in principle that warrants this court’s intervention. VIII. CONCLUSION [86] In my view, the motion judge considered the relevant law and the applicable factors in light of the complex facts with which he was deeply familiar, both in respect of granting the summary judgments and refusing the stay. This court should not intervene absent an error of law or principle, or a palpable and overriding error of fact. The Beach parties have not established any of these. The orders for summary judgment, even if they functionally operate as orders for partial summary judgment, were appropriate in the circumstances, and stays under r. 20.08 would not be. I would dismiss the appeals with costs to the Magenta parties. [87] If the parties are unable to resolve costs, then the Magenta parties may file written submissions no more than 3 pages in length within 14 days of the date of the release of these reasons; the Beach parties may file written submissions no more than 3 pages in length within 10 days of the date the Magenta submissions are due; and the Magenta parties may file reply submissions no more than 1 page in length within 5 days of the date the Beach submissions are due. Released: August 31, 2021 “K.F.” “P. Lauwers J.A.” “I agree. K. Feldman J.A.” “I agree. Gary Trotter J.A.” APPENDIX I. OVERVIEW [1] The Beach parties’ counterclaims in the mortgage enforcement actions allege the following facts: · The Beach parties and the Magenta parties agreed to purchase Cranberry Cove together. · While no JVA was executed in relation to Cranberry Cove, the parties treated it like the other JVA properties. Promissory notes were executed for the Beach parties’ share of the development costs in the same way as for the other joint venture properties. · The Magenta parties alone purchased Cranberry Cove, but Mr. Marshall represented that this was to reduce taxes and that he would transfer title to be jointly held by the Magenta parties and the Beach parties, but later failed or refused to do so. · For the JVA properties, the Beach parties were to fund their proportional share of development costs under the JVA through promissory notes or by registering mortgages in favour of the Magenta parties. · Both parties understood that these debts would be cured with the proceeds generated by the sale of lots upon completion of the JVs. · The Magenta parties knew that the Beach parties would not be able to satisfy these debts other than through the JV proceeds, and the parties carried on under this understanding for four and a half years, with no demands for payment made in that time. · Mr. Marshall only demanded payment under the mortgages after Mr. Beach sought a restructuring of the interest on the debt because it was eroding his equity in the projects. · This erosion was due to Mr. Marshall’s failure or refusal to obtain third party financing of these loans at lower interest rates, despite being responsible for doing so under the JVAs. · Mr. Marshall’s position allowed him to fund the JVs and enjoy the proceeds, while saddling Mr. Beach with the risk. · By demanding payment on the mortgages before completion of the JV work, Mr. Marshall ensured that Mr. Beach’s interest in the JV would be eroded and that Mr. Beach would not be able to share in the proceeds of the JVs. [2] On these facts, the Beach parties argue that Mr. Marshall’s conduct is high-handed and constitutes bad faith in contractual performance because: · Mr. Marshall knew or ought to have known that the defendants were reliant on the proceeds from the completion of the JVA projects to satisfy their indebtedness on the mortgages; · Mr. Marshall knew that demanding payment prior to completion would “price out” the Beach parties from their interest in the JVs; and · There was no reason for Mr. Marshall to demand payment on the dates that he did. [3] The Beach parties purport to plead and rely on all of the allegations in their Statement of Claim in CV-18-178. They seek: (a) A declaration that Mr. Marshall breached the contract between them, breached fiduciary duties created in that contract, and acted in bad faith or in a heavy-handed manner; (b) $2 million in damages for bad faith; (c) In the alternative, $2 million in damages for breach of contract; (d) In the further alternative, $2 million in damages for breach of fiduciary duty; and (e) Costs on a substantial indemnity basis. II. Comparison to Counterclaims in Other Actions [4] The Beach parties’ counterclaims in the actions at issue are almost identical to their counterclaims in the two other mortgage enforcement actions (CV-19-090 and CV-19-115), and in the Promissory Notes action (CV-18-167). In each of the other counterclaims, the Beach parties repeat the same or very similar factual allegations with regard to the structure of the JVAs and the intention that the Beach parties’ debts would be repaid through the proceeds of the completed JVA projects. On the basis of those facts, the Beach parties make the same claims (bad faith, breach of contract, or breach of fiduciary duty) and seek the same quantum of damages ($2 million). III. Comparison to Claims in the Beach Parties’ Actions [5] The counterclaims also mirror some of the claims made in the Beach parties’ own actions: the JVA action (CV-18-178) and the Wrongful Termination action (CV-20-84558). (1) Claims in the JVA Action [6] The JVA action seeks relief including: (a) A declaration that the Magenta parties breached the contract and their fiduciary duties, and acted in bad faith or in a high-handed manner; (b) $5 million in damages based on those breaches; (c) A detailed interlocutory injunction related to the completion of the JVA projects; and (d) A declaration that the Beach parties have a beneficial and constructive interest in Cranberry Cove. [7] The constructive trust claim is based on a breach of fiduciary duty, unjust enrichment, or on a quantum meruit basis. The Beach parties allege that Cranberry Cove was considered a JVA property and was being developed on the same terms as the JVAs. Mr. Beach states that he did not wish to borrow further from Mr. Marshall to purchase a share of the Cranberry Cove development and that he preferred instead to be recognized for his “sweat equity” in locating the opportunity. He expected this to be reflected in the ownership of Cranberry Cove upon purchase, with himself and Mr. Marshall each owning 50 percent as tenants in common. He later discovered that this had not occurred. [8] The Beach parties also allege that: · Mr. Beach carried out management duties for four projects based on compensation that was predicated on two contemplated projects. · Mr. Marshall failed to discharge his responsibility under the JVAs to undertake reasonable efforts to secure third-party financing, resulting in an inequitable situation and irreparable financial harm to the Beach parties. · While the Magenta parties provided some evidence of efforts to secure financing, these efforts were insufficient as they only targeted larger lending institutions and did not seek modestly lower interest rates (focusing only on “prime plus one” rates). · Mr. Beach’s personal funds were required to fund the projects at the high interest rates, which diminished his equity and return, while the Magenta parties earned the interest and the increased value of the properties due to Mr. Beach’s work. · Mr. Marshall refused to negotiate compensation as required by the JVAs, despite the changes in the scope of Mr. Beach’s work. Mr. Marshall had not engaged in the good faith efforts expected to genuinely restructure the JVAs to compensate for his failure to secure better financing and to reflect the increase in Mr. Beach’s work. · The Magenta parties have full financial control, but have not disclosed any financial statements or accounting. There has been no accounting of how the proceeds from the lots already sold have been applied to the Beach parties’ debts, other than an insufficient annual report of proceeds. Mr. Marshall has dictated the application of proceeds. · The initiation of the Promissory Notes action comprises high-handed, reprehensible conduct that warrants sanction. [9] Many of these factual allegations, and the pursuit of damages for bad faith, breach of contract, or breach of fiduciary duty, are similar to the claims made in the counterclaims. (2) Claims in the Wrongful Termination Action [10] There are some similarities between the claims in the Wrongful Termination action and the counterclaims at issue. In the Wrongful Termination action, Mr. Beach claims for breach of contract, breach of fiduciary duties, and unjust enrichment, and seeks a rectification of the JVAs declaring that the loans are only to be paid through the sale of lots. Other claims in the action include wrongful termination, and breach of the obligation of good faith and fair dealing in the manner of dismissal. Damages are claimed under a number of heads. [1] The actions, and the crossclaims and counterclaims within the actions, are summarized in the Appendix. [2] See 1324789 Ontario Inc. v. Marshall , 2019 ONSC 517, at para. 21. [3] 2020 ONSC 810, at para. 34. [4] Ibid , at paras. 34, 53. [5] This decision does not appear to have been appealed. [6] See, for example, Perdue v. Myers , 2005 CanLII 30860 (Ont. S.C.), at para. 34; Univar Canada Ltd. v. Pax-All Manufacturing Inc. , 2008 CanLII 44741 (Ont. S.C.), at para. 30, aff’d 2009 ONCA 341, 56 B.L.R. (4th) 175; Canaccord Genuity Corp. v. Sammy , 2014 ONSC 3691, at para. 84; and Waverly Corporate Financial Services Inc. v. Kanwal Inc ., 2018 ONSC 1469, at para. 11. [7] In the last version of the Rules of Practice before their replacement in 1985 by the current Rules of Civil Procedure , r. 56 had become r. 42. See Walter B. Williston & R.J. Rolls, The Law of Civil Procedure , vol. 2 (Toronto: Butterworths, 1970), regarding the practice, in c. 7 regarding writs, and c. 9 regarding defences. See also George Holmested & George Alexander Gale, Holmested and Gale on the Judicature Act of Ontario and Rules of Practice (Scarborough: Carswell, 1983), for all the historical referents. [8] Rule 33 in the last version of the Rules of Practice . [9] Rule 35. [10] The process under r. 58 has no equivalent in the Rules of Civil Procedure but has been superseded by the summary judgment process. [11] See also Pomocon Ltd. et al. v. Golias et al. (1974), 4 O.R. (2d) 310 (Div. Ct.). Rule 118 became r. 58(5) in the final version of the Rules of Practice . [12] Hinke was applied most recently in Janeric Engineering Inc. v. 2496110 Ontario Inc. , 2020 ONSC 220. [13] Ontario, Ministry of the Attorney General, Civil Procedure Revision Committee, “Letter to Hon. R. Roy McMurtry, Q.C., from Walter B. Williston” in Report of the Civil Procedure Revision Committee (Toronto: Ministry of the Attorney General, 1980) (Chair: Walter B. Williston), at p. 2. [14] Ibid , at p. 19. [15] Ontario, Ministry of the Attorney General, Civil Procedure Revision Committee, “Proposed Rules of Civil Procedure” in Report of the Civil Procedure Revision Committee (Toronto: Ministry of the Attorney General, 1980) (Chair: Walter B. Williston), at p. 67. [16] Ontario, Ministry of the Attorney General, Special Sub-Committee on the Proposed Rules of Civil Procedure, Final Report to the Rules Committee from the Special Sub-Committee on the Proposed Rules of Civil Procedure (Toronto: MAG, 1984) (Chair: Morden J.A.), at p. 92 [“Morden Report”]. [17] Ibid., at p. 93. [18] The Superior Court has applied the discretionary, multi-factorial approach on many occasions. See, for example, Inveresk PLC v. Precision Fine Papers Inc. , 2008 CanLII 28054 (Ont. S.C.); Hino Truck Centre (Toronto) Ltd. v. Hino Motors Canada Ltd. , 2009 CanLII 58979 (Ont. S.C.); Goldberg v . Desrochers , 2009 CanLII 46444 (Ont. S.C.); TD Waterhouse Canada Inc. (TD Waterhouse Private Investment Advice) v. Little , 2009 CanLII 43663 (Ont. S.C.), aff’d 2010 ONCA 145; King v. McHugh , 2009 CanLII 41361 (Ont. S.C.); Faithshire Leasing Corp. v. 1589630 Ontario Inc. , 2009 CanLII 55123 (Ont. S.C.); Tubacex & Cotubes Canada Inc. v. Scan Tube & Steel Services Ltd. , 2009 CanLII 14052 (Ont. S.C.), appeal abandoned, 2009 ONCA 809; 1578838 Ontario Inc. v. Bank of Nova Scotia , 2011 ONSC 3482, 6 R.P.R. (5th) 332; Jarmain v. Canadian Imperial Bank of Commerce , 2012 ONSC 1625; 1445369 Ontario Inc. v. Bandkohal , 2013 ONSC 5481, 18 B.L.R. (5th) 326, rev’d in part, 2014 ONCA 346; Montel Inc. v. Kipawa Sales & Services Inc. , 2014 ONSC 83; Distributions Katrina Inc. v. Enroute Imports Inc. , 2018 ONSC 5644, aff’d 2019 ONCA 441; and Waverly . See also Garry D. Watson & Derek McKay, Holmested and Watson: Ontario Civil Procedure (Scarborough: Carswell, 2020) at § 36:15 - Stay of Execution: Rule 20.08. [19] Comtract Air Compressors Inc. v. A.W. Service Industries Inc. , 2000 CanLII 22763 (Ont. S.C.), at para. 28; Liu v. Wong , 2010 ONSC 5896, at para. 36. Comtract Air Compressors has since been followed on many occasions. See, for example, Elgrichi v. Hornstein , [2003] O.J. No. 1308 (S.C.), at para. 10, aff’d [2004] O.J. No. 484 (Div. Ct.); Brantford Engineering and Construction Ltd. v. 1562772 Ontario Inc. , [2007] O.J. No. 1636 (S.C.), at para. 38; Parmalat Canada Inc. v. 703558 Ontario Ltd. , 2008 CanLII 51775 (Ont. S.C.), at para. 68; King , at para. 12; CBC v. iSport Media and Kevin Albrecht , 2014 ONSC 1905, 119 O.R. (3d) 211, at para. 45; and Jones Collombin Investment Counsel Inc. v. Fickel , 2016 ONSC 6536, at para. 59. I note that while the motion judge stated that this court, in 1652620 Ontario Inc. v. Cornerstone Builders Ltd. , 2018 ONCA 973, cited Jones Collombin “with approval”, the court, in fact, went no further than saying, at para. 9, that “[i]t would seem in those circumstances that a stay ought to have been granted, as was done in Jones ”. [20] Liu , at para. 36. [21] Univar , at para. 12. [22] Iraco Ltd. et al. v. Staiman Steel Ltd. , 1987 CarswellOnt 2398 (C.A.), at para. 2 ; Cuddy Food Products v. Puddy Bros. Ltd ., [2002] O.J. No. 3181 (S.C.) , at paras. 29-32. [23] Kilderkin Investments Ltd. v. Mastin , 1991 CarswellOnt 413 (Gen. Div.), at paras. 16-17. Kilderkin has been cited often. See, for example, Crown Life Insurance Co. v. Medipac International Inc. , [1996] O.J. No. 1633 (Gen. Div.), at para. 22; Cheng v. Cheng , [1996] O.J. No. 3751 (C.A.), at para. 9; Comtract , at para. 28; Stiles v. W.H. Stuart Mutuals Ltd. , [2000] O.J. No. 5001 (S.C.), at para. 11; Outset Media Corp. v. Stewart House Publishing Inc. , [2002] O.J. No. 5304 (S.C.), at paras. 49-51, rev’d but not on this point, [2003] O.J. No. 2558 (C.A.); Perdue , at para. 34; and King , at para. 10. [24] Kilderkin , at paras. 14-15, citing Polar Hardware Manufacturing Co. v. Zafir et al. , [1983] O.J. No. 3065 (Div. Ct.). See also Crown Life Insurance , at paras. 24-25. [25] Univar , at para. 30(1), citing Iraco Ltd. ; Fasco Motors Ltd. v. General Refrigeration Inc. , [1998] O.J. No. 151 (Gen. Div.). [26] Morden Report, at p. 118. [27] American Agronomics Corporation v. International Citrus of Canada Inc. , 1982 CanLII 3233 (Ont. H.C.), at paras. 10, 12 ; Polar Hardware , at para. 16; Iraco Ltd. , at para. 4; Abrasive Engineering & Manufacturing, Inc. v. Cowan & Stevens Machinery Sales, Ltd. , 2003 CanLII 8979 (Ont. S.C.), at para. 29; Luxus Pack Packaging Industrial Co. v. Conros Corporation , 2006 CanLII 909 (Ont. C.A.), at para. 9; and Spitzer v. Spitzer , 2008 CanLII 50801 (Ont. S.C.), at para. 29. [28] Smov Industrie Ceramiche S.P.A. v. Sole Ceramic Importing Ltd. , [1983] O.J. No. 197 (H.C.), aff’d [1984] O.J. No. 3478 (Div. Ct.). [29] Bank of Nova Scotia v. Elby Health Foods Co. , [1982] O.J. No. 290 (H.C.), at para. 23 ; Perdue , at para. 38. [30] The Divisional Court dismissed the motion for leave to appeal the decision in this motion: 132789 Ontario Inc. v. Marshall , 2021 ONSC 5444.
COURT OF APPEAL FOR ONTARIO CITATION: Drywall Acoustic Lathing and Insulation, Local 675 Pension Fund v. Barrick Gold Corporation, 2021 ONCA 596 DATE: 20210901 DOCKET: C67681 Hoy, Brown and Thorburn JJ.A. BETWEEN The Trustees of the Drywall Acoustic Lathing and Insulation Local 675 Pension Fund and Royce Lee Plaintiffs (Appellants) and Barrick Gold Corporation, Aaron W. Regent, Jamie C. Sokalsky, Ammar Al-Joundi and Peter Kinver Defendants (Respondents) Joel P. Rochon, Peter R. Jervis and Golnaz Nayerahmadi, for the appellants Kent E. Thomson, Luis Sarabia and Steven G. Frankel, for the respondents Heard: November 9 and 10, 2020 by video conference, with further written submissions filed on November 23, 2020. On appeal from the order of Justice Edward P. Belobaba of the Superior Court of Justice, dated October 9, 2019, with reasons reported at 2019 ONSC 4160, 148 O.R. (3d) 755. COSTS ENDORSEMENT [1] In reasons released on February 19, 2021, the court ordered that if the parties were unable to agree on costs of the appeal and the motion below, the appellants shall make written submissions not exceeding five pages within 14 days of release of the reasons, and the respondents shall make written submissions not exceeding five pages within 10 days after the appellants make their submissions. [2] In a letter to the Registrar of the court dated August 16, 2021, which was forwarded to the panel, counsel for the appellants inquired about the panel’s disposition of the costs of the appeal and motion below and provided copies of the costs submissions which counsel advised had filed been with the court on March 5, 2021 (appellants) and March 15, 2021 (respondents). [3] Regrettably, through administrative oversight, those costs submissions had not been previously provided to the panel, and the panel assumed that the parties had agreed on costs. [4] The panel has now reviewed the costs submissions included with appellants’ counsel’s letter. [5] The motion judge, Belobaba J., denied the appellants leave to proceed under s. 138.3 of the Ontario Securities Act , R.S.O. 1990, c. S.5 in respect of the categories of alleged misrepresentations described in the court’s reasons as the capex and scheduling misrepresentations and the accounting and financial reporting misrepresentations (collectively, the “alleged financial misrepresentations”). Whether he erred in principle in so doing was the primary issue on appeal. [6] The motion judge granted leave to the appellants to proceed with what he characterized as their “core” environmental claim but denied leave with respect to four alleged misrepresentations by omission with respect to environmental compliance. We agree with the motion judge’s characterization of the environmental claim in respect of which he granted leave as the appellants’ “core” environmental claim. The respondents did not cross-appeal the motion judge’s grant of leave with respect to the “core” environmental claim. [7] The court concluded that the motion judge erred in principle in denying leave in respect of the alleged financial misrepresentations and returned the issue of whether leave should be granted in respect of them to the court below, to be determined by a judge selected by the administrative judge of the class actions team in Toronto. The parties advise that Akbarali J. has been selected to determine whether leave should be granted in respect of the alleged financial misrepresentations. [8] As to the secondary issue on appeal, the court concluded that there was no basis for it to interfere with the motion judge’s denial of leave to proceed with the four alleged misrepresentations by omission with respect to environmental compliance. [9] The parties agreed that costs of the appeal in the amount of $60,000, all inclusive, would be awarded to the successful party on the appeal. The appellants succeeded on the central issue before the court. They were substantially successful. Accordingly, they are entitled to costs of the appeal in the amount of $60,000, all inclusive. [10] The appellant brought one motion for leave to proceed. The motion judge awarded no costs of the motion on the basis that success was divided. The costs of both portions of the motion for leave shall be determined by Akbarali J. once she has determined whether to grant leave in respect of the alleged financial misrepresentations and the overall outcome of the motion is known. “Alexandra Hoy J.A.” “David Brown J.A.” “J.A. Thorburn J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: Ontario First Nations (2008) Limited Partnership v. Ontario Lottery and Gaming Corporation, 2021 ONCA 592 DATE: 20210901 DOCKET: C68701 & C68702 Fairburn A.C.J.O., Lauwers and Jamal JJ.A. BETWEEN Ontario First Nations (2008) Limited Partnership Claimant (Respondent) and Ontario Lottery and Gaming Corporation and Her Majesty the Queen in right of Ontario, as represented by the Minister of Aboriginal Affairs Respondents (Appellants) R. Paul Steep, Bryn E. Gray and Stephanie Sugar, for the appellant, Ontario Lottery and Gaming Corporation D. Brent McPherson, Edmund S. Huang, Manizeh Fancy and Insiyah Kanjee, for the appellant, Her Majesty the Queen in right of Ontario Sheila Block, David Outerbridge, Leora Jackson, Nic Wall and Hannah Allen, for the respondent, Ontario First Nations (2008) Limited Partnership Heard: June 9 and 10, 2021 by video conference On appeal from the order of Justice Glenn A. Hainey of the Superior Court of Justice, dated March 31, 2020, with reasons reported at 2020 ONSC 1516. Jamal J.A.: OVERVIEW [1] In 2008, Ontario and OLG entered into a “Gaming Revenue Sharing and Financial Agreement” with First Nations Partnership, a limited partnership of Ontario First Nations. Under the Agreement, Ontario and OLG agreed to share with First Nations three types of revenue associated with gaming in Ontario. [1] [2] A few years later, however, OLG decided to outsource its non-gaming amenities to private operators, effectively giving them responsibility for two of the three types of revenue under the Agreement. Private sector operators assumed the risk and responsibility for non-gaming amenities, in exchange for keeping 100% of the associated non-gaming revenue. OLG described this arrangement as “modernization”. Although OLG anticipated much greater revenue under modernization, it did not disclose its outsourcing plans to the First Nations Partnership or seek to amend the Agreement to be relieved of the obligation to pay the First Nations Partnership all three types of revenue. [3] When OLG implemented modernization, it stopped paying the First Nations Partnership two of the three types of revenue under the Agreement. When the First Nations Partnership discovered this, it initiated an arbitration under the Agreement. [4] The arbitration panel held that Ontario and OLG breached the Agreement. The majority ruled that Ontario and OLG breached express contractual terms when they stopped paying two of three agreed-upon types of revenue. The dissenting member found that Ontario and OLG’s unilateral changes to the operation of the Agreement breached an implied contractual term, describing their conduct as “breathtaking in the age of reconciliation.” [5] The appeal judge dismissed Ontario and OLG’s appeals. [6] Ontario and OLG now appeal to this court. They argue that the appeal judge made three errors: he applied the wrong standard of review, misinterpreted the Agreement, and erred in concluding that they breached the honour of the Crown. [7] For the reasons that follow, I would dismiss the appeals. I would uphold the majority decision of the arbitration panel on any standard of review. I see no error in the appeal judge’s interpretation of the Agreement and I would find it unnecessary to address the honour of the Crown. BACKGROUND [8] OLG is a Crown corporation that conducts and manages lottery schemes in Ontario on behalf of the provincial government. It operates under an exemption to the prohibition against gaming and betting in Canada under the Criminal Code , R.S.C. 1985, c. C-46. OLG’s profits are paid to Ontario and are the province’s largest source of non-tax revenue. [9] The First Nations Partnership is a limited partnership of 132 Ontario First Nations established to receive and distribute revenue under the Agreement to promote education, health, economic, cultural, and community development in First Nations communities. (a) Prior gaming-revenue litigation [10] The Agreement was reached after about a decade of disputes between Ontario and First Nations involving gaming revenues. Foremost among these was litigation over an earlier revenue sharing agreement, the Casino Rama Revenue Agreement, which entitled the First Nations Partnership’s predecessor to a share of revenue from Casino Rama — a casino complex located on the reserve lands of The Chippewas of Rama First Nation. First Nations sued Ontario and OLG for more than $2 billion in damages after a new Ontario government imposed a 20% “win tax” on Casino Rama’s gross revenues to be paid to Ontario in priority to First Nations’ entitlement. Through the Agreement, the parties agreed to settle the “win tax” and other litigation. (b) Agreement on the definition of “Gross Revenue” to be shared [11] In 2004, when the “win tax” litigation was underway, OLG proposed that the parties enter into a new revenue sharing agreement to address First Nations’ concerns about the unpredictable and reduced revenue flows under the prior arrangements. The first phase of negotiations was between former Ontario Premier David Peterson, as Ontario’s representative, and First Nations. The Order‑in-Council appointing Mr. Peterson stated Ontario’s desire to “establish a new Ontario First Nations Gaming Revenue Sharing Agreement that provides more stable funding and strengthens the financial position of the Ontario First Nations”. Mr. Peterson’s terms of reference contained a similar instruction. [12] During the first phase of negotiations, a draft agreement was reached, but was not ratified by First Nations’ Chiefs in June 2007. The parties did, however, agree on a key item, “Gross Revenue”, that would eventually become part of the Agreement — the base of provincial gaming revenue to be shared with First Nations would include three sources: (1) gaming revenue from lotteries, slots, and table games from operations conducted and managed by OLG (“gaming revenue”); (2) revenues from non-gaming activities ancillary to those operations (“non-gaming revenue”); and (3) the retail value of accommodation, food and beverage services, and other services provided to gaming patrons on a complimentary basis to encourage them to visit and stay at the gaming sites (“Comps”). These three types of revenue comprised Gross Revenue. Even though Comps were an expense to OLG and not revenue, they were deemed to be revenue for revenue sharing purposes. OLG gave First Nations’ negotiators financial projections of the anticipated future revenue based on all three components of Gross Revenue, with a breakdown of each. The draft agreement provided that the First Nations Partnership would receive 1.6% of Gross Revenue, which included all three revenue sources. [13] Before the draft agreement was presented to First Nations’ Chiefs, the First Nations sought confirmation that in the future Ontario would not “turn current revenues that are received to the final account of the Province into revenues that are not”. In response, Mr. Peterson provided Ontario’s “unequivocal commitment to share … gross gaming revenue”. He assured First Nations that Ontario would not conduct itself in any way to undermine the agreement by allowing “revenues from such gaming [to] go to third parties”. He also noted that the First Nations Partnership would have “a full and equal member on the board of directors of OLG to protect and advance the interests of First Nations in Ontario”. The government separately assured the First Nations Partnership that “the primary objective of the proposed draft agreements is to replace an uncertain source of revenues with stable, predictable long term funds for First Nations communities”. Despite these assurances, the First Nations Chiefs did not approve the proposed agreement. (c) Reaching the Agreement [14] A second phase of the negotiations began in late 2007 on a government-to-government basis between First Nations’ Chiefs and the Minister of Aboriginal Affairs, Michael Bryant, based on the same agreed-upon definition of Gross Revenue. The negotiations were solemn and based on First Nations’ traditions, including smudge ceremonies and the presence of sacred objects. The terms of the Agreement were ultimately reached in 2008. The Agreement now provided that the First Nations Partnership would receive 1.7% of Gross Revenue, again based on all three revenue sources. [15] Before the Agreement was approved by First Nations’ Chiefs, Minister Bryant assured the Chiefs that the agreement “provides stability of revenue for 25 years” grounded in “a new relationship based upon respect and autonomy”. After hearing Minister Bryant, the First Nations’ Chiefs approved the Agreement. (d) Key terms of the Agreement [16] The key terms of the Agreement are set out in the Appendix to these reasons. (e) Events leadings to this litigation [17] In 2010, less than two years after the Agreement was signed, OLG began a strategic business review of its operations to address declining provincial gaming revenues. Based on that review, OLG decided to outsource its non-gaming amenities to the private sector — a process it called “modernization”. Under modernization, private sector operators would assume the risk and responsibility for non-gaming amenities in exchange for keeping 100% of the associated non‑gaming revenue. OLG believed this was necessary to attract world-class private operators to invest in OLG’s non-gaming amenities. OLG anticipated much greater revenue after modernization, projecting a $1.3 billion increase in net profits annually once implemented. [18] When the Agreement was signed in 2008, neither OLG nor the First Nations Partnership believed that it was legally possible for OLG to outsource its non‑gaming operations. OLG only changed its position in 2011, based on its strategic business review of the benefits of modernization. As the appeal judge noted, modernization “represented a wholesale reinterpretation by Ontario and OLG of OLG’s mandate relating to non-gaming amenities under its enabling legislation. It was completely different from what the parties mutually understood to be legally possible during the negotiation of the [Agreement].” [19] For several years, OLG did not disclose its planned outsourcing to either the First Nations Partnership or the provincial government, including the provincial Ministry of Indigenous Relations and Reconciliation. By early 2013, OLG had decided that once it outsourced its non-gaming operations, it would stop sharing non-gaming revenue and Comps with the First Nations Partnership. Internal OLG emails in October 2015 show that OLG knew this would be a “hot button” issue for First Nations. OLG also knew that turning off two of the three revenue “taps” could lead to decreasing payments under the Agreement. One internal OLG email noted that payments to the First Nations Partnership “could decrease simply based on the fact that they will not be entitled to the 1.7% of non-gaming revenue as this will remain with the [private] service provider”. Even so, OLG did not disclose its plans to the First Nations Partnership or to First Nations. OLG disclosed its plans to Ontario’s Ministry of Finance for the first time during a conference call in or around December 2015. Even then, OLG still did not tell the Ministry of Indigenous Relations and Reconciliation, which had government responsibility for First Nations peoples. [20] In January 2016, OLG implemented modernization: it began the process of outsourcing its non-gaming operations to private operators and ceasing to share non-gaming revenue and Comps with the First Nations Partnership. The First Nations Partnership learned this in June 2016, through a note to the 2016 audited financial statements required under the Agreement. The Ministry of Indigenous Relations and Reconciliation learned this in the summer of 2016, when the First Nations Partnership began the arbitration process. [21] One reason the First Nations Partnership did not learn of OLG’s plans for so long was because Ontario and OLG failed to seat a representative of the First Nations Partnership on OLG’s board from 2008 until 2015, even though doing so was a contractual obligation under the Agreement. When the First Nations Partnership pursued arbitration under the Agreement to secure its promised board member, a panel composed of three retired judges of the Ontario Superior Court of Justice unanimously held that Ontario had breached the Agreement in bad faith and in a manner that was “egregious” and exhibited “an odour of moral failure”. The panel also noted that the First Nations Partnership had not been “consulted or invited to take part” in OLG’s strategic business review at a time when it had no board member. [22] The arbitration that is the subject of the present appeals was formally commenced against Ontario and OLG in late February 2017. The First Nations Partnership claimed Ontario and OLG breached the Agreement when they stopped sharing non-gaming revenue and Comps, two of the three types of revenue they had agreed to share under the Agreement. DECISIONS BELOW (a) The arbitration decision [23] The arbitration involved a ten-day hearing held in September and October 2018 before a three-member panel chaired by Hon. Mr. Stephen T. Goudge, Q.C., and including Mr. Stan G. Fisher, Q.C. and Mr. John Campion. The panel received affidavit evidence and expert reports and heard seven days of viva voce evidence from ten witnesses, including several who were directly involved in the process leading to the Agreement, such as Mr. Bryant. The panel released a comprehensive, 385-paragraph arbitration award. [24] The panel majority, Mr. Goudge and Mr. Fisher, ruled that the Agreement required the appellants to share 1.7% of the three revenue sources existing when the Agreement was signed in 2008, namely, gaming revenue, non-gaming revenue, and Comps. The majority ruled the appellants breached the Agreement when they stopped paying non-gaming revenue and Comps as a result of modernization, because modernization did not relieve them of their payment obligation under the Agreement. The majority ordered OLG to provide an accounting and to pay the respondent 1.7% of the non-gaming revenue and Comps from January 2016, when the first outsourced site began operating, to the end of the term of the Agreement. [25] The majority took the view that the honour of the Crown doctrine was engaged by the Agreement and was relevant to its interpretation. Although the majority ultimately interpreted the Agreement without relying on the honour of the Crown, they noted the doctrine provided “clear moral support” for their interpretation. [26] The dissenting member, Mr. Campion, found that the arbitration turned on “reasonable differences in the interpretation of the Agreement”. In his view, Ontario and OLG had not breached any obligation under the Agreement to pay the First Nations Partnership 1.7% of the three revenue sources after modernization, because the First Nations Partnership had no right to share in revenues that OLG did not receive. In his opinion, the majority’s interpretation of the Agreement relied on inadmissible evidence of the parties’ negotiations leading to the Agreement. Finally, he noted that even if Ontario and OLG had breached the Agreement by not paying 1.7% of all three revenue sources, the First Nations Partnership had not suffered any damages. [27] However, the dissenting member concluded that Ontario and OLG breached an implied term of the Agreement to disclose and consult with the First Nation Partnership before it made any fundamental changes to the revenue structures under the Agreement. He found OLG “fail[ed] to meet these minimum standards of notice and consultation”. In his view, Ontario and OLG “failed in their government-to-government commitment with [the First Nations Partnership] in not giving them notice and consulting with them” before they “changed” the Agreement by outsourcing two of the three revenue sources. He stated that “[t]he contrast between the words of hope, promise, respect, trust and self-government and the unilateral action of OLG and Ontario in changing the [Agreement] without notice and consultation is breathtaking in the age of reconciliation”. Even so, he concluded the First Nations Partnership suffered no damages for breach of the implied term. In his view, the honour of the Crown doctrine did not apply to the Agreement. (b) The appeal decision [28] The appeal judge dismissed Ontario and OLG’s appeals. He noted he had no jurisdiction to review the panel’s many findings of fact because s. 9.2 of the Agreement limited any appeal of an arbitration award to “questions of law, or questions of mixed fact and law”. [29] The appeal judge ruled that the reasonableness standard of review applied to the majority’s contractual interpretation of the Agreement and the damages award. He based his conclusion on the Supreme Court of Canada’s decisions in Sattva Capital Corp. v. Creston Moly Corp. , 2014 SCC 53, [2014] 2 S.C.R. 633, and Teal Cedar Products Ltd. v. British Columbia , 2017 SCC 32, [2017] 1 S.C.R. 688, which in his view were unaffected by Canada (Minister of Citizenship and Immigration) v. Vavilov , 2019 SCC 65, 441 D.L.R. (4th) 1. The appeal judge found the majority’s interpretation of the Agreement was both reasonable and correct. [30] The appeal judge determined that the majority had not allowed the factual matrix to overwhelm the words of the contract and rejected OLG’s submission that the majority ignored provisions of the Agreement to reach a commercially absurd interpretation. He also held the majority did not err in deciding that the Agreement engaged the honour of the Crown, but in any event, noted that the majority’s reference to the doctrine was obiter . [31] Finally, the appeal judge held that the damages awarded by the majority were both reasonable and correct. ISSUES [32] Ontario and OLG raise three issues: 1. Did the appeal judge err as to the standard of review? 2. Did the appeal judge err in interpreting the contract? 3. Did the appeal judge err in applying the honour of the Crown? DISCUSSION Issue #1: Did the appeal judge err as to the standard of review? [33] Ontario and OLG assert that the appeal judge erred in concluding that the standard of review of the majority’s interpretation of the Agreement and its damages award is reasonableness. They say the appropriate standard of review, in the wake of Vavilov , is the appellate standard: correctness for questions of law and palpable and overriding error for questions of mixed fact and law. [2] [34] Ontario and OLG acknowledge that the Supreme Court in Sattva , at para. 75, ruled that the standard of review in an appeal from a commercial arbitration conducted under the former Arbitration Act , R.S.B.C. 1996, c. 55, which was limited to a “question of law arising out of the award”, is “almost always” reasonableness; see also Teal Cedar , at para. 74. [3] They contend, however, that the reasonableness standard of review for questions of law prescribed by Sattva and Teal Cedar has been overtaken by Vavilov , where the majority ruled that an administrative decision subject to a statutory right of appeal should be reviewed under the appellate standard: correctness for questions of law, and palpable and overriding error for questions of fact and questions of mixed fact and law where the legal principle is not readily extricable: at paras. 36-38, 44. They say Vavilov applies whenever the legislature has provided for a statutory appeal, such as under Ontario’s Arbitration Act, 1991 , S.O. 1991, c. 17. They also claim that even if the reasonableness standard of review applies, the appeal judge erred in concluding that the majority’s decision was reasonable. [35] The First Nations Partnership disputes the claim that Vavilov effectively overruled Sattva and Teal Cedar on the standard of review of a commercial arbitration decision on questions of law. It submits that Vavilov governs the standard of review in administrative law but does not apply to commercial arbitration decisions, which should continue to be reviewed under a deferential standard on questions of law. [36] The First Nations Partnership’s more fundamental point, however, is that the standard of review does not affect the outcome of these appeals. It says that whether or not Vavilov applies to the review of a commercial arbitration decision, Ontario and OLG have largely raised questions of mixed fact and law — questions about the interpretation and application of the Agreement that do not involve extricable legal errors. It submits that a deferential standard of review applies to these questions. [37] In my view, it is unnecessary in these appeals to address whether Vavilov changed the standard of review analysis in Sattva and Teal Cedar in an appeal from a commercial arbitration decision, for two reasons. [38] First, as I will address below, whether the standard of review on questions of law is reasonableness or correctness, the appeal judge did not err in upholding the majority’s decision. Because a court should generally refrain from deciding issues of law that are unnecessary to the resolution of an appeal ( Phillips v. Nova Scotia (Commission of Inquiry into the Westray Mine Tragedy) , [1995] 2 S.C.R. 97, at para. 6), I would not address the standard of review issue. [4] [39] The Supreme Court took the same approach in Wastech Services Ltd. v. Greater Sewerage and Drainage District , 2021 SCC 7, 454 D.L.R. (4th) 1, at para. 46, where the majority, per Kasirer J., declined to consider “the effect, if any, of Vavilov on the standard of review principles articulated in Sattva and Teal Cedar ”, partly because the outcome of the case did not depend on the standard of review. [40] Second, I agree with the First Nations Partnership that, putting aside the extricable errors of law alleged, Ontario and OLG largely advance questions of contractual interpretation, which since Sattva it has been accepted are questions of mixed fact and law attracting a deferential standard of review. There has been no suggestion that Vavilov changed the law on this point, which is distinct from the issue of whether an arbitrator’s decision on a question of law is reviewable under a standard of reasonableness or under the appellate standard. [41] In Corner Brook (City) v. Bailey , 2021 SCC 29, 17 B.L.R. (6th) 1, per Rowe J., the Supreme Court affirmed the direction from Sattva that a deferential standard of review applies to questions of mixed fact and law involving the interpretation of a contract. The court in Corner Brook underscored that “contractual interpretation is a fact specific exercise, and should be treated as a mixed question of fact and law for the purpose of appellate review, unless there is an ‘extricable question of law’”: at para. 44. As the court explained, “[e]xtricable questions of law in the context of contractual interpretation include ‘the application of an incorrect principle, the failure to consider a required element of a legal test, or the failure to consider a relevant factor’”: at para. 44 (citations omitted). The court also cautioned that “[t]he circumstances in which a question of law can be extracted will be uncommon. Whether something was or should have been within the common knowledge of the parties at the time the contract was entered into is a question of fact”: at para. 44 (citations omitted); see, to the same effect, Sattva , at paras. 50, 55; Teal Cedar , at paras. 47, 57. [42] Here, the parties agree on the applicable principles of contractual interpretation. Where they disagree is how those principles should be applied to the contractual facts, consisting of the Agreement itself and the factual matrix or surrounding circumstances. Absent an extricable error of law, such an exercise of contractual interpretation by a first-instance decision maker — whether a court or an arbitrator — attracts appellate deference. [43] I now turn to whether the appeal judge erred in interpreting the Agreement. Issue #2: Did the appeal judge err in interpreting the Agreement? (a) Introduction [44] Ontario and OLG submit that the appeal judge erred in law in interpreting the Agreement in four respects. First, they say he ignored their limited payment obligation under the Agreement. Second, they say his decision conflicts with the Agreement read as a whole. Third, they claim he failed to apply the entire agreement clause in the Agreement and to correct the majority’s decision to admit extrinsic evidence that overwhelmed the words of the Agreement. Fourth, in the alternative, OLG argues the appeal judge erred in affirming the majority’s damages award. [45] I will first summarize the applicable principles of contractual interpretation and then address these four arguments. As I will elaborate, Ontario and OLG largely repeat arguments that the appeal judge rejected. I see no basis to reach a different conclusion. (b) Applicable principles of contractual interpretation [46] The parties agree that the appeal judge correctly stated the applicable principles of contractual interpretation. Those principles were discussed in the Supreme Court’s unanimous decisions in Sattva , per Rothstein J., and more recently in Corner Brook , per Rowe J. They may be summarized as follows: 1. Courts should take “a practical, common-sense approach not dominated by technical rules of construction. The overriding concern is to determine ‘the intent of the parties and the scope of their understanding’”: Sattva , at para. 47 (citations omitted). 2. Courts must “read the contract as a whole, giving the words used their ordinary grammatical meaning, consistent with the surrounding circumstances known to the parties at the time of formation of the contract”: Sattva , at para. 47; Corner Brook , at para. 20. 3. The surrounding circumstances should be considered in contractual interpretation. “[A]scertaining contractual intention can be difficult when looking at words on their own, because words do not have an immutable or absolute meaning”: Sattva , at para. 47. The meaning of words in a contract often derives from contextual factors, such as the purpose of the agreement and the nature of the relationship it creates: Sattva , at para. 48. A contract is not made in a vacuum and must be placed in its proper setting. Interpreting a commercial contract requires knowledge of the commercial purpose of the contract, based on “the genesis of the transaction, the background, the context, the market in which the parties are operating”: Sattva , at para. 47, citing Reardon Smith Line Ltd. v. Hansen-Tangen ; Hansen-Tangen v. Sanko Steamship Co. , [1976] 3 All E.R. 570 (U.K. H.L.), at p. 574, per Lord Wilberforce. 4. The nature of the evidence that may be considered as part of the surrounding circumstances will vary from case to case, but should include only “objective evidence of the background facts at the time of the execution of the contract”, that is, “knowledge that was or reasonably ought to have been within the knowledge of both parties at or before the date of contracting”. That determination is inherently fact specific: Sattva , at paras. 55, 58 (citation omitted); Corner Brook , at para. 20. 5. The surrounding circumstances should never be allowed to overwhelm the words of the agreement. The surrounding circumstances are considered in order “to deepen a decision-maker’s understanding of the mutual and objective intentions of the parties as expressed in the words of the contract. The interpretation of a written contractual provision must always be grounded in the text and read in light of the entire contract”. Courts cannot use the surrounding circumstances to deviate from the text of the contract to the point that the court “effectively creates a new agreement”: Sattva , at para. 57; Corner Brook , at para. 20. [47] I will now apply these principles to Ontario and OLG’s four contractual interpretation arguments. (c) Ontario and OLG’s contractual interpretation arguments (i) Did the appeal judge ignore Ontario and OLG’s limited payment obligation under the Agreement? [48] First, Ontario and OLG assert that both the appeal judge and the majority ignored their limited payment obligation under the Agreement. They say several provisions of the Agreement confirm that they only have to pay the First Nations Partnership 1.7% of gaming revenue, non-gaming revenue, and Comps received by OLG, so they do not have to pay any of the non-gaming revenue or Comps for the non-gaming amenities outsourced to private operators. They rely on: · s. 2.2(a), which requires them to pay “1.7% of the aggregate Gross Revenues for all Agents of the Province in the applicable Preceding Fiscal Year”; · s. 1.1(f), the definition of “Agent of the Province”, which includes OLG but excludes “any operator” that OLG “may hire to operate any gaming facility or to operate the conduct and [management] of such lottery schemes for or on behalf of the Province, OLG or such other agency of the Province”; and · Schedule 1.1(nn), which provides that “Gross Revenues” means, in respect of an Agent of the Province, revenue reported on the audited Consolidated Financial Statements of that Agent of the Province but does not include revenues “received … [but] not retained to the final account of the Province, OLG or any such other Agent of the Province.” [49] This argument was carefully considered and, in my view, correctly rejected by the appeal judge and the majority of the arbitration panel. Both highlighted that Schedule 1.1(nn) expressly lists the three components of “Gross Revenues” as consisting of the revenues of an Agent of the Province generated from gaming revenue, non-gaming revenue, and Comps, even though Comps are not revenues received by OLG but are expenses. In other words, under the Agreement, revenue need not be received by OLG to be included as “Gross Revenues” for revenue sharing purposes. As the majority stated, and the appeal judge affirmed: Schedule 1.1(nn) provides that for the purposes of the [Agreement], Gross Revenues of OLG are made up of the [gaming revenue] as well as ancillary [non-gaming revenue] and Comps generated by the gaming conducted and managed by OLG as Agent of Ontario in 2008 . These three components are the base on which the [First Nations Partnership] share of 1.7% annually is calculated for the term of the [Agreement]. Comps are included in the base, although they are not revenues received by OLG. That was the shared understanding of the parties in 2008. [Emphasis added.] [50] The use of the year 2008 to determine the revenue and deemed revenue included as “Gross Revenues” arises from s. 2.4(c) of the Agreement, which requires OLG to calculate Gross Revenues “in accordance with the accounting practices and principles applied by OLG at the Effective Date”, the date of the Agreement — February 19, 2008. The parties agree that, on February 19, 2008, OLG included both non-gaming revenue and Comps as part of “Gross Revenues”, even though Comps were not received or retained by OLG. This date provided a benchmark for, or “snapshot” of, what was included as part of Gross Revenues. As the majority of the arbitration panel explained: The reference in Schedule 1.1(nn) to what is reported in the “Segmented Information notes in the notes to, or as otherwise reported in, the audited Consolidated Financial Statements of that Agent of the Province” is a statement about the “snapshot” at the time the [Agreement] was made. That “snapshot” simply describes the components on which the payments owed to [the First Nations Partnership] are to be based. The words reflect the shared understanding of the parties in 2008, when the [Agreement] was made, of the sources of revenue to be shared with the First Nations. There is no language in Schedule 1.1(nn) nor any evidence of a shared intention of the parties in 2008, that this reference referred to what might appear in the audited Consolidated Financial Statements as they might be from time to time in future years. [51] The appeal judge found this interpretation to be commercially reasonable — and Ontario and OLG’s interpretation commercially unreasonable — because “[i]t would not be commercially reasonable to interpret the [Agreement] in a manner that allows OLG to turn off two of three revenue ‘taps’ because it can make a better deal in the private sector.” I agree. [52] The appeal judge also found the majority’s interpretation was “purposive”, and Ontario and OLG’s interpretation to be “non-purposive and technical”, because the majority considered the historical and relationship factors that underpinned the Agreement — to provide First Nations in Ontario with resources derived from lottery schemes in Ontario conducted and managed by Ontario, directly or indirectly, to advance their economic growth and development. Again, I agree. [53] I would add that it is inconceivable that the shared understanding of the parties when they entered the Agreement was that OLG, by outsourcing to private parties two of the three revenue sources in the definition of “Gross Revenues”, could pay First Nations nothing on account of these sources. I say this for two reasons. First, First Nations had agreed to settle a $2 billion claim in exchange for the Agreement to obtain stable funding for their communities. Part of that stability arose from having three carefully defined and locked-in revenue sources. Second, when the parties agreed to the Agreement they did not contemplate that it was legally possible for OLG to outsource responsibility for its non-gaming amenities to private operators. The scenario of paying nothing for outsourced non-gaming amenities thus could not have been within the reasonable contemplation of the parties. As the appeal judge found: In 2008 when the [Agreement] was entered into, OLG did not contemplate that it could transfer responsibility for non-gaming amenities exclusively to private operators. It was only in 2011, as OLG conducted its strategic business review, that it concluded that OLG was permitted to fully outsource the provision of non-gaming amenities. This shift in OLG’s operational model was presented to and approved by the provincial Cabinet. [54] It follows that I would reject Ontario and OLG’s argument that the definition of “Agent of the Province” makes clear that the revenue of private third-party service providers to whom non-gaming amenities were outsourced after 2008 are excluded from “Gross Revenues”. As already noted, the parties did not contemplate the outsourcing of non-gaming amenities to be legally possible in 2008. Moreover, s. 10.10(b) of the Agreement confirms Ontario and OLG’s ongoing revenue-sharing obligations if the Province reorganizes how it conducts and manages gaming. Lastly, evidence in the record suggests that the reference to private third-party operators in the definition of “Agent of the Province” was directed at excluding the revenue of four private resort casinos that OLG operated through private operators at the time the Agreement was agreed to. [55] I therefore see no error in how the appeal judge or the majority interpreted Ontario and OLG’s payment obligation under the Agreement. (ii) Did the appeal judge fail to read the Agreement as a whole? [56] Second, Ontario and OLG assert that the appeal judge and the majority ignored other important terms of the Agreement — the non-derogation and final account clauses — and thus erred in law by failing to read the Agreement as a whole. [57] Non-derogation clause (s. 10.1) . Ontario and OLG contend that the majority and appeal judge erred by ignoring the non-derogation clause. This provision preserves for Ontario and OLG full discretion and control over the conduct and management of OLG’s business, without guaranteeing a minimum level of revenue, any obligation on Ontario or OLG to continue to operate any particular business, or any obligation to make additional payments to the First Nations Partnership for a reduction in revenue because of a business change (s. 10.1(b)(i)). Nor does the First Nations Partnership have any interest in any lottery scheme or any assets of Ontario or OLG (s. 10.1(b)(ii)). Ontario and OLG contend that nothing in the Agreement gives the First Nations Partnership a separate and ongoing right to receive a share of the revenue or value of Comps from non-gaming activities that OLG was operating in 2008, if OLG stops operating those businesses, receiving that revenue, or providing those Comps. [58] I do not accept this submission. The majority expressly considered the non‑derogation clause, concluding it contemplated that “there may be internal reorganizations of OLG but, notwithstanding that, the contractual rights of [the First Nations Partnership] remain intact.” The majority noted that “no one contests OLG’s right to modernize”, but “that does not give it the right to shed its obligations to [the First Nations Partnership]… [M]odernization does not displace [the] payment obligation. It coexists with it. By ceasing to pay amounts equal to 1.7% annually of [non-gaming revenue] and Comps, OLG and Ontario have breached the [Agreement].” For his part, the appeal judge noted that Ontario and OLG repeated submissions “made before the arbitration panel that were considered and rejected by the majority who provided reasonable reasons for rejecting” them. I see no basis to impugn these conclusions or for this court to intervene. [59] Final account clause (s. 1(f) of Schedule 1.1(nn)) . The final account clause, which forms part of the definition of Gross Revenues, provides that “Gross Revenues shall not include any revenues received by the Province, OLG or any other Agent of the Province … to the extent that, such revenues so received are not retained to the final account of the Province, OLG or any such other Agent of the Province.” Ontario and OLG say the majority wrongly determined that this provision was of no assistance, and thus disregarded it. They say this provision helps in interpreting the scope of Gross Revenues, which must be revenues received by OLG and Ontario. They claim OLG has never recognized, let alone retained, third-party revenues generated at outsourced sites, which are expressly excluded by s. 1(f) of Schedule 1.1(nn). [60] I do not agree with this submission. At first instance, all parties agreed the final account clause did not apply here and both Ontario and OLG stated in argument that they did not rely on the clause. Ontario’s counsel stated that the final account clause was “not an issue in this case because we are not relying on this ‘received but not retained’ clause to try to exclude revenue. We are not carving out or diverting using that provision.” The majority accepted this view, noting “the parties agree [this clause] is of no assistance here, because it addresses revenues received by OLG but not retained. That is not this case.” I agree. This case does not involve revenue being received by Ontario or OLG and then being diverted to third parties to avoid a payment obligation to the First Nations Partnership. There was thus no need for the arbitrators or the appeal judge to consider this clause any further. (iii) Did the appeal judge ignore the entire agreement clause and allow the extrinsic evidence to overwhelm the words of the Agreement? [61] Third, Ontario and OLG assert that the appeal judge and majority erred in law by admitting the pre-contractual negotiations into evidence — especially evidence of Ontario’s negotiator, former Minister Bryant, to the effect that Ontario and OLG’s diversion of the non-gaming revenue stream and the termination of the payment of an amount equal to Comps, two of the three revenue streams referred to in the Agreement, conflicted with the parties’ shared understanding. Ontario and OLG also argue that an “entire agreement” clause, s. 1.10, precludes reliance on any pre-contractual warranty, representation, opinion, advice, or assertion of fact. [62] I do not agree with this submission. An entire agreement clause alone does not prevent a court from considering admissible evidence of the surrounding circumstances at the time of contract formation. As already noted, the surrounding circumstances are relevant in interpreting a contract exactly because “words alone do not have an immutable or absolute meaning”: Sattva , at para. 47. Relevant background and context are often essential to understand contractual language. I therefore agree with the following observations of Fraser C.J. for a majority of the Court of Appeal of Alberta in IFP Technologies (Canada) v. EnCana Midstream and Marketing , 2017 ABCA 157, 53 Alta. L.R. (6th) 96, at para. 124, leave to appeal refused, [2017] S.C.C.A. No. 303: The mere existence of an “entire agreement” provision does not mean that the words chosen beyond that entire agreement provision admit of one interpretation only. The purpose of considering the surrounding circumstances is not to add to, contradict or vary the terms of the agreement but rather use them as an interpretive aid to determine the meaning of the words in dispute. Where parties have concluded an agreement and a court is left to sort out the parties’ objective intentions, it cannot be prevented from considering the surrounding circumstances by a provision that is itself based on the assumption that the agreement is clear — when it is not. [63] The relevant question, then, is whether the evidence considered by the majority was properly part of the surrounding circumstances. I again agree with Fraser C.J., that “[d]etermining what constitute properly surrounding circumstances is a question of fact”: IFP Technologies , at para. 83; see also Sattva , at paras. 49-55, 58; Corner Brook , at para. 44; and Kilitzoglou v. Curé , 2018 ONCA 891, 143 O.R. (3d) 385, at para. 37. Such a question of fact is outside this court’s jurisdiction, because the parties agreed to limit any appeals to questions of law or mixed fact and law: Agreement, s. 9.2. [64] Even assuming, without deciding, that this is one of the “rare” or “uncommon” circumstances where a question of law can be extricated from the interpretation process ( Sattva , at para. 55; Corner Brook , at para. 44), I see no error in how the surrounding circumstances were considered. These circumstances helped to place the Agreement in its proper setting and understand the genesis of the transaction, the background, and the context. They included the parties’ history of litigation over revenue sharing; their shared objective of locking‑in three identified revenue streams to ensure stable, predictable, long-term funds for First Nations’ communities; and Ontario’s commitment not to convert revenues received to the final account of the Province into revenues that were not. Such evidence was admissible to show the parties’ objective mutual intention and the background facts leading to the Agreement. In my view, the surrounding circumstances were not used to overwhelm the words of the agreement or to deviate from the text to create a new agreement: see Sattva , at para. 57. [65] I therefore agree with the appeal judge, that “[w]hile the majority considered the surrounding circumstances, its interpretation of the [Agreement] was firmly rooted in the actual wording of the agreement”. The surrounding circumstances or matrix of facts were not determinative in interpreting the Agreement one way or the other: see Corner Brook , at para. 57. [66] To conclude, I see force in the submission of the First Nations Partnership that Ontario and OLG have presented a “matrix-free” case — one that ignores the circumstances leading to the Agreement and the parties’ common objectives in entering this new long-term agreement to advance the growth and capacity of First Nations’ communities. I am not inclined to adopt such a “matrix-free” approach. (iv) Did the appeal judge err in awarding damages? [67] Finally, in the alternative, OLG submits that if the appeal judge was correct in holding that Ontario and OLG breached the Agreement, he failed to correct errors in the damages awarded. OLG says the majority’s order that Ontario and OLG pay 1.7% of non-gaming revenue and Comps at all gaming facilities in Ontario is not compensatory but instead gives the First Nations Partnership a windfall — it puts it in a better position than it would have been in had the Agreement been performed, because modernization is projected to generate more revenue and therefore greater payments to the First Nations Partnership. OLG says the proper measure of damages is to put the First Nations Partnership in the position it would have been in but for the breach, based on OLG’s reasonable expectations of lower projected revenue before modernization. On OLG’s approach, the First Nations Partnership’s damages should be zero. [68] I do not accept this submission. In my view, the appeal judge appropriately affirmed the majority’s damages order. Under the expectation measure of damages for contractual breach, the First Nations Partnership had a right to be put in the position it would have been in had the Agreement been performed: see Bank of America Canada v. Mutual Trust Co. , 2002 SCC 43, [2002] 2 S.C.R. 601, at paras. 26-27; Dasham Carriers Inc. v. Gerlach , 2013 ONCA 707, 313 O.A.C. 95, at paras. 17, 28-30. Ontario and OLG breached the Agreement by failing to pay the First Nations Partnership the agreed upon 1.7% of gaming revenue, non-gaming revenue, and Comps from gaming sites conducted and managed by OLG. The majority’s award, as affirmed by the appeal judge, requires Ontario and OLG to pay exactly that amount. [69] Such an award does not overcompensate the First Nations Partnership and gives it only what it bargained for under the Agreement. As the majority held, and the appeal judge affirmed: “[The First Nations Partnership] bargained for a percentage of [gaming revenue, non-gaming revenue], and Comps. If the value of any one of those ‘streams’ goes up or down, [the First Nations Partnership] is entitled to the increased benefit or required to suffer the loss that results. This is not a net benefit exercise.” I see no error in that reasoning or conclusion. [70] I would also reject OLG’s claim that any damages should be limited to the value of non-gaming revenue and Comps that the First Nations Partnership would have received had OLG not modernized. OLG did not breach the Agreement through modernization. It breached the Agreement when it stopped paying the First Nations Partnership two of the three agreed upon types of revenue. I see no basis to intervene with the appeal judge’s conclusion that the majority’s award compensates for that breach. Issue #3: Did the appeal judge err in applying the honour of the Crown? [71] Finally, Ontario and OLG claim that the appeal judge erred in agreeing with the majority that the honour of the Crown was relevant to the interpretation of the Agreement. [72] The honour of the Crown is “a foundational principle of Aboriginal law and governs the relationship between the Crown and Aboriginal peoples”: Mikisew Cree First Nation v. Canada (Governor General in Council) , 2018 SCC 40, [2018] 2 S.C.R. 765, at para. 21. It obliges servants of the Crown to “conduct themselves with honour when acting on behalf of the sovereign” with Aboriginal peoples: Manitoba Métis Federation Inc. v. Canada (Attorney General) , 2013 SCC 14, [2013] 1 S.C.R. 623, at para. 65. The ultimate purpose of the honour of the Crown is “the reconciliation of pre-existing Aboriginal societies with the assertion of Crown sovereignty”: Manitoba Métis Federation , at para. 66; R. v. Desautel , 2021 SCC 17, 456 D.L.R. (4th) 1, at paras. 22, 30; and Newfoundland and Labrador (Attorney General) v. Uashaunnuat (Innu of Uashat and of Mani-Utenam) , 2020 SCC 4, 443 D.L.R. (4th) 1, at paras. 22-24. [73] Ontario and OLG claim the Agreement is a commercial agreement that does not engage the honour of the Crown. They note the Agreement expressly states it is not a treaty and does not create any treaty or fiduciary relationship between the Crown and Aboriginal peoples. They also contend the appeal judge erred by ruling that the Agreement represented “the reconciliation of the constitutionally protected Aboriginal right of self-government, which includes jurisdiction over gaming, with the Crown’s sovereignty over gaming under the Criminal Code .” Ontario and OLG note that no such right has been recognized by a Canadian court or by the arbitration panel, nor was this issue meaningfully argued before the appeal judge. [74] For its part, the First Nations Partnership says that neither the arbitration panel nor the appeal judge relied on the honour of the Crown in reaching their decisions. It asserts that because their observations on this point were expressly identified as obiter dicta , this ground of appeal should fail. However, if the court is inclined to address this point, it submits that the Agreement does engage the honour of the Crown, which is always at stake in the Crown’s dealings with Aboriginal peoples. It claims the Agreement is not merely a commercial agreement but a government-to-government agreement, forged in partnership and negotiated in solemn gatherings between the Crown and First Nations conducted in accordance with First Nations’ traditions. It submits that although First Nations have an inherent right to self-government, whether that right includes jurisdiction over gaming was not before the arbitration panel or appeal judge and is not in issue in this case. It says this important issue should not be decided without a full factual record and complete argument. [75] I would decline to address the honour of the Crown on the facts of this case, for two reasons. First, both the majority of the arbitration panel and the appeal judge expressly noted that their comments on the honour of the Crown were obiter and thus unnecessary for their rulings. A court should generally refrain from addressing a legal issue, and especially a constitutional issue, that is unnecessary to dispose of a case: Phillips , at paras. 6-9; R. v. Drury , 2020 ONCA 502, 391 C.C.C. (3d) 18, at para. 84. A policy of restraint is desirable because “unnecessary constitutional pronouncements may prejudice future cases, the implications of which have not been foreseen”: Phillips , at para. 9. [76] Second, as explained above, the appeal judge did not err in dismissing the appeals based on ordinary principles of contractual interpretation, without recourse to the honour of the Crown doctrine. [77] Thus, quite apart from the honour of the Crown, I conclude the appeal judge made no reviewable error in dismissing the appeals based on ordinary principles of contractual interpretation. CONCLUSION [78] I would dismiss the appeals. [79] If the parties cannot agree on costs of the appeals, the First Nations Partnership may file written submissions of up to three pages and a bill of costs within seven days of this decision. Ontario and OLG may each do likewise within a further seven days. Released: September 1, 2021 “J.M.F.” “M. Jamal J.A.” “I agree. Fairburn A.C.J.O.” “I agree. P. Lauwers J.A.” Appendix – Relevant Contractual Provisions Gaming and Revenue Sharing and Financial Agreement (“Agreement”) Preamble: WHEREAS the Province and First Nations in Ontario, acting through [the First Nations Partnership], have agreed to enter into this Gaming Revenue Sharing and Financial Agreement with the objective of advancing the growth and capacity of First Nations in Ontario in respect of community development, health, education, economic development and cultural development. AND WHEREAS in furtherance of this objective it is the intention of the Province and First Nations in Ontario to maintain an on-going relationship for so long as the Province is involved directly, or indirectly through an Agent of the Province, in conducting and managing Lottery Schemes in Ontario. NOW THEREFORE in consideration of the mutual covenants and agreements contained in this Agreement and other good and valuable consideration (the receipt and sufficiency of which are hereby acknowledged), the parties hereto agree, as follows: 1.1 Definitions (f) “Agent of the Province” means any agency of the Province, including OLG, that conducts and manages a lottery scheme under the authority of section 207(1)(a) of the Criminal Code , and includes the Province itself if the Province conducts or manages any such lottery scheme directly but, for greater certainty, does not include any operator that the Province, OLG or any other agency of the Province that conducts and manages such lottery schemes may hire to operate any gaming facility or to operate the conduct and manage of such lottery schemes for or on behalf of the Province, OLG or such other agency of the Province. (nn) “Gross Revenues” has the meaning attributed to that term in Schedule 1.1(nn). (rr) “Initial Term” has the meaning attributed to that term in section 8.1. (bbb) “Lottery Scheme” means a lottery scheme conducted and managed by the Province or any Agent of the Province, under the authority of section 207(1)(a) of the Criminal Code . (ccc) “Monthly Revenue Share Payment” or “MRSP” has the meaning attributed to that term in section 2.2(a). (bbbb) “Province” means Her Majesty the Queen in right of Ontario. (dddd) “Renewal Term” means the five year period commencing on the next date after the date of expiration of the Initial Term and ending on the date that is the 5th anniversary of the date of expiration of the Initial Term. …. 1.10 Entire Agreement This agreement and the Closing Agreement constitute the entire agreement between the parties pertaining to the subject matters herein. There are no warranties, conditions, or representations (including any that may be implied by statute) and there are no agreements in connection with such subject matters except as specifically set forth or referred to in this Agreement and the Closing Agreement. No reliance is placed on any warranty, representation, opinion, advice or assertion of fact made either prior to, contemporaneous with, or after entering into this Agreement, or any amendment or supplement thereto, by any party to this Agreement or its partners, directors, officers, employees or agents, to any other party to this Agreement or its partners, directors, officers, employees or agents, except to the extent that the same has been reduced to writing and included as a term of this Agreement, and none of the parties to this Agreement has been induced to enter into this Agreement or any amendment or supplement by reason of any such warranty, representation, opinion, advice or assertion of fact. Accordingly, there shall be no liability, either in tort or in contract, assessed in relation to any such warranty, representation, opinion, advice or assertion of fact, except to the extent contemplated above. 2.2 Monthly Gaming Revenue Share Payments (a) Commencing with Fiscal Year 2012, and in each Fiscal Year thereafter during the Initial Term and the Renewal Term, the Province shall pay, or cause an Agent of the Province to pay, to [the First Nations Partnership], 12 monthly payments (the monthly payments payable each month by the Province, or any Agent of the Province, being hereinafter collectively referred to as a “Monthly Revenue Share Payment” or “MRSP” ), each MRSP being in the aggregate equal to one-twelfth of 1.7% of the aggregate Gross Revenues for all Agents of the Province in the applicable Preceding Fiscal Year. (d) Upon delivery of the Unaudited Gross Revenues Statement in accordance with section 2.2(c)(i) and the Audited Gross Revenues Statement pursuant to section 2.2(c)(ii), OLG shall, and the Province shall cause each other Agent of the Province, to make, at the request of [the First Nations Partnership], the respective finance personnel of OLG or that Agent of the Province, including, in the case of the Audited Gross Revenues Statement, their respective independent auditors, as applicable, available to [the First Nations Partnership] and [the First Nations Partnership’s] accounting advisors, within the 20 day period referred to in section 2.2(f), to discuss in good faith such statements of OLG or of that Agent of the Province, as the case maybe. 2.4 Changes in Accounting Procedures (a) In the event that during the course of any Fiscal Year there has been a change in any applicable accounting practice or principle of the Province, OLG or any other Agent of the Province, which change affects the determination of Gross Revenues, the Province, OLG or such other Agent of the Province shall deliver a written notice of such change to [the First Nations Partnership] in sufficient detail in order for [the First Nations Partnership] to understand such change. For the purposes of this section 2.4, a “change in any applicable accounting practice or principle” shall mean any change in any accounting practice or principle related to the recognition of Gross Revenues by the Province or OLG from those accounting practices or principles applied by the Province or OLG in respect of the recognition of Gross Revenues from the Lottery Schemes conducted and managed by OLG at the Effective Date, as reported in the Consolidated Financial Statements of OLG. For greater certainty, a change in any applicable accounting practice or principle does not include the determination of any accounting practice or principle that may be applied by the Province, OLG or any other Agent of the Province to any new Lottery Schemes that the Province, OLG or any other Agent of the Province may commence to conduct and manage from and after the Effective Date, which determination of accounting practices and principles applicable to such new Lottery Schemes commenced after the Effective Date shall be at the sole discretion of the Province, OLG or such other Agent of the Province, as the case may be. 2.5 Provincial Levies, including Taxes and WIN Contributions (a) Subject to sections 2.5(b) and 2.5(c), the Province affirms and agrees that the receipt by [the First Nations Partnership] or the [First Nations Partnership] Partners of all or any portion of the $201 Million Payment or any Monthly Revenue Share Payments shall not be reduced by any Levy of the Province or any agency of the Province with the jurisdiction and power to impose such a charge acting under the authority of the Province, including the WIN Contribution. If it is determined that any Levy of the Province becomes payable by [the First Nations Partnership] or any [First Nations Partnership] Partner on the receipt by [the First Nations Partnership] or such [First Nations Partnership] Partner of all or any portion of the $201 Million Payment or any Monthly Revenue Share Payments, and [the First Nations Partnership] and/or such [First Nations Partnership] Partners have complied with their obligation to pay such Levy and no remission is available to them, then the Province shall pay to [the First Nations Partnership] or such [First Nations Partnership] Partners an amount equivalent to the Levy of the Province so paid by each of [the First Nations Partnership] or such [First Nations Partnership] Partners respectively. (b) The Province and [the First Nations Partnership] acknowledge and agree that the affirmation and agreement of the Province set out in section 2.5(a) does not apply to any Levy of an Authority related directly or indirectly to any right, title or interest in and to, or any use, expenditure, investment or application of, the $201 Million Payment or the Monthly Revenue Share Payments after receipt thereof by [the First Nations Partnership] or the [First Nations Partnership] Partners or to any income, revenue or appreciation of value received or realized by [the First Nations Partnership] and/or [a First Nations Partnership] Partner directly or indirectly related to or derived from the use, expenditure, investment or application of the $201 Million Payment or the Monthly Revenue Share Payments after the receipt thereof by [the First Nations Partnership] or [a First Nations Partnership] Partner, including such Levies of any Authority imposed on, measured by or referred to as, income, land transfer, sales, goods and services, use, consumption, capital, value added, excise, stamp, withholding, business, wealth, estate, franchising, property, development, occupancy, employer benefit, payroll, workers compensation, health, social services, education or social securities taxes. (c) [The First Nations Partnership] acknowledges that the Federal Government of Canada, or any agent or Authority of the Federal Government of Canada, may be obliged to apply a Levy of the Province or any Levy created by an agency of the Province with the jurisdiction and power to impose such a charge acting under the authority of the Province to the receipt by [the First Nations Partnership] or [First Nations Partnership] Partners of all or any portion of the $201 Million Payment or any Monthly Revenue Share Payments. In such event, and provided that [the First Nations Partnership] or the [First Nations Partnership] Partners have complied with their obligation to pay such Levy and no remission is available to them, then the Province shall pay to [the First Nations Partnership] or such [First Nations Partnership] Partners an amount equivalent to such Levy of the Province paid by each of [the First Nations Partnership] or such [First Nations Partnership] Partners respectively. 2.6 OLG Board Membership [The First Nations Partnership] shall have the right to have a representative of [the First Nations Partnership] appointed by the Province as a member of the board of directors of OLG in accordance with and pursuant to the procedures of the Province for making such appointments. Any nominee of [the First Nations Partnership] must comply with the criteria established for service as a member of the board of directors of OLG. [The First Nations Partnership] shall require any appointee that subsequently ceases to comply with such approved criteria to resign immediately, failing which the Province shall be entitled to terminate such appointee as a member of the board of directors of OLG. 8.1 Initial Term The initial term (the “Initial Term”) of this Agreement shall commence upon the Effective Date and shall include all days up to but not including the date that is the 20th anniversary of the Effective Date, unless terminated earlier. 8.2 Renewal Term Commencing on the date that is one year prior to the commencement date of the Renewal Term, [the First Nations Partnership] and the Province shall negotiate in good faith what amendments, if any, should be made to this Agreement (as may have been amended from time to time during the Initial Term) for the Renewal Term. If [the First Nations Partnership] and the Province cannot agree on what amendments, if any, should be made to this Agreement for the Renewal Term, then this Agreement shall continue in force and effect, unamended, during the Renewal Term, unless terminated earlier. …. 9.2 Dispute Resolution In the event that an acceptable resolution of the Dispute is not achieved pursuant to section 9.1 and the party giving notice wishes to resolve the matter, then the matter shall be referred for determination in accordance with Schedule 9.2, which sets out the sole and exclusive procedure for the resolution of such Disputes. The award of any arbitration shall be appealable by the parties to the appropriate Ontario court on questions of law, or questions of mixed fact and law, including, without limitation, matters of process and procedure. The Arbitrators, as part of their award, may award costs of the arbitration, in their discretion, having regard to the success achieved, the good faith of the parties, the encouragement of good faith discussions to resolve matters and other relevant factors. 10.1 Non-derogation (a) Nothing expressed or implied in this Agreement shall be construed so as to affect in any manner the jurisdiction of the Province to conduct and manage, and to control, licence, administer and regulate in the Province of Ontario, the conduct and management of activities pursuant to section 207 of the Criminal Code. (b) Nothing expressed or implied in this Agreement shall: (i) oblige the Province or OLG or any other Agent of the Province to conduct and manage or to continue to conduct and manage or provide for the operation of any lottery scheme or any other activity or any facility, including any casinos; (ii) create any interest in favour of the First Nations in Ontario, [the First Nations Partnership’s predecessor], [the First Nations Partnership], any [First Nations Partnership’s predecessor] Partner, any [First Nations Partnership] Partner or the Chiefs of Ontario in or to any Lottery Schemes or in or to any assets of the Province or of OLG or any other Agent of the Province, including any casinos, casino assets or other lottery or gaming related assets; or (iii) limit the right of the Province or OLG or any other Agent of the Province to conduct and manage activities under section 207 of the Criminal Code in their sole and absolute discretion in accordance with Applicable Laws. (c) Nothing in this Agreement shall abrogate or derogate from the application and operation of Section 35 of the Constitution Act, 1982 to or in respect of aboriginal or treaty rights. (d) Subject to the terms of section 6.2 of this Agreement and the Closing Agreement, nothing in this Agreement, including any of the payments required under this Agreement, shall adversely affect, diminish or derogate from any policy, program or statutory entitlement or benefit funded or provided by the Province to which any one or more [First Nations Partnership’s predecessor] Partner, [First Nations Partnership] Partner, or any member of [a First Nations Partnership’s predecessor] Partner or [a First Nations Partnership] Partner, was entitled at the Effective Date. For the purposes of this section 10.1(d), a policy, program or statutory entitlement or benefit is not adversely affected where a negative effect or reduction of expenditure is based primarily on reasons other than the receipt of funds under this Agreement or the [First Nations Partnership Partnership] Agreement. (e) Nothing contained in this Agreement shall: (i) be deemed or construed or interpreted to constitute any form of business relationship or to constitute any party hereto a partner, joint venturer or any other form of business associate of the other; (ii) constitute any party hereto the agent or legal representative of any other party hereto; (iii) create any fiduciary or other similar relationship between any of the parties; or (iv) be deemed to constitute any kind of treaty or treaty relationship between the Province and First Nations in Ontario within the meaning of Section 35 of the Constitution Act, 1982 . 10.10 Assignment (b) [The First Nations Partnership] acknowledges and agrees that the Province may cause an internal reorganization of the Government of Ontario or Agents of the Province that may affect OLG and other Agents of the Province and may result in the assignment by OLG of its rights and obligations under this Agreement to another Agent of the Province or to the Province. The Province acknowledges that, notwithstanding any such internal reorganization of the Government of Ontario or any Agent of the Province, including OLG, Her Majesty the Queen in Right of the Province of Ontario and any Agent of the Province that replaces OLG, shall remain bound by the obligations and agreements and shall be entitled to the rights, remedies and benefits of the Province or OLG, as the case may be, under this Agreement. *** SCHEDULE 1.1(nn) GROSS REVENUES 1. For purposes of this Agreement, “Gross Revenues” means, in respect of an Agent of the Province (including OLG), the revenues of that Agent of the Province, before the deduction of promotional allowances, as reported in the Segmented Information notes in the notes to, or as otherwise reported in, the audited Consolidated Financial Statements of that Agent of the Province and generated from the following: (a) Lotteries, including on-line games, sports games, instant games and bingo gaming; (b) Slot machines and table games at casinos and racetracks; and (c) Non-gaming activities ancillary to the conduct and management of Lottery Schemes, including hotel, food, beverage and other services, including the retail value of accommodation, food and beverage services and other services provided to gaming patrons on a complimentary basis. Notwithstanding the foregoing and for greater certainty: (d) Gross Revenues generated from lotteries, slot machines and table games and non-gaming activities as set out above shall, for the purposes of this Agreement, be determined in accordance with the OLG revenue recognition accounting practices and principles set out in section 2 of this Schedule 1.1(nn) notwithstanding any changes from and after the date of this Agreement in such accounting practices or principles by OLG or any other Agent of the Province, provided that If any particular accounting practice or principle is not addressed in section 2 of this Schedule 1.1(nn), that accounting practice or principle applied by OLG as at March 15, 2006 shall be used. (e) Gross Revenues shall include any revenues generated front the conduct and management of any Lottery Scheme in existence as of March 15, 2006 and any Lottery Scheme which is a new product offering for the Province or any Agent of the Province (for the purposes of this Schedule 1.1(nn), a “New Lottery Scheme”) that comes into existence from and after March 15, 2006, which revenues generated from such New Lottery Scheme shall be determined in accordance with the accounting practices and principles applied to such New Lottery Scheme in the sole discretion of the Province, OLG or any other Agent of the Province, as the ease may be, at the time such New Lottery Scheme comes into existence. (f) Gross Revenues shall not include any revenues received by the Province, OLG or any other Agent of the Province from the conduct and management of the Lottery Scheme, including such conduct and management at any gaming facility if, and to the extent that, such revenues so received are not retained to the final account of the Province, OLG or any such other Agent of the Province. 2. Revenue from lottery games, for which results are determined based on a draw, is recognized when the draw takes place. Revenue for future draws is deferred and recognized when the draw takes place. Revenue from instant games is recognized when the ticket is activated for play by the retailer. Revenue from sports wagering games and bingo gaming is recognized when the ticket is sold to the consumer. Tickets issued as a result of the redemption of free ticket prizes are not recorded as revenue. Gaming revenue from slot and table game operations represents the net win from gaming activities, which is the difference between amounts earned through gaming wagers less the payouts from those wagers. Non-gaming revenue includes revenue from hotel, food and beverage, entertainment centre and other services and is recognized at the time the services are rendered to patrons. This also includes the retail value of accommodations, food and beverage and other services provided to patrons on a complimentary basis. *** SCHEDULE 9.2 DISPUTE RESOLUTION DEFINITIONS 1. In this Schedule 9.2: (a) “Arbitrators” means the panel of three arbitrators appointed pursuant to paragraphs 6 and 7; (b) “Chair” means the chair appointed pursuant to paragraph 7; (c) “Claimant” means a Party that commences a dispute resolution pursuant to paragraph 4; (d) “Disputes” has the meaning attributed to such term in section 9.1 of the Agreement; (e) “Party” means a party to a Dispute; (f) “paragraph” means a paragraph of this Schedule 9.2; and (g) “Respondent” means a Party who is not the Claimant, and the term “Respondents” shall, where there is only one Respondent, refer to that Respondent. GENERAL 2. All Disputes which are to be determined according to the terms of this Schedule 9.2 pursuant to section 9.2 of the Agreement shall be arbitrated in accordance with the provisions of the Arbitration Act, 1991 , S.O. 1991, c. 17 (the “Arbitration Act”) except to the extent that those provisions are expressly modified by the provisions of the Agreement and this Schedule 9.2. 3. No individual shall be appointed to arbitrate a Dispute pursuant to this Schedule 9.2 unless he or she agrees in writing to be bound by the provisions of this Schedule 9.2. COMMENCEMENT OF DISPUTE RESOLUTION 4. A Party may commence a dispute resolution as Claimant by delivering a written notice of arbitration (the “Notice of Arbitration”) to each of the Respondents. 5. The Notice of Arbitration shall include in the text or in one or more attachments: (a) the full names, descriptions and addresses of the Parties; (b) a demand that the Dispute be referred to arbitration pursuant to this Schedule 9.2; (c) a general description of the Dispute; (d) the relief or remedy sought; and (e) the name of the person the Claimant nominates as an arbitrator. 6. The arbitrator nominated by the Claimant shall be independent of each Party and shall not be or have been in the employ of or on contract with the Claimant at any time and shall be qualified by education and experience to determine the subject matter of the Dispute. Such qualified arbitrator nominated by the Claimant shall be one of the panel of Arbitrators who will resolve the Dispute. Within 20 days of the date of receipt by the Respondent of the Notice of the Arbitration, the Respondents shall by notice to the Claimant, jointly appoint a second arbitrator to serve on the panel of Arbitrators who will resolve the Dispute, and the arbitrator nominated by the Respondents shall also be independent of each Party and shall not be or have been in the employ of or on contract with any respondent at any time and shall be qualified by education and experience to determine the subject matter of the Dispute. 7. Within 10 days of the appointment of the second arbitrator by the Respondents, the appointees of the Claimant and Respondents shall, by notice to the Parties, appoint a third and final arbitrator to act as chair of the Arbitrators, failing which a chair shall be appointed by a judge of the Superior Court of Justice of Ontario on the application of any Party on notice to all the other Parties. Such chair shall be independent of each Party and shall riot be or have been in the employ of or on contract with any Party at any time and shall be qualified by education and experience to determine the subject matter of the Dispute. 8. Subject to the Arbitration Act, the Agreement and this Schedule 9.2, the Arbitrators may conduct the arbitration in such manner as the Arbitrators consider appropriate. PLEADINGS 9. The following shall apply to the arbitration of any Dispute: (a) within 10 days of the appointment of the three Arbitrators, the Claimant shall deliver to all the Respondents and the Arbitrators a written statement (the “Statement”) concerning the Dispute setting forth, with particularity, the Claimant’s position with respect to the Dispute and the material facts upon which the Claimant intends to rely; (b) within 15 days after the delivery of the Statement, each Respondent shall deliver to the Claimant and the Arbitrators a written response (an “Answer”) to the Statement setting forth, with particularity, the Respondent’s position on the Dispute and the material facts upon which the Respondent intends to rely; (c) if any Respondent fails to deliver an Answer within the time limit in paragraph 9 (b), that Respondent shall be deemed to have waived any right to provide an Answer to the Statement and the arbitration may continue without further notice to that Respondent; (d) within 10 days after the earlier of: (i) the day all Answers have been delivered, and (ii) the 15th day referred to in paragraph 9(b), the Claimant may deliver to all the Respondents and the Arbitrators a written reply (a “Reply”) to the Answer of each Respondent, setting forth, with particularity, the Claimant’s response, if any, to the Answer; (e) within the time limit in paragraph 9(b), a Respondent may also deliver to the Claimant, each other Respondent and the Arbitrators a counter-statement (a “Counter-Statement”) setting forth, with particularity, any additional Dispute for the Arbitrators to decide. Within 15 days of the delivery of a Counter-Statement, the Claimant shall deliver to each Respondent and the Arbitrators an Answer to the Counter-Statement. If the Claimant fails to deliver an Answer to the Counter-Statement within such 15-day period, the Claimant shall be deemed to have waived any right to provide an Answer to the Counter-Statement. Within 10 days after the delivery of an Answer to the Counter-Statement, the Respondents may deliver to the Claimant and the Arbitrators a Reply to such Answer. Any Dispute submitted to arbitration in accordance with this paragraph 9(e) shall be governed by, and dealt with as if it were the subject of a Statement in accordance with, this Schedule 9.2, except that it shall be decided by the Arbitrators already appointed, and shall be determined by the Arbitrators accordingly; and (f) the time limits referred to in paragraphs 9(a) to 9(f) may be extended by the Chair for such period not to exceed an aggregate of 30 days for such reasons as the Arbitrators in the Arbitrators’ discretion may determine upon application in writing made to the Arbitrators by the Claimant or any Respondent on notice to each other Party to the arbitration, either before or within five days after the expiry of the relevant time limits and, in the event that the other Party or Parties wishes to oppose the application, the other Party or Parties shall be given an opportunity to make submissions on the application. The Parties to the Agreement have set the time limits in this paragraph 9 after due consideration of the amount of time necessary to complete each step and it is their express desire that no extension of any time limit shall be granted except in extraordinary circumstances, the onus for the proof of the existence of which lies on the Party seeking an extension. CASE CONFERENCES 10. Within 10 days of the appointment of the three Arbitrators, the Chair shall convene a case conference for the determination of any preliminary or interlocutory matter or to provide for planning and scheduling of the arbitration or to determine the timing or desirability of expert reports. [1] The formal name of OLG is Ontario Lottery and Gaming Corporation. Ontario is known formally in these proceedings as Her Majesty the Queen in right of Ontario. The First Nations Partnership is known formally as the Ontario First Nations (2008) Limited Partnership. [2] As noted above, u nder s. 9.2. of the Agreement, there may be an appeal from any arbitration award only on questions of law or questions of mixed fact and law; there is no provision for an appeal on questions of fact. [3] The Arbitration Act , R.S.B.C. 1996, c. 55, was repealed and replaced in 2020 by the Arbitration Act , S.B.C. 2020. Section 59(2) of the new Act likewise limits appeals to questions of law. [4] This court recently granted leave to appeal in another case involving an appeal from a commercial arbitration award that may consider whether Vavilov changed the standard of review principles in Sattva and Teal Cedar : see Tall Ships Landing Devt. Inc. v. City of Brockville , 2019 ONSC 6597 and Tall Ships Devt. Inc. v. City of Brockville , 2020 ONSC 5527, leave to appeal to Ont. C.A. granted, M51065 (July 22, 2021).
WARNING The President of the panel hearing this appeal directs that the following should be attached to the file: An order restricting publication in this proceeding under ss. 486.4(1), (2), (2.1), (2.2), (3) or (4) or 486.6(1) or (2) of the Criminal Code shall continue.  These sections of the Criminal Code provide: 486.4(1)       Subject to subsection (2), the presiding judge or justice may make an order directing that any information that could identify the victim or a witness shall not be published in any document or broadcast or transmitted in any way, in proceedings in respect of (a)     any of the following offences; (i)      an offence under section 151, 152, 153, 153.1, 155, 159, 160, 162, 163.1, 170, 171, 171.1, 172, 172.1, 172.2, 173, 210, 211, 213, 271, 272, 273, 279.01, 279.011, 279.02, 279.03, 280, 281, 286.1, 286.2, 286.3, 346 or 347, or (ii)      any offence under this Act, as it read at any time before the day on which this subparagraph comes into force, if the conduct alleged involves a violation of the complainant’s sexual integrity and that conduct would be an offence referred to in subparagraph (i) if it occurred on or after that day; or (iii)     REPEALED: S.C. 2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49). (b)     two or more offences being dealt with in the same proceeding, at least one of which is an offence referred to in paragraph (a). (2)     In proceedings in respect of the offences referred to in paragraph (1)(a) or (b), the presiding judge or justice shall (a)     at the first reasonable opportunity, inform any witness under the age of eighteen years and the victim of the right to make an application for the order; and (b)     on application made by the victim, the prosecutor or any such witness, make the order. (2.1) Subject to subsection (2.2), in proceedings in respect of an offence other than an offence referred to in subsection (1), if the victim is under the age of 18 years, the presiding judge or justice may make an order directing that any information that could identify the victim shall not be published in any document or broadcast or transmitted in any way. (2.2) In proceedings in respect of an offence other than an offence referred to in subsection (1), if the victim is under the age of 18 years, the presiding judge or justice shall (a) as soon as feasible, inform the victim of their right to make an application for the order; and (b) on application of the victim or the prosecutor, make the order. (3)     In proceedings in respect of an offence under section 163.1, a judge or justice shall make an order directing that any information that could identify a witness who is under the age of eighteen years, or any person who is the subject of a representation, written material or a recording that constitutes child pornography within the meaning of that section, shall not be published in any document or broadcast or transmitted in any way. (4)     An order made under this section does not apply in respect of the disclosure of information in the course of the administration of justice when it is not the purpose of the disclosure to make the information known in the community. 2005, c. 32, s. 15; 2005, c. 43, s. 8(3)(b); 2010, c. 3, s. 5; 2012, c. 1, s. 29; 2014, c. 25, ss. 22, 48; 2015, c. 13, s. 18. 486.6(1)       Every person who fails to comply with an order made under subsection 486.4(1), (2) or (3) or 486.5(1) or (2) is guilty of an offence punishable on summary conviction. (2)     For greater certainty, an order referred to in subsection (1) applies to prohibit, in relation to proceedings taken against any person who fails to comply with the order, the publication in any document or the broadcasting or transmission in any way of information that could identify a victim, witness or justice system participant whose identity is protected by the order. 2005, c. 32, s. 15. COURT OF APPEAL FOR ONTARIO CITATION: R. v. T.C., 2021 ONCA 595 DATE: 20210901 DOCKET: C67307 Paciocco, Nordheimer and Coroza JJ.A. BETWEEN Her Majesty the Queen Respondent and T.C. Appellant William Gilmour, for the appellant Katie Doherty, for the respondent Heard: August 31, 2021 by videoconference On appeal from the convictions entered on May 23, 2019 by Justice Gordon D. Lemon of the Superior Court of Justice sitting with a jury. REASONS FOR DECISION [1] T.C. appeals his convictions for sexual exploitation, sexual assault, and sexual interference. At the conclusion of the hearing, we dismissed the appeal with reasons to follow. We now provide our reasons. [2] The appellant was accused of sexually abusing his stepdaughter over a period of three years from the time when the stepdaughter was 13 until she was 16. It is alleged that the abuse occurred two to three times per week. [3] The appellant advances three grounds of appeal. First, he alleges that the trial judge erred in not allowing him to adduce evidence regarding a particular email that the stepdaughter had told her friends she had obtained from the appellant’s email account. The appellant wished to advance an argument that this email, along with some related messages, demonstrated the technical skill that the stepdaughter possessed that would have allowed her to fabricate certain earlier text messages that she had and that were placed into evidence. [4] The trial judge ruled that the emails were inadmissible. He noted that the emails were created some months after the appellant’s arrest and raised an issue that was collateral to the issues to be addressed in the trial. He also found that the emails were of little probative value. The trial judge consequently concluded that the emails were irrelevant and refused to allow them to be placed into evidence. [5] We do not see any error in the trial judge’s conclusion on this issue. We do not agree that the emails necessarily constituted a collateral matter since it is possible that the emails could have supported a suggestion of animus by the complainant. However, we would defer to the trial judge’s balancing of the probative value versus prejudicial effect of this evidence in respect of its admissibility. Lastly, we note that the refusal to admit these emails did not hamper the appellant’s ability to cross-examine the stepdaughter regarding the allegation that the much earlier text messages, that were put into evidence, had been fabricated by her. [6] The second ground of appeal is that the trial judge, in his instructions to the jury, improperly emphasized a particular piece of evidence, that is, a towel that was found by the police and that had the appellant’s DNA on it. We do not see any merit to this argument. The portion of the final instructions about which the appellant complains was part of the trial judge’s recitation of the Crown’s position at trial. The trial judge simply repeated what the trial Crown had advanced as a submission regarding the relevance of the towel and what the jury should take from it. The trial judge did not advance this submission himself nor did he, in any way, suggest that he agreed with it. We also note that a draft of the final instructions, with this portion included, was provided to counsel and no objection was made to it. [7] The third ground of appeal is that the trial judge erred in his answer to a question that the jury asked regarding a test that the complainant said she had undergone that related to her allegations. The trial judge properly told the jury that there was no evidence regarding the results of this test and that they should not speculate regarding it. We also note that the trial judge’s response to the question was the same in content that defence counsel had asked for as a response to the question. [8] For these reasons, the appeal was dismissed. “David M. Paciocco J.A.” “I.V.B. Nordheimer J.A.” “S. Coroza J.A.”
WARNING The judge hearing this motion directs that the following should be attached to the file: An order restricting publication in this proceeding under ss. 486.4(1), (2), (2.1), (2.2), (3) or (4) or 486.6(1) or (2) of the Criminal Code shall continue.  These sections of the Criminal Code provide: 486.4(1)       Subject to subsection (2), the presiding judge or justice may make an order directing that any information that could identify the victim or a witness shall not be published in any document or broadcast or transmitted in any way, in proceedings in respect of (a)     any of the following offences; (i)      an offence under section 151, 152, 153, 153.1, 155, 159, 160, 162, 163.1, 170, 171, 171.1, 172, 172.1, 172.2, 173, 210, 211, 213, 271, 272, 273, 279.01, 279.011, 279.02, 279.03, 280, 281, 286.1, 286.2, 286.3, 346 or 347, or (ii)      any offence under this Act, as it read at any time before the day on which this subparagraph comes into force, if the conduct alleged involves a violation of the complainant’s sexual integrity and that conduct would be an offence referred to in subparagraph (i) if it occurred on or after that day; or (iii)     REPEALED: S.C. 2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49). (b)     two or more offences being dealt with in the same proceeding, at least one of which is an offence referred to in paragraph (a). (2)     In proceedings in respect of the offences referred to in paragraph (1)(a) or (b), the presiding judge or justice shall (a)     at the first reasonable opportunity, inform any witness under the age of eighteen years and the victim of the right to make an application for the order; and (b)     on application made by the victim, the prosecutor or any such witness, make the order. (2.1) Subject to subsection (2.2), in proceedings in respect of an offence other than an offence referred to in subsection (1), if the victim is under the age of 18 years, the presiding judge or justice may make an order directing that any information that could identify the victim shall not be published in any document or broadcast or transmitted in any way. (2.2) In proceedings in respect of an offence other than an offence referred to in subsection (1), if the victim is under the age of 18 years, the presiding judge or justice shall (a) as soon as feasible, inform the victim of their right to make an application for the order; and (b) on application of the victim or the prosecutor, make the order. (3)     In proceedings in respect of an offence under section 163.1, a judge or justice shall make an order directing that any information that could identify a witness who is under the age of eighteen years, or any person who is the subject of a representation, written material or a recording that constitutes child pornography within the meaning of that section, shall not be published in any document or broadcast or transmitted in any way. (4)     An order made under this section does not apply in respect of the disclosure of information in the course of the administration of justice when it is not the purpose of the disclosure to make the information known in the community. 2005, c. 32, s. 15; 2005, c. 43, s. 8(3)(b); 2010, c. 3, s. 5; 2012, c. 1, s. 29; 2014, c. 25, ss. 22,48; 2015, c. 13, s. 18. 486.6(1)       Every person who fails to comply with an order made under subsection 486.4(1), (2) or (3) or 486.5(1) or (2) is guilty of an offence punishable on summary conviction. (2)     For greater certainty, an order referred to in subsection (1) applies to prohibit, in relation to proceedings taken against any person who fails to comply with the order, the publication in any document or the broadcasting or transmission in any way of information that could identify a victim, witness or justice system participant whose identity is protected by the order. 2005, c. 32, s. 15. WARNING An order restricting publication in this proceeding was made under s. 517 of the Criminal Code and continues to be in effect.  This section of the Criminal Code provides: 517(1)         If the prosecutor or the accused intends to show cause under section 515, he or she shall so state to the justice and the justice may, and shall on application by the accused, before or at any time during the course of the proceedings under that section, make an order directing that the evidence taken, the information given or the representations made and the reasons, if any, given or to be given by the justice shall not be published in any document, or broadcast or transmitted in any way before such time as (a)     if a preliminary inquiry is held, the accused in respect of whom the proceedings are held is discharged; or (b)     if the accused in respect of whom the proceedings are held is tried or ordered to stand trial, the trial is ended. Failure to comply (2)     Everyone who fails without lawful excuse, the proof of which lies on him, to comply with an order made under subsection (1) is guilty of an offence punishable on summary conviction. (3)     [Repealed, 2005, c. 32, s. 17] R.S., 1985, c. C-46, s. 517; R.S., 1985, c. 27 (1st Supp.), s. 101(E); 2005, c. 32, s. 17. COURT OF APPEAL FOR ONTARIO CITATION: R. v. N.S., 2021 ONCA 605 DATE: 20210907 DOCKET: M52683 & M52732 (C69437) Fairburn A.C.J.O. (Motion Judge) BETWEEN Her Majesty the Queen Appellant and N.S. Respondent and Criminal Lawyers’ Association (Ontario), Canadian Alliance for Sex Work Law Reform, Monica Forrester, Valerie Scott, Jane X, Alessa Mason, Lanna Moon Perrin, and Tiffany Anwar Proposed Interveners Deborah Krick, Michael Dunn, and Jeremy Tatum, for the appellant Jeffery Couse, for the respondent Gerald Chan and Dragana Rakic, for the proposed intervener the Criminal Lawyers’ Association (Ontario) Michael Rosenberg and Alana Robert, for the proposed interveners the Canadian Alliance for Sex Work Law Reform, Monica Forrester, Valerie Scott, Jane X, Alessa Mason, and Lanna Moon Perrin Tara Santini, for the proposed intervener the Canadian Alliance for Sex Work Law Reform James Lockyer, for the proposed intervener Tiffany Anwar Michael H. Morris and Joseph Cheng, for the Attorney General of Canada Heard: August 19, 2021 via videoconference REASONS FOR DECISION A. Overview [1] The respondent (N.S.) was charged with numerous offences under the Criminal Code , R.S.C., 1985, c. C-46, including s. 286.2(1) (receiving material benefit from sexual services), s. 286.3(1) (procuring sexual services), and s. 286.4 (advertising sexual services). At trial, N.S. asserted that all three of those provisions infringed ss. 2(b), 2(d), and 7 of the Canadian Charter of Rights and Freedoms and were not justifiable limits under s. 1. The trial judge found that the provisions infringed s. 7 of the Charter , declared them of no force and effect, and declined to suspend the declaration of invalidity: R. v. N.S. , 2021 ONSC 1628; R. v. N.S. , 2021 ONSC 2920. [2] On June 15, 2021, the Crown filed an application to stay the effect of the declaration pending the resolution of the appeal in this matter. The Crown has already filed its motion record on the application for a stay, including seven affidavits in support of its position. That application is scheduled to be heard by a panel of this court on October 1, 2021. I have been informed that the Crown expects to perfect the appeal prior to the date that the stay application will be heard. [3] These reasons pertain to the relief sought by a number of proposed interveners. With the exception of the Criminal Lawyers’ Association (Ontario) (“CLA”), I will refer to all other proposed interveners collectively as the “Group Interveners”. This is appropriate because, both in written and oral submissions, they presented a united front at the motion forming the subject of these reasons. [4] At this time, the CLA only requests leave to intervene in the Crown’s motion for a stay. The Crown consents to the CLA’s motion. I would grant the requested relief, subject to the conditions set out at the end of these reasons. [5] The Group Interveners ask that they be permitted leave to intervene in the appeal of this matter. The Group Interveners also seek a number of other forms of cascading relief, relief that far exceeds what the CLA requests. In particular, the Group Interveners ask for the following: (i)    as their primary position, the Group Interveners ask for an order suspending the hearing of the appeal in this matter until such time that an application that the Group Interveners have lodged in the Superior Court of Justice has been adjudicated upon; (ii)    if the hearing of the appeal is not suspended, then the Group Interveners ask for an order granting them leave to intervene in the Crown’s motion for a stay pending appeal of the declaration of invalidity of ss. 286.2, 286.3(1), and 286.4 of the Criminal Code , including an order that the Group Interveners be permitted to introduce fresh evidence on the stay application and participate fully in cross-examinations on that application; (iii)   if the hearing of the appeal is not suspended until after the Superior Court application is adjudicated upon, the Group Interveners also request an order that they be permitted to file a fresh evidence application on the appeal proper, an application that would largely duplicate the materials they wish to file on the stay application (should the relief in (ii) above be granted), as well as the materials filed in support of their application in the Superior Court of Justice. [6] The Crown consents to the Group Interveners being granted leave to intervene in both the motion to stay and the appeal, subject to limitations being placed upon the length of their factums and submissions. However, the Crown opposes the Group Interveners being permitted to delay the hearing of the appeal and expand the evidentiary record in both the stay application and the appeal. [7] For the reasons that follow, the Group Interveners are granted leave to intervene in both the motion to stay and the appeal. They will be permitted to file written submissions and make oral argument in accordance with the terms set out at the end of these reasons. All other forms of relief are denied. B. The Requests of the Group Interveners [8] The Group Interveners consist of sex workers’ rights organizations, individual sex workers, and a third party. They include the Canadian Alliance for Sex Work Law Reform, a coalition of 25 leading sex workers’ rights organizations predominantly led by and for sex workers across Canada. This coalition is joined by current and former sex workers and a former escort agency operator. [9] The Crown acknowledges that the Group Interveners meet the criteria for leave to intervene as set out in this court’s prior jurisprudence: Peel (Regional Municipality) v. Great Atlantic & Pacific Co. of Canada Ltd. (1990), 74 O.R. (2d) 164 (C.A.), at p. 167; Bedford v. Canada (Attorney General) , 2009 ONCA 669, 98 O.R. (3d) 792, at para. 2 [ Bedford (2009)]. Accordingly, the Crown consents to the Group Interveners being granted leave to intervene in both the stay motion and the appeal proper. [10] I do not question the Crown concession on this point. The Group Interveners include well-recognized entities with a special expertise in the issues to be decided on appeal; all have a real, substantial, and identifiable interest in the subject matter of the proceedings; and each has an important perspective to bring to the appeal, which perspectives I am satisfied will differ in some respects from the immediate parties to the appeal: Bedford (2009), at para. 2. [11] Where the Group Interveners and the Crown part company is on the role that the Group Interveners should play in relation to this appeal. The Crown maintains that the Group Interveners should be held to the traditional intervener status of friends of the court and, therefore, not be permitted to act as if they are a party to this criminal appeal, weighing in on scheduling issues and expanding the issues to be decided and factual record upon which to decide them. [12] The group interveners want more. (1) Should the Appeal be Delayed Pending Adjudication of the Civil Application in the Superior Court of Justice? [13] The Group Interveners have brought a civil application in the Superior Court of Justice, in which they challenge the constitutionality of many (if not all) of the Criminal Code provisions pertaining to commercial sex work. As their primary form of relief in the criminal appeal before this court, the one focused most heavily upon in both written and oral submissions, the Group Interveners ask that the appeal be placed on pause until their civil application has been adjudicated. They say that this relief should be granted because their application is the best means of determining the constitutionality of the provisions at issue in this criminal matter. The Group Interveners emphasize that this appeal only involves three of the Criminal Code provisions relating to sexual services and that the record is, in their view, woefully inadequate. As well, the Group Interveners argue that the constitutionality of the provisions were only considered through a ss. 2(b), 2(d), and 7 Charter lens at trial, when in fact they should have also been considered, at a minimum, under s. 15 of the Charter . [14] The Group Interveners therefore argue that this appeal should be delayed so that their civil application can be adjudicated, thereby offering this court the benefit of “robust guidance” when considering the appeal in this matter. Alternatively, the Group Interveners say, if there is an appeal taken from the decision arising out of their civil application, then that appeal could be grouped with this one, a grouping that would provide this court with the benefit of a significantly expanded factual record, and with an expanded constitutional lens through which to consider the impugned Criminal Code provisions. It is said that this would promote judicial economy in this court, defend against inconsistent decisions, and ensure that this court has the best available information before it when deciding these important issues. [15] Notwithstanding the importance of these issues, I would not grant this relief. [16] The Group Interveners’ civil application before the Superior Court of Justice challenges the same Criminal Code provisions struck down in this case: ss. 286.2(1), 286.3(1), and 286.4. In addition, that application challenges three other sections of the Criminal Code , all of which also relate to commercial sex work: s. 213(1) (stopping or impeding traffic for the purpose of offering, providing, or obtaining sexual services), s. 213(1.1) (communicating to provide sexual services for consideration next to a school, playground or daycare centre), and s. 286.1 (obtaining sexual services for consideration). In short, as I understand it from the materials filed on this application, the Group Interveners are essentially challenging all of the sexual service provisions in the Criminal Code . [17] Not only is the constitutional approach to those provisions much broader in scope than what was before the trial judge in this appeal (including a s. 15 Charter argument that was not argued in this case), but the Group Interveners have filed a factual record on their civil application that can only be described as considerable in scope. A condensed version of that record was filed on this motion and is over 600 pages in length. As I understand it, the full extent of the record as it currently stands is over 2,000 pages deep. It was only filed in the Superior Court on July 14, 2021 and contains 16 affidavits, with five of them being expert affidavits. [18] The Attorney General of Canada (“AGC”) is the respondent on the civil application in the Superior Court of Justice. While the AGC does not take a position on the Group Interveners’ application in this court, the AGC appeared as a courtesy to answer any questions about the outstanding civil application. The AGC says that it has not yet filed its record on the civil application. If all goes according to plan, the AGC will aim to have its materials filed by December 15, 2021. While understandably reluctant to provide exact numbers, counsel to the AGC allowed that they will likely be filing between 10 to 20 affidavits on the civil application. Then a reply record will have to be filed. [19] While there is no timetable set as yet for cross-examinations on the civil application, I am informed that it is reasonable to expect that around eight weeks will be needed for those cross-examinations. Of course, cross-examinations will not commence until after all materials have been filed. [20] While counsel are “optimistic” that this matter could be ready to be heard in the Superior Court by June of 2022, respectfully, I would place emphasis on the word “optimistic”. The simple reality is that, based upon the information available to this court on this application, the Group Interveners’ application in the Superior Court is at a very preliminary stage. [21] I have come to this conclusion based in part upon the helpful April 27, 2021 civil endorsement form of Myers J. In his endorsement, Myers J. notes that the applicants (the Group Interveners in this matter) were at that time asking for a February 2022 date for the hearing of the civil matter, which he described as “not realistic.” He also described what was being proposed as a “huge ‘trial in a box’”, questioning the appropriateness of only a four-day hearing for an application that would likely involve 20 or more affidavits, in addition to all of the transcript arising from cross-examinations. [22] Justice Myers declined the request to schedule the matter for four days in February 2022. As he put it, if the matter did not go ahead on those days, it would essentially mean “the loss of a judge-week from a schedule already beset with backlog from the pandemic.” [23] I was informed at the hearing of this application that a case management judge has recently been assigned in the Superior Court, but that the first case management meeting will not happen until September 14, 2021. Whatever comes from that case management process, one thing seems clear today, even based upon the parties’ own schedules, this matter cannot be heard in the Superior Court until at least June of next year. [24] Even if the parties to the civil application have completed the record by June of 2022, an ambitious schedule to be sure, it is not for this court to weigh in on whether the Superior Court will have time to hear the matter at that time. It will be for the Superior Court to determine the form that the application will take, the number of days that will be assigned to the matter, and when the Superior Court’s schedule will accommodate the matter. In other words, it is not at all clear that this matter will be heard by June of next year. And, even if it is heard then, one cannot forget that the matter has to be decided. On a record of this size, it is a simple reality that whatever judge hears the civil application, it will take some time to produce the reasons. [25] It seems somewhat clear today that the civil application will not be concluded for a long time. [26] At the same time, I am informed by Crown counsel that the Crown appeal in this matter will be perfected before October 1, 2021, the date scheduled for the hearing of the stay application. The Crown also says that it will be ready to argue the appeal by the early new year. I was informed by counsel for the respondent on the criminal appeal that he may not be in a position to file responding submissions and argue the appeal until a few months later, likely into April of 2022. [27] I would add the following. While the respondent supports the Group Interveners in this case – provided it creates only what he describes as a “modest delay”, which he defines as the appeal being argued in 2022 – he is not prepared to say that he is without s. 11(b) Charter concerns. While he does not rest charged right now and, accordingly, his s. 11(b) Charter entitlement is not active, I keep the respondent’s s. 11(b) concern in mind in arriving at my conclusion in this case. The fact is that, should the Crown succeed on appeal, the respondent will again face jeopardy on these charges. In my view, his concern reflects the fact that this is a criminal matter with significant implications, not only for the respondent as an individual, but for the community at large. [28] In any event, even if the civil application could be heard in June of 2022, and even if the reasons on this potentially 30-plus affidavit case, involving what Myers J. referred to as a “trial in a box”, could be delivered within a couple of months, respectfully, it seems unrealistic that an appeal from those reasons could get before this court and heard by the end of 2022. Therefore, stepping back and looking at this matter realistically, the respondent’s position that he will agree to a “modest delay” of up to the end of 2022 likely cannot be accommodated. [29] I am not familiar with the hearing of a criminal appeal ever having been delayed pending the outcome of a civil application. While the Group Interveners rely on a couple of civil appeals that were delayed in the interests of justice, they are not apposite to the request being made here. [30] In one of the cases, the delay was predicated on the need for the trial judge to determine some outstanding issues which would reduce the number of appeals brought before this court as a result. A short stay was granted for that purpose: Korea Data Systems (USA), Inc. v. Aamazing Technologies Inc. , 2012 ONCA 756, 29 C.P.C. (7th) 51, at paras. 23-24. [31] The other authority relied upon by the Group Interveners is one where this court delayed a civil appeal on the basis that it involved “essentially the same litigation”. Like Korea Data Systems , the same parties were embroiled in different pieces of litigation arising out of one main set of allegations: Canadian Planning and Design Consultants Inc. v. Libya (State) , 2015 ONCA 661, 340 O.A.C. 98, at para. 53. [32] These decisions have no application to the Group Interveners’ request in this case. [33] In my view, the Group Interveners’ request to delay this appeal will result in a very long delay. The purpose of the request is really predicated on a desire to turn the appeal into something very different than what is being appealed. The objective of this delay is to ensure that this appeal is heard against the backdrop of: (a) a significantly expanded record, including another potentially 30-plus affidavits and cross-examinations; (b) additional impugned statutory provisions; and (c) additional constitutional arguments. Respectfully, this is a request to turn this appeal into more of a reference, akin to the case that is currently lodged in the Superior Court. [34] It is critical to keep in mind the context surrounding this appeal. This is a criminal appeal predicated on an indictment. The respondent brought a constitutional challenge to the statutory provisions under which he was charged. He chose how to litigate those issues and the record unfolded accordingly. As with all constitutional litigation, the trial judge decided the matter based upon the factual record and arguments put before him. The Crown appeals from that decision. [35] Appeals must proceed in an expeditious fashion. This is particularly true where there is conflicting jurisprudence on the very subject of the appeal, as is the case here. Contrary to the disposition in this case, the trial judge in R. v. MacDonald , 2021 ONSC 4423, found that R. v. N.S. , 2021 ONSC 1628, was “plainly wrong” and upheld the constitutionality of the same impugned provisions: at para. 16. Two further trial judges agreed with the findings of the trial judge in MacDonald , similarly asserting that the decision in N.S. is “plainly wrong”: R. v. Williams (2 July 2021), Brampton (Ont. S.C.); R. v. Maldonado Vallejos , 2021 ONSC 5809, at para. 19. Additionally, there is one other matter pending at the Superior Court, where the accused has been found guilty and has been given time to consider whether to bring a constitutional challenge to s. 286.2(1) of the Criminal Code : R. v. Y.S. , 2021 ONSC 4010, at paras. 52, 202-204. [36] In addition, there are at least two appeals pending before this court in which I am informed by the Crown that each appellant appears to be raising the constitutionality of the same or similar Criminal Code provisions for the first time on appeal: R. v. J.K. (3 August 2016), Brampton (Ont. C.J.), appeal as of right to Ont. C.A., C63449; R. v. S.M. (11 October 2019), Newmarket, 18/05543 (Ont. C.J.), appeal as of right to Ont. C.A., C67806. There is also an appeal in the matter of R. v. B. , 2018 ONSC 7205 (C69136 & C69138), where the constitutional challenge to the same provisions as this case was dismissed. That case involves persons under the age of 18 years. [1] [37] Of further concern are four cases cited by the Crown that were scheduled to be heard by the Superior Court between August 2021 and September 2021. [2] Depending upon the results of those decisions, this court could be faced with even more appeals of a similar nature. [38] Quite simply, the trial courts need some help with respect to this matter. In my view, this court would be abdicating its responsibility to provide guidance on matters of constitutional importance, especially where there is uncertainty on such matters, if it were to suspend the hearing of a criminal appeal – one that would bring those constitutional matters into focus – pending a civil matter being adjudicated in the Superior Court, which may or may not even resolve within the next calendar year. This is particularly true when there are other constitutional challenges to the legislation being litigated in trial courts across Ontario right now, as is the case here. [39] Finally, as part of the materials filed on this application, the Crown also filed its record for the stay application. I do not intend to address that record in any detail, a matter that should be left to the panel hearing the stay application. I would simply note the fact that, as of May 21, 2021, there were hundreds of active cases in the Province of Ontario involving the impugned Criminal Code provisions. [40] Whether the record in this case is as complete as it could be or not, and whether N.S. challenged the provisions as completely as he could have or not, this matter is one of importance to N.S., to other accused whose jeopardy hangs in the balance, to the public, and to the administration of justice. It cannot be put on hold for an indefinite period of time. [41] Therefore, I dismiss the request to delay the hearing of the appeal. (2) Should the Group Interveners be Permitted to Introduce New Evidence on the Stay Application? [42] If the Group Interveners had succeeded in their application to have the appeal delayed, then they would not have taken a position on the Crown’s stay application. However, in the event that the request to delay the appeal were to be dismissed, the Group Interveners asked to be permitted to make written and oral submissions on that application and to file a factual record. It was made clear during oral submissions – for reasons that I need not get into, but which reasons I accept – that the Group Interveners are not prepared to share their factual record with the respondent to the stay application. [43] While I would grant the Group Interveners’ request to be permitted to intervene, subject to the terms set out below, they may not augment the factual record. [44] I start with the proposition that interveners are not typically granted the ability to supplement the record: R. v. M.C. , 2018 ONCA 634, at para. 10; R. v. Morris , 2019 ONCA 509, at para. 7; R. v. Chapman (2005), 203 O.A.C. 233 (C.A.), at para. 6. Nor are they permitted to raise issues beyond those raised by the parties to the litigation. For instance, this court has denied an intervener’s request to raise a new constitutional argument for the first time on appeal: see e.g., Bedford v. Canada (Attorney General) , 2011 ONCA 209, at paras. 4-20 [ Bedford (2011)]. Notably, as pointed out by the Crown, the Supreme Court also recently commented that interveners “play a vital role in our justice system by providing unique perspectives and specialized forms of expertise that assist the court in deciding complex issues that have effects transcending the interests of the particular parties before it” but, even so, interveners should not be permitted to “widen or add to the points in issue”: R. v. Barton , 2019 SCC 33, [2019] 2 S.C.R. 579, at paras. 52-53. [45] In my view, the same can be said of requests to intervene relative to a stay application. This stay application is a criminal matter between the parties, one that can be decided on the facts as marshalled by the parties. I am confident that those facts will be sufficient to give proper life to the application for a stay. I am also confident that the Group Interveners’ presence on the application, and the submissions they will offer, will provide the court with the assistance necessary to properly decide the issues before it. [46] Therefore, while the Group Interveners may provide written and oral submissions at the stay application, they may not augment the factual record. (3) Should the Group Interveners be Permitted to Augment the Appeal Record? [47] This brings me to the next form of relief requested by the Group Interveners. [48] If they are denied a stay of the appeal pending their civil application playing through in the Superior Court, then they wish to augment the appeal record with the record they have filed in the Superior Court. As mentioned before, the record from the civil application is already a record of substantial heft and will only get larger with the affidavits to be filed by the AGC and the eight weeks of cross-examinations yet to come. [49] Permitting the Group Interveners to augment the appeal record in this fashion would turn this appeal into an entirely different case. As previously noted, and for the reasons already discussed, it would essentially turn this court into a court of first instance on this issue of constitutionality and render the trial judge’s reasons entirely nugatory to the result. I say this because the case in this court would be litigated on an entirely different basis. This would be unfair to the trial judge, it would be unfair to the Crown, it would be unfair to the respondent, and it would be unfair to the administration of justice. It is not how constitutional litigation should evolve. [50] In essence, it would turn this criminal appeal into a reference involving a broad-ranging civil application. If there is to be additional evidence led on appeal, it is the parties who will have to follow the usual course and bring a fresh evidence application, leaving it to the panel hearing the appeal to decide whether that evidence should be admitted: R. v. M. (A.) , 2005 CanLII 33773 (Ont. C.A.), at paras. 1, 4. C. Conclusion [51] The CLA and the Group Interveners are granted leave to intervene in the Crown’s motion to stay the effect of the declaration of invalidity pending the resolution of the appeal, subject to the following terms: (i) The CLA and the Group Interveners may each file a factum not exceeding 15 pages in length; (ii) The factums will be filed no later than September 16, 2021; (iii) Oral argument of no more than 10 minutes each will be permitted; (iv) The record will not be supplemented in any way; (v) The interveners shall not seek costs; and (vi) No costs will be ordered against the interveners or the parties. [52] The Group Interveners are granted leave to intervene in the appeal subject to the following terms: (i) They may file a factum not exceeding 15 pages in length; (ii) The factum will be filed in accordance with a direction given by the case management judge; (iii) Oral argument of no more than 15 minutes will be permitted; (iv) The record will not be supplemented in any way; (v) The interveners shall not seek costs; and (vi) No costs will be ordered against the interveners or the parties. “Fairburn A.C.J.O.” [1] The Crown has suggested that it may seek to have the appeal of R. v. N.S. heard with the appeal in R. v. B. [2] R. v. Beeransingh , in Newmarket; R. v. Bernard , R. v. Deidun , in Peel; R. v. MacMillian , in St. Catharines; and R. v. Saab , in Peel.
COURT OF APPEAL FOR ONTARIO CITATION: R. v. Bristol, 2021 ONCA 599 DATE: 20210908 DOCKET: C64759 Pardu, Paciocco and Nordheimer JJ.A. BETWEEN Her Majesty the Queen Respondent and Roger Bristol Appellant Andrew Menchynski, for the appellant Manasvin Goswami, for the respondent Heard: September 1, 2021 by videoconference On appeal from the sentences imposed on September 19, 2016 by Justice Marvin Zuker of the Ontario Court of Justice. REASONS FOR DECISION [1] Mr. Bristol seeks leave to appeal the total sentence of ten years imposed on him following on his convictions on 32 counts of break and enter; 34 counts of failure to comply with probation, and two counts of attempted break and enter. For the following reasons, we grant leave to appeal and reduce the sentences to a total of seven years. [2] The appellant pleaded guilty to committing a series of break and enters at residential homes in the City of Toronto over a two-month period in 2015. The appellant would generally gain access to the homes through unlocked doors or open windows. He would find valuables such as electronics and jewellery which he would then take and flee. The appellant said that he engaged in these activities in order to pay back drug dealers to whom he was indebted. There was no violence used in any of these break and enters and on the odd occasion when the appellant found that someone was in the home, he fled immediately. [3] The appellant has an extensive criminal record reflecting similar offences dating back over 30 years. Prior to these offences, the longest sentence that the appellant had received was a period of incarceration of just over two years. [4] The appellant was 44 years old at the time of his sentencing. He has a serious addiction to drugs. The appellant also suffers from schizophrenia and has severely limited intellectual abilities. [5] In our view, the sentencing judge made a number of errors which impacted directly on the sentence that he imposed: R. v. Lacasse , 2015 SCC 64, [2015] 3 S.C.R. 1089, at para. 44, of which three are particularly serious. First, the sentencing judge referred, more than once, to the break and enters as “home invasion robberies”. They were not. In doing so, it is apparent that the sentencing judge placed the offences in a more serious category than they properly represented. [6] Second, the sentencing judge erred in his treatment of the appellant’s mental health challenges and whether they impacted on the moral blameworthiness of his actions. The sentencing judge not only had a pre-sentence report, he also had a forensic report authored by two psychiatrists that detailed the appellant’s mental health issues. These issues date back to when the appellant was 12 years old. The psychiatrists gave evidence that the appellant was in the “retarded” range of intellectual functioning. The appellant’s challenges were exacerbated by his use of drugs. [7] The sentencing judge failed to give proper weight to this evidence in evaluating the appellant’s moral blameworthiness. Indeed, at one point, the sentencing judge said that he was “not sure that there is any diminished moral responsibility” with respect to the appellant’s actions. [8] Third, the sentencing judge failed to give proper effect to the “jump principle” in deciding on the appropriate sentence. While the sentencing judge referred to the principle in his reasons, he never actually addressed it. As earlier noted, prior to these offences, the longest sentence that had been imposed on the appellant was a period of incarceration of slightly more than two years. That sentence was imposed in 2006. An increase from two years to ten years, even given the number of offences involved, was excessive. [9] Given these errors, it falls to this court to determine the appropriate sentence. In our view, a sentence of seven years, as suggested by the appellant, is an appropriate sentence given the factors we have mentioned and his guilty plea. [10] In deciding on that sentence, we have taken into account one other factor. At the sentencing, the appellant’s trial counsel (not counsel on the appeal) had sought an adjournment to obtain records from the Toronto South Detention Centre regarding the number of lockdowns that had occurred while the appellant was incarcerated. The sentencing judge refused the adjournment of the basis that the appellant had had months to obtain the records and had failed to do so. That refusal was within the discretion of the sentencing judge. However, we now have those records which show that the appellant was in lockdowns for 257 days of his pre-sentence incarceration. [11] We are entitled to look at these records since we are now charged with determining an appropriate sentence and, in doing so, we must consider whether a Duncan credit is appropriate. [1] While the respondent argues that the appellant did not lead any evidence of direct impact on him arising from the lockdowns, we are of the view that some impact is self-evident. Lockdowns involve lack of showers and loss of physical activity. They also mean that prisoners are restricted to their cells for long periods of time. Individual evidence is not required to establish those basic effects which go beyond the difficult and restrictive circumstances offenders often encounter during pretrial custody and which are accounted for by the Summers credit. [2] [12] In deciding on seven years as the appropriate sentence we have included a Duncan credit for these periods of lockdown. As noted in R. v. Marshall , 2021 ONCA 344, at para. 52, the Duncan credit is “not a deduction from the otherwise appropriate sentence, but is one of the factors to be taken into account in determining the appropriate sentence”. [13] In the end result, we grant leave to appeal and reduce the global sentence from ten years to seven years. “G. Pardu J.A.” “David M. Paciocco J.A.” “I.V.B. Nordheimer J.A.” [1] R. v. Duncan , 2016 ONCA 754. [2] R. v. Summers , 2014 SCC 26, [2014] 1 S.C.R. 575
COURT OF APPEAL FOR ONTARIO CITATION: Dunn Aggregates Limited v. Coco Paving Inc., 2021 ONCA 604 DATE: 20210909 DOCKET: C68961 Juriansz, Lauwers and Sossin JJ.A. BETWEEN Dunn Aggregates Limited Plaintiff (Appellant) and Coco Paving Inc. Defendant (Respondent) James K. Ball, for the appellant John D. Leslie and Ted Kalnins, for the respondent Heard: August 30, 2021 by video conference On appeal from the order of Justice Scott K. Campbell of the Superior Court of Justice, dated December 4, 2020, with reasons at 2020 ONSC 7095. REASONS FOR DECISION [1] The appellant Dunn Aggregates previously operated as a stone merchant, whose assets were acquired by the respondent, Coco Paving. The agreement closed on March 11, 2011. A number of post-closing disagreements arose. On September 6, 2011, Coco Paving moved for an interlocutory injunction in the context of an anticipated action and the injunction was granted. It restrained Dunn Aggregates from breaching the non-competition and restrictive covenant agreements entered into pursuant to the asset purchase agreement. Coco Paving gave the customary undertaking as to damages. [2] The action started by Dunn Aggregates and the action started by Coco Paving proceeded to trial together. The trial judge concluded that Coco Paving’s contractual breaches did not justify Dunn Aggregates’ non-performance of the non-competition agreement. He concluded that it would not be appropriate to make the interlocutory injunction permanent, in part because the non-competition agreement had expired by its own terms prior to trial. [3] The assessment of damages remains outstanding. [4] The trial judge made an order barring Dunn Aggregates from claiming damages under r. 40.03 arising from the interlocutory injunction. [5] The purpose of the customary undertaking as to damages is to protect the party against whom the injunction is granted, in this case Dunn Aggregates, if the injunction were found to have been wrongly granted. The trial judge cited several authorities for this proposition and pointed to the decision in United States of America v. Yemec , 2013 ONSC 50, 35 C.P.C. (7th) 57, aff’d 2014 ONCA 274, 58 C.P.C. (7th) 223 as being especially persuasive. In Yemec , Belobaba J. considered the undertaking to pay damages and noted, at para. 14, that its purpose is “to cover damage caused by a wrongly granted injunction.” [6] The trial judge concluded that because Coco Paving was the successful party at trial the injunction had not been wrongfully granted. He pointed out that Dunn Aggregates had not made “efforts to appeal the granting of the injunction or to alter it in the course of over five years of litigation.” He found there to be no “special circumstances that would warrant the awarding of damages [to Dunn Aggregates] based on the undertaking.” There was, in his view, no basis on which Dunn Aggregates should be able to advance a claim for damages as a result of the injunction having been granted. We agree with the trial judge and do not disturb his order. [7] The appeal is dismissed with costs to Coco Paving fixed in the amount of $3,500, all inclusive. “R.G. Juriansz J.A.” “P. Lauwers J.A.” “L. Sossin J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: Tanti v. Tanti, 2021 ONCA 607 DATE: 20210909 DOCKET: M52665 (C69521) Strathy C.J.O., Lauwers and Sossin JJ.A. BETWEEN Raymond Tanti Applicant (Respondent/Responding Party) and Paul Tanti and the Public Guardian and Trustee Respondents (Respondents/ Responding Party ) and Sharon Joseph Respondent (Appellant/Moving Party) Joy Nwawe, for the moving party, Sharon Joseph William R. Gilmour, for the responding party, Raymond Tanti Kathleen Kinch, for the responding party, Paul Tanti Heard: September 3, 2021 by video conference REASONS FOR DECISION [1] After hearing submissions on behalf of the moving party, we advised counsel that the motion would be dismissed, with reasons to follow. These are our reasons. [2] Paul Tanti and Sharon Joseph were married on July 27, 2019. [3] On September 12, 2019, Paul Tanti’s son, Raymond Tanti, sought a guardianship order with respect to his father’s property and person. Harris J. of the Superior Court of Justice granted that order. [4] Sharon Joseph subsequently brought a motion to set aside the guardianship order. On July 31, 2020, Shaw J. ordered that Sharon Joseph be added as a party to the guardianship proceedings. Shaw J. also ordered that the issue of the validity of the marriage of Paul Tanti and Sharon Joseph would be determined as a threshold issue in the application. [5] By judgment dated December 22, 2020, Mandhane J. determined that the marriage was valid. That judgment is the subject of an appeal pending before this court (C69056), which is scheduled to be heard on October 1, 2021. [6] On May 27, 2021, Trimble J. of the Superior Court granted a stay of the guardianship proceedings pending disposition of the appeal of the order of Mandhane J. [7] Sharon Joseph purported to appeal the order of Trimble J. to this court (C69521). She brought a motion to expedite that appeal. That motion was heard by Benotto J.A. on July 13, 2021. Benotto J.A. dismissed the motion, holding that the order of Trimble J. was procedural and interlocutory and that no appeal lies to this court. [8] Although not styled as such, this is a motion pursuant to s. 7(5) of the Courts of Justice Act to set aside or vary the order of Benotto J.A. [9] The moving party has demonstrated no error in the reasons of Benotto J.A. As Benotto J.A. observed, the order of Trimble J. did not determine the substantive rights of the parties and the guardianship application remains to be determined. The order the moving party purports to appeal is clearly interlocutory. [10] Moreover, as a matter of efficiency and economy, the validity of the marriage should be determined before the guardianship proceedings are continued. [11] The motion to vary is dismissed and the appeal is quashed, with costs to the responding party, Raymond Tanti, fixed in the amount of $1,000 and to the responding party, Paul Tanti, fixed in the amount of $350, both amounts inclusive of disbursements and all applicable taxes. “G.R. Strathy C.J.O.” “P. Lauwers J.A.” “L. Sossin J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: 2161907 Alberta Ltd. v. 11180673 Canada Inc., 2021 ONCA 590 DATE: 20210830 DOCKET: C68698 Rouleau, Hoy and van Rensburg JJ.A. BETWEEN 2161907 Alberta Ltd. Applicant (Appellant) and 11180673 Canada Inc. Respondent (Respondent) J. Thomas Curry, Brian Kolenda and Aoife Quinn, for the appellant Jeffrey Hoffman, for the respondent Heard: June 3, 2021 by video conference On appeal from the judgment of Justice Cory A. Gilmore of the Superior Court of Justice, dated September 11, 2020, with reasons reported at 2020 ONSC 5409. Rouleau J.A.: OVERVIEW [1] 2161907 Alberta Ltd. (“ 216 ”) holds the Ontario rights to the “Tokyo Smoke” cannabis brand, which it licenses to various retail operators. 11180673 Canada Inc. (“ 111 ”) and its principal, Mr. Robert Heydon, won a cannabis retail operator license in the allocation lottery held by the Alcohol and Gaming Commission of Ontario (“ AGCO ”) in August 2019. [2] In November 2019, the parties entered into a series of agreements for the operation of a Tokyo Smoke-branded cannabis store in Toronto. These agreements included a License Agreement for the use of the Tokyo Smoke brand and a Sublease whereby 111 rented the retail premises from 216. 216 offered 111 funding for start-up costs, including rent, and an inducement of approximately $2 million to open under the Tokyo Smoke banner (the “Branding Fee”). The Branding Fee would come due once 111 obtained its Retail Store Authorization from the AGCO. [3] Two days before the store was supposed to open, a dispute arose as to 216’s obligation to fund the payment of 111’s rent for the month of opening. Faced with 216’s refusal to pay, 111 advised 216 that it would not be opening the store as planned. 216 took the position that this was a threat to cease carrying on business and accordingly constituted a breach of their agreement. 216 terminated its relationship with 111, refusing to pay the Branding Fee. [4] 216 brought an application seeking a declaration that 111 had breached the various agreements in effect between the parties, that the Branding Fee was not payable to 111, and that 111 must therefore vacate the retail premises. 111 brought a counter-application seeking, among other things, payment of the Branding Fee and a declaration that 216 had wrongfully terminated the License Agreement and breached its duty of good faith in the performance and enforcement of contractual relations. The application judge dismissed 216’s application and granted 111’s application. She declared that 216 had no valid reason to terminate the agreements, that it had acted in bad faith, and ordered 216 to pay the Branding Fee. Issues [5] 216 raises three issues on appeal: a. Did the application judge err in finding that 216’s termination of the License Agreement was invalid? b. Did the application judge err in finding that 216 had breached the duty of good faith? c. Did the application judge err in failing to issue a declaration that the Sublease between the parties was validly terminated on August 5, 2020? [6] For the reasons that follow, I would set aside the finding of bad faith, but would dismiss the balance of the appeal. FACTUAL BACKGROUND [7] In August 2019, 111 won the right to apply for a Retail Operator Licence and Retail Store Authorization in the AGCO allocation lottery, permitting 111 to open a retail cannabis store. [8] 216 approached Mr. Heydon with a proposal that he open his retail location under the “Tokyo Smoke” banner for which 216 held the Ontario rights under licence from a subsidiary of Canopy Growth Corporation (“Canopy”). [9] Between November 1 and November 7, 2019, the parties entered into the three agreements at issue in this case: a. Under the Sublease, 111 rented the retail premises, as Subtenant, from 216, as Sublandlord, at a monthly rent of $105,409.03. 216 in turn rented the premises from First Capital Holdings (Ontario) Corporation. b. Under the License Agreement, 216 granted 111 the right to use Tokyo Smoke brand marks in the retail storefront and in its marketing materials subject to 216’s rights of supervision. The License Agreement stipulated that 216 would pay 111 an up-front Branding Fee of approximately $2 million upon the fulfillment of certain conditions, including the issuance of a Retail Store Authorization by the AGCO. c. Under the Loan Agreement, 216 agreed to advance roughly $1.5 million in start-up costs to 111. i. Loan A provided for a maximum loan of up to $750,000, plus the aggregate amount of rent due under the Sublease up to the opening of the store. Loan A was intended to finance construction improvements to the premises, decorations, security, point of sale systems, and other equipment. ii. Loan B provided for a maximum loan of up to $750,000 to finance the purchase of inventory, insurance, and human resources. [10] The parties anticipated that the store would open in early June 2020. [11] On May 31, 2020 Mr. Heydon wrote to 216 to confirm that he could draw on Loan A to pay June rent. 216’s representative, Mr. Graydon Calvert, advised Mr. Heydon that the draw was limited to the prorated amount of $10,540 for the first three days of June before the store opened. This left 111 with a shortfall of $95,000 in rent for the month. [12] The next day, June 1, Mr. Heydon sought the additional $95,000 in rent for June. Mr. Justin Farbstein, the president of 216, responded that Mr. Heydon was “at the max of the facility” and that he was “not able to grant more.” As it turned out, Mr. Farbstein was mistaken. He would later admit on cross-examination that Loan A should have covered the amounts sought by Mr. Heydon. [13] Faced with 216’s refusal to fund the balance of the June rent, Mr. Heydon responded: “Please inform Canopy that we will NOT be opening. I will lay off the staff tomorrow.” Mr. Farbstein called Mr. Heydon that same evening to “calm him down”, indicating that he could likely arrange to have the rent payment deferred and that, in any event, the Branding Fee would soon be paid. It was more than sufficient to cover rent for June. [14] On the morning of June 2, the AGCO gave 111 final approval to open for business. 111 forwarded the approval notice to 216 as proof that the final condition for the payment of the Branding Fee had been satisfied. Mr. Farbstein again confirmed, on behalf of 216, that the Branding Fee would be paid later in the week in accordance with the License Agreement now that all conditions for the payment of the Branding Fee had been met. [15] In the late morning of June 2, Mr. Farbstein reviewed the License Agreement and concluded that Mr. Heydon’s statements  the previous day that 111 would not be opening the store constituted a “threat to cease to carry on business” contrary to the License Agreement. Mr. Farbstein indicated in cross-examination that he sought instructions from 216’s parent company and communicated with both external and internal counsel. Then, at around noon on June 2, Mr. Farbstein instructed external counsel to begin drafting a notice terminating the License Agreement. 216 pulled its staff from the retail premises and, at 4:26 p.m., sent 111 a “Notice of Defaults” indicating that the License Agreement had been terminated. [16] Mr. Heydon did not follow through on his threat. 111 responded to 216’s Notice of Defaults through counsel and carried on with the planned opening. The store opened to the public on June 3, 2020. [17] 216 did not pay the Branding Fee. On July 2, 2020, it commenced this application seeking, among other things, a declaration that the License Agreement was validly terminated. [18] 111 did not make its June and July rent payments. On August 5, 2020, 216 gave notice of termination of the Sublease, citing the missed rent payments. 216 subsequently amended its notice of application to seek a further declaration that the Sublease was validly terminated on August 5 as a result of unpaid rent. Decision below [19] The application judge found that Mr. Heydon’s communication to the effect that he would not be opening the store and would be laying off staff was not an event of default under the License Agreement. It was “an emotional response to being given incorrect information at a critical time”. As a result, she concluded that 216’s termination of the License Agreement was invalid. The application judge went on to find, based on Mr. Farbstein’s admission in cross-examination that on the morning of June 2, 2020, 216 was looking for a way to end the relationship with 111, that 216 had “pounced” on the statement made by Mr. Heydon as a way to terminate the relationship and avoid paying the Branding Fee, and therefore that 216’s termination of the agreements was not done in good faith. [20] The application judge also found that the Branding Fee was due and owing, subject to certain deductions, including set-off for 111’s unpaid rent between June and September 2020. The issue of damages was left to be determined at trial or by agreement between the parties. DID THE APPLICATION JUDGE ERR IN FINDING THAT 216’S TERMINATION OF THE LICENSE AGREEMENT WAS INVALID? [21] 216 submits that it validly terminated the License Agreement in response to a genuine threat to cease carrying on business by Mr. Heydon. 216 relies on the following paragraph of the License Agreement: 26. The Licensor has the right, without liability, cost or penalty, to terminate this agreement with immediate effect on written notice to the Licensee if one or more of the following occurs. (c) the Licensee ceases or threatens to cease to carry on business , or takes or threatens to take any action to liquidate its assets, or stops making payments in the usual course of business; [Emphasis added.] [22] 216 argues that the application judge erred in finding that Mr. Heydon’s “statement” that he intended to cease operations did not constitute grounds for termination under the License Agreement because it was an “emotional response”. 216 submits that there were in fact several statements made to different representatives of 216 and Canopy. 216 further submits that it was an error of law for the application judge to have expected 216 to discern Mr. Heydon’s subjective intention for the statements, and for the application judge to have relied on Mr. Heydon’s subjective intention to determine whether those statements were indeed threats to cease to carry on business. [23] According to 216, the application judge had to determine what a reasonable person, circumstanced as the actual parties were, would have had in mind when Mr. Heydon’s statements were made. See Goodyear Canada Inc. v. Burnhamthorpe Square Inc. (1998), 41 O.R. (3d) 321 (C.A.), at para. 88. 216 cites three communications: a) Mr. Heydon’s June 1 email to 216 stating: “Please inform Canopy we will NOT be opening. I will lay off the staff tomorrow”; b) Mr. Heydon’s June 1 email to a representative of Canopy with the subject line “Still no rent on the table…” stating “I also have to pay payroll this week. So if we cannot sort by tomorrow, I will be forced to lay off the staff”; c) Mr. Heydon’s oral communications with 216’s on-site staff, whom he advised that the store would not be opening due to issues regarding rent with 216. [24] 216 argues that, viewed objectively, these three communications from Mr. Heydon to 216, Canopy and 216’s on-site representatives clearly constituted a threat to cease to carry on business entitling 216 to terminate the agreement. [25] I disagree. [26] The interpretation of commercial agreements involves questions of mixed fact and law. A trial judge’s interpretation and application of contractual terms is owed deference on appeal: Sattva Capital Corp. v. Creston Moly Corp. , 2014 SCC 53, [2014] 2 S.C.R. 633. [27] In this case, the application judge was called upon to determine whether the statements made by Mr. Heydon on June 1 constituted a “threat to cease to carry on business” for the purposes of paragraph 26(c) of the License Agreement. As the Supreme Court stated in Sattva , at para. 47, “[t]he overriding concern is to determine the intent of the parties and the scope of their understanding” by reading the contract as a whole and giving the words used their ordinary and grammatical meaning consistent with the surrounding circumstances known to the parties at the time of formation of the contract. [28] Unfortunately, the application judge did not expressly grapple with the scope or purpose of paragraph 26(c), nor did she explore the parties’ intentions in including it in their agreement. On appeal, neither party sought to explain the rationale for paragraph 26(c). Without this crucial framing, it is difficult to determine whether Mr. Heydon’s statements were, as a matter of contractual interpretation, threats for the purposes of paragraph 26(c). In other words, while, on their face, Mr. Heydon’s statements were a threat not to open, were these threats that would trigger default under the License Agreement? [29] In my view, there are at least two possible interpretations of paragraph 26(c), one of which the application judge implicitly adopted and the other she implicitly rejected. [30] Under the first interpretation, paragraph 26(c) seeks to prevent the licensee from making what are, on their face, threats to cease carrying on business or threats to take any action to liquidate its assets. In other words, the clause is directed at preventing the licensee from making these kinds of statements whether or not the licensee intends to carry out the threatened action or the licensor expects that the threat will be carried out. The logic behind such an interpretation would be that the License Agreement was set to last for a 10-year initial term. Threats and brinkmanship exhibited by the licensee would be corrosive to such a long-term relationship, especially if such threats were used as a negotiating or pressure tactic. Moreover, as Mr. Farbstein repeatedly stressed in his evidence, 216 was concerned about preserving its relationship with Canopy, the master licensor of the Tokyo Smoke brand. Threats of closure by a branded store, whether acted upon or not, might be viewed as injuring the brand. [31] The second interpretation would require the threat to be objectively credible in order to trigger default under the agreement. This second interpretation recognizes that the language of paragraph 26(c) contemplates more than threats to cease to carry on business: it is also an event of default under paragraph 26(c) for 111 to take action or threaten to take action to liquidate its assets, or to stop making payments in the usual course of business. Taken as a whole, paragraph 26(c) can be viewed as seeking to preserve the licensor’s rights in the event of a looming insolvency. Indeed, paragraph 26(d), addresses formal insolvency proceedings, and paragraph 26(e) makes it an event of default for 111 to “cease to operate the Business at the Store for a period of more than thirty (30) consecutive days”. It is reasonable that 216 would seek to preserve its right to terminate the License Agreement in such circumstances, both to pre-empt the uncertainty associated with insolvency and to avoid its brand materials becoming associated with a defunct or inoperative storefront in a fashionable neighbourhood. Viewed through this lens, paragraph 26(c) is directed toward credible threats to cease to carry on business which would require 216 to take action to preserve its intellectual property rights. From the application judge’s reasons, it is apparent that she interpreted paragraph 26(c) in this way. Such an interpretation is reasonable in the circumstances and I see no basis to interfere. [32] The application judge correctly noted that 111’s communications during the evening of June 1 had to be viewed in context. Mr. Heydon had just been told that 216 would not be advancing the money needed to pay the June rent. He believed that this was a breach of 216’s obligation pursuant to the agreements between the parties. It turned out that he was in fact correct in that regard and 216 ought to have financed the payment of the June rent. [33] On June 1, 2020, as a consequence of 216’s mistake, Mr. Heydon was faced with an unexpected shortfall of $95,000. There was therefore uncertainty as to whether 111 could be ready to open on June 3. [34] The application judge had before her the email chain between Canopy and Mr. Heydon and between 216 (represented by Mr. Calvert and Mr. Farbstein) and Mr. Heydon from June 1. These emails show that Mr. Heydon was reacting to the fact that he had been denied the June rent advance: Canopy - 4:00 pm: Can we confirm that we will be opening the doors as per your regular store hours? Heydon - 4:26 pm: No, we are not. Just need to sort out rent. Calvert - 6:48 pm: Can you clarify your comments? As discussed in last nights email we fund the prorated portion of June rent ($10k) in Loan A. Is there something outside of this that would prevent you from opening? Heydon - 7:38 pm: The other 95k Farbstein - 7:41 pm: Rob – you are at the max of the facility. I am not able to grant more. Heydon - 7:48 pm: Ok, thank you. Please inform Canopy we will NOT be opening. I will lay off the staff tomorrow. [35] In a separate email to Canopy at 8:16 p.m. with the subject line “Still no rent on the table…” Mr. Heydon wrote: “I also have to pay payroll this week. So if we cannot sort by tomorrow I will be forced to lay off the staff”. [36] Significantly, during the evening of June 1, with these exchanges ongoing, Mr. Farbstein called Mr. Heydon “to calm him down” and reassure him that “everything was going to be ok.” He reiterated that 216 would pay 111 the Branding Fee as agreed. In other words, Mr. Farbstein responded to the threat in a manner suggesting that he could address Mr. Heydon’s concerns and that a closure could and would be avoided. In fact, by the time the Notice of Defaults was sent, it would have been apparent that Mr. Heydon was moving forward with the planned opening. [37] Given the context, I see nothing unreasonable in the application judge’s conclusion that Mr. Heydon’s communication did not constitute a threat entitling 216 to terminate the License Agreement. An objective observer would understand that Mr. Heydon was facing a problem: how was he to cover the June rent and open on June 3 given the last-minute wrongful withholding of needed funds? Indeed, despite Mr. Heydon’s threat not to open and to lay off staff, his frustration provided an objective manifestation of his strong desire to open as planned, not an intent to shutter the store. [38] Contrary to 216’s submission, the application judge’s finding that Mr. Heydon’s behaviour was “an emotional response to being given incorrect information at a critical time” was not simply based on Mr. Heydon’s subjective frustration. It was based on the application judge’s objective assessment of the parties’ exchanges in light of the language of the agreement and the factual context. [39] In my view, on this record, the application judge’s finding that Mr. Heydon’s emotional frustration, viewed in context, did not meet the requirements of the parties’ termination clause was clearly reasonable. For the threats to be treated as an event of default under the License Agreement, a degree of objective credibility – or objective intent – or a real risk that Mr. Heydon’s threats would be carried out was required. As a finding of mixed fact and law, the application judge’s conclusion is owed deference on appeal and I see no basis to interfere. Did the application JUDGE err in finding that 216 had breached its duty of good faith? [40] 216 acknowledges that the License Agreement contained an express contractual duty of good faith that bound both parties. However, 216 argues that the application judge erred in law in finding that 216 had breached that duty or the common law duty of good faith in contractual performance. In 216’s submission, the application judge equated what she held was an invalid termination of the License Agreement with bad faith because 216 was looking for a way to get out of the relationship. 216 takes the position that a party does not act in bad faith merely because its error concerning its contractual termination rights achieved an additional objective, fulfilling its desire to end the relationship. [41] 111 for its part argues that 216 acted in bad faith by misleading 111 about the funds available to it under Loan A and by leading 111 to believe that the Branding Fee would be paid and the rent deferred. Shortly after giving these assurances, 216 terminated the License Agreement. In its factum, 111 submits that this conduct “revealed 216’s true intention, namely, to seek to end its relationship with 111 and seize 111’s business without paying the Branding Fee and without compensating 111”. 111 submits that all of these findings were open to the application judge on this record and constitute a breach of 216’s duty of honest performance. The Law [42] The Supreme Court in Bhasin v. Hrynew , 2014 SCC 71, [2014] 3 S.C.R. 494, explained that good faith contractual performance is a general organizing principle of the common law of contract. The court also recognized a more specific “manifestation” of the organizing principle in the duty to act honestly in the performance of contractual obligations: at para. 33. In this case, there is no issue as to the existence of a duty of good faith since the parties expressly stipulated such a duty in the License Agreement. The issue is therefore to determine the content of that duty in the circumstances and whether it was breached. [43] Good faith requires “simply that parties generally must perform their contractual duties honestly and reasonably and not capriciously or arbitrarily”: Bhasin , at para. 63. The duty requires that “in carrying out his or her own performance of the contract, a contracting party should have appropriate regard to the legitimate contractual interests of the contracting partner”: Bhasin , at para. 65. It does not require that contracting parties serve each other’s interests. However, they may not seek to undermine those interests in bad faith. [44] In Bhasin , the court identified four distinct legal doctrines operating as manifestations of the general organizing principle: 1) the duty of cooperation between the parties to achieve the objects of the contract; 2) the duty to exercise contractual discretion in good faith; 3) the duty not to evade contractual obligations in bad faith; and 4) the duty of honest performance. These doctrines generally reflect the situations and relationships in which the law requires contracts to be performed honestly, and reasonably, and not capriciously or arbitrarily. Accordingly, the list of recognized duties is not closed: Bhasin , at para. 66 . [45] The application judge did not specify which of these doctrines was at play in this case, nor did she have the benefit of the Supreme Court’s decisions in C.M. Callow Inc. v. Zollinger , 2020 SCC 45, 452 D.L.R. (4th) 44, or Wastech Services Ltd. v. Greater Vancouver Sewerage and Drainage District, 2021 SCC 7, 454 D.L.R. (4th) 1, both of which were released after her decision . In its notice of counter-application and its factum, 111 focusses on the duty of honest performance. 111 alleges that 216 knowingly misled 111 about the amounts available to it under the Loan Agreement, that the Branding Fee would be paid and that rent would be deferred. After knowingly misleading 111 in this way, it simply terminated the agreement. 111 further alleges that 216 terminated the agreement to avoid payment of the Branding Fee. All of this conduct, in 111’s submission, amounts to a breach of the duty of honest performance. Analysis [46] The application judge set out her finding of bad faith in five paragraphs at the end of her reasons. She concluded as follows: While I do not find that 216 lied to 111, it pounced on a single statement made by Mr. Heydon as a basis to trigger default, thereby achieving its goal of ending the relationship with Mr. Heydon and attempting to discharge its obligation to pay the Branding Fee. [47] While the application judge’s conclusion clearly rested on her finding that 216 “pounced” on Mr. Heydon’s threat, 111 argues that the record discloses, and it is implicit from her reasons, that other sources of bad faith informed the application judge’s analysis. [48] In what follows, I address four potential sources or instantiations of bad faith: first, that 216 knowingly misled 111; second, that 216 “pounced” on a default that it did not believe had occurred; third, that 216 sought to evade payment of the Branding Fee in bad faith; and fourth, that 216 seized upon a breach of its own making as in Mason v. Freedman , [1958] S.C.R. 483. (1) 216 did not knowingly mislead 111 [49] I turn first to the question of whether 216 knowingly misled 111 at any point. In my view, the application judge’s finding that 216 did not lie to 111 and that Mr. Farbstein did not act dishonestly is critical in this respect. As I will explain, it is apparent from the application judge’s finding on this point that, when Mr. Farbstein informed 111 about the amounts available to it under the Loan Agreement and that he intended to pay the Branding Fee and seek to have the June rent deferred, he was not, as 111 alleges, knowingly misleading Mr. Heydon. [50] I accept that it is possible to mislead in many ways: lies, half-truths, omissions, and even silence. In this case, it is acknowledged that at various points, 216 misled or misinformed 111, or changed its position. The critical issue, however, is whether Mr. Farbstein or 216 knowingly misled 111: Bhasin at para. 73. In this respect, it is significant that the application judge found that Mr. Farbstein did not lie to 111 at any point. Further, nothing in the application judge’s reasons suggest that she rejected any element of Mr. Farbstein’s testimony or made an adverse credibility finding against him. Mr. Farbstein’s evidence on at least three key points indicates that he never intended to mislead 111 or Mr. Heydon. [51] First, Mr. Farbstein admitted on cross-examination that he was mistaken when he told Mr. Heydon that 216 was not required to fund the June rent. He did not lie or knowingly withhold information. Thus, while 111 received false information, there is no basis for saying that 216 knowingly misled 111. [52] Second, Mr. Farbstein gave evidence that when he called Mr. Heydon during the evening of June 1 to “calm him down”, he did not say that 111 was in default because he did not believe 111 was in default at that time. He told Mr. Heydon that 216 would pay the Branding Fee later in the week and that it would work with the landlord to defer rent until 111 was able to pay, as appears from the following excerpt from Mr. Farbstein’s cross-examination: Q: Say, at the time you made this statement that you would pay the Branding Fee later that week and you would go speak to the landlord about deferring rent, those statements were true at the time you made them, right? A: Correct. Those are true . Q: And you didn’t tell him in that phone call that his agreements with 216 were at risk of being terminated, did you? A: I didn’t tell him because at that point, I had – it wasn’t in my head at risk of being – I hadn’t thought about terminating at that point . I was thinking to try and just – so I do tell him that. [53] Third, Mr. Farbstein admitted that his email of June 2 at 9:24 a.m., in which he reiterated that the Branding Fee would be paid and a rent deferral sought, was honest and reflected his true intention at the time, despite the fact that 216 was considering ways to terminate the relationship. He stated: Q: Did you say at that point in time, 9:24 a.m. on June 2nd, you didn’t think he was in default or you wouldn’t have written that, right? A: That’s what I said. A: At that point at 9:24, I did not think he was in default because at that point, I had not re-reviewed the License Agreements . So I thought at that point he wasn’t in default and that I owed him the Branding Fee at that point in time, 9:24, when I sent that email. You’re correct. Q: Was [216] looking for a way to get out of the relationship with 111? A: On the morning of June 2nd, it was looking for a way to end the relationship with 111, correct. [54] Taken together, the uncontradicted evidence is that 216 did not, at any point, knowingly mislead 111 about its intention with respect to the Branding Fee or the deferral of rent. In fact, because the application judge made a finding that Mr. Farbstein did not lie to 111, it is apparent that the assurance given to Mr. Heydon reflected Mr. Farbstein’s honest belief at the time they were made. He had not reviewed the agreements or spoken with counsel. Mr. Farbstein explained that he did not form a concrete intention to terminate the agreement until after 9:24 a.m. on June 2, at which point he had reviewed the License Agreement and determined that Mr. Heydon’s threat gave 216 cause to terminate and that the Branding Fee was no longer due. He then contacted internal and external counsel to “validate” his thoughts on the termination before instructing external counsel to draft a notice. [55] 216 did not, as 111 suggests, actively mislead 111. It simply changed positions in light of new information. The application judge made no finding that the change in position was taken dishonestly or unreasonably nor is there any suggestion that it was taken capriciously or arbitrarily. (2) “Pouncing” by 216 did not constitute bad faith [56] The application judge’s conclusion that 216 acted in bad faith is more plausibly anchored to her finding that 216 “pounced on a single statement made by Mr. Heydon as a basis to trigger default, thereby achieving its goal of ending the relationship … and attempting to discharge its obligation to pay the Branding Fee”. In my view, however, 216’s act of pouncing did not constitute bad faith in this case. [57] Setting aside the factual question of whether Mr. Heydon made a “single statement” or several statements, the more fundamental difficulty I have with this as a basis for finding that there was a breach of the duty of honest performance and bad faith on the part of the appellant is that the application judge made no finding of dishonesty and such a finding cannot be inferred from her reasons. A party is not prevented from exercising a right of termination simply because it wishes to bring its relationship with the other party to an end. Nor should a party be prevented from ending a relationship because it will deprive the defaulting party of a payment that it would have received had the relationship continued. Where a party is anxious to end a relationship, and a valid reason to do so presents itself, that party is not, in the absence of some other relevant fact, prevented from “pouncing” on it. [58] While 216’s basis for terminating the License Agreement ultimately proved invalid, as discussed above, its position on termination was not unreasonable, malicious, or so inconsiderate of 111’s legitimate contractual interests as to constitute bad faith. It was neither manufactured nor concocted. Mr. Farbstein believed Mr. Heydon’s threat constituted a breach. [59] I also see no basis for concluding that 216’s change in position was capricious or arbitrary. Mr. Farbstein reviewed the License Agreement and spoke with counsel before taking the position that Mr. Heydon’s threat constituted an event of default. [60] Mr. Farbstein’s conduct following Mr. Heydon’s threatening statements is consistent with Mr. Farbstein having viewed Mr. Heydon’s communication as a genuine and credible threat, even if he did not immediately recognize that such a threat could constitute an event of default under the License Agreement. Mr. Farbstein called Mr. Heydon because “at ten months trying to get the store opened and I was threatened two nights before the store was opened that it wasn’t going to be open, and so, my reaction was to try to calm him down” … “If I wasn’t concerned, I wouldn’t call him. I was concerned.” He then promised and ultimately did speak with the landlord about a possible rent deferral, and reported on the situation to 216’s parent company at least twice between 8:30 p.m. on June 1 and 10:00 a.m. on June 2. Mr. Farbstein’s actions suggest that he saw Mr. Heydon’s communications as more than empty threats or posturing. [61] While Mr. Farbstein may well have understood by sometime on June 2 that, despite his threat, Mr. Heydon would in fact open the store on June 3, 216 had an  interest in ending such threats, especially those sent directly to Canopy, 216’s master licensor. As I have noted, it is possible to read paragraph 26(c) of the License Agreement as permitting termination when a party makes what, on its face, is a significant threat, even if such threat is later withdrawn or may be considered unlikely to be carried out. Such an interpretation acknowledges 216’s legitimate contractual interest in preserving its own relationship with Canopy and enjoying a commercial relationship with 111 free of brinkmanship. As Mr. Farbstein deposed: “That type of [threatening] behaviour by 216’s sublicensees may cause Canopy to lose confidence in 216, and undermine its business relationship”. [62] The evidence is that the relationship between 216 and 111 was “difficult” because Mr. Heydon bristled at any intervention by 216. The threat was, from 216’s perspective, serious. As the application judge observed: a) 216 saw 111’s threat as a “shakedown” for additional funds; b) 216 was concerned that Mr. Heydon’s behaviour reflected negatively on his capacity to act honestly; and c) the fact that Mr. Heydon’s threat was sent directly to Canopy worried 216 that this could cause Canopy to lose confidence in it. [63] Mr. Farbstein confirmed in his evidence that, by June 2, 216 had serious reservations about being in business with 111 for the next 10 years. As he admitted on cross-examination, Mr. Farbstein returned to the License Agreement early on June 2 with a view to determining whether the threat constituted a breach that justified terminating the relationship with 111: “I, you know, took some time and re-looked at the License Agreement and believed that the email that happened the night before may be cause for termination of License Agreement because I perceived that as a threat”. The breach he ultimately invoked was based on 216’s understanding that the threat was the type of threat contemplated by paragraph 26(c). That interpretation was wrong but, absent a finding that it was a position manufactured to achieve 216’s objective of ending the relationship, an unreasonable position, or a position taken capriciously or arbitrarily, it constitutes an error and no more. This was a fluid situation at a crucial point in the commercial relationship with both parties evaluating and re-evaluating their legal rights in real time. [64] In my view, the finding that  216 had a desire to end its relationship with 111 and chose to “pounce” on what, incorrectly, it saw as providing the opportunity to do so was not sufficient to justify a finding of bad faith. I would therefore set aside the application judge’s finding of bad faith. (3) The Branding Fee [65] 111 argues that 216’s true intention in terminating the agreements was to seize 111’s business without paying the Branding Fee. Although the application judge’s reasons do not set out an express finding on this point, 111 submits that such a finding is implied in her conclusion that 216 pounced on 111’s statement “to trigger default, thereby achieving its goal of ending the relationship with Mr. Heydon and attempting to discharge its obligation to pay the Branding Fee”. [66] I disagree. I acknowledge that, in Bhasin , the Supreme Court explained that a party has a duty not to evade its contractual obligations in bad faith. As a result, a party that manufactures an artificial reason to terminate a contract in order to avoid future payment obligations would likely be found to have acted in bad faith. However, as explained above, 216 believed the termination was justified. The fact that termination releases a party from making a significant payment does not amount to bad faith, even where a court later finds that the termination was invalid. [67] The issue of the Branding Fee was put directly to Mr. Farbstein in cross-examination: Q. All right. Did 216 start to regret the fact that it obligated itself to pay a Branding Fee, a $2 million Branding Fee, to Mr. Heydon once the market opened up in 2020? A. It did not. Q. Was it looking for a way to avoid the payment of that fee? A. Nope. [68] The application judge did not reject this evidence. Without an adverse credibility finding against Mr. Farbstein or some other reason to reject his testimony, there is no basis for 111’s suggestion that the termination of the License Agreement was an excuse manufactured by 216 to avoid payment of the Branding Fee. If 216’s goal of ending the relationship with Mr. Heydon was achieved legitimately by the exercise of an express termination right, it would, as far as Mr. Farbstein understood at the time, result in the discharge of 216’s obligation to pay the Branding Fee. This alone does not support a finding of bad faith. (4) Does the doctrine in Mason v. Freedman apply? [69] While it was not explicitly argued in this way, 111 effectively takes the position that 216 should not be permitted to evade its contractual obligation to pay the Branding Fee by invoking a breach of its own making. It was Mr. Farbstein’s erroneous interpretation of the License Agreement that caused Mr. Heydon’s “emotional response”, which 216 then claimed was a “threat” in violation of the License Agreement. 216’s attempt to seize upon the consequences of its own mistake is arguably another way that 216 sought to evade its contractual obligations in bad faith, contrary to the duty described above. [70] Again, I disagree. In Bhasin , the Supreme Court illustrated the duty not to evade contractual obligations in bad faith with reference to the case of Mason . In Mason , a vendor of real property attempted to repudiate an agreement of sale on the basis that he was “unable or unwilling” to remove a defect on title because his wife would not provide a bar of dower. The evidence, however, revealed that the vendor had made no effort to remove the defect on title in a deliberate attempt to sabotage the sale and escape his bargain. [71] In this case, the evidence is that Mr. Farbstein simply misinterpreted the Loan Agreement when he made the statements that triggered Mr. Heydon’s emotional response, which Mr. Farbstein in turn perceived as an event of default. Unlike Mason , there was no deliberate attempt to create the conditions giving rise to 216’s right of termination. While Mr. Heydon’s reaction was, in the sequence of events, a default of 216’s own making, it is not analogous to the vendor’s actions in Mason . In my view, it would not be appropriate to characterize 216’s error as bad faith simply because that error set in motion the events that would culminate with 216’s invalid termination of the License Agreement. This is quite simply a case of breach of contract. Conclusion on Good Faith [72] Put simply, in terminating the License Agreement, 216 did not seek to undermine 111’s interests in bad faith. While 216’s notice of termination was, by definition, an attempt to put an end to the agreement, the termination right in question formed part of the parties’ bargain and reflected, among other things, the licensor’s legitimate interest in protecting its brand in circumstances that the parties expressly stipulated would give rise to a right of termination. The fact that Mr. Farbstein erroneously believed those circumstances were present does not amount to bad faith. [73] As I have explained, the application judge’s findings do not, in law, make out the necessary requirements for bad faith. That finding must be set aside. DID THE APPLICATION JUDGE ERR IN FAILING TO DECLARE THAT THE SUBLEASE WAS TERMINATED IN AUGUST 2020? [74] 216 argues that the application judge was obliged to declare that the Sublease was validly terminated on August 5, 2020 and that, consequently, the License Agreement was frustrated and at an end. [75] As noted, 111 failed to pay June and July rent after the purported termination of the License Agreement on June 2. 216 gave 111 notice that it intended to terminate the Sublease for failure to pay, and it gave 111 an opportunity to cure the breach. 111 was unable to cure the breach and 216 terminated the Sublease for failure to pay June and July rent and sought a declaration that the Sublease was at an end. 216 argues that the application judge simply failed to address these issues. [76] 216 maintains that once the Sublease was terminated the License Agreement was frustrated. The License Agreement permitted 111 to use the Tokyo Smoke brand only at the “Store”, defined as “the Licensee’s retail cannabis store to be located at Unit A01131A, 21 Bloor Street, Toronto, Ontario.” 216 suggests that this is a “classic case of contractual frustration” because the August 5 termination of the Sublease makes it both legally and physically impossible to operate the “Store” in accordance with the License Agreement. [77] For its part, 111 argues that June and July rent would have been paid if 216 had not wrongfully terminated the License Agreement and withheld payment of the Branding Fee. The purpose of the agreements between the parties was to ensure that 111 was funded in the early stages of the opening of the store. If 216 had paid the Branding Fee as agreed, 111 would have had no difficulty in paying June and July rent. [78] 111 objects to 216 raising the question of frustration on appeal since it was not argued before the application judge. Nevertheless, 111 argues that there was no frustration of the License Agreement because there was no supervening event that made the License Agreement incapable of being performed. It was 216’s wrongful termination of the License Agreement in June that brought the parties’ relationship to an end. [79] In any event, 111 notes that the parties entered into a consent order in connection with the judgment below. In the judgment, the outstanding rent obligations between June and September 2020, totalling $344,336.18, were set off against the unpaid Branding Fee. The consent order granted 216 possession of the premises as of September 2020. Accordingly, an order that the Sublease was terminated in August was not warranted. Analysis [80] The application judge’s reasons only address the termination of the Sublease in general terms. However, her resolution of the issue is apparent in her judgment and in the consent order. The application judge awarded 216 its rent payments under the Sublease for the period June 1 to September 8, and the consent order granted 216 possession of the retail premises as of September 8. From a practical perspective, the Sublease is at an end and all of the outstanding issues under the Sublease are resolved. [81] The impact that terminating the Sublease may have had on the License Agreement and on the damages that flowed from 216’s wrongful termination of the License Agreement in June 2020, were not addressed in the court below. Nor is that issue dealt with in the settled judgment. In my view, therefore, the issue as to whether the License Agreement was brought to an end in August by virtue of the doctrine of frustration ought not to be addressed for the first time on appeal. It is best left to the trial or other resolution of the outstanding damages issues pursuant to the application judge’s decision. CONCLUSION [82] In conclusion, therefore, I would set aside the finding of bad faith, but would otherwise dismiss the appeal. As I consider that 111 was largely successful on appeal, I would award it costs on a partial indemnity basis in the all-inclusive amount of $27,000. Released: August 30, 2021 “P.R.” “Paul Rouleau J.A.” “I agree Alexandra Hoy J.A.” “I agree K. van Rensburg J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: Urbancorp Toronto Management Inc. (Re), 2021 ONCA 613 DATE: 20210909 DOCKET: M52721 (M52689) Miller J.A. (Motions Judge) In the Matter of the Companies’ Creditors Arrangement Act , R.S.C. 1985, c. C-36, as amended; And in the Matter of a Plan of Compromise or Arrangement of Urbancorp Toronto Management Inc., Urbancorp (St. Clair Village) Inc. Urbancorp (Patricia) Inc., Urbancorp (Mallow) Inc., Urbancorp (Lawrence) Inc., Urbancorp Downsview Park Development Inc., Urbancorp (952 Queen West) Inc., King Residential Inc., Urbancorp 60 St. Clair Inc., High Res. Inc., Bridge on King Inc. (Collectively the “Applicants”) and the Affiliated Entities Listed in Schedule “A” Hereto Kenneth Kraft, Neil Rabinovitch and Michael Beeforth, for the moving party, Guy Gissin, in his capacity as the Foreign Representative of Urbancorp Inc. Robin Schwill, Matthew Milne-Smith and Robert Nicholls, for the responding party, KSV Restructuring Inc., in its capacity as Monitor Matthew Gottlieb, James Renihan and Jane Dietrich, for the responding party, Mattamy Homes Limited Heard: August 26, 2021 by video conference ENDORSEMENT [1] This motion arises out of long-running CCAA proceedings involving a group of companies ultimately owned by Urbancorp Inc. (“UCI”). The moving party, the Foreign Representative of UCI, seeks a stay pending its motion for leave to appeal an order of the supervising judge. That order authorized a process for the sale of a 51% interest in a real estate development project called Downsview Homes Inc. (“DHI”), owned by Urbancorp Downsview Park Development Inc. (“Downsview”), a subsidiary of UCI. The responding party, Mattamy Homes Limited (“Mattamy”), owns the other 49% of DHI. [2] Mattamy is the lender to Downsview under a debtor-in-possession facility (the “DHI Facility”), which matured eight months ago, on February 3, 2021. Downsview owes Mattamy over $9 million pursuant to the terms of the DHI Facility and the order approving the DHI Facility (the “DIP Order”). Downsview cannot repay the debt, and Mattamy will not extend the deadline for payment any further unless a sales process is conducted for Downsview’s interest in DHI. [3] There is also a dispute as to whether Mattamy is entitled to a substantial payment from Downsview under the co-ownership agreement they entered into with respect to DHI. The supervising judge ordered arbitration of that payment dispute. The outcome of the arbitration will have a material impact on the value of Downsview’s interest in the project. If Mattamy is entitled to the payment, Downsview’s interest in the project will be essentially worthless. If Mattamy is not entitled, then Downsview’s interest will be worth millions of dollars, even after the repayment of the DHI Facility. [4] Downsview argued before the supervising judge that the sale process for Downsview’s interest proposed by the Monitor be postponed until the question of the disputed payment could be arbitrated. Downsview was (and remains) concerned that the uncertainty about the value of its interest in DHI will have a chilling effect on the sale process. It is conceivable, Downsview says, that no bidder will step forward because of the difficulty they would encounter conducting due diligence and ascertaining the probable value of DHI in light of the disputed payment. If the sale process fails and no bidder is found, Mattamy could, under the proposed terms of the sale process, seize Downsview’s interest. This would result in a windfall to Mattamy – even if the arbitration of the disputed payment were to be resolved in Downsview’s favour later. [5] The supervising judge was persuaded by the arguments of the Monitor and decided that the sale process should not be postponed until after the arbitration. He highlighted three of the Monitor’s arguments. First, that Mattamy, as the debtor-in-possession lender, was entitled to assert its rights over Downsview’s interest in DHI in the event Downsview did not repay the DHI Facility. Second, that Downsview’s obligations under the DHI Facility continued to accrue. Third, that the proposed sale process could be conducted without knowing the outcome of the arbitration, because the process contemplated the bidders submitting two offers – one on the basis that Mattamy was entitled to the additional payment and one on the basis that it was not. [6] The Monitor had considered and rejected Downsview’s concerns that the proposed sale process would create a “chilling effect” on potential bidders. The Monitor concluded that potential bidders would be sophisticated enough to conduct due diligence and assess both possible outcomes of the disputed payment issue, and would not be dissuaded or confused by being asked to submit separate bids for both possible outcomes. It argued that Downsview was merely speculating that potential bidders would be dissuaded from bidding. [7] The supervising judge agreed with the Monitor that Downsview’s concerns were speculative and ought to have been given no weight. [8] Downsview is seeking leave to appeal to this court. It will argue that the supervising judge erred in concluding that its concerns were speculative, and erred in not ordering the sale process to be delayed until after the conclusion of the arbitration. [9] Downsview argues for a stay of the sale process until the leave application can be decided. If leave to appeal is denied, then that will be the end of things and the sale process can unfold. However, if leave is granted, Downsview will seek a motion for a further stay of the order – and the sale process – pending the disposition of the appeal. ANALYSIS [10] The test for staying an order pending appeal is analogous to the test set out in RJR-MacDonald Inc. v. Canada (Attorney General) , [1994] 1 S.C.R. 311, at p. 334 for granting an interlocutory injunction: (i) is there a serious issue to be determined on appeal; (ii) will the moving party suffer irreparable harm if the stay is not granted; and (iii) does the balance of convenience favour the granting of the stay: Belton v. Spencer , 2020 ONCA 623, paras. 20-21. A. A serious question to be determined on appeal [11] The moving party set out four issues that it characterized as important, both to the parties and to the CCAA process as a whole: (i) the level of deference owed by the court to a “Super Monitor”; (ii) the extent to which a Super Monitor needs to obtain independent evidence to support the fairness and viability of a proposed sale process; (iii) whether the evidentiary onus regarding fairness and viability of the sale process remains with the Super Monitor or shifts to the party objecting to the sale process; and (iv) the extent to which a court can rely on a decision that is released after the parties’ hearing. [12] Although it may seem unlikely the moving party will succeed on a motion for leave to appeal, the first two issues are at least arguable, if weak. The latter two issues would be highly unlikely to attract leave. First, although there seems to be little reason why a “Super Monitor” should be given less than the substantial deference that a supervising judge gives to the decisions and recommendations of a receiver, there is no authority from this court settling the issue. Second, the idea that a Monitor must obtain independent evidence as to the fairness and viability of the sale process seems premised on the idea that an independent party would have greater expertise than the Monitor. Were the moving party correct, it would seem to undermine the speed at which the process is meant to operate. Third, the question of whether there was a shift in evidentiary onus is not a genuine issue – the supervising judge found that the Monitor had satisfied the evidentiary burden necessary to establish that the sale process was fair and reasonable. Fourth, the question of whether the supervising judge ought not to have cited a decision subsequently released by this court is of no importance. The decision in question did not change the law, and the ground is further weakened by the moving party’s failure to outline the submissions on the decision that it would have made before the supervising judge if it had the opportunity. [13] Above all, the moving party faces the high hurdle of the standard of review applicable to a decision of the supervising judge in a CCAA proceeding. The supervising judge had to determine whether the Sale Process ought to commence immediately or wait until the arbitration was concluded. The supervising judge applied the appropriate criteria set out in (Re) Brainhunter (2009) , 62 C.B.R. (5th) 41 (Ont. Sup. Ct.), at para. 13, in deciding whether to order a particular sale process, all of which are factual in nature. The findings of the supervising judge will be entitled to deference on appeal, should leave be granted. The decision to order the sale process was itself made on the recommendations of the Monitor within the context of a long-running CCAA proceeding, compounding the nature of the deference owed by this court: Marchant Realty Partners Inc. v. 2407553 Ontario Inc. , 2021 ONCA 375, 90 C.B.R. (6th) 39, at para 19. [14] Given the weakness of the grounds for appeal that have been articulated, as well as the unlikelihood that the moving party will satisfy the other grounds of the test for leave to appeal, the moving party is unlikely to obtain leave to appeal. This factor weighs in favour of dismissal. B. Irreparable Harm [15] As the moving party argued, the criterion of irreparable harm refers to the nature of the harm rather than its magnitude: RJR-MacDonald , at p. 341. The question is whether refusal to grant relief would so adversely affect the moving party’s interests that the harm could not be remedied were the moving party to lose the motion but succeed on the appeal: RJR-MacDonald , at p. 341. [16] The moving party argues that if the sale process is not deferred until after the arbitration is completed, and Downsview’s interest in DHI is sold, it will be impossible to know whether a higher purchase price could have been obtained had the sale process been deferred. Additionally, if the stay motion is not granted and a sale is concluded prior to the appeal being heard, the moving party’s appeal will have been rendered moot. [17] Mattamy argues in reply that the supervising judge already adjudicated the issue of whether the sale process constitutes irreparable harm to the moving party. The supervising judge dismissed as speculative the argument that the sale process would generate a chill that would result in a lower sale price. Mattamy argues that if I were to find the prospect of irreparable harm, I would be finding that the prospect of a chill is more than speculative, and effectively would be reversing a factual finding of the supervising judge, contrary to the role of this court on a stay motion: Hodgson v. Johnston , 2015 ONCA 731, at para. 9. [18] In addition, if the sale process is frustrated, Mattamy would be entitled, as a result of the moving party’s default under the terms of the DHI Facility, to simply enforce its security and run another sale process, involving additional time and expense. [19] I agree with the submissions of Mattamy. There is no basis on which I can substitute my evaluation of the efficacy of the sale process over that of the supervising judge and find that not granting the stay could result in irreparable harm to the moving party. C. The balance of convenience [20] Determining the balance of convenience requires an inquiry into which of the two parties will suffer the greater harm from granting or refusing the stay: RJR-MacDonald , at p. 342. [21] The moving party argues that it will suffer the greater harm if a stay is refused, because it owns the 51% interest in DHI at issue, and therefore bears the risk of the interest being sold for a lower price than what otherwise could have been obtained. It also bears the risk of the sale process failing to attract any bids, which could result in Mattamy foreclosing on its interest. It argues that Mattamy faces no conceivable harm in delaying the sale process until such time as this court decides whether to grant leave to appeal. [22] Mattamy and the Monitor argue to the contrary that Mattamy will suffer irreparable harm if there is further delay, and that the balance of convenience favours Mattamy. Mattamy has presented evidence on this motion that it has approached eight potential bidders since the sale process order was issued, and is concerned that those potential bidders will lose interest and faith in the sale process if it continues to be bogged down in litigation. Mattamy attests that the current market is favourable for investments of this nature because of favourable interest rates. These market conditions can change at any time, and prospective bidders can lose faith in the process because of procedural delay and decline to participate. [23] Comparing the potential commercial prejudice to Mattamy from delaying the sale process against what the supervising judge concluded to be an absence of genuine prejudice to the moving party in proceeding with the sale process prior to the conclusion of the arbitration, I find that the balance of convenience favours Mattamy. I would dismiss the motion. D. Sealing order [24] All parties request a sealing order on the same basis and on analogous terms as the sealing order granted by the supervising judge, in order to preserve the integrity of the sale process and the pending arbitration. I am prepared to grant that order. E. Disposition [25] The motion to stay is dismissed. The request for a sealing order is granted. If parties are unable to agree on an order for costs for this motion, I will receive submissions from each party not exceeding three pages within 10 days of these reasons. “B.W. Miller J.A.” SCHEDULE “A’ LIST OF AFFILIATED ENTITIES Urbancorp Power Holdings Inc. Vestaco Homes Inc. Vestaco Investments Inc. 228 Queen’s Quay West Limited Urbancorp Cumberland 1 LP Urbancorp Cumberland 1 GP Inc. Urbancorp Partner (King South) Inc. Urbancorp (North Side) Inc. Urbancorp Residential Inc. Urbancorp Realtyco Inc.
COURT OF APPEAL FOR ONTARIO CITATION: Florovski v. Florovski, 2021 ONCA 606 DATE: 20210910 DOCKET: C68917 Strathy C.J.O., Lauwers and Sossin JJ.A. BETWEEN Diane Florovski Applicant (Appellant) and Louie Florovski Respondent (Respondent) Fadwa Yehia and Gabrielle Pop-Lazic, for the appellant Christina Doris and Sydney Bunting, for the respondent Heard: September 3, 2021 by video conference On appeal from the order of Justice Richard T. Bennett of the Superior Court of Justice, dated December 2, 2020, with reasons reported at 2020 ONSC 7486. REASONS FOR DECISION [1] In this family law case, Vallee J. made an order requiring the respondent to make full disclosure, building in a daily $500 financial penalty for any failure to do so on a timely basis (August 26, 2019 - 2019 ONSC 5013). The appellant moved to strike the respondent’s pleading and to enforce the penalty, which by then had accumulated to the total of $224,000, even though disclosure was relatively complete. The motion judge declined to do so and left the proper application of the penalty provision in the order of Vallee J. to the trial judge, as all parties acknowledge. He did not err in declining to enforce a penalty that appeared to be disproportionate to the degree of non-disclosure. Because this was an interlocutory order, it is not appealable to this court. The appeal is quashed with costs payable by the appellant to the respondent in the amount of $15,000, all inclusive. “G.R. Strathy C.J.O.” “P. Lauwers J.A.” “L. Sossin J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: Panasonic Eco Solutions Canada Inc. v. XL Specialty Insurance Company, 2021 ONCA 612 DATE: 20210910 DOCKET: C68282 Feldman, Paciocco and Coroza JJ.A. BETWEEN Panasonic Eco Solutions Canada Inc. Applicant (Respondent/ Appellant by way of cross-appeal) and XL Specialty Insurance Company Respondent (Appellant/ Respondent by way of cross-appeal) W. Colin Empke and Anthony H. Gatensby, for the appellant Jeffrey A. Brown and Callum J. Micucci, for the respondent Heard: March 12, 2021 by videoconference On appeal from the judgment of Justice Markus Koehnen of the Superior Court of Justice, dated March 9, 2020, with reasons at 2020 ONSC 1502. Feldman J.A.: A. Introduction [1] The issue on this appeal is whether the appellant insurer, XL Specialty Insurance Company, has a duty to defend its insured, the respondent Panasonic Eco Solutions Canada Inc., against two claims for breach of contract brought against Panasonic by a group of companies collectively operating as Solar Flow-Through Fund (“Solar”) in an arbitration proceeding. The insurance policy is a professional errors and omissions policy that excludes contractual liability claims unless the insured would have had the liability in the absence of the contract. [2] The application judge held that XL has a duty to defend one of the claims but not the other. XL appealed and Panasonic cross-appealed. [3] I would allow the appeal and dismiss the cross-appeal. XL has no duty to defend either claim. B. Background Facts Pleaded by Solar in its Arbitration Claim [4] Panasonic entered into two agreements with Solar. The first was an Engineering, Procurement, and Construction Agreement (the “Engineering Agreement”) that required Panasonic to procure, construct and install roof-mounted solar electricity generating systems. Solar planned to sell the generated electricity through 20-year contracts it had entered into with Ontario’s Independent Electricity System Operator (the “IESO”). The Engineering Agreement required Panasonic to achieve substantial completion by a guaranteed date. Panasonic failed to do so, resulting in the IESO cancelling seven of its contracts with Solar. [5] In the arbitration claim, Solar pleaded that Panasonic failed to achieve substantial completion “in breach of its contractual obligations” and claimed liquidated damages of $92,309.62, the sole remedy provided in the Engineering Agreement for a contractor’s failure to reach substantial completion by the guaranteed date. [6] Solar further pleaded that following the cancellation, the three parties – Panasonic, Solar and the IESO – entered into negotiations that resulted in the IESO reinstating two of the seven cancelled contracts with Solar, and re-issuing the remaining five contracts, but to Panasonic. [7] The re-issued contracts were part of an agreement between Solar and Panasonic, referred to as the Proceeds Agreement, although it was never finalized or signed. According to that agreement, Solar would provide its expertise for the five contracts that had been re-issued to Panasonic, and in exchange, Panasonic would pay Solar a portion of the proceeds from its sale of the projects. Solar anticipated that it would recover, at a minimum, its sunk costs of $1,300,000 on the re-issued contracts with the IESO. [8] In the arbitration claim on the Proceeds Agreement, Solar claimed damages for breach of contract, or in the alternative for negligent misrepresentation, or in the further alternative, for unjust enrichment. The negligent misrepresentation claim was based on Panasonic’s ongoing representations to Solar, in order to obtain its assistance with the re-issued projects, that it would pay Solar in accordance with the Proceeds Agreement, but Panasonic then failed to pay. The unjust enrichment claim was based on Panasonic enriching itself at Solar’s expense by retaining the full benefit of the sold re-issued projects and depriving Solar of compensation for its assistance. C. Findings of the Application Judge [9] The application judge noted that Panasonic had already received invoices from its defence counsel on the arbitration for $492,965.25, that the arbitration was continuing and that the defence costs were continuing to increase. [10] The XL policy insuring Panasonic is an errors and omissions policy, formally named a Professional and Contractor’s Pollution Legal Liability Policy. The policy covers monetary judgments that Panasonic becomes legally obligated to pay because of a claim “resulting from an act, error or omission in Professional Services”. XL agreed that Solar’s claim arises from the delivery of professional services. [11] Under the policy, XL has a duty to defend any claim against Panasonic “to which this insurance applies” regardless of the merits of the claim. Whether the insurance applies depends on the interpretation of the following exclusion and exception to the exclusion clause: This Policy does not apply to any Claim … arising from the Insured’s: 1. assumption of liability in a contract or agreement; or 2. breach of contract or agreement. This exclusion does not apply to: (i) liability that the Insured would have in the absence of the contract or agreement [12] The application judge referred to the four principles applicable to an insurer’s duty to defend set out by the Supreme Court of Canada in Monenco Ltd. v. Commonwealth Insurance Co. , 2001 SCC 49, [2001] 2 S.C.R. 699, at paras. 28, 33. He summarized these principles as follows: (a) The duty to defend is distinct from, and broader than, the duty to indemnify. There may be a duty to defend even if the insurer may not ultimately be required to indemnify the insured. (b) The court assumes that the pleaded facts are true. (c) The court applies the pleaded facts to the policy wording. (d) The duty to defend arises if the underlying complaint alleges any facts that might fall within coverage under the policy. [13] The application judge also referred to the principle that where the pleadings are imprecise, “the insurer’s obligation to defend will be triggered where, on a reasonable reading of the pleadings, a claim within coverage can be inferred”: Monenco , at para. 31. (1) The Claim under the Engineering Agreement [14] In its claim for liquidated damages under the Engineering Agreement, Solar relied on Article 13 of the Agreement which the application judge quoted in part: [I]f a system has not reached Substantial Completion by the Guaranteed Substantial Completion date solely due to Contractor’s acts or omissions, Owner shall be entitled to receive as daily liquidated damages from Contractor [15] XL argued to the application judge that it had no duty to defend because Solar’s claim for liquidated damages arose out of Panasonic’s breach of contract in failing to achieve substantial completion by the guaranteed date in accordance with its contractual obligation, and was therefore excluded by the exclusion clause. [16] The application judge rejected this argument. He reasoned that Solar’s claim for liquidated damages arises out of Panasonic’s “acts or omissions” in failing to meet the guaranteed date, and Panasonic’s delay could have been caused by its negligence, in which case Solar’s claims could fall within coverage. It depended on the cause of the delay. Further, the fact that Solar did not plead negligence did not undermine the analysis as long as it pleaded facts that were capable of supporting the tort of negligence: Non-Marine Underwriters, Lloyd’s of London v. Scalera , 2000 SCC 24, [2000] 1 S.C.R. 551, at para. 83. [17] The application judge was unable to determine on the record before him whether the damages Solar sought were attributable to negligence by Panasonic or to circumstances beyond Panasonic’s control. He presumed that this may be one of the issues in the underlying arbitration. The application judge noted, as an aside, that if it turned out that the delay was due to deliberate acts or omissions by Panasonic, as opposed to negligence, then there would be no coverage. (2) The Claim under the Proceeds Agreement [18] In its Notice of Arbitration against Panasonic, Solar pleaded that Panasonic’s failure to pay Solar’s share of the sale proceeds from the reissued projects was “tactical and meant to sidestep its obligations to pay [Solar] anything for its work under the Proceeds Agreement.” [19] The application judge concluded that Panasonic’s liability under the Proceeds Agreement was in effect a debt claim that arose under the contract and could not come within the exception to the exclusion. He also rejected the efficacy of the negligent misrepresentation and unjust enrichment claims. The negligent misrepresentation claim was based on representations by Panasonic that it would pay under the agreement, and was therefore based solely on Panasonic’s breach of the Proceeds Agreement by failing to make payments under it. The application judge further found that the unjust enrichment claim is excluded under the policy because the policy does not cover claims for equitable remedies. D. Issues on the Appeal and the Cross-Appeal [20] The question on the appeal and cross-appeal is the proper interpretation of the XL policy and its potential application to the arbitration claim, triggering the duty to defend. To answer that question, the following are the issues to be addressed: 1) The standard of review; 2) Principles of interpretation and application of insurance policies; 3) The proper interpretation of the exclusion clause; 4) Does Solar’s claim under the Engineering Agreement give rise to a duty on XL to defend the claim? 5) Does Solar’s claim under the Proceeds Agreement give rise to a duty on XL to defend the claim? E. Analysis (1) The Standard of Review [21] Both parties agree that the appeal involves the interpretation of a standard form policy of insurance. As a result, in accordance with the decision of the Supreme Court of Canada in Ledcor Construction Ltd. v. Northbridge Indemnity Insurance Co., 2016 SCC 37, [2016] 2 S.C.R. 23, the standard of review to be applied by this court is correctness. The court summarized the principle at para. 4: 4        In my opinion, the appropriate standard of review in this case is correctness. Where, like here, the appeal involves the interpretation of a standard form contract, the interpretation at issue is of precedential value, and there is no meaningful factual matrix that is specific to the particular parties to assist the interpretation process, this interpretation is better characterized as a question of law subject to correctness review. (2) Principles of Interpretation and Application of Insurance Policies [22] The first substantive issue is the principles governing the duty of an insurer to defend claims brought against the insured. In Monenco , the Supreme Court reviewed and restated the principles that govern the duty to defend. The first is the rule that the pleading by the claimant against the insured is what triggers the duty to defend. If the facts alleged in the pleading would, if true, require the insurer to indemnify, then the insurer has the duty to defend. The duty to defend is therefore broader than the duty to indemnify because it is triggered by the mere possibility of coverage: Monenco , at paras. 28-29. In addition, the pleadings themselves are to be interpreted broadly, with any doubt to be resolved in favour of the insured: Monenco , at para. 31. In that regard, where the claim alleges facts that might fall within coverage, the duty arises: Monenco , at para. 33. The required analysis is to determine the substance of the claim rather than merely the legal label chosen by the claimant. [23] The Supreme Court reviewed and summarized the general principles of policy interpretation that had been set out in previous Supreme Court case law [1] in its decision in Progressive Homes Ltd. v. Lombard General Insurance Co. of Canada , 2010 SCC 33, [2010] 2 S.C.R. 245, at paras. 22-24: 22      The primary interpretive principle is that when the language of the policy is unambiguous, the court should give effect to clear language, reading the contract as a whole. 23    Where the language of the insurance policy is ambiguous, the courts rely on general rules of contract construction. For example, courts should prefer interpretations that are consistent with the reasonable expectations of the parties, so long as such an interpretation can be supported by the text of the policy. Courts should avoid interpretations that would give rise to an unrealistic result or that would not have been in the contemplation of the parties at the time the policy was concluded. Courts should also strive to ensure that similar insurance policies are construed consistently. These rules of construction are applied to resolve ambiguity. They do not operate to create ambiguity where there is none in the first place. 24      When these rules of construction fail to resolve the ambiguity, courts will construe the policy contra proferentem — against the insurer. One corollary of the contra proferentem rule is that coverage provisions are interpreted broadly, and exclusion clauses narrowly. [Citations omitted.] (3) The Proper Interpretation of the Exclusion Clause [24] The policy begins with the coverage clauses and the duty to defend. Clause I.A.1 is the coverage clause that provides that XL “will pay on behalf of the Insured for Professional Loss which the Insured becomes legally obligated to pay because of a Claim resulting from an act, error or omission in Professional Services”. [25] The following are definitions of some of the terms referred to in the coverage clause: Professional Services: Value Engineering, Field Changes to Design, Design/Build or Design performed by or on behalf of the Named Insured, and project or construction management services in connection with Contracting Services; Contracting Services: Installation, maintenance, and repair of solar power arrays, commercial/residential battery storage, operation and maintenance services; Professional Loss: a monetary judgment, award or settlement of compensatory damages [26] Under Clause VII.C, XL “has the right and the duty to defend any Claim against the Insured seeking Professional Loss or Pollution Loss to which this insurance applies, including the right to select counsel, even if any of the allegations are groundless, false or fraudulent.” In accordance with the case-law, XL has the duty to defend any claim if there is a possibility that there is coverage for it under the policy. [27] The policy contains a number of exclusions. The issue on the appeal is whether the contractual liability exclusion in Section IV, including the exception to the exclusion, applies. The clause provides: This Policy does not apply to any Claim, Professional Loss B. Contractual Liability arising from the Insured’s: 1. assumption of liability in a contract or agreement; or 2. breach of contract or agreement. This exclusion does not apply to: (i) liability that the Insured would have in the absence of the contract or agreement [28] Applying the principles of interpretation from Progressive Homes , the first question for the court is whether this exclusion clause is ambiguous. If it is not, then the court is to give effect to the clear language, reading the contract as a whole. The clause contains both an exclusion and an exception to the exclusion. They form part of a whole clause and must be read together. [29] Looking at the contractual exclusion first, I see no ambiguity. The policy does not cover a claim that arises from an insured’s assumption of liability in a contract or from an insured’s breach of contract. Panasonic argues that the meaning and effect of this exclusion, read literally, is to nullify the coverage under the policy, because the insured always provides its professional services under a contract, as it did here. [30] This was the holding by the United States Court of Appeals for the Seventh Circuit in Crum & Forster Specialty Insurance Company v. DVO, Inc. , 939 F. (3d) 852 (7th Cir. Ct. App. 2019), where the court considered a similarly worded exclusion and concluded that it was so broad as to render coverage under the policy illusory. However, in that case, unlike in the XL policy, the insurance policy did not contain an exception to the exclusion. If there had been no exception to the contractual liability exclusion in the XL policy, then in accordance with Cabell v. The Personal Insurance Company , 2011 ONCA 105, 104 O.R. (3d) 709, if the exclusion rendered the coverage nugatory, the court may not give it any effect as it would not be within the reasonable expectation of the parties. [31] The next issue, therefore, is to determine the meaning and effect of the exception. The first question is whether the wording of the exception is also unambiguous. It excepts from the exclusion “liability that the insured would have in the absence of the contract or agreement”. In my view, read literally, the exception is ambiguous, because the insured would have no relationship with the claimant if there had been no contract or agreement between them under which the insured provided the professional services to the claimant. If they had no contractual relationship, no services would be performed, and there would be nothing to insure. That is clearly not what was intended. [32] Given that ambiguity, the court then applies the principles of contractual interpretation summarized in Progressive Homes to interpret the exception. Those principles direct the court to give the words the interpretation that accords with the reasonable expectations of the parties, and that provide a realistic result that is consistent with the interpretation given to similar policies. [2] [33] Applying those principles, the meaning of the exception becomes clear. The policy continues to cover professional losses caused by the insured in performing its professional functions in its relationship with the claimant that arise in law, regardless of the terms of their contract. As the insurer XL submits, these would include liability for losses that third parties may suffer as a result of an insured’s negligence in performing the professional services contract, as well as liability to the claimant for negligence in performing the contractual obligations under the doctrine of concurrent liability in contract and in tort: see Central Trust Co. v. Rafuse , [1986] 2 S.C.R. 147; B.G. Checo International Ltd. v. British Columba Hydro and Power Authority , [1993] 1 S.C.R. 12; and Winnipeg Condominium Corporation No. 36 v. Bird Construction Co. , [1995] 1 S.C.R. 85. [34] This interpretation makes sense from the point of view of both the insured and the insurer, and gives effect to both their reasonable expectations, in light of the purpose of the professional errors and omissions insurance contract. The insurer will be responsible for the losses caused by the insured’s negligent performance of its professional obligations; but the insurer will not indemnify the insured for any extra obligations it undertakes in a contract, or for the breach of any extra obligations that it undertakes in a contract. (4) Does Solar’s claim against Panasonic under the Engineering Agreement give rise to a duty on XL to defend the claim? [35] The claim by Solar is found in its Notice of Arbitration. The parties entered into the Engineering Agreement in January 2016. Panasonic agreed to procure, construct and install the solar electricity generating systems that were the subject of the agreements that Solar had with the IESO. Panasonic was responsible for achieving substantial completion of the projects by a guaranteed date, but it failed to do so in respect of 18 of them, causing the IESO to terminate seven of its contracts with Solar, although it later reinstated two of them. An arrangement was made among the parties to allow Solar to recoup its costs of the other five. That arrangement was the Proceeds Agreement that will be discussed later in these reasons. [36] Solar’s claim against Panasonic under the Engineering Agreement is for liquidated damages in the amount of $92,309.62, based on Panasonic’s obligation under Article 13 of the Engineering Agreement to pay liquidated damages “if a System has not reached Substantial Completion by the Guaranteed Substantial Completion Date solely due to Contractor’s acts or omissions”. Article 13 provides in part: The amounts payable under this Article 13 shall be [Solar]’s sole and exclusive remedy for [Panasonic]’s failure to achieve Substantial Completion of a System by the Guaranteed Substantial Completion Date. [37] It goes on to state that the agreed amount of liquidated damages is not a penalty but represents a genuine pre-estimate of the damages that Solar would suffer as a result of the delay. [38] Therefore, while Panasonic’s delay was an act or omission in performing its professional obligations that caused loss to Solar that would have been covered by the XL coverage clause, by agreeing to the liquidated damages clause, Panasonic effectively contracted out of its insurance coverage. The exclusion excludes coverage for liability arising from breach of contract, and the exception does not apply because the obligation to pay liquidated damages is purely contractual and does not otherwise arise. Furthermore, because the Engineering Agreement provides that liquidated damages are Solar’s sole remedy, there is no way to read Solar’s pleading to claim any other or additional remedy for the delay. [39] A liquidated damages clause, such as this one, demonstrates the fairness of the contractual exclusion and exception clause of the insuring agreement, when it is interpreted in accordance with the reasonable expectations of the parties to that agreement. An insured is free to make whatever promises it wishes when it contracts to perform services, for example for remedies for its breach. Panasonic could have agreed to pay liquidated damages to Solar in any amount as part of the consideration for the contract. But it could not bind its insurer to that bargain. The insurer is only obligated to cover liability that the insured would have had without the contract. [40] The application judge erred in his application of the test for determining the duty to defend. He focused on the fact that Panasonic could be liable for negligence in its delay, which would be within coverage, but he failed to apply the exclusion and the exception to the exclusion to his analysis of the liquidated damages clause. In particular, he failed to note that the claim for liquidated damages was Solar’s sole remedy under its agreement. In other words, Solar had contracted out of any claim it may have had against Panasonic for damages for negligence. Therefore, it could not make a negligence claim against Panasonic in the arbitration. [41] The application judge therefore erred in law in his interpretation and, as a result, in his application of the exclusion clause by finding that XL has a duty to defend Panasonic against Solar’s claim for liquidated damages for breach of the Engineering Agreement. No duty to defend arises in respect of this claim. (5) Does Solar’s claim against Panasonic under the Proceeds Agreement give rise to a duty on XL to defend the claim? [42] The arbitration claim states that because of Panasonic’s delay and IESO’s cancellation of five of Solar’s projects, Solar’s pre-construction costs loss was $1.3 million. In order to recoup that loss, Solar agreed with Panasonic that if Panasonic entered into agreements with IESO to complete the projects, Solar would provide certain services to help achieve timely completion. In exchange, Panasonic would pay Solar a portion of the sale proceeds, which Solar anticipated would amount to at least $1.3 million. That was the Proceeds Agreement, although it was never finalized in writing. [43] Panasonic completed and sold the projects, but it refused to pay Solar any portion of the proceeds of sale. Further, Solar claims that it worked in accordance with the Proceeds Agreement to help Panasonic achieve the sales, and that Panasonic “regularly represented to [Solar] that its efforts in this regard were subject to the Proceeds Agreement.” Solar claimed negligent misrepresentation, asserting that Panasonic owed it a duty of care and that it relied on Panasonic’s representations that it would be paid under the Proceeds Agreement. It also claimed that Panasonic enriched itself at the expense of Solar amounting to unjust enrichment, as well as breach of contract and breach of its obligations to act in good faith. [44] The application judge found that Panasonic’s liability under the Proceeds Agreement arose out of its assumption of liability under a contract and out of its breach of that contract, thereby falling squarely within the contractual exclusion. The claim could not come within the exception because Panasonic would not have had the liability to Solar to pay it following the sale of the projects, except under the contract. It amounted to a debt. [45] It was XL’s position on the application that Solar’s claims come within the coverage clause of the policy but are excluded from coverage by the contractual liability exclusion clause. In respect of the Proceeds Agreement, coverage would presumably be based on Panasonic’s acts or omissions in carrying out its obligations under the Engineering Agreement that resulted in the delay and in Solar’s loss of its $1.3 million in costs thrown away. However, Solar resolved any claim it had in that regard by entering into the Proceeds Agreement. [3] It is the Proceeds Agreement that Solar seeks to enforce in the arbitration. [46] I agree with the application judge that the claim under the Proceeds Agreement is essentially for a debt owing. It arises under the contract. There would be no claim without the contract. Therefore, if the claim came within the coverage under the policy, it is excluded by the contractual liability exclusion clause and is not saved by the exception to the exclusion. [47] I also agree with the application judge that the claims for negligent misrepresentation and unjust enrichment do not give rise to a duty to defend. The negligent misrepresentation alleged against Panasonic is that it misled Solar into working on the promise that it would be paid under the Proceeds Agreement. This is based solely on Panasonic’s failure to make payments under the Proceeds Agreement, in breach of that contract. The contractual liability exclusion is triggered, and the exception to the exclusion does not apply. As the application judge found, the unjust enrichment claim is an equitable claim that is specifically not compensable under the XL insurance policy. F. Conclusion [48] I would allow the appeal and set aside the order of the application judge that found a duty on XL to defend the claim under the Engineering Agreement. I would dismiss the cross-appeal and uphold the order of the application judge that there is no duty on XL to defend the claim under the Proceeds Agreement. XL is entitled to its costs of the appeal fixed in the agreed amount of $12,500 inclusive of disbursements and HST. Released: September 10, 2021 “K.F.” “K. Feldman J.A.” “I agree. David M. Paciocco J.A.” “I agree. S. Coroza J.A.” [1] Co-operators Life Insurance Co. v. Gibbens , 2009 SCC 59, [2009] 3 S.C.R. 605, at paras. 20-28; Jesuit Fathers of Upper Canada v. Guardian Insurance Co. of Canada , 2006 SCC 21, [2006] 1 S.C.R. 744, at paras. 27-30; Scalera , at paras. 67-71; Brissette Estate v. Westbury Life Insurance Co. , [1992] 3 S.C.R. 87, at pp. 92-93; and Consolidated-Bathurst Export Ltd. v. Mutual Boiler & Machinery Insurance Co. (1979), [1980] 1 S.C.R. 888, at pp. 899-902. [2] No case was brought to the court’s attention where the same or a similar contractual liability exclusion and exception clause had been interpreted by a court. [3] I also note that because the liquidated damages clause provides the sole and exclusive remedy for Panasonic’s delay, it appears Solar has no claim for the $1.3 million lost costs under the Engineering Agreement if they arose from Panasonic’s delay in completion.
COURT OF APPEAL FOR ONTARIO CITATION: R. v. Kuleba, 2021 ONCA 611 DATE:  20210910 DOCKET: C68069 Hoy, Trotter and Paciocco JJ.A. BETWEEN Her Majesty the Queen Respondent and Paul Kuleba Appellant No one appearing for the appellant Nicole Rivers, for the respondent Heard and released orally: September 8, 2021 by video conference On appeal from the judgment of Justice Stephen T. Bale of the Superior Court of Justice, dated January 15, 2020. REASONS FOR DECISION [1] Mr. Kuleba did not appear. The appeal was listed peremptory to Mr. Kuleba. The Crown sent Mr. Kuleba several letters reminding him that his appeal was listed to be argued today. It received no response. It also notified Mr. Kuleba that if he failed to attend it would ask that his appeal be dismissed as abandoned. [2] The Crown advised that Mr. Kuleba did not attend on the second day of trial for the criminal proceeding which gave rise to the application for habeas corpus at issue on appeal and there is a warrant for his arrest. [3] This appeal is dismissed as abandoned. “Alexandra Hoy J.A.” “Gary Trotter J.A.” “David M. Paciocco J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: R. v. Asghar, 2021 ONCA 615 DATE: 20210910 DOCKET: M52345 & M52420 Benotto, Brown and Harvison Young JJ.A. BETWEEN Sajjad Asghar Applicant (Moving Party) and Her Majesty the Queen in Right of Ontario Respondent Sajjad Asghar, in person Karlson Leung, for the respondent Heard: September 9, 2021 in writing ENDORSEMENT [1] There are two motions before the court: (i) the appellant’s request for a panel review of the order of Pepall J.A. dated April 19, 2021; and (ii) the respondent’s r.  2.1.01(1) motion to dismiss the appeal as frivolous, vexatious and an abuse of process of the court. These reasons deal with both motions. [2] The appellant commenced an application against the respondent claiming that the respondent is responsible for a vast community of organized crime which has threatened him and used “heavy volumes of hired women [who] have sabotaged [his] right to lawfully making a family besides finding any quality matrimonial connections.” These women “especially the white women” have destroyed his right to “love and sex”. He sought an investigation into these allegations, and arrest of the perpetrators. [3] Myers J. dismissed the application on a r. 21 motion, concluding that: this application cannot succeed. In addition, this is a repeat of prior efforts by Mr. Asghar to seek similar relief at an earlier date. [4] Mr. Asghar sought to appeal to this court and moved for an order extending the time to appeal the order of Myers J. On April 19, 2021, Pepall J.A. dismissed his motion concluding that the justice of the case does not favour an extension because the merits of the appeal are “seriously lacking”; the conclusion of Myers J. that the application could not succeed is “unassailable”; and the application is “clearly frivolous, vexatious, and an abuse of process.” [5] Mr. Asghar seeks a panel review of the order of Pepall J.A. [6] A panel review of a chambers judge decision is not a new determination. Here, the chambers judge made a discretionary decision. That decision is entitled to deference. The reviewing panel will not interfere absent legal error or misapprehension of a material fact. (See: Machado v. Ontario Hockey Association , 2019 ONCA 210, at para. 9). [7] We see no error in principle or misapprehension and thus no basis to interfere with the decision. [8] Further, we agree with the chambers judge that the appeal is clearly frivolous, vexatious and an abuse of process. On this basis, the review motion is dismissed, and the r. 2.1 motion is allowed. “M.L. Benotto J.A.” “David Brown J.A.” “A. Harvison Young J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: Afifi (Re), 2021 ONCA 608 DATE: 20210913 DOCKET: C68824 Paciocco, Nordheimer and Coroza JJ.A. IN THE MATTER OF: Shehab Afifi AN APPEAL UNDER PART XX.1 OF THE CODE Anita Szigeti and Maya Kotob, for the appellant Deborah Krick, for the respondent, Attorney General of Ontario Leisha Senko, for the respondent, Person in Charge of the Centre for Addiction and Mental Health Heard: August 30, 2021 by video conference On appeal from the disposition of the Ontario Review Board dated October 15, 2020, with reasons dated November 2, 2020 and reported at Afifi (Re) , [2020] O.R.B.D. No. 2245. REASONS FOR DECISION [1] The appellant, Shehab Afifi, appeals the disposition of the Ontario Review Board (“Board”) dated October 15, 2020, detaining him at the Centre for Addiction and Mental Health (“CAMH” or “the hospital”) on a general unit with privileges up to community living in approved accommodation. At the conclusion of the hearing, we dismissed the appeal with reasons to follow. We now provide our reasons. [2] In November 2006, the appellant was found not criminally responsible on account of mental disorder on charges of mischief under $5,000 (x2), assault, and uttering threats. He has been diagnosed with schizophrenia, cannabis use disorder (in partial remission), alcohol use disorder (in sustained remission), and antisocial personality disorder. [3] He was subject to a detention order and is placed at CAMH. In 2008, he moved back into the community into an independent apartment. Over the years, he has been readmitted back into CAMH and then discharged back into his apartment. However, the appellant has acted violently on several occasions since his 2006 arrest. In March 2019, the appellant was alleged to have assaulted an elderly man by punching him in the stomach. After the alleged incident, he was admitted to the hospital and tested positive for cannabis shortly after. He was eventually discharged on April 8, 2019 but readmitted to CAMH only a few days later on April 16, 2019. This was after he arrived late for an appointment with his treatment team and appeared to be disheveled, irritable, and disorganized. After readmission, he was reported to be clearly suffering from symptoms of psychosis. Although he denied any recent cannabis use, the appellant’s urine drug screens were positive for cannabis on April 16 and 17, 2019. [4] At his latest review hearing, held September 25, 2020, the Board unanimously held that the appellant “continues to pose a significant threat to the safety of the public and that a conditional discharge would not be sufficient to ameliorate that risk given the difficulty to quickly bring him back into hospital when he decompensates.” The Board issued a continuation of the current detention order at CAMH with privileges up to community living in approved housing. The effect of the detention order is that the appellant will lose his apartment where he has lived for the last 11 years, subject to many readmissions to the hospital. CAMH has taken steps to inform the appellant’s housing provider that it no longer approves of the appellant’s apartment as a suitable housing option because of the lack of sufficient supervision. [5] The appellant advances several arguments. [6] First, the appellant contends that the Board’s disposition is not the least onerous, least restrictive disposition and submits that the evidence before the Board demonstrated that any risk factors could be safely managed under the rubric of a properly crafted conditional discharge that would allow him to return to his independent apartment. [7] We do not accept the appellant’s argument. [8] Considerable deference is owed to the Board’s decision. In our view, the Board’s reasoning process and outcome in this case reflects an internally coherent and rational chain of analysis and is justified in relation to the facts and the law. [9] The evidence before the Board included the lengthy history of the appellant’s decompensation and his assaultive behaviour. Dr. Kung testified before the Board on behalf of the appellant’s treatment team. She opined that the appellant’s history of hospitalization, recent record of violent activity, and substance abuse issues demonstrate the need for close and continued 24-hour supervision. It was open to the Board to accept her evidence and conclude that this could only be accomplished by way of a detention order. [10] Second, the appellant argues that, at para. 60 of its reasons, the Board recognized that the staff at the appellant’s independent apartment could have managed his risk when it stated, “[T]he Board questions whether or not the treatment team has explored utilizing [the independent apartment] community workers to monitor [the appellant] in his current apartment.” The appellant submits that, in light of these comments, the decision to impose a detention order is not the least onerous and least restrictive disposition because the Board identified a potential alternative to the supervision offered by CAMH and was required to explore this further. [11] In our view, the Board’s comments at para. 60 were not findings by the Board that the independent apartment could provide adequate supervision in the community. The Board permitted a social worker at CAMH to testify at the hearing and provide information about what support community workers can offer for independent living in the apartment. That social worker testified that the present arrangement is for community workers to do weekly property checks to ensure that there is no destruction to the apartment. We view the comments at para. 60 as merely the Board’s observations that, moving forward, if supervised housing approved by CAMH was not available within a reasonable time, then CAMH should potentially consider independent living in an apartment with the assistance of the community workers. We see no breach of the Board’s inquisitorial duties. The issue was explored by the Board through the testimony of the social worker but, ultimately, the Board accepted Dr. Kung’s evidence that a high degree of supervision is required at this time. [12] Finally, the appellant contends that the Board erred when it held that if “left to his own devices” he would “not recognize his own decompensation, and would not voluntarily return to hospital which renders the Mental Health Act ineffective to treating his psychotic episodes.” The appellant argues that a conditional discharge would still subject him to his treatment team and that it is simply wrong to suggest that the Mental Health Act (“ MHA ”) is rendered ineffective if the appellant is discharged to the community because the committal provisions under the MHA are available to effect the return of the appellant to the hospital for assessment and admission. [13] We do not accept this argument. We acknowledge that the ease of returning an individual to the hospital will not always justify a detention order and cannot be imposed as a matter of convenience: Valdez (Re) , 2018 ONCA 657, at paras. 22-23. However, in our view, it was open to the Board to find that the MHA was inadequate to manage the appellant’s risk. Contrary to the appellant’s submissions, the Board did assess the evidentiary record and did not rely solely on the ease of returning an individual to a hospital to justify the detention order. The Board also noted that the appellant does not recognize his decompensation, would not voluntarily return to the hospital, and demonstrates a high risk of physical violence when he decompensates. The Board’s finding, that a conditional discharge would not ameliorate this risk given the difficulty to quickly bringing the appellant back into hospital under the MHA , must be read in this context. [14] For these reasons, the appeal was dismissed. “David M. Paciocco J.A.” “I.V.B. Nordheimer J.A.” “S. Coroza J.A.”
WARNING The President of the panel hearing this appeal directs that the following should be attached to the file: An order restricting publication in this proceeding under ss. 486.4(1), (2), (2.1), (2.2), (3) or (4) or 486.6(1) or (2) of the Criminal Code shall continue.  These sections of the Criminal Code provide: 486.4(1)       Subject to subsection (2), the presiding judge or justice may make an order directing that any information that could identify the victim or a witness shall not be published in any document or broadcast or transmitted in any way, in proceedings in respect of (a)      any of the following offences; (i)       an offence under section 151, 152, 153, 153.1, 155, 159, 160, 162, 163.1, 170, 171, 171.1, 172, 172.1, 172.2, 173, 210, 211, 213, 271, 272, 273, 279.01, 279.011, 279.02, 279.03, 280, 281, 286.1, 286.2, 286.3, 346 or 347, or (ii)      any offence under this Act, as it read at any time before the day on which this subparagraph comes into force, if the conduct alleged involves a violation of the complainant’s sexual integrity and that conduct would be an offence referred to in subparagraph (i) if it occurred on or after that day; or (iii)     REPEALED: S.C. 2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49). (b)      two or more offences being dealt with in the same proceeding, at least one of which is an offence referred to in paragraph (a). (2)      In proceedings in respect of the offences referred to in paragraph (1)(a) or (b), the presiding judge or justice shall (a)      at the first reasonable opportunity, inform any witness under the age of eighteen years and the victim of the right to make an application for the order; and (b)      on application made by the victim, the prosecutor or any such witness, make the order. (2.1) Subject to subsection (2.2), in proceedings in respect of an offence other than an offence referred to in subsection (1), if the victim is under the age of 18 years, the presiding judge or justice may make an order directing that any information that could identify the victim shall not be published in any document or broadcast or transmitted in any way. (2.2) In proceedings in respect of an offence other than an offence referred to in subsection (1), if the victim is under the age of 18 years, the presiding judge or justice shall (a) as soon as feasible, inform the victim of their right to make an application for the order; and (b) on application of the victim or the prosecutor, make the order. (3)      In proceedings in respect of an offence under section 163.1, a judge or justice shall make an order directing that any information that could identify a witness who is under the age of eighteen years, or any person who is the subject of a representation, written material or a recording that constitutes child pornography within the meaning of that section, shall not be published in any document or broadcast or transmitted in any way. (4)      An order made under this section does not apply in respect of the disclosure of information in the course of the administration of justice when it is not the purpose of the disclosure to make the information known in the community. 2005, c. 32, s. 15; 2005, c. 43, s. 8(3)(b); 2010, c. 3, s. 5; 2012, c. 1, s. 29; 2014, c. 25, ss. 22,48; 2015, c. 13, s. 18. 486.6(1)       Every person who fails to comply with an order made under subsection 486.4(1), (2) or (3) or 486.5(1) or (2) is guilty of an offence punishable on summary conviction. (2)      For greater certainty, an order referred to in subsection (1) applies to prohibit, in relation to proceedings taken against any person who fails to comply with the order, the publication in any document or the broadcasting or transmission in any way of information that could identify a victim, witness or justice system participant whose identity is protected by the order. 2005, c. 32, s. 15. COURT OF APPEAL FOR ONTARIO CITATION: R. v. Ajimotokan, 2021 ONCA 616 DATE: 20210913 DOCKET: C68557 Hoy, Trotter and Paciocco JJ.A. BETWEEN Her Majesty the Queen Respondent and Samsuldeen Ajimotokan Appellant Samsuldeen Ajimotokan, acting in person Philippe Cowle, for the respondent Heard and released orally: September 9, 2021 by video conference On appeal from the conviction entered by Justice John B. McMahon of the Superior Court of Justice on April 12, 2018, and from the sentence imposed on October 2, 2019. REASONS FOR DECISION [1] The appellant appeals his conviction for sexual assault, his designation as a dangerous offender, and the imposition of an indeterminate sentence. [2] At trial there was no issue that the sexual interaction took place. Further, in oral argument, trial counsel for the appellant conceded that the complainant subjectively was not consenting to the sexual acts. The complainant testified that she allowed the appellant to do the things he did as she had a subjective belief she would be harmed if she resisted and she remained passive throughout. [3] The issue at trial was whether the Crown had proved that the defence of honest, but mistaken belief, in communicated consent did not apply. The trial judge was satisfied, beyond a reasonable doubt, that the defence did not apply. [4] On appeal, the appellant argues that the complainant was not credible and that the complainant “threw him under the bus”. [5] The trial judge found the complainant to be credible and reliable, and accepted that she remained passive throughout because of her fear. He provided careful reasons for so finding. That finding is entitled to deference. [6] In any event, silence or passivity is not communicated consent. There must be words spoken or conduct that demonstrates a willingness to engage in sexual activity. [7] There is no basis for this court to interfere with the appellant’s conviction. [8] As to the sentence appeal, the appellant submits that: the other sexual assaults, of which he was previously convicted, were not related to this incident; the fact that Dr. Pearce opined that he suffered from paraphilic coercive disorder shows that Dr. Pearce was biased and his evidence should not have been accepted; and the trial judge’s finding that he had “not responded at all to treatment in the past” was not correct. [9] This was the appellant’s fourth sexual assault in less than five years. Some of those offences occurred while he was on bail or parole. It does not matter that the offences were discrete incidents. [10] The trial judge did not accept Dr. Pearce’s opinion that the appellant suffered from paraphilic coercive disorder. The trial judge accepted the evidence of both Dr. Pearce and the defence forensic psychiatrist, Dr. Rootenberg, that the appellant suffered from unspecified personality disorder, with antisocial and narcissistic personality traits. The sentence the trial judge imposed was based on that diagnosis. [11] The trial judge’s finding that “the accused’s sexual misconduct challenges are intractable and he is unable to surmount them, even with the proposed treatment plan” was fully supported by the record. [12] The sentence imposed was reasonable and not tainted by error of law. There is no basis for this court to interfere. [13] The appeal against conviction is dismissed. Leave to appeal sentence is granted, but the appeal as to sentence is dismissed. “Alexandra Hoy J.A.” “Gary Trotter J.A.” “David M. Paciocco J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: R. v. Anderson, 2021 ONCA 618 DATE: 20210913 DOCKET: C67987 Tulloch, van Rensburg and Nordheimer JJ.A. BETWEEN Her Majesty the Queen Respondent and Carly Anderson Appellant Howard L. Krongold, for the appellant Gavin MacDonald, for the respondent Heard: September 8, 2021 by videoconference On appeal from the sentence imposed on January 28, 2020 by Justice Peter Doody of the Ontario Court of Justice. REASONS FOR DECISION [1] Ms. Anderson seeks leave to appeal the sentence of six months imposed on her, following her conviction for aggravated assault. At the conclusion of the hearing, we granted leave to appeal and reduced the sentence to time served, with reasons to follow. We now provide our reasons. [2] This was a case of what is commonly referred to as "road rage". The appellant, who was 24 years old at the time, was driving on a busy road in Ottawa on August 7, 2018. She cut off the car driven by the complainant and abruptly stopped about three car lengths in front of her, causing the complainant to apply her brakes and stop her car quickly. [3] The appellant got out of her car and began to move toward the complainant’s car. The complainant, who was 66 years old, got out of her own car and walked, with the support of a cane, towards the appellant. She came very close to the appellant. The appellant pushed or shoved the complainant, causing her to fall to the roadway. The complainant sustained injuries from the fall that required hospitalization. [4] After the complainant fell to the ground, the appellant bent down towards her. The appellant then got in her car and drove away. She turned herself in to police the next day. [5] Appellate courts may interfere with a sentence if it is demonstrably unfit or if the trial judge has committed an error in principle, failed to consider a relevant factor, or erroneously considered aggravating or mitigating factors, and such an error had an impact on the sentence: R. v. Lacasse , 2015 SCC 64, [2015] 3 S.C.R. 1089, at paras. 41, 43-44. In our view, the sentencing judge erred in his reliance on the decision of this court in R. v. Rocchetta , 2016 ONCA 577 as the benchmark for his assessment of the appropriate sentence to be imposed in this case. The two cases are not comparable. This error led the sentencing judge to impose a harsher sentence than was warranted given the surrounding circumstances. [6] In reaching that conclusion, we recognize that the complainant suffered serious injuries, and we recognize that the altercation arose out of a road rage situation. On that latter point, we agree with the sentiment that acts of road rage must be denounced in clear and unmistakable terms. [7] However, achieving the objectives of general deterrence and denunciation did not require a jail sentence of the length imposed by the sentencing judge, given the particular circumstances of the appellant. In that regard, we emphasize the appellant’s very troubled upbringing, the fact that the sentencing judge had concluded, in his reasons for conviction, that two of the three factors in support of self-defence were made out in this case, and the very positive efforts that the appellant has made, since her conviction, to improve her life, including her success at Algonquin College and her efforts to obtain counselling. [8] We were advised that the appellant has spent 38 days in custody during the course of these proceedings. In our view, that period of incarceration is sufficient to drive home to the appellant, and to others, that instances of road rage will be dealt with seriously. Further incarceration will not advance the objectives of general deterrence and denunciation in this case. Those objectives are achieved as much by the fact of incarceration as by the length of that incarceration. [9] It is for these reasons that we granted leave to appeal and reduced the sentence to time served. The two-year probation order along with the other ancillary orders remain in effect. “M. Tulloch J.A.” “K. van Rensburg J.A.” “I.V.B. Nordheimer J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: Forest Meadows Developments Inc. v. Shahrasebi, 2021 ONCA 620 DATE: 20210914 DOCKET: C68789 Benotto, Brown and Harvison Young JJ.A. BETWEEN Forest Meadows Developments Inc. Applicant (Appellant) and Narges Shahrasebi Respondent (Respondent) Mark A. Ross and Vladimira M. Ivanov, for the appellant Eddy Battiston and Harold Rosenberg, for the respondent Heard: September 9, 2021 by video conference On appeal from the judgment of Justice Jana Steele of the Superior Court of Justice, dated September 3, 2020. REASONS FOR DECISION [1] The appellant Forest Meadows Developments Inc. appeals the order by the application judge dismissing its application for a declaration that the respondent was in breach of an Agreement for Purchase and Sale (“APS”), which was an agreement for the purchase and sale of land and a custom pre-built dwelling on the land. [2] Briefly, the dispute arises out of the following circumstances. The APS was signed in March 2017. It provided that the closing would take place on March 25, 2018. Construction began in the fall of 2018. In 2019, there were a number of extensions of the closing date occasioned by the appellant which were contemplated by the APS. There was another extension to August 29, 2019, which the application judge found to have been requested by the appellant in return for a discount on certain upgrades. In May 2019, the parties executed an amendment to the APS which extended the closing date to October 29, 2019. That closing did not take place. The respondent argues that she was ready to close on that date despite the fact that her house had not yet sold and that the failure of the appellant to close on that date was a breach of the APS entitling her to terminate the contract and receive back her deposit and all monies paid. The discussions in the months leading up to October 29, 2019, were attempts to negotiate a better price for the upgrades and possibly a price reduction. [3] The appellant argues that it had relied on the respondent’s representations that she would not be able to close, slowing down construction and preparation for the final appraisal, which would be necessary to close and a prerequisite for the respondent to obtain the financing that had been preapproved. [4] The appellant commenced this application arguing that the respondent had made representations that she would not close on October 29 because her house was not selling at the price necessary to finance the purchase of the new property, that she was in anticipatory breach, and that the appellant was entitled to terminate the contract. [5] In dismissing the application, the application judge found that there had been no anticipatory breach or representations that could have given rise to reasonable reliance by the appellant. [6] All the issues raised by the appellant turn on one central question of fact: did the respondent say or represent that she would not be able to close on October 29, 2019? The application judge expressly found that she did not. This finding of fact attracts a high level of deference and we see no palpable or overriding error to justify the intervention of this court. [7] While the appellant also raises certain extricable issues of law, such as whether the APS could be amended by subsequent representations or conduct on the part of the respondent, these also depend on finding that the representation that the respondent could not close on October 29 was actually made. [8] The application judge’s findings were well grounded in the record before her. She found that while the respondent had certainly communicated the difficulty she was having selling her house for the price necessary, she had never said that she would not be able to close on that date. [9] There is no basis to interfere with this key finding on the part of the application judge. Without it, there was no representation that the respondent would not be able to close, and the question of whether the appellant reasonably relied does not arise. Nor can the question of whether an oral contract or representations could amend the APS in light of the entire agreement clause arise as the application judge’s finding was that there was no agreement to extend the October 29 closing date, oral or otherwise. [10] We also find that there is no merit to the argument that the application judge erred in failing to give weight to the September 12 meeting between the respondent, her husband, and Mr. Tiz, a representative of the appellant, which was surreptitiously recorded by the appellant. She gave good reasons for so declining, namely, that there was ample written correspondence between the parties and their counsel and that there was clearly unfairness where the appellant knew they were taping the recording while the respondent and her husband did not. [11] Lastly, the application judge gave clear reasons for the findings of fact made. [12] The appeal is dismissed. [13] The appellant shall pay the respondent her partial indemnity costs of the appeal fixed in the amount of $27,926, inclusive of disbursements and applicable taxes. “M.L. Benotto J.A.” “David Brown J.A.” “A. Harvison Young J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: James Henry Ting (Re), 2021 ONCA 622 DATE: 20210914 DOCKET: M51957 (C68764) Lauwers J.A. (Motion Judge) In the Matter of the Bankruptcy and Insolvency Act , R.S.C. 1985, c. B-3, as amended And in the Matter of a Proceeding in the Hong Kong Special Administrative Region Re: James Henry Ting (in Bankruptcy) Application of Cosimo Borrelli and Jacqueline Walsh of Borrelli Walsh Limited under Section 272 of the Bankruptcy and Insolvency Act , R.S.C., 1985, c. B-3, as amended Andrew Rogerson and Arash Jazayeri, for the moving party, Andrew Henry Ting Ilan Ishai and Adam Zur, for the responding parties, Cosimo Borrelli and Jacqueline Walsh Heard: September 7, 2021 by video conference REASONS FOR DECISION [1] This is an application for leave to appeal under s. 193(e) of the Bankruptcy and Insolvency Act , R.S.C. 1985 , c. B-3, r. 31(2) of the Bankruptcy and Insolvency General Rules , C.R.C., c. 386, and r. 61.03.1 of the Rules of Civil Procedure , R.R.O. 1990, Reg. 194 . The order sought to be appealed found the applicant, Andrew Henry Ting, in contempt of court for failing to attend at an examination as required by the order of Penny J. dated January 15, 2019, in aid of the foreign bankruptcy of his father, James Henry Ting. For the reasons that follow, the motion is dismissed. The Factual Background [2] The background facts were set out by the motion judge who dismissed Andrew Henry Ting’s request for a stay of the bankruptcy proceeding dated October 5, 2020 (2020 ONSC 5955). The Superior Court recognized the bankruptcy proceeding in Hong Kong against Andrew Henry Ting’s father, James Henry Ting, as the “foreign main proceeding" under s. 268 of the BIA . The recognition order was granted on October 6, 2017 and it recognized the Trustees as “a foreign representative" under s. 268 of the BIA. [3] On August 18, 2018, the Trustees moved to enforce a letter of request from the Hong Kong Court requesting assistance to require Andrew Henry Ting to be examined and to produce documents. Penny J. made the requested order on January 15, 2019. The order required Andrew Henry Ting to produce certain documents within 14 days and to attend at any examination. He unsuccessfully attempted to appeal Penny J.’s order to this court. [4] The contempt proceeding that is the subject of this proposed appeal (2020 ONSC 5976) was heard immediately after the stay motion, and the reasons for both matters were issued on the same day. The Motion for Leave to Appeal [5] The parties agree that the test for leave to appeal under s. 193 (e) of the BIA was set out by Blair J.A. in Business Development Bank of Canada v. Pine Tree Resorts Inc. , 2013 ONCA 282, 115 O.R. (3d) 617. The three-part test is whether: the proposed appeal raises an issue that is of general importance to the practice in bankruptcy/insolvency matters or to the administration of justice as a whole, and is one that the court should therefore consider and address; it is prima facie meritorious; and it would not unduly hinder the progress of the bankruptcy/insolvency proceedings. [6] Andrew Henry Ting raises two substantive issues to be pursued in the proposed appeal: the refused recusal motion; and personal service of the contempt proceedings on him. The Refused Recusal Motion [7] Andrew Henry Ting argues that the motion judge erred in failing to recuse herself after hearing damning descriptions of the conduct and character of the bankrupt, James Henry Ting, during argument. Counsel for the Trustees referred to the bankrupt as a “thief”, and someone who engaged in “fraudulent” and “criminal” activity and who demonstrated a “consistent pattern of disobedience.” Counsel for Andrew Henry Ting expressed the concern, as he did to the motion judge, that she would be unable to avoid imputing his father’s alleged conduct and character to him. [8] To this suggestion, the motion judge responded: [16] The basis for the responding party’s request for my recusal is his subjective view on how I could be influenced. He perceives that what he sees as emotive language and exaggerations regarding the Bankrupt’s character, which could deny him safeguards that would protect him from wrongful conviction, could lead to an unfair result for him. [17] In my view, no informed person, viewing the matter realistically and practically, would conclude that a judge would impute to the son a negative description of his father’s character, which is irrelevant to the determination of the issue at hand. The issue to be determined on the Contempt Motion is straightforward: is the responding party in breach of the January 15, 2019 Order and if so, should he be found to be in contempt? This question can be determined, objectively, on the record. [9] There is no merit to the suggestion that the motion judge would be unable to disabuse herself of the prosecutor’s rhetorical flourishes. We routinely expect this disposition from judges. The motion judge properly instructed herself, and counsel raised nothing in her reasons to suggest that she did not meet this expectation. The Contempt Proceeding [10] The second substantive issue is whether the motion judge erred in law at paras. 38-39 of her decision by dispensing with the requirement of r. 60.11(2) that requires personal service on the alleged contemnor and not by an alternative thereto, unless the court orders otherwise. [11] The parties agree that the test for civil contempt was set by the Supreme Court in Carey v. Laiken , 2015 SCC 17, [2015] 2 S.C.R. 79 at paras. 32-35. The moving party must prove beyond a reasonable doubt that: a) the order alleged to have been breached must state clearly and unequivocally what should and should not be done; b) the party alleged to have breached the order must have had actual knowledge of it; and c) the party allegedly in breach must have intentionally done the act the order prohibits or intentionally failed to do the act the order compels. The governing precedent from this court on the issue of personal service, which dovetails with the Carey test, is Susin v. Susin , 2014 ONCA 733, 379 D.L.R. (4th) 308 per Blair J.A. at paras. 28–32 and 33–36. At para. 28, Blair J.A. noted: Procedural protections on motions for civil contempt are generally strictly enforced. This includes the requirement that the materials be served personally on the party sought to be found in contempt: see Rules of Civil Procedure , r. 60.11(2). However, procedural protections that are meaningless in a particular case ought not to trump substantive compliance where the purpose of personal service has been met in the circumstances and there has been no substantial wrong or miscarriage of justice. [12] In considering the Carey test, the motion judge noted, at para. 32: I am also satisfied that the second prong of the test is met. The responding party had actual knowledge of the January 15, 2019 Order. Though the responding party may not have been served with the January 15, 2019 Order, actual knowledge may be inferred from the circumstances. The responding party’s counsel assisted in the drafting of the Order and consented to its form and content. [13] She added, at para. 37: “Further, based on the email exchanges between counsel to the responding party and counsel to the Trustees, I am satisfied that the responding party had no intention of attending the examination, regardless of the pandemic.” [14] Finally, the motion judge noted, at para. 39: The Contempt Motion came to the attention of the responding party and he responded to it. Rule 60.11 is aimed at ensuring that the alleged contemnor has notice of the contempt proceeding. The rule does allow for an alternative to personal service by court order. Such court order was not obtained, but I am satisfied that the responding party had adequate notice of the Contempt Motion. [Emphasis added.] [15] The motion judge knew, as she noted in para. 40, that the burden on the Trustees was to prove contempt beyond a reasonable doubt. To paraphrase Blair J.A. in Susin , there was substantive compliance here because the purpose of personal service has been met in the circumstances and there has been no substantial wrong or miscarriage of justice. [16] There is nothing in this matter that rises to the level required for leave to be granted as specified in Pine Tree Resorts. The proposed appeal does not raise an issue that is of general importance to the practice in bankruptcy/insolvency matters nor to the administration of justice as a whole, and is not one that the court should therefore consider and address; there is no prima facie merit to the proposed appeal; and giving leave to appeal in these circumstances would unduly hinder the progress of the bankruptcy/insolvency proceedings. [17] It is time for this tiresome cat and mouse game to end. [18] Costs to the responding parties in the agreed amount of $7,500, inclusive of HST and disbursements. “P. Lauwers J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: N. v. F., 2021 ONCA 614 DATE: 20210914 DOCKET: C68926 Lauwers, Hourigan and Brown JJ.A. BETWEEN N. Applicant (Respondent) and F. Respondent (Appellant) Fareen L. Jamal, Fadwa Yehia and Edward C. Conway, for the appellant Bryan R.G. Smith, Lindsey Love-Forester and Andrew Lokan, for the respondent Estée Garfin and Hera Evans, for the intervener Attorney General of Ontario Caterina E. Tempesta and Sheena Scott, for the intervener Office of the Children’s Lawyer Heard: January 21, 2021 by video conference On appeal from the order of Justice Clayton Conlan of the Superior Court of Justice, dated December 15, 2020, with reasons reported at 2020 ONSC 7789. Hourigan J.A.: A. introduction [1] Trial courts are frequently called upon to make difficult decisions about the future care of children due to the break-up of parental relationships. Trial judges are parachuted into a family, made privy to its most intimate details, and charged with determining the best course for the children's future in the face of the parents’ opposing viewpoints. On appeal, considerable deference is paid to those decisions because trial judges have the opportunity to observe first-hand both the witnesses and the family dynamic. This case raises squarely the role of appellate courts in reviewing family law decisions. [2] The underlying facts of the dispute are largely uncontroverted. The parties have been married since February 2012 and lived together in Dubai, the United Arab Emirates (“UAE”), for eight years. They have two children who are under the age of five. In mid-2020, the appellant advised the respondent that she intended to take the children to Milton, Ontario, for a month-long trip to visit her parents. The respondent consented to the trip, and the appellant purchased return airline tickets. However, within two weeks of arriving in Canada, the appellant told the respondent of her unilateral decision to not return to Dubai with the children. [3] The appellant took no steps in the Ontario courts to determine the jurisdictional issue that arose regarding the custody and access of the children. As a result, the respondent was forced to commence legal proceedings, first in Dubai and then in Ontario. The matter proceeded to trial in the Ontario Superior Court. The trial judge issued a 181-page decision wherein he found that Ontario did not have jurisdiction and ordered the children returned to the UAE. [4] In his comprehensive reasons for judgment, the trial judge found that the appellant was not a credible witness and disbelieved many of her claims about why the children should remain in Ontario. He also concluded that the appellant’s expert on the law of the UAE actually supported the respondent’s position on a critical legal issue – i.e. that the courts in Dubai looked at the “best interests of the child” in custody and access matters. Further, the trial judge held that the appellant’s expert on the children’s welfare was unable to opine on the issue of whether the children would suffer serious harm if returned to Dubai without the appellant. All of these findings were amply supported by the record and were open to the trial judge. [5] On appeal, the appellant invites us to retry the case. However, she does not offer any persuasive reasons for why we should do so, and cannot articulate any errors of law or palpable and overriding errors of fact or mixed fact and law. Instead, she asserts that we should effectively consider her case de novo and rule in her favour. [6] These reasons explain why I would decline to interfere with the trial judge’s decision. When an appellate court trespasses into the domain of a trial court and redoes its analysis, it runs the risk of rendering a results-based decision. Such decisions do not serve the cause of justice; they pervert it by creating uncertainty in the law for other similarly situated parties. This concern is particularly acute in family law cases where there may be sympathetic facts. Appellate courts must resist the temptation to conduct what is essentially a second trial on appeal. [7] In my reasons, after briefly reviewing the facts and issues in this appeal, I will first consider the appellant’s motion for leave to tender fresh evidence, followed by the applicable standards of review. My analysis will then be broken down into an assessment of whether the trial judge erred in: (1) declining jurisdiction under s. 22 of the Children’s Law Reform Act , R.S.O. 1990, c. C.12 (the “ CLRA ”); (2) declining jurisdiction under s. 23 of the CLRA ; (3) declining to exercise parens patriae jurisdiction; and (4) making an order under s. 40 of the CLRA . As I agree with the reasons of my colleague, Brown J.A., on the constitutional grounds of appeal raised by the appellant, I will not consider those issues in my reasons. B. facts [8] The appellant was born in Pakistan and immigrated with her family to Canada in 2005 when she was 15 years old. She is a Canadian citizen. [9] The respondent was born in Pakistan and is a Pakistani national. He has lived in Dubai since January 2008, where he works as an executive with a major international bank. [10] The parties were married in Pakistan in February 2012. The appellant joined the respondent in Dubai that same month, and the parties resided there for the entirety of their marriage. [11] The parties’ daughter, Z., was born in Ontario in November 2016 and is a Canadian citizen. Their son, E., was born in Dubai in November 2019 and is also a Canadian citizen. [12] Neither the parties nor their children are UAE nationals. The appellant has no independent right to reside in the UAE after the parties' divorce. Under UAE law, the appellant has a one-year grace period during which she can stay in the country without a residency permit. [13] Throughout the parties' eight-year marriage, the appellant visited Ontario annually. On June 19, 2020, with the respondent's permission, the appellant travelled to Ontario with Z. and E., intending to visit her parents in Milton for one month. She purchased return airline tickets and was supposed to be back in Dubai on or around July 19, 2020. [14] As noted, on or around July 2, 2020, the appellant informed the respondent that she and the children would not return to Dubai and that they would remain in Ontario. In September 2020, the appellant cancelled Z.’s enrollment in her Dubai school without the respondent’s knowledge or consent. She subsequently enrolled Z. at an Ontario school. [15] The respondent commenced proceedings in the Ontario Superior Court of Justice and sought an order under s. 40 of the CLRA , returning the children to the UAE. The appellant responded by asking the court to exercise its jurisdiction under ss. 22 or 23 of the CLRA and to decide the matters of custody and access in her favour. She also raised a constitutional issue with respect to the return order provision in s. 40(3) of the CLRA . [16] Prior to trial, the respondent served a “with prejudice” settlement offer that was disclosed to the trial judge. The terms of that offer included: that the appellant would be the primary residential parent and that major decisions would be decided jointly; that the respondent would purchase a house in Dubai in the appellant's name to be held in trust for their children; and that the respondent would secure a residency visa for the appellant. If the appellant was not satisfied with the proposed custody and support arrangements, the offer provided her with the alternative of pursuing her remedies in a UAE court. Further, the offer specifically stated that its terms could be incorporated into a s. 40 order under the CLRA . [17] The trial judge heard the evidence and submissions of the parties over 11 days in November 2020. The Attorney General of Ontario participated as an intervener on the appellant’s constitutional application. Both the appellant and the respondent testified. The respondent also called one of the parties’ mutual friends, their nanny, and Diana Hamade (an expert on family law in Dubai) as witnesses on his behalf. The appellant called another of their mutual friends, her mother, Elena Schildgen (an expert on family law in Dubai), and Carol-Jane Parker (a psychotherapist), as witnesses on her behalf. [18] The trial judge concluded that the respondent was “significantly more credible” than the appellant. He also made the following findings of fact: · The appellant has always been the primary caregiver for the children. · The parties’ nanny helped a great deal with the care of the children. · The parties never had an agreement or settled intention to move to Canada. · But for trips abroad, the children have spent their whole lives in Dubai. [19] With respect to the three expert witnesses, the trial judge accepted all of the evidence of Ms. Hamade, some of the evidence of Ms. Schildgen, and a limited amount of the evidence of Ms. Parker. He made the following findings based on his consideration of the expert evidence: · A court in Dubai would determine custody by making the best interests of the children its paramount consideration. · A court in Dubai would be able to incorporate, approve, and enforce, as a valid order, the settlement proposed by the respondent if agreed to by the appellant. · When infants are separated from their primary caregiver, they can face adverse emotional and psychological impacts. · It is unknown whether the children in this case would suffer serious harm from such potential adverse impacts. [20] Ultimately, the trial judge concluded that the court could not assume jurisdiction over the parties’ dispute under ss. 22 or 23 of the CLRA . He also rejected the appellant’s argument that the respondent had attorned to the jurisdiction of the Ontario courts. [21] Pursuant to s. 40 of the CLRA , the trial judge was satisfied, on the balance of probabilities, that the children's best interests would be served by their return to Dubai, with or without the appellant, so that a court there could adjudicate the matters of custody, access, and guardianship. He also found that the children had been wrongfully retained in Ontario and that Dubai was their real home. [22] Despite the appellant’s request in her written submissions, the trial judge declined to exercise the court’s residual parens patriae jurisdiction pursuant to s. 69 of the CLRA . He found that it would be inexplicable to do so, given the findings and conclusions he had already made in his reasons. [23] The trial judge distilled two main components to the appellant’s constitutional argument: (1) that s. 40 is ultra vires the authority of Ontario’s powers; and (2) that s. 40 contravenes various protections afforded to the appellant and the children under the Canadian Charter of Rights and Freedoms . He concluded that the “vast weight of the jurisprudence” precluded him from finding in the appellant’s favour. Accordingly, he dismissed the appellant’s constitutional challenge. C. issues [24] The issues raised on this appeal and my conclusion on each issue may be summarized as follows: (1)     Should the proposed fresh evidence be admitted? No. The evidence sought to be tendered is of little or no relevance to the issues in this proceeding, and in the case of one of the documents, could have been available at trial if the appellant had acted with reasonable diligence. Therefore, the appellant has failed to meet the test for the admission of fresh evidence on appeal. (2)     What is the applicable standard of review? The jurisprudence establishes that significant deference must be paid to family law decisions. It is not the role of appellate courts to redo a trial judge’s analysis based on vague notions of what they perceive to be a just result. When appellate courts stray from their mandate and impermissibly interfere with lower court decisions, they run the risk of rendering results-based rulings, which create uncertainty in the law. (3)     Did the trial judge err in declining jurisdiction under s. 22 of the CLRA? No, s. 22 does not apply. The trial judge correctly found that s. 22(1)(a) does not ground jurisdiction because the children were not living in Ontario with both parents since their arrival here in June 2020. Further, the appellant failed to establish that all six enumerated criteria are met under s. 22(1)(b). (4)     Did the trial judge err in declining jurisdiction under s. 23 of the CLRA? No. The trial judge carefully considered the expert evidence regarding the law of UAE and made the correct decision about its application in this case. He also reached conclusions available to him regarding the respondent’s parenting plan and the issue of serious harm. (5) Did the trial judge err in declining to exercise parens patriae jurisdiction? The trial judge correctly applied the leading authority on parens patriae jurisdiction and found no necessity for the court to protect the children. There is no basis for appellate interference with this highly discretionary judgment call. (6) Did the trial judge err in making an order under s. 40 of the CLRA? This issue was not raised in the Notice of Appeal and was not argued by the appellant in her factum. Despite the fact the Office of the Children’s Lawyer (“OCL”) raised the issue in its factum, it was not properly before this court and I would decline to consider it. D. analysis (1) Fresh Evidence [25] The appellant seeks leave to file the following fresh evidence: (1) an email from counsel for the respondent to counsel for the appellant, dated December 18, 2020; (2) the affidavit of Sameh Abdou, an Arabic language translator, sworn January 6, 2021; and (3) an email from counsel for the appellant to counsel for the respondent, dated January 8, 2021. All of these documents were created after the trial judge issued his reasons. [26] The law regarding the admission of fresh evidence on appeal is well settled. In order to obtain leave to file such evidence, the moving party must establish that the evidence: (a) is credible; (b) could not have been obtained by reasonable diligence before the trial or motion; and (c) would likely be conclusive of an issue on the appeal: Ojeikere v. Ojeikere , 2018 ONCA 372, 140 O.R. (3d) 561, at para. 48; Palmer v. The Queen , [1980] 1 S.C.R. 759, at p. 775. [27] Where the welfare of a child is at stake, the case law allows for a more flexible approach to the test. However, that increased flexibility does not render all proffered fresh evidence admissible. The factors listed in the test remain relevant: H.E. v. M.M. , 2015 ONCA 813, 393 D.L.R. (4th) 267, at paras. 71-72, leave to appeal refused, [2016] S.C.C.A. No. 63. [28] In the email dated December 18, 2020, counsel for the respondent advised counsel for the appellant that his client was likely entitled to a significant costs award. He cautioned that the appellant should not dissipate her assets. In the factum filed to support her fresh evidence motion, the appellant says that this email is relevant because it “demonstrates the Father’s attempt to intimidate the Mother using financial threats.” [29] It is difficult to conceive how this email could meet the test for the admission of fresh evidence. If it were admitted, its inclusion in the record would not be potentially conclusive on any issue in the appeal. Instead, the email strikes me as the sort of communication that prudent counsel would routinely send to protect a client’s interest. Accordingly, it has no relevance to this appeal. [30] The affidavit of Mr. Abdou is tendered to show that the Arabic language has a means of expressing the term, “best interests,” so the word, “best,” qualifies the word, “interest.” The appellant says Mr. Abdou’s clarification is relevant because Ms. Hamade, the respondent’s expert witness on UAE law, testified that the Arabic word for interest, being maslahah , could not be combined with an Arabic word meaning, “best,” since maslahah already stood for the concept of “best interest.” The appellant submits that she could not have foreseen this as an issue before trial as Ms. Hamade did not include it in her written report. [31] Accepting for the moment that this evidence is credible, I am not satisfied that leave should be granted for its admission. I say this for two reasons. First, it could have been adduced through the exercise of reasonable diligence. The respondent presented his case first, and it would not have been difficult for the appellant’s counsel to raise the point in cross-examination or to seek leave to file an expert report on the subject at trial. Second, the experts on the law of the UAE were largely in agreement about the role that best interests play in that country’s legal system. Therefore, the affidavit would not be conclusive of any issue on the appeal. [32] In the email dated January 8, 2021, counsel for the appellant wrote to counsel for the respondent seeking an update regarding the Dubai proceedings initiated by the respondent. She sought, among other things, copies of any orders made by the court and information on whether the respondent had stayed the proceeding. In her factum filed on the fresh evidence motion, the appellant argues that this email is relevant because courts in Dubai often make obedience orders requiring the mother to return to the household with a child (or children). The appellant submits that if the Dubai courts did so in this case, it “demonstrates the severe disability that the Mother suffers under UAE law.” [33] I would decline to grant leave to file this evidence as I am not satisfied that it would be conclusive of any issue in the proceeding. The actual evidence proposed to be tendered is a short email from counsel for the appellant, asking the respondent a series of questions. The email adds nothing to the court's analysis. Further, there is no evidence before us indicating that the type of obedience orders referred to by the appellant has been made against her. [34] For these reasons, I would decline to grant leave to the appellant to file any of the proposed fresh evidence. (2) Standards of Review [35] At the outset of my analysis of the grounds of appeal, it is necessary to consider the jurisprudence regarding the applicable standards of review. [36] In Hickey v. Hickey , [1999] 2 S.C.R. 518, the Supreme Court considered the standard of review in family law cases pertaining to support. L’Heureux-Dubé J., writing for the court, stressed, at para. 12, the public policy reasons that animate significant deference in the review of such decisions: [12] There are strong reasons for the significant deference that must be given to trial judges in relation to support orders. This standard of appellate review recognizes that the discretion involved in making a support order is best exercised by the judge who has heard the parties directly. It avoids giving parties an incentive to appeal judgments and incur added expenses in the hope that the appeal court will have a different appreciation of the relevant factors and evidence. This approach promotes finality in family law litigation and recognizes the importance of the appreciation of the facts by the trial judge. Though an appeal court must intervene when there is a material error, a serious misapprehension of the evidence, or an error in law, it is not entitled to overturn a support order simply because it would have made a different decision or balanced the factors differently. [37] The reasoning of L’Heureux-Dubé J. was applied in the context of a custody order in Van de Perre v. Edwards , 2001 SCC 60, [2001] 2 S.C.R. 1014. In that case, the court considered the finding of the British Columbia Court of Appeal that the principles in Hickey do not fully apply in custody cases and that appellate courts should be free to reweigh the evidence on the grounds of protecting the best interests of a child, even in the absence of a material error. Bastarache J. rejected this approach, at para. 16: [16] In the present case, the Court of Appeal considered the decision of the trial judge and decided that it was within the scope of review to examine all the evidence and determine whether the trial judge weighed the evidence improperly. It is in reconsidering the evidence that the Court of Appeal determined that the trial judge had made material errors. As discussed above, this is not the proper method of appellate review. If the Court of Appeal had followed the appropriate method, it would not have reconsidered the evidence and found what it described as material errors in Warren J.’s decision. There was no scope for appellate intervention in this case. [38] In my view, the policy rationales that support deference in the context of reviewing custody and support orders apply with equal force to a consideration of whether an Ontario court should assume jurisdiction or make a return order under the CLRA . The analysis of those issues involves the application of evidence to a series of factors identified in the legislation. Absent a legal error or a palpable and overriding error of fact or mixed fact and law, it is not the place of an appellate court to redo a lower court’s analysis to achieve a result that it deems to be in the best interests of the child. [39] Proper adherence to the standard of review helps enforce a discipline in appellate courts that guards against the potential of rendering results-based decisions, which do not adhere to the law and create uncertainty for other similarly situated parties. This danger is particularly pronounced in family cases where there may be sympathetic facts, and the appellate court may have a different view on what it believes is the fairest result. [40] In the present case, there is also an issue regarding the proper interpretation of foreign law. The appropriate standard of appellate review in Ontario on questions of foreign law is correctness: Grayson Consulting Inc. v. Lloyd , 2019 ONCA 79, 144 O.R. (3d) 507, at para. 29. [41] In summary, the identification and faithful application of the correct standard of review are vital in ensuring that appellate courts do not stray from their proper role and enter the domain of trial judges. When an appellate court moves beyond its function as an error-correcting institution and engages in the determination of factual issues and issues of mixed fact and law, the justice of the case is imperilled. (3) Section 22 of the CLRA [42] The legislature has defined the circumstances in which an Ontario court will assume jurisdiction for the purposes of making a parenting or contact order in s. 22 of the CLRA . Before considering that section, it is helpful to consider this court’s guidance in Ojeikere regarding the public policy purposes underlying s. 22. Laskin J.A., writing for the court, stated: [13] All four provisions are found in Part III of the CLRA . Section 19 sets out the overall purposes of Part III. In substance, there are five purposes: · To ensure that custody and access applications will be determined on the basis of the best interests of the children; · To avoid the concurrent exercise of jurisdiction by tribunals in different places; · To provide that, save in exceptional circumstances, an Ontario court will decline jurisdiction where custody and access are more appropriately determined by a tribunal having jurisdiction in another place with which the child has a closer connection; · To discourage the abduction of children as an alternative to the determination of custody rights by due process; and · To provide for the more effective enforcement of custody and access orders and for the recognition and enforcement of these orders made outside Canada. These general purposes set out in s. 19 must guide the interpretation and application of ss. 22 and 23, the provisions in issue on this appeal. [ 14 ] The specific purposes of s. 22 include deterring parties from “shopping” for a forum to decide their custody dispute, and importantly, discouraging child abduction. See Brooks v. Brooks (1998), 163 D.L.R. (4th) 715 (Ont. C.A.), at para. 22. [ 15 ] Neither s. 22(1)(a) nor s. 22(1)(b) is itself a best interests test – neither provision asks the court to consider the child’s needs and circumstances as set out in s. 24(1) and the catalogue of best interests considerations listed in s. 24(2)[.] [ 16 ] But the policy behind discouraging child abduction and requiring a summary return to habitual residence does reflect the Legislature’s overriding concern with a child’s best interests. Child abductions ordinarily harm children, undermine the important goal of maximizing contact between a child and both parents, and often promote a parent’s interests over that of the child. [Footnotes omitted.] [43] In considering whether Ontario may assume jurisdiction to determine a parenting or contact order, the court will not conduct a “best interests” analysis. Instead, it will focus on the specific factors identified in s. 22 that allow it to exercise jurisdiction, while being mindful of the public policy purposes underlying this part of the CLRA , including the discouragement of international child abductions. [44] With that background in my mind, I move to a consideration of s. 22, which provides: Jurisdiction 22 (1) A court shall only exercise its jurisdiction to make a parenting order or contact order with respect to a child if, (a) the child is habitually resident in Ontario at the commencement of the application for the order; or (b) the child is not habitually resident in Ontario, but the court is satisfied that, (i) the child is physically present in Ontario at the commencement of the application for the order, (ii) substantial evidence concerning the best interests of the child is available in Ontario, (iii) no application respecting decision-making responsibility, parenting time or contact with respect to the child is pending before an extra-provincial tribunal in another place where the child is habitually resident, (iv) no extra-provincial order respecting decision-making responsibility, parenting time or contact with respect to the child has been recognized by a court in Ontario, (v) the child has a real and substantial connection with Ontario, and (vi) on the balance of convenience, it is appropriate for jurisdiction to be exercised in Ontario. Habitual residence (2) A child is habitually resident in the place where the child resided in whichever of the following circumstances last occurred: 1. With both parents. 2. If the parents are living separate and apart, with one parent under a separation agreement or with the consent, implied consent or acquiescence of the other or under a court order. 3. With a person other than a parent on a permanent basis for a significant period of time. Abduction (3) The removal or withholding of a child without the consent of all persons having decision-making responsibility with respect to the child does not alter the habitual residence of the child unless there has been acquiescence or undue delay in commencing due process by the person from whom the child is removed or withheld. [45] The appellant argued unsuccessfully at trial that the court should assume jurisdiction under s. 22. The trial judge reasoned that s. 22(1)(a) was inapplicable because the children had not been living in Ontario with both of their parents since their arrival in June 2020. The appellant does not challenge that finding on appeal. [46] The focus of the appellant’s submissions on this ground of appeal is that the court erred in not assuming jurisdiction under s. 22(1)(b). To find jurisdiction under this subsection, the appellant had the onus of establishing that all six enumerated criteria were met on a balance of probabilities: Wang v. Lin , 2013 ONCA 33, 358 D.L.R. (4th) 452, at para. 50. Her failure to meet her onus on any one of the factors prohibits her from relying on this subsection. [47] The trial judge found that the appellant was unable to establish the following four factors: (1) that substantial evidence concerning the best interests of the children is available in Ontario; (2) that there was no custody proceeding pending in another jurisdiction; (3) that the children have a real and substantial connection to Ontario; and (4) that the balance of convenience favours Ontario taking jurisdiction. [48] For the purposes of the appeal, I will only consider the issue of whether there was substantial evidence in Ontario concerning the best interests of the children, as required by s. 22(1)(b)(ii). In reaching his conclusion that the appellant had not met her onus on this point, the trial judge noted, among other things, that the children had only lived in Ontario for six months, that neither the parties nor the children had spent significant time in Ontario during the period from February 2012 to June 2020, and that “nobody in Ontario testified except for [the appellant] and her mother”. These findings were well-grounded in the evidence and free of error. They are immune from appellate interference. [49] Given that the criterion under s. 22(1)(b) are cumulative, and that the appellant failed to prove the availability of substantial evidence concerning the best interests of the children in Ontario, this ground of appeal must fail. It is unnecessary to consider the appellant’s other arguments under s. 22. (4) Section 23 of the CLRA [50] Much of the argument on the appeal focussed on the trial judge’s s. 23 analysis. That section provides: Serious harm to child 23 Despite sections 22 and 41, a court may exercise its jurisdiction to make or vary a parenting order or contact order with respect to a child if, (a) the child is physically present in Ontario; and (b) the court is satisfied that the child would, on the balance of probabilities, suffer serious harm if, (i) the child remains with a person legally entitled to decision-making responsibility with respect to the child, (ii) the child is returned to a person legally entitled to decision-making responsibility with respect to the child, or (iii) the child is removed from Ontario. [51] Since the parties’ children were physically present in Ontario, s. 23(b) permitted the trial judge to exercise jurisdiction over their custody or access if satisfied, on a balance of probabilities, that the children would suffer “serious harm” should they be returned to Dubai. [52] A trial judge’s exercise of s. 23 is discretionary. In Ojeikere , at para. 64, Laskin J.A. provided a list of potentially relevant factors that a court could use to determine whether a child will suffer serious harm. He considered: (1) the risk of physical harm; (2) the risk of psychological harm; (3) the views of the children; and (4) the mother’s claim that she would not return to her home country, even if the children were required to do so. [53] The trial judge characterized the appellant’s s. 23 argument as the “most legitimately debatable point at trial.” He applied the factors identified in Ojeikere and found: · No evidence that the children were at risk of being physically harmed if they returned to Dubai. · Some circumstantial evidence that the children could be at risk of emotional and psychological harm if they returned to Dubai without the appellant. · No evidence that the children had specific views or preferences as to with whom or where they resided. · There was an absence of reliable evidence that the court system in Dubai will do anything other than determine custody in accordance with the best interests of the children if contested, award custody to the appellant if contested, and approve the settlement proposal tendered by the respondent if agreed to by the appellant. [54] The appellant submits that the trial judge erred in his analysis of serious harm. Specifically, she says that he erred in his consideration of: (a) her uncertain residential status in Dubai; (b) the respondent’s proposed settlement offer and consent order; (c) the law of the UAE that she says disadvantages her; (d) the adequacy of the respondent’s parenting plan; and (e) the nature of the potential harm to the children. [55] My colleague, in his dissent, accepts the appellant’s position on s. 23 and would accordingly allow the appeal. He finds that the trial judge made a palpable and overriding error because he failed to properly assess the harm of an involuntary separation of the children from the appellant. Further, with regard to the nature of the harm, my colleague says that the trial judge should have found a risk of serious harm despite the fact that the appellant’s expert could not opine on the specific risk to Z. and E. [56] In this section of my reasons, I will explain why I would not interfere with the trial judge’s conclusion on the issue of serious harm. In short, the appellant’s submission amounts to an invitation to reweigh the evidence and draw different conclusions than the trial judge did. As discussed above, that would be an impermissible intrusion into the role of the trial judge. [57] Below, I will consider each of the appellant’s arguments with respect to the trial judge’s alleged errors in his s. 23 analysis. Before doing so, I note the following comments from Harvison Young J. (as she then was) in Bolla v. Swart , 2017 ONSC 1488, 92 R.F.L. (7th) 362, regarding the context of s. 23 and its onus: [37] The context of s. 23 is important to understand. While this matter is not governed by the Hague Convention , the principle underlying ss. 22 and 23 is similar: children should be protected from the harmful effects of their wrongful removal from their habitual residence, and their prompt return to the state of their habitual residence should be ensured. [38] This is the general rule. It reflects the presumption that it is generally in the best interests of the child that issues relating to custody and access be adjudicated in the jurisdiction where they have habitually resided. For that reason, the parent who has removed or wrongfully retained the children from their place of habitual residence has the burden of establishing the “serious harm” that permits the Ontario court to accept jurisdiction in such a case: see Rajani v. Rajani , 2007 CanLII 38126 (ON SC), at para. 90; and Ndegwa v. Ndegwa (2001), 20 R.F.L. (5th) 118 (Ont. S.C.), at para. 30. (a) Residential Status [58] According to the appellant, the trial judge “erred in placing insufficient weight on the fact that the Mother has no automatic legal right to reside in the UAE.” This is one of the many examples where the appellant is asking this court to reweigh the evidence, rather than identifying an error that this court must correct. [59] Regardless, the trial judge considered the evidence of the respondent’s expert on the law of the UAE, Ms. Hamade, and determined that the appellant had various options available to her. Specifically, the trial judge summarized Ms. Hamade’s evidence as being that after the divorce, the appellant would be granted a one-year grace period during which she could remain in Dubai without a residency permit. Ms. Hamade testified that when the one-year period was over, the appellant could continue to stay in the country through (1) sponsorship by her ex-husband, (2) the purchase of a property, including a property held in trust, or (3) the use of a "free zone," which involves the rental of an office. [60] On the issue of UAE law, the trial judge preferred the evidence of Ms. Hamade over that of Ms. Schildgen. He explained why he reached that conclusion, at paras. 295-297, as follows: [295] Having conducted hundreds of hearings over the last nine years, many of them with expert evidence, I must say that I was very impressed with the evidence of Ms. Hamade. [296] She was precise in her evidence. She did not waver in her evidence. She was not impeached in cross-examination, except in one instance where Mr. Conway put to her an opinion that she rendered in another case; to which she replied, satisfactorily in my view, that there were significant factual differences between that case and ours. She delivered her evidence in a straightforward, unbiased, sharp, and articulate manner. [297] Further, Ms. Hamade is very experienced in family law (more so than Ms. Schildgen), and very experienced in the courts in the United Arab Emirates (Ms. Schildgen is not), and fluent in the Arabic language in which the original relevant legislation was written (Ms. Schildgen is not), and intimately familiar with all aspects of N.’s proposed settlement agreement (dated October 30, 2020), including trusts (Ms. Schildgen is not). [61] An appeal court has limited scope to intervene on a trial judge’s interpretation of expert evidence. Krever J.A., writing for the court in Larche v. Ontario (1990), 75 D.L.R. (4th) 377 (Ont. C.A.), leave to appeal refused, [1991] S.C.C.A. No. 25, described it this way: [3] Before addressing the appellant's submissions, two general points may usefully be made with respect to the issue of liability of both the hospital and the architects. First, the submissions relate to findings of fact with which this court can interfere only if the appellant can show that they reflect palpable and overriding errors on the part of the trial judge. Second, in general, the appellant's submissions seek to have this court accept the opinions of expert witnesses that the trial judge rejected and reject the opinions of expert witnesses that the trial judge accepted. It would require the existence of extraordinary circumstances before this court would do so, given the special position a trial judge is in who saw and heard the witnesses and gave reasons for the findings made. [62] The trial judge accepted the evidence of Ms. Hamade as he was entitled to do. Further, the respondent had agreed to incorporate, as undertakings in a s. 40 order, the terms of his offer to settle, which included securing a residency visa for the appellant. The trial judge, in his reasons, invited appellant’s counsel to make further submissions regarding the incorporation of the respondent’s settlement proposal in his order. This direction was consistent with what the court did in Bolla , where the order incorporated the undertakings given by the respondent father regarding the return of the children: Bolla , at paras. 140-144. The appellant’s lawyer rejected the offer and advised the court that his client did not seek further direction from the trial judge. [63] Clearly, the trial judge was aware of the concern associated with the appellant’s residency status, but he accepted the evidence of Ms. Hamade that there were workable solutions to resolve the issue. He even invited counsel to make submissions so that the solution could be incorporated into his order. The appellant chose not to avail herself of that opportunity. I fail to see any error in the trial judge’s treatment of this issue. I disagree with my colleague’s suggestion that the respondent has “not proven his ability to mitigate Mother’s precarious residency status.” That reverses the onus, which was on the appellant to prove serious harm. (b) Settlement Offer and Consent Order [64] As noted, in his reasons, the trial judge referenced the “with prejudice” settlement offer served by the respondent. Based on the testimony of Ms. Hamade, he found that an agreement between the parties could be incorporated into an order of a Dubai court and would be enforceable by the court. [65] The appellant submits that the settlement offer is disadvantageous to her because she faces the application of UAE law (which is different from Ontario law), both in terms of enforcing the agreement and in terms of contesting the agreement if she disagrees with the provisions. The appellant also argues that the trial judge “unreasonably assume[d] [that] there will be no future disagreement regarding parenting issues and thereby fail[ed] to assess the risk of future harm” (emphasis in original). [66] The appellant’s concerns are not consistent with the expert testimony. Ms. Hamade testified that the UAE courts respect settlements and are happy to make them a part of binding court orders. She also gave evidence that if a party wants to alter an agreement incorporated into an order, they must show an “impactful” change of circumstances. According to Ms. Hamade, the primary consideration on such an application will be the children’s best interests. Ms. Schildgen, the appellant’s expert, also testified that any dispute about changing the terms of an order would be resolved on the basis of the children’s best interests. [67] The trial judge carefully considered the expert evidence and reached the following findings, at paras. 301-305, regarding the best interests of the children and the enforceability of a settlement agreement: [301] It is inconceivable that this Court would find that Ms. Schildgen’s evidence supports a conclusion that (i) best interests of the child does not trump all else in child custody law in Dubai, or that (ii) settlement agreements like the one proposed by N. in this case are not enforceable as valid court orders in Dubai. [302] For this Court to draw either of those conclusions in favour of the mother, this Court would have to cherry-pick to a degree that is grotesque, and I concur with Mr. Conway that this Court should avoid doing so. I would have to completely ignore the entire cross-examination of Ms. Schildgen at trial, by finding, I suppose, that she must have been confused or misspoke multiple times or something, and then I would have to accept just the direct evidence of Ms. Schildgen, including her report, and then finally I would have to reject entirely the evidence of Ms. Hamade. [303] I decline to do so. I commend Ms. Schildgen for being honest in cross-examination. I do not think that she was confused at all. I appreciate her upholding her duties as an unbiased, professional expert witness. She was being fair to this Court and non-partisan to make sure that I was not left with the impression that “best interests of the child” is a concept that means virtually nothing in Dubai. In fact, it means everything. [304] Let me be frank, with respect. The cross-examination of Ms. Schildgen at trial eviscerated the very underpinning of the mother’s case (apart from the Constitutional question), that is that the children cannot be returned to Dubai because this Court can have no confidence that any decision made there regarding their welfare will be based, as the paramount consideration, on their best interests. Ms. Schildgen’s evidence in cross-examination points precisely to the opposite conclusion. [Emphasis in original.] [68] Those very clear findings were made by the trial judge, who had the opportunity to observe the testimony of the expert witnesses. There is no legitimate basis for this court to interfere. [69] My colleague, in his dissent, takes a different approach to the trial judge’s reliance on the settlement offer. He suggests that the respondent could renege on his offer, and that consequently, there is no guarantee the offer will find its way into a Dubai court order. According to the dissent, the failure of the trial judge to consider this possibility was an error that influenced his s. 23 analysis and gave him a false sense of security regarding what would happen if the children returned to Dubai. [70] This criticism is unfounded. I do not doubt that the trial judge recognized the potential risk of the respondent resiling from his commitment and attempting to limit the appellant’s access to the children. However, the context of the proceeding has to be considered. [71] Perhaps the one indisputable fact established on the record was that the appellant, not the respondent, sought to limit access to the children. The appellant unilaterally retained the children in Ontario, and, according to the trial judge, in her draft final order, she “proposed anything but lots of access.” [72] In contrast, there was nothing in the record to suggest that the respondent was intent on limiting the appellant’s interaction with the children. As a sign of his good faith, the respondent proposed incorporating the terms of his settlement offer, which provided that the appellant would be the primary residential parent for the children and that major decisions would be decided jointly, into an Ontario court order. That offer, which the trial judge was willing to incorporate into his s. 40 order, was rejected by the appellant. Further, the trial judge made an explicit finding that the respondent was credible and that the appellant was not. [73] It is also essential to consider whether this type of analysis properly reflects the role of an appellate court in reviewing a decision under s. 23 of the CLRA . There is no genuine legal or factual error identified. Instead, the concern expressed by the appellant is that the trial judge did not draw the same inference as my colleague would from the evidence. With respect, that is not our role on appeal. Moreover, the concern that my colleague expresses about the respondent possibly resiling from his settlement offer is speculative. (c) UAE Law [74] The appellant submits that the trial judge erred in his assessment of UAE law. She argues that he should not have relied solely on Ms. Hamade’s evidence, which she says is contradicted by the plain wording of the relevant UAE legislation, the Personal Status Law No. 28 ("PSL"). In addition, the appellant points to gender-based inequities in the law, specifically that mothers can never be guardians under the PSL and that when E. turns 11 and Z. turns 13, the appellant could potentially be stripped of her role as custodian. The appellant ultimately asserts that since the UAE law disadvantages her, and that a “risk of harm to a primary caregiver is [a] risk of harm to a child,” the trial judge’s errors warrant appellate intervention. [75] I would not give effect to these arguments. As noted above, the expert evidence on the law of the UAE was carefully considered by the trial judge. He explained why he preferred the evidence of Ms. Hamade over the evidence of Ms. Schildgen. [76] Regarding the appellant’s complaint about the trial judge’s alleged failure to account for the plain wording of the PSL, the trial judge was permitted to accept Ms. Hamade's evidence that the legislation is read with regard to the relevant jurisprudence interpreting the same. This is hardly a novel concept in our domestic law, and it is unsurprising that the UAE utilizes a similar approach to statutory interpretation. In my view, the trial judge reached the correct conclusion on how to interpret the PSL, and there is no basis for appellate interference. [77] I am also satisfied that the trial judge was aware of the problematic aspects of UAE law and its inconsistencies with Canadian values. However, the trial judge properly focussed on the issue before him, being whether the application of UAE law would result in serious harm to the children. [78] In his dissent, my colleague states that if UAE law were applied, then the "appellant would not have the incidents of custody contemplated by Ontario law, to the detriment of the children." His concern appears to be that under UAE law, for the initial parenting arrangements, the appellant will be appointed custodian, which amounts to day-to-day custody, and the respondent will be granted guardianship, which gives him big picture decision-making authority. According to my colleague, this is detrimental to the children when compared to ss. 19 and 20 of the CLRA , which emphasize the sharing of decision-making responsibility between both parents. [79] It is worth reiterating at this juncture that the role of the court under s. 23 is to determine whether the party invoking the section has established, on a balance of probabilities, that a child will suffer serious harm if an Ontario court does not assume jurisdiction. For the law of the UAE to qualify as serious harm, that harm would have to be clearly established on the evidence. It is not enough to point to differences in the law and suggest that a parent may have different rights in a foreign jurisdiction vis-à-vis Ontario. The serious harm test in s. 23 of the CLRA , which was implemented to protect the safety of children, must not be reduced to a means for Ontario courts to prefer this province’s system of justice over those of foreign jurisdictions under the guise of child safety. [80] Under the law of the UAE, on the initial determination of custody, the appellant would actually have an advantage over her position than if this case were determined in Ontario. In Dubai, the usual order would be that she is appointed custodian and thus granted primary physical custody of the children and the power to make day-to-day decisions on their behalf. It is true that the respondent would ordinarily be appointed as guardian and given the power to make significant decisions. However, the trial judge examined the nature of the parenting arrangements that would be put in place if the parties were obliged to follow UAE law and did not come to an agreement on how the children would be raised. Specifically, he examined the rights of the appellant in that scenario and concluded, at para. 378, as follows: [378] I pause here to note that I disagree with the submission that F. will be deprived of decision-making authority in Dubai. I accept the evidence of both Ms. Hamade and Ms. Schildgen that F. will be granted custody of the children in Dubai, and that means day to day care and the decision-making authority that goes along with that. Further, I accept the evidence of Ms. Hamade that the rights of the custodian are not subject to those of the guardian. Besides, the fact that the guardian, N., is able to make certain decisions about the children is of no consequence here, in terms of prejudice to F., because the evidence demonstrates that things like education and religion for Z. and E., including the place of schooling for Z., were not subjects of dispute between the parties by the time that F. left with the children in June 2020. There is simply no basis in the evidence at trial to conclude that the custodial rights of F. in Dubai will be some illusory concept that will not have any real meaning to it. I find otherwise. [81] It is evident from the foregoing that the trial judge turned his mind to the nature of the parenting arrangement for this family if the parties did not reach an agreement. He correctly concluded that the appellant would have physical custody of the children and would make the day-to-day decisions regarding their welfare. With respect to the respondent's decision-making rights, the trial judge ascertained that in the circumstances of this family, they would have limited impact, as the evidence indicated the parties agreed on significant issues like schooling and religious instruction. Further, as noted above, the trial judge understood that any changes after the initial order for custody would be determined according to the children's best interests. [82] In my view, the trial judge correctly concluded that the application of UAE custody law would not harm the children. Those conclusions were well-rooted in the evidence and open to him. Again, there is no basis for appellate interference. [83] I also observe that if my colleague’s analysis were to be followed, the precedent established would be concerning. Such a decision would send a message to parents living in the UAE that if they unilaterally come to Ontario with their children, they will not be required by the Ontario courts to send their children home. Instead, they can avoid the s. 22 analysis and reduce the s. 23 analysis to a question of whether they would be subject to the law of the UAE. Thus, the underlying objective of the CLRA to reduce child abductions would be jettisoned in the wake of the rather provincial view that unless Ontario law is applied, children will suffer serious harm. As a matter of comity, public policy, and common sense, such a precedent leaves much to be desired. (d) Respondent’s Parenting Plan [84] The appellant argues in her factum that the respondent had the onus of establishing that no serious harm would result if he became the primary caregiver for the children. No authority is cited for this proposition, likely because it is incorrect. Section 23 puts the onus on the appellant to establish, on a balance of probabilities, serious harm: Bolla , at para. 38. [85] According to the appellant, the respondent’s parenting plan was inadequate because he refused to significantly cut back on his work schedule and because he indicated that he would rely on the assistance of the nanny and his relatives to raise the children. It is difficult to ascertain the error that the trial judge is alleged to have made. Presumably, the appellant disagrees with the proposed plan and seeks this court's concurrence with her opinion. That is not our role. In any event, I am also not satisfied that the children would suffer any harm under the respondent’s parenting plan. (e) Nature of Potential Harm [86] At trial, the appellant proposed to call a psychotherapist, Carol-Jane Parker, to give expert evidence. The respondent opposed qualifying Ms. Parker as an expert witness, and the trial judge conducted a voir dire . He ruled that Ms. Parker could give expert evidence on the issue of the potential impacts (emotional and psychological) the children may face if they are separated from their primary caregiver. For the purposes of her evidence, an infant was defined as being up to five years of age. Thus, both children were considered infants. [87] The trial judge's analysis of Ms. Parker's evidence is found at paras. 305-315 of his reasons: [305] Finally, moving to Ms. Parker, I find that her evidence is of limited assistance to this Court. Without hesitation, I accept her evidence that infants can face serious negative effects from being removed from their primary caregiver, but I knew that before Ms. Parker testified. No trial judge needs expert evidence for that. [306] I did need expert evidence on other things, however, and Ms. Parker helped me greatly with those areas. [307] In direct examination, Ms. Parker testified that the research indicates potential negative consequences for infants, generally, when they are separated from their primary caregiver: cognitive impairment (such as reading difficulties), negativity, aggressive behaviours, symptoms of borderline personality disorder, and difficulties managing stress, included. I accept that evidence. [308] Brain development in an infant is impacted where there is a loss of consistency that the primary caregiver provides, stated Ms. Parker in direct examination. I accept that evidence. [309] In cross-examination, Mr. Smith read from a professional resource that the quality of care and responsiveness of the new (alternate) caregiver will impact how the child responds to the separation from the primary caregiver; and Ms. Parker agreed with that statement. I accept that evidence. [310] Ms. Parker agreed in cross-examination that the culture of the family in question affects the potential harm of separating a child from the primary caregiver. I accept that evidence. [311] In cross-examination, Ms. Parker stated that there are two types of harm from the separation – one is short-term (crying, loneliness) and is usually resolved within months, and the other is longer-term. Both types of harm can be ameliorated and treated through counselling and professional help, and through continued contact with the mother (whether in-person and/or online). I accept that evidence. [312] Otherwise, I do not accept any of Ms. Parker’s evidence, whether given in direct examination or in cross-examination at trial, as to what will likely happen with these two children, Z. and E., if they are separated from F. [313] In my view, Ms. Parker’s evidence on the voir dire about not being able to express an opinion about these children with any degree of certainty was not limited to an opinion about attachment; it was in reference to any opinion at all. I have read the transcript in question many times; there is no other reasonable interpretation of the words used. [314] My mid-trial ruling expressly permitted Ms. Parker to provide evidence about these children specifically. She did nothing wrong at trial in doing so. But the fact that she then said that her opinions about these children are almost guarantees (my word; she said “very high degree of certainty” and “very certain”) gives me great discomfort. It is totally at odds with what she said during the voir dire . [315] Thus, I cannot rely upon Ms. Parker’s opinion evidence when it comes to Z. and E…. [Emphasis in original.] [88] The trial judge applied his findings regarding Ms. Parker’s evidence in his consideration of whether the appellant had met her onus of establishing serious harm. He accepted Ms. Parker’s testimony as circumstantial evidence that the children could be at risk of emotional or psychological harm if separated from the appellant. However, the trial judge placed very little weight on the appellant's testimony that she would not return to Dubai with them. He believed that she was unhappy while there, but rejected her evidence that she suffered religious discrimination and social isolation. [89] The appellant submits that the trial judge erred in minimizing the risk of harm associated with separating a primary caregiver from an infant. She also argues that the trial judge wrongly rejected the evidence of Ms. Parker by subjecting it to a standard of certainty. [90] There are two points that need to be stressed regarding Ms. Parker's evidence. First, Ms. Parker conceded on the voir dire that she could not testify about the psychological impact of separation on these children to any degree of certainty, without conducting an assessment. Second, she accepted that several factors could lessen the risk of harm and ameliorate such harm, including the family's culture, the quality of care of the alternate caregiver, and the use of counselling services. These points led the trial judge to discount Ms. Parker’s trial evidence regarding her high degree of certitude that the children would suffer harm. [91] Ultimately, the trial judge accepted Ms. Parker’s evidence, but in assessing its weight, concluded the evidence was not specific enough for the appellant to prove, on a balance of probabilities, that the children would suffer serious harm if separated from her. This was a conclusion available to the trial judge. Ms. Parker herself testified that an assessment was necessary to opine on the issue of serious harm, and admitted that she had not conducted one. Ms. Parker also provided no analysis before the trial judge on how various mitigating factors might impact the potential for harm. Therefore, the trial judge concluded that Ms. Parker’s evidence was insufficient to meet the appellant’s onus about serious harm. [92] In his dissent, my colleague states that the trial judge made a palpable and overriding error in analyzing Ms. Parker's evidence. He holds that: [a]n indefinite separation of two quite young children, one under two years old and the other only four, from the parent who has always been their primary caregiver, constitutes a risk of serious harm. This finding can be reached without any expert evidence on the specific impact such a separation is likely to have on Z. and E. in particular. A risk of serious harm is established if the court is convinced on a balance of probabilities that this separation will occur. [93] If my colleague is correct, then there was no need for Ms. Parker to testify. Indeed, much of the evidence called at trial was superfluous. According to his logic, to succeed on a s. 23 argument, all that a primary caregiver needs to establish is: (1) that the children in issue are under the age of five; (2) that they refuse to return the wrongfully retained children to the children’s home jurisdiction; and (3) that they refuse to return to the children’s home jurisdiction if the children are required to go back there. [94] This logic is problematic for several reasons. First, it encourages child abductions, contrary to one of the public policy purposes underlying the CLRA . Second, it calls for an analysis that focuses solely on the preferences of the custodial parent and not on the best interests of the children. Third, it uncritically accepts that there will be serious harm regardless of the circumstances in a particular case, which are ignored entirely. Fourth, it comes dangerously close to reviving the long-discredited tender years' doctrine. Fifth, it replaces the discretion to be exercised by the trial judge with a hard-and-fast rule. [95] The trial judge considered the expert and lay evidence regarding serious harm and applied it to the facts of this case. He reached an available conclusion on the evidence. The role of this court is not to redo that analysis or to replace it with a non-discretionary rule that must be followed when there are cases involving the wrongful retention of infants. (f) Parens Patriae Jurisdiction [96] The trial judge declined to exercise parens patriae jurisdiction. In so doing, he relied on E. (Mrs.) v. Eve , [1986] 2 S.C.R. 388, the leading case on the issue. There, the Supreme Court held, at p. 426, that parens patriae jurisdiction is “founded on necessity, namely the need to act for the protection of those who cannot care for themselves.” [97] In the case at bar, the trial judge was not satisfied that necessity had been established. The trial judge’s decision was highly discretionary and is owed deference: Eve , at p. 427; Pellerin v. Dingwall , 2018 BCCA 110, 7 B.C.L.R. (6th) 314, at para. 38. As the appellant has not shown any error in the trial judge’s decision to decline parens patriae jurisdiction, I would dismiss this ground of appeal. (g) Section 40 Order [98] The OCL, which was granted intervenor status on the appeal, submits that in making a s. 40 order, a court must consider the best interests of the child (or children) who would be the subject(s) of the order. This issue was not raised in the Notice of Appeal or addressed in the appellant’s factum. It is not properly before this court, and I would decline to consider it. E. disposition [99] For the foregoing reasons, I would dismiss the motion for leave to file the fresh evidence and dismiss the appeal. [100] Regarding the costs of the appeal, the parties may make brief written submissions of no more than five pages plus a bill of costs. The respondent’s submissions are due within 14 days of the release of these reasons. The appellant’s submissions are due within 14 days of the receipt of the respondent's submissions. “C.W. Hourigan J.A.” Brown J.A. (Concurring) I. OVERVIEW [101] I concur with my colleague, Hourigan J.A., and agree with his proposed disposition of this appeal. These reasons supplement his by dealing with the constitutional grounds of appeal advanced by the appellant mother, F. [102] The mother asserts two types of constitutional claims. The first is a division of powers claim, in which she contends that s. 40(3) of the Children’s Law Reform Act , R.S.O. 1990, c. C.12 (“ CLRA ”), is ultra vires the Province of Ontario. Her second claim is based on the Canadian Charter of Rights and Freedoms : namely, that by authorizing an order that directed the two children return to Dubai where the issue of custody would be determined, CLRA s. 40(3) infringed her rights guaranteed by ss. 2(a), 7, and 15 of the Charter and infringed those of the children under ss. 2(a), 6(1), 7, and 15. [103] The trial judge rejected both claims. The mother appeals, essentially repeating the arguments she made below. For the reasons that follow, I would not give effect to her arguments. II. DIVISION OF POWERS ISSUE A. DECISION OF THE TRIAL JUDGE [104] In her Fresh as Amended Answer, the mother seeks “[a] declaration that state-action directly or indirectly requiring the removal of an individual from Ontario, pursuant to section 40(3) of the Children’s Law Reform Act (“ CLRA ”) is ultra vires the Province of Ontario.” The mother argues that CLRA s. 40(3) is ultra vires Ontario because all acts of removal of a person from Canada are tantamount to a deportation, which lies within the exclusive legislative power of Parliament. [105] In considering that submission, the trial judge, citing Canadian Western Bank v. Alberta , 2007 SCC 22, [2007] 2 S.C.R. 3, at paras. 25-29, recognized that he must ascertain the pith and substance, or the true nature, of CLRA s. 40(3). He observed the Supreme Court held in Office of the Children’s Lawyer v. Balev , 2018 SCC 16, [2018] 1 S.C.R. 398, at paras. 23-25, that a return order made under CLRA s. 40(3) is not a custody order. He rejected the mother’s submission that that characterization applies only to cases where the foreign country is a signatory to the Convention on the Civil Aspects of International Child Abduction , 25 October 1980, Can. T.S. 1983 No. 35 (entered into force 1 December 1983) (“ Hague Convention ”), holding that the rationale applies equally to orders made to return a child to a non- Hague Convention country. [106] The trial judge held that CLRA s. 40(3) “is all about the return of children to a place (in this case, Dubai) that they are most closely connected to, for a determination of custody issues in that place, provided no serious harm will result (which I have found to be the case here).” The trial judge adopted the analysis in Kovacs v. Kovacs (2002), 59 O.R. (3d) 671 (S.C.), which he read as holding that CLRA s. 40 falls within provincial legislative authority. B. ISSUE ON APPEAL [107] The mother submits that the “matter” of CLRA s. 40(3) is the removal of a citizen from Canada, which falls within exclusive federal jurisdiction. To support her position, she relies heavily on the dissent of Kellock J. in the decision of the Supreme Court of Canada in McKee v. McKee , [1950] S.C.R. 700 (“ McKee (SCC) ”), rev’d [1951] 2 D.L.R. 657 (P.C.) (“ McKee (JCPC) ”). [108] On his part, the respondent father, N., argues that in its pith and substance CLRA s. 40(3) concerns a matter of child welfare and family law, which falls within provincial jurisdiction: R. v. S. (S.) , [1990] 2 S.C.R. 254. The intervenor, the Attorney General of Ontario (“AGO”), supports the father’s submission. [109] My analysis shall proceed as follows. First, I will summarize the principles governing the “pith and substance” analysis required to determine whether legislation falls within the constitutional competence of the federal or a provincial government. Second, I will characterize the “matter” of CLRA s. 40(3). In the course of so doing, I will describe the statutory scheme in which CLRA s. 40(3) is embedded, examine the purpose of a return order, and consider the mother’s submissions regarding the McKee case. Finally, I will classify the “matter” of CLRA s. 40(3) for purposes of determining whether the provision falls within the legislative competence of Ontario. C. THE PRINCIPLES GOVERNING A “PITH AND SUBSTANCE” ANALYSIS [110] Although early Canadian constitutional decisions by the Judicial Committee of the Privy Council applied a rigid division of federal-provincial powers as watertight compartments, subsequent Supreme Court jurisprudence has favoured a flexible view of federalism – the so-called modern form of cooperative federalism: References re Greenhouse Gas Pollution Pricing Act , 2021 SCC 11, 455 D.L.R. (4th) 1, at para. 50. Canadian federalism jurisprudence supports the principle that a subject matter can have both federal and provincial aspects and, in such a case, the double aspect doctrine permits a province to legislate in pursuit of a valid provincial objective and Parliament to do the same in pursuit of a separate federal objective: Reference re Pan ‑ Canadian Securities Regulation , 2018 SCC 48, [2018] 3 S.C.R. 189, at para. 114. [111] One reason Canadian constitutional jurisprudence uses such a flexible approach lies in the practical difficulty in identifying the “matter” of a statute. The late Professor Peter W. Hogg described the problem in the following way in Constitutional Law of Canada , 5th ed. (Toronto: Thomson Reuters, 2007), at §15.5(a): The difficulty in identifying the “matter” of a statute is that many statutes have one feature (or aspect) which comes within a provincial head of power and another which comes within a federal head of power. Clearly, the selection of one or the other feature as the “matter” of the statute will dispose of the case; equally clearly, the court in making its selection will be conscious of the ultimate result which is thereby dictated. ... How does the court make the crucial choice? Logic offers no solution: the law has both the relevant qualities and there is no logical basis for preferring one over the other. What the courts do in cases of this kind is to make a judgment as to which is the most important feature of the law and to characterize the law by that feature: that dominant feature is the “pith and substance” or “matter” of the law; the other feature is merely incidental, irrelevant for constitutional purposes. [Footnote omitted.] [112] In the Greenhouse Gas References , the majority of the Supreme Court detailed the elements of this approach, at paras. 51-56: (i) At the first stage of the division of powers analysis, a court must consider the purpose and effects of the challenged statute or provision in order to identify its “pith and substance”, true subject matter, or what the law in fact is “all about”. The court does so with a view to identifying the statute’s or provision’s main thrust, or dominant or most important characteristic; (ii) The pith and substance of a challenged statute or provision must be described as precisely as possible, but precision should not be confused with narrowness. Instead, the pith and substance of a challenged statute or provision should capture the law’s essential character in terms that are as precise as the law will allow; (iii) It is permissible in some circumstances for a court to include the legislative choice of means in the definition of a statute’s pith and substance, as long as it does not lose sight of the fact that the goal of the analysis is to identify the true subject matter of the challenged statute or provision; (iv) To determine the purpose of the challenged statute or provision, the court can consider both intrinsic evidence, such as the legislation’s preamble or purpose clauses, and extrinsic evidence, such as Hansard records or minutes of parliamentary committees; (v) In considering the effects of the challenged legislation, the court can consider both the legal effects – those that flow directly from the provisions of the statute itself – and the practical effects, the “side” effects that flow from the application of the statute; (vi) The characterization process is not technical or formalistic. A court can look at the background and circumstances of a statute’s enactment as well as at the words used in it; and (vii) Finally, the characterization and classification stages of the division of powers analysis must be kept distinct. The pith and substance of a statute or a provision must be identified without regard to the heads of legislative competence. D. THE CHARACTERIZATION OF THE MATTER [113] What, then, are the purpose and effects of CLRA s. 40(3): its pith and substance or true subject matter? What is the provision’s main thrust, or dominant or most important characteristic? What is the section “all about”? The statutory scheme in which CLRA s. 40(3) is embedded [114] Section 40 falls within Part III of the CLRA , which deals with decision-making responsibility, parenting time, contact, and guardianship, the first three items being the new statutory labels for what used to be called custody and access. The purposes of Part III are set out in CLRA s. 19 which, to repeat what is set out in para. 42 above, states: 19 The purposes of this Part are, (a) to ensure that applications to the courts respecting decision-making responsibility, parenting time, contact and guardianship with respect to children will be determined on the basis of the best interests of the children; (b) to recognize that the concurrent exercise of jurisdiction by judicial tribunals of more than one province, territory or state in relation to the determination of decision-making responsibility with respect to the same child ought to be avoided, and to make provision so that the courts of Ontario will, unless there are exceptional circumstances, refrain from exercising or decline jurisdiction in cases where it is more appropriate for the matter to be determined by a tribunal having jurisdiction in another place with which the child has a closer connection; (c) to discourage the abduction of children as an alternative to the determination of decision-making responsibility by due process; and (d) to provide for the more effective enforcement of parenting orders and contact orders, and for the recognition and enforcement of orders made outside Ontario that grant decision-making responsibility, parenting time or contact with respect to a child. [115] Part III legislates with respect to a broad range of issues relating to the making of parenting and contact orders. Some of its provisions address whether an Ontario court can or should exercise jurisdiction to make a parenting or contact order (ss. 22, 23, and 25). Others concern the making, enforcement, and variation of parenting or contact orders, including the statutory requirement only to take into account the best interests of the child when making a parenting or contact order (s. 24). Yet other sections deal with “extra-provincial matters”. [116] The provisions collected under the heading Decision-Making Responsibility, Parenting Time and Contact — Extra-Provincial Matters (ss. 40 to 46) provide two mechanisms by which to achieve the purposes enunciated in s. 19 – specifically, those of discouraging child abduction and refraining from exercising jurisdiction in cases where it is more appropriate for the matter to be determined by a tribunal having jurisdiction in a place other than Ontario with which the child has a closer connection. [117] The first mechanism is the incorporation of the provisions of the Hague Convention into the law of Ontario: CLRA , s. 46(2). Under the Hague Convention , where a child has been wrongfully removed from a contracting state and brought to Ontario by one parent, the other parent may apply for the return of the child to the contracting state: CLRA , s. 46(5); Hague Convention arts. 3, 12, 29. Where certain conditions are satisfied and certain exceptions do not apply, Article 12 requires a court to order forthwith the return of a child who has been wrongfully removed or retained. [118] The second mechanism involves CLRA s. 40 which states: Interim powers of court 40 Upon application, a court, (a) that is satisfied that a child has been wrongfully removed to or is being wrongfully retained in Ontario; or (b) that may not exercise jurisdiction under section 22 or that has declined jurisdiction under section 25 or 42, may do any one or more of the following: 1. Make such interim parenting order or contact order as the court considers is in the best interests of the child. 2. Stay the application subject to, i. the condition that a party to the application promptly commence a similar proceeding before an extra-provincial tribunal, or ii. such other conditions as the court considers appropriate. 3. Order a party to return the child to such place as the court considers appropriate and, in the discretion of the court, order payment of the cost of the reasonable travel and other expenses of the child and any parties to or witnesses at the hearing of the application. [119] Section 40 applies to both domestic and international situations: where a child has been wrongfully removed to Ontario from another jurisdiction in Canada and where a child has been wrongfully removed from a state that is not a contracting party to the Hague Convention and brought to Ontario. [120] In Geliedan v. Rawdah , 2020 ONCA 254, 446 D.L.R. (4th) 440, leave to appeal refused, [2020] S.C.C.A. No. 193, this court observed, at paras. 34 and 69, that a court is able to exercise a broader range of discretionary powers under CLRA s. 40 than under the Hague Convention . CLRA s. 40(3) sets out one such power; it authorizes a court to order a party to return the child to such place as the court considers appropriate if the court is satisfied that a child has been wrongfully removed to or is being wrongfully retained in Ontario. Section 40(3) is the target of the mother’s constitutional challenges in this case. [121] The different procedures under the Hague Convention and provincial legislation, such as CLRA s. 40, for securing the return of a child wrongfully removed or retained operate independently of each other: Thomson v. Thomson , [1994] 3 S.C.R. 551, at p. 603; Geliedan , at paras. 30-33. Nevertheless, as a practical matter, where the provisions of provincial legislation such as CLRA s. 40, are engaged, “[it] may not be improper to look at the Convention in determining the attitude that should be taken by the courts, since the legislature's adoption of the Convention is indicative of the legislature's judgment that international child custody disputes are best resolved by returning the child to its habitual place of residence: Thomson , p. 603. The purpose of a return order [122] The purpose of a return order under the Hague Convention has been described by the Supreme Court in two cases: Thomson and Balev . [123] In Thomson , the court stated that the Hague Convention seeks to enforce custody rights and protect children internationally from the harmful effects of their wrongful removal or retention by providing procedures to return children promptly to the situation they were in immediately before their wrongful removal: Thomson , at pp. 578-79. The harm that the Hague Convention seeks to prevent was also summarized in Balev , at para. 23: The harms the Hague Convention seeks to remedy are evident. International child abductions have serious consequences for the children abducted and the parents left behind. The children are removed from their home environments and often from contact with the other parents. They may be transplanted into a culture with which they have no prior ties, with different social structures, school systems, and sometimes languages. Dueling custody battles waged in different countries may follow, delaying resolution of custody issues. None of this is good for children or parents. [124] The harms to a child from a wrongful removal or retention were further described by this court in Ojeikere v. Ojeikere , 2018 ONCA 372, 140 O.R. (3d) 561, at para. 16: “Child abductions ordinarily harm children, undermine the important goal of maximizing contact between a child and both parents, and often promote a parent’s interests over that of the child”: see also, M.A.A. v. D.E.M.E. , 2020 ONCA 486, 152 O.R. (3d) 81, at para. 38, leave to appeal refused, [2020] S.C.C.A. No. 402. [125] In Balev , the court stated that the prompt return of wrongfully removed or retained children serves three purposes: (i) it protects against the harmful effects of wrongful removal or retention; (ii) it deters parents from abducting the child in the hope that they will be able to establish links in a new country that might ultimately award them custody; (iii) finally, it is aimed at speedy adjudication of the merits of a custody or access dispute in the forum of a child's habitual residence, eliminating disputes about the proper forum for resolution of custody and access issues: at paras. 25-27. [126] Against this background, the court in Balev went on to describe, at para. 24, the nature of a return order made under the Hague Convention : The return order is not a custody determination: Article 19. It is simply an order designed to restore the status quo which existed before the wrongful removal or retention, and to deprive the “wrongful” parent of any advantage that might otherwise be gained by the abduction. Its purpose is to return the child to the jurisdiction which is most appropriate for the determination of custody and access. [127] A return order made under CLRA s. 40(3) shares the same purpose as one made under the Hague Convention . The Preamble of the Hague Convention and CLRA s. 19 display a commonality of purpose. The Preamble expresses the desire “to protect children internationally from the harmful effects of their wrongful removal or retention and to establish procedures to ensure their prompt return to the state of their habitual residence.” On its part, s. 19 of the CLRA seeks “to discourage the abduction of children as an alternative to the determination of decision-making responsibility by due process” and to ensure Ontario courts refrain from exercising jurisdiction where a more appropriate forum exists in which to determine decision-making responsibility. [128] In M.A.A. , this court recognized the commonality of purpose of return orders made under the Hague Convention and CLRA s. 40, stating, at para. 38: “With respect to non-signatory countries, the CLRA applies and reflects the Hague Convention ’s goals of discouraging child abductions by confining Ontario jurisdiction over custody to limited circumstances.” [129] In Kovacs , a Hague Convention case, Ferrier J. noted the common purposes of the return provisions under the Convention and the CLRA , stating, at paras. 140-41, that “in making an order that a child be returned to its habitual residence without a determination of the custody issue, [the court] is making an order considered to be in the best interests of the welfare of the child”, a jurisdiction that clearly is one of provincial power. See also: Bolla v. Swart , 2017 ONSC 1488, 92 R.F.L. (7th) 362, at para. 37, quoted above at para. 57. [130] This commonality of purpose was also recognized by Professor Nicholas Bala in his article, “ O.C.L. v. Balev : Not an ‘Evisceration’ of the Hague Convention and the International Custody Jurisdiction of the CLRA ” (2019), 38 Can Fam LQ 301, at p. 308: Provincial legislation like Ontario's Children's Law Reform Act adopts a statutory regime for enforcement of custody rights of parents from non- Hague countries that is based on the same basic principles and concepts as apply when there is a wrongful removal or retention of a child to Ontario from a Hague Convention country. Like the Hague Convention , the CLRA is intended to discourage forum shopping and deter international abduction of children, and to avoid exercise of concurrent jurisdiction by Ontario courts where courts of another state have a closer connection to the child. [131] Accordingly, the nature and purpose of a return order made under CLRA s. 40(3) is the same as one made under the Hague Convention : to protect a child from the harmful effects of their wrongful removal or retention and to return a child wrongfully removed or retained to the jurisdiction which is most appropriate for the determination of custody and access. The effects of a return order [132] The mother submits that since a return order can operate to remove a child from Ontario and return him or her to a foreign jurisdiction, the effect of the order is akin to that of a deportation order, in respect of which Parliament has the exclusive power to legislate. I am not persuaded by this submission. A law’s legal effects are discerned from its provisions by asking how the legislation as a whole affects the rights and liabilities of those subject to its terms: Greenhouse Gas References , at para. 70 (citation omitted). The mother’s argument ignores the larger statutory scheme in which CLRA s. 40(3) operates. [133] Certainly, the effect of a CLRA s. 40(3) return order is to remove a child from Ontario. And certainly the “means” of ordering the return of a child is central to the operation of CLRA s. 40(3). [134] But, the power of a court to order the return of a child under s. 40(3) is one of several means made available to a court under s. 40, and Part III more broadly, to right a wrong – the wrong consisting of the wrongful removal to or retention of a child in Ontario. [135] As this court stated in Geliedan , at para. 77, the legislative purposes set out in CLRA s. 19 inform the exercise of the discretion authorized by s. 40. A return order made under CLRA s. 40(3) seeks to achieve the purposes of Part III of the CLRA in several respects. [136] First, s. 40(3) offers a practical way to thwart unilateral efforts by one parent to change existing custody/decision-making arrangements. CLRA s. 40(3) echoes the “good” sought by a return order under the Hague Convention – namely, that a wrongful removal often harms a child and it is in the interests of the child to have custody issues determined by the place with the closest connection to the child. The nature of the remedy granted by s. 40(3) – the return of a child from Ontario to another jurisdiction – reflects the nature of the wrong committed by one parent: the wrongful removal of the child to Ontario. If an Ontario court cannot order the “good” of a child’s return to alleviate the harm of his or her wrongful removal, then Ontario risks becoming a haven for child abductors, hardly a constitutionally worthy goal. [137] Relatedly, CLRA s. 40(3) seeks to preserve the status quo regarding the respective custody rights of the child’s parents and provides a mechanism to return a child to the place most appropriate for the determination of the parental custody issues, a “good” which is also in the child’s best interests. [138] Further, the making of a return order under s. 40(3) is the culmination of a judicial inquiry into the interests of a child who has been wrongfully removed to and retained in Ontario. As a practical matter, the provisions of s. 40, including s. 40(3), must be read and understood in the context of the larger statutory scheme that includes CLRA ss. 22 and 23. That is because typically non- Hague Convention proceedings for the return of a child to another country involve competing legal claims by the parents, with one seeking the return of the child and the other usually seeking a custody order: see, for example, Ojeikere ; M.A.A. [1] Such competing claims bring into play the issue of whether the Ontario court has the jurisdiction to make a parenting order under CLRA ss. 22(1) or 23. While, broadly speaking, the factors enumerated in CLRA s. 22(1) direct an inquiry into the degree of connection of the child with Ontario, including whether proceedings are pending before a tribunal in another place, those in s. 23 direct an inquiry into the degree of harm a child would suffer if removed from Ontario. [139] While neither s. 22(1)(a) nor s. 22(1)(b) is itself a best interests test, as observed by this court in Ojeikere , at para. 16: [T]he policy behind discouraging child abduction and requiring a summary return to habitual residence does reflect the Legislature’s overriding concern with a child’s best interests. Child abductions ordinarily harm children, undermine the important goal of maximizing contact between a child and both parents, and often promote a parent’s interests over that of the child. [140] Section 23 also reflects the Legislature’s overriding concern with the children’s best interests: Ojeikere , at para. 17. Under s. 23, an Ontario court must assess the possibility or risk of future harm if the child is removed from Ontario, both in respect of its likelihood and severity: Ojeikere , at para. 62. [2] It is evident from the case law that the holistic assessment of serious harm under CLRA s. 23 enables a court to consider the many factors relevant to a child’s best interests. [141] Accordingly, an assessment of the effects of CLRA s. 40(3) in the context of Part III of the CLRA legislation as a whole confirms that the provision’s focus is on the welfare of a child and providing a practical mechanism to protect a child against the harmful effects of an international abduction by one parent. CLRA s. 40(3) forms a necessary part of a provincial statutory scheme that seeks to protect a child from the harmful effects of their wrongful removal or retention. [142] I therefore conclude that the true subject matter of CLRA s. 40(3) is to enforce custody rights (decision-making responsibility/parenting time) and prevent harm to a child. The provision achieves these “matters” by authorizing an Ontario court to return a child who has been wrongfully removed to Ontario or wrongfully retained in Ontario to “such place as the court considers appropriate” which, in turn, will enable the custody of the child to be determined by the state that has the closer connection to the child. The decision in McKee v. McKee [143] The decision in McKee , on which the mother so strongly relies in support of her federalism challenge to CLRA s. 40(3), does not alter that conclusion. As I read McKee , the case does not support the mother’s argument for exclusive federal jurisdiction over the return of wrongfully removed or retained children; on the contrary, it supports the father’s division of powers submission. [144] McKee involved a mother and father who were both citizens of the United States and domiciled there. Shortly before their separation, their son was born. Both parties then participated in custody and divorce proceedings in California. Following a trial in 1942, the California court awarded the father custody of the child, with the son to spend three months each summer with his mother. In 1945, the father applied to modify the mother’s access; the mother cross-claimed. After a further trial, custody was awarded to the mother. The father brought review proceedings, which ultimately were dismissed in the mother’s favour. Before they were, the father took the child from his residence in Michigan across the border into Ontario. The father stated he intended to make Ontario their new place of residence. [145] The mother obtained a writ of habeas corpus from an Ontario court. On the return of the writ, a judge directed a trial of the custody issue. The trial judge took into account the more recent California orders giving custody to the mother but concluded that it was in the best interests of the child to give the father custody. This court dismissed the mother’s appeal. A majority of the Supreme Court of Canada reversed the trial judge. On further appeal, the Judicial Committee of the Privy Council (“JCPC”) set aside the decision of the Supreme Court of Canada and restored the trial judgment. [146] The majority of the Supreme Court of Canada took issue with the judge on the return of the habeas corpus writ directing a trial of the custody issue. The circumstances that most heavily influenced the majority were: the parents were U.S. citizens; they lived in the U.S.; the custody litigation took place in the California courts; both had entered into an agreement not to take the child outside of the U.S. without the consent of the other; yet the father took the child to Ontario “in the final moments of a protracted litigation in his own country for the purpose of avoiding obedience to the judgment of its Courts, and in deliberate disregard of his own agreement”: McKee (SCC) , at p. 709. The majority concluded that, on the return of the writ, the judge “should have directed that the child be delivered into the custody of the [mother] on her undertaking to return with him to her home in the United States”: McKee (SCC) , at p. 710. The majority made an order to that effect, which included a provision that the mother have custody of the child. [147] In our case, the mother relies heavily on the dissenting reasons authored by Kellock J. The minority saw no error in the procedure adopted by the judge on the return of the habeas corpus writ: given the child’s presence in Ontario, the court had to consider the child’s best interests. The minority stated, at p. 720, that no jurisdiction existed for the majority to make the order that it did, which would return the child to the United States without an inquiry into his best interests: That which is involved in the present case is a matter of custody. The appellant, under the guise of custody proceedings, asks for an order for which there is no authority outside the Extradition Act or the deportation provisions of the Immigration Act . Even if it could be said that such authority resides in the executive, it has not been committed to the courts , Attorney-General for Canada v. Cain . In my respectful opinion, there is no jurisdiction in the courts of Ontario or in this court to make such an order as the [mother] seeks or to do otherwise than to apply to the circumstances of this case, the ordinary law of Ontario as to custody , giving due weight, of course, to the California decree. [Emphasis added.] [148] At the time of the McKee case, The Infants Act , R.S.O. 1937, c. 215, did not contain any provision analogous to CLRA s. 40. As I read the dissent of Kellock J., the minority was simply observing that, at that time, no authority had been given to the courts to make the return order sought by the mother. [149] The JCPC reversed the decision of the Supreme Court and restored the trial judge’s award of custody to the father. As there was no dispute that the trial judge had jurisdiction to entertain the question of custody that had been referred to him, he did not need to “blindly follow an order made by a foreign [c]ourt” but, as part of his best interests analysis, could give “proper weight to the foreign judgment”: McKee (JCPC) , at pp. 664-65. Consequently, the trial judge did not commit any error. [150] The JCPC allowed that, in some circumstances, an Ontario court might not need to look beyond the foreign judgment to conduct its own custody analysis, stating, at pp. 664-65: It is possible that a case might arise in which it appeared to a Court, before which the question of custody of an infant came, that it was in the best interests of that infant that it should not look beyond the circumstances in which its jurisdiction was invoked and for that reason give effect to the foreign judgment without further enquiry. … Once it is conceded that the Court of Ontario had jurisdiction to entertain the question of custody and that it need not blindly follow an order made by a foreign Court, the consequence cannot be escaped that it must form an independent judgment upon the question, though in doing so it will give proper weight to the foreign judgment. What is the proper weight will depend upon the circumstances of each case. It may be that, if the matter comes before the Court of Ontario within a very short time of the foreign judgment and there is no new circumstance to be considered, the weight may be so great that such an order as the Supreme Court made in this case could be justified. But if so, it would be not because the Court of Ontario, having assumed jurisdiction, then abdicated it, but because in the exercise of its jurisdiction it determined what was for the benefit of the infant . [Emphasis added.] [151] Taking a step back, McKee does not stand for the proposition asserted by the mother that an Ontario court lacks the jurisdiction to make an order requiring a child to be returned to another country because the subject matter of such an order falls within exclusive federal jurisdiction under the Constitution Act , 1867 . On the contrary, the decision of the JCPC recognized that an Ontario court could make such an order provided it applied the law of Ontario as it then stood – namely, conducting a best interests of the child analysis while deciding which parent should have custody of the child. E. THE CLASSIFICATION OF THE MATTER [152] The second stage of a division of powers review requires classifying the subject matter with reference to federal and provincial heads of power under the Constitution in order to determine whether it is intra vires of Ontario and therefore valid: Greenhouse Gas References , at paras. 47, 56. [153] Under Canadian jurisprudence, the constitutional authority to legislate with respect to child custody and welfare (save for corollary relief orders under the Divorce Act , R.S.C. 1985, c. 3 (2nd Supp.)) is firmly anchored in the provinces, particularly the provincial legislative power under s. 92(13) of the Constitution Act , 1867 regarding “property and civil rights in the province”: Hogg , at §27.5(a); NIL/TU,O Child and Family Services Society v. B.C. Government and Service Employees’ Union , 2010 SCC 45, [2010] 2 S.C.R. 696, at para. 45; R. v. S. (S.) , at p. 279. [154] As the subject matter of a CLRA s. 40(3) removal order involves the enforcement of custody rights, protecting a child from the harm of a wrongful removal, and ensuring that the custody of a child is determined by the most appropriate state, it falls within the established provincial power to legislate with respect to child custody and welfare as a matter of “property and civil rights in the province”. Accordingly, CLRA s. 40(3) is intra vires of the Legislature of Ontario. F. CONCLUSION [155] Although the trial judge, at para. 455, purported to follow Kovacs in finding CLRA s. 40(3) intra vires of Ontario, in fact the comments made in Kovacs about the vires of s. 40 were obiter as the issues raised in that case did not directly engage CLRA s. 40. Nevertheless, the trial judge went on to hold, at paras. 456 and 463, that CLRA s. 40(3) “is all about the return of children to a place (in this case, Dubai) that they are most closely connected to, for a determination of custody issues in that place, provided no serious harm will result” and that the section falls within Ontario’s lawful authority to legislate matters of child welfare and family law. [156] For the reasons given, I see no error in that conclusion. CLRA s. 40(3) is intra vires the legislative power of Ontario. Accordingly, I would give no effect to this ground of appeal by the mother. III. THE CHARTER CLAIMS A. OVERVIEW [157] In her Fresh as Amended Answer, the mother seeks an order that CLRA s. 40(3) breaches the following constitutional rights of herself and the two children: Charter ss. 2(a); 7; and 15. As well, the mother advances a s. 6(1) claim with regard to the children only and seeks an order, if necessary, to bring Charter claims on their behalf. Common to all these Charter breach allegations is the argument that any return order made under CLRA s. 40(3) “ without a full best-interests determination in the ordinary course ” (emphasis in original), is constitutionally infirm and therefore has the effect of breaching the enumerated Charter rights. [158] At trial, the father argued that the mother had failed to establish a sufficient factual foundation for her Charter claims; the trial judge rejected that submission. However, in the result, the trial judge dismissed the Charter claims advanced by the mother. I will describe his reasons for so doing when dealing with each Charter breach allegation. [159] An assessment of the mother’s Charter claims requires understanding the order made by the trial judge exercising the power granted by CLRA s. 40(3). The trial judge made the following orders: (i) The mother has wrongfully retained the children in Ontario; (ii) The children shall forthwith be returned to Dubai; (iii) If the mother does not return to Dubai, the children shall forthwith be in the father’s “care and control for the limited purpose of the children being able to travel with him to Dubai”; (iv) The consent of the mother for the father to travel with the children for such purposes is dispensed with; (v) The mother shall deliver to the father the children’s travel documentation and medical records; and (vi) The mother is prohibited from removing the children from Ontario except for the purpose of returning them to Dubai. [160] Before dealing with each Charter claim, I wish to make a few preliminary observations. [161] First, the parties did not provide extensive argument in respect of the mother’s Charter claims. Both devoted just over the last two pages of their factums to the Charter claims; more extensive written submissions were made by the intervenors, the AGO and the Office of the Children’s Lawyer (“OCL”). Given that this appears to be the first Charter -based challenge to CLRA s. 40(3), the brevity of the parties’ submissions is most unfortunate. [162] Second, some of the mother’s Charter claims lack precision; some shifted their focus as the argument unfolded before the trial judge; and some shifted their content from the notice of appeal to the mother’s factum. In order to gain a fulsome understanding of the nature of the mother’s Charter claims, I have considered several of her documents: (i) the Fresh as Amended Answer; (ii) Factum of the Respondent re: Constitutional Claim filed before the trial judge; (iii) the Notice of Appeal; and (iv) her Factum on this appeal. [163] Finally, on this appeal the father takes the position that if CLRA s. 40(3) falls within the legislative competence of Ontario, then judicial orders made under that provision are not subject to Charter scrutiny. I disagree. I would observe that just because a statutory provision falls within the legislative competence of Ontario under a division of powers analysis does not mean it is immunized from further review regarding its compliance with the Charter . Further, I understand the mother to be arguing that CLRA s. 40(3) authorizes conduct that produces an unconstitutional effect. In other words, the statutory provision, by authorizing a court to make an order to return a child to such place as the court considers appropriate, legislatively sanctions conduct that has the effect of violating the Charter rights of the mother and two children given the factual circumstances in which the mother and children find themselves [3] . My analysis will proceed on that basis. B. Charter S. 7 Claim The proceeding below [164] Section 7 of the Charter states: “Everyone has the right to life, liberty and security of the person and the right not to be deprived thereof except in accordance with the principles of fundamental justice.” [165] The trial judge concluded that a return order made under the authority of CLRA s. 40(3) would not result in an infringement of the s. 7 Charter rights of the mother and children for several reasons: (i) A return order is not a custody order and therefore it does not result in the loss of any legal rights by the mother; (ii) Any breaking of the bond between the mother and her children, and the resulting psychological effect, would result from her decision to choose not to return to Dubai; (iii) Although CLRA s. 40(3) does not expressly require a consideration of the “best interests of the child”, no constitutionally infirm deprivation would result as the “best interests of the child” is not a principle of fundamental justice; (iv) In any event, the evidence established that in determining the custody of the children, the best interests of the children would be the paramount consideration of a court in Dubai; and (v) CLRA s. 40(3) did not result in a process that lacked procedural fairness as a full-blown trial was held to determine the application for a return order. Issues on appeal [166] As I understand the s. 7 Charter claims advanced by the mother on behalf of herself and the two children, the following issues are raised on this appeal: (i) Did the trial judge err in concluding that an order made under CLRA s. 40(3) did not engage the rights of the mother and children to security of the person under s. 7 of the Charter ? (ii) Did the trial judge err in concluding that the absence of an express requirement in CLRA s. 40(3) that a court conduct a “full blown best interests of the child analysis” in making a removal order did not infringe s. 7 of the Charter ? (iii) Does a CLRA s. 40(3) removal order’s effect of requiring the mother to litigate custody issues in the UAE (Dubai) deny her a constitutionally protected right to access to justice in Ontario? [167] It is understandable that the mother is not pursuing the additional s. 7 claim described in her Fresh as Amended Answer that CLRA s. 40(3) infringed s. 7 by not prescribing a hearing process akin to an “ordinary course” custody hearing. An 11-day hearing was held to adjudicate the parties’ respective claims, with each party able to adduce evidence, test evidence by way of cross-examination, and make full legal submissions. The mother received a hearing that fully accorded with the procedural principles of fundamental justice. Analysis First Issue: Did the trial judge err in concluding that an order made under CLRA s. 40(3) did not engage the rights of the mother and children to security of the person under Charter s. 7? [168] In her factum below, the mother described herself as the children’s “psychological parent”. She explained the intrusion on her security of the person that would result from the operation of CLRA s. 40(3): Under CLRA s. 40 the state (the court) is determining whether to remove custody of the child from the mother. In this case, that state-imposed change of custody carries the substantial risk of permanently breaking the bond between the psychological parent and children. [Emphasis added.] [169] The trial judge did not accept this submission. Relying on Balev , he properly held that a return order made under CLRA s. 40(3) is not a custody order. He concluded that if the mother chose not to return to Dubai, then any breaking of the bond between the children and her would not be caused by the operation of CLRA s. 40 but by her own choice. [170] On appeal, the mother repeats her argument that an order removing a child from their primary caregiver breaches s. 7. [171] State action that has “a serious and profound effect on a person’s psychological integrity”, assessed objectively, may amount to an interference with the person’s security of the person for purposes of s. 7 of the Charter : New Brunswick (Minister of Health and Community Services) v. G. (J.) , [1999] 3 S.C.R. 46, at para. 60. As Hamish Stewart observes in Fundamental Justice: Section 7 of the Canadian Charter of Rights and Freedoms , 2nd ed. (Toronto: Irwin Law, 2019), at p. 103, the G. (J.) case set a threshold for finding interference with psychological integrity that is both objective and high. [172] The case of G. (J.) involved, in part, the extension of an order that had granted custody of the appellant’s children to a provincial child welfare agency. The majority of the Supreme Court held that “state removal of a child from parental custody pursuant to the state’s parens patriae jurisdiction constitutes a serious interference with the psychological integrity of the parent” because it stigmatizes a parent as “unfit” when relieved of custody, thereby interfering with the psychological integrity of the parent qua parent: at paras. 61, 64. [173] In A.M.R.I. v. K.E.R. , 2011 ONCA 417, 106 O.R. (3d) 1, at para. 98, this court recognized that a refugee child’s s. 7 Charter rights are engaged where the child’s involuntary removal is sought under the Hague Convention “to a country where the child has already been found to face a risk of persecution”: see also, J.P.B. v. C.B. , 2016 ONCA 996, 2 R.F.L. (8th) 48, at para. 25. [174] In the present case, the children are quite young (both under five years old). They are not refugees. The trial judge found that the mother had always been their primary caregiver and there was some circumstantial evidence that the children could be at risk of emotional and psychological harm if they are returned to Dubai without their mother. That said, the mother predicated this part of her s. 7 argument on the proposition that a CLRA s. 40(3) return order would amount to a change of her custodial rights, which is incorrect. The purpose of a return order is to restore the status quo in respect of custodial rights of the parents and requires them to litigate the issue of custody in a forum more appropriate than Ontario. [175] As well, I think the trial judge was correct in concluding that any psychological harm that might arise on the part of the mother or the children would result from the mother’s refusal to return to Dubai with the children, not from any state conduct flowing from CLRA s. 40(3). The mother was quite clear in her evidence that she would not return to Dubai, testifying: [F]irst of all and before anything else, the -- the reason for the separation was because [the children] deserve a happy mom and deserve a mom, a parent who is happy, and so I don’t see the possibility of that happening if I am -- if I am to go back. [176] In Ojeikere , this court expressed concern about permitting an abducting parent to create a risk of psychological harm by refusing to return to the place from which the children were removed, stating, at para. 91, in the context of its CLRA s. 23 serious harm analysis: Mr. Ojeikere argues that by professing to stay in Ontario and separating herself from the children, Mrs. Ojeikere is manipulating them and, by her stance alone, trying to establish serious harm. I have some sympathy for his argument. Ordinarily, a parent in Mrs. Ojeikere’s position ought not to be able to create serious harm and then rely on it through her own refusal to return to the country of the children’s habitual residence – at least without a substantial reason for doing so, such as the risk of imprisonment or persecution, risk to health or physical safety, or the risk of a significant obstacle to employment . [Emphasis added.] [177] Nonetheless, I will proceed to consider the mother’s s. 7 arguments assuming that the exercise of the authority granted by CLRA s. 40(3) engaged the security of the person of both herself and the two children. Second Issue: Did the trial judge err in concluding that the absence of an express requirement in CLRA s. 40(3) that a court conduct a “full blown best interests of the child analysis” in making a removal order did not infringe s. 7 of the Charter ? [178] It is true that CLRA s. 40(3) does not contain an express reference to “best interests of the child”. It is also true that the purpose articulated in CLRA s. 19(a) of ensuring “that applications to the courts respecting decision-making responsibility, parenting time, contact and guardianship with respect to children will be determined on the basis of the best interests of the children” does not formally include return orders under CLRA ss. 40(3) or 46 where no order is made with respect to decision-making responsibility or parenting time. [179] Nevertheless, since Baker v. Canada (Minister of Citizenship and Immigration) , [1999] 2 S.C.R. 817, it has been well-established that serious consideration must be given “to the best interests of children when exercising discretionary powers that may affect them”: M.M. v. United States of America , 2015 SCC 62, [2015] 3 S.C.R. 973, at para. 146. In such cases, a decision-maker must consider a child’s best interests as an important factor and give them substantial weight: Baker , at para. 75. [180] However, as the Supreme Court observed in M.M. , the best interests of the child will not always outweigh other considerations, stating in part, at para. 145: [T]he best interests of children on surrender for extradition must be considered in light of other important legal principles and the facts of the individual case: Fischbacher , at paras. 37-38. As the Court said in Canadian Foundation for Children, Youth and the Law v. Canada (Attorney General) , 2004 SCC 4, [2004] 1 S.C.R. 76, “the legal principle of the ‘best interests of the child’ may be subordinated to other concerns in appropriate contexts”; its application “is inevitably highly contextual”; and “[s]ociety does not always deem it essential that the ‘best interests of the child’ trump all other concerns in the administration of justice”: paras. 10-11. See also: A.M.R.I. , at para. 82. [181] How do those principles apply to the order-making power created by CLRA s. 40(3)? In my view, since the orders authorized by that statutory provision obviously will affect children, a court must include, as part of its exercise of discretion under that section, a consideration of the best interests of the child. [182] The mother contends that any consideration of the best interests of the child under CLRA s. 40(3) must be performed in the same way as when determining custody (decision-making responsibility/parenting time) under CLRA s. 24, namely that, “the court shall only take into account the best interests of the child” (emphasis added). [183] I disagree. That is not the law in respect of applications under the Hague Convention , where the consideration of the interests of the children is not done in the manner the court would do at a custody hearing because a return order does not determine custody: Thomson , at p. 578; Ludwig v. Ludwig , 2019 ONCA 680, 437 D.L.R. (4th) 517, at para. 64. [184] So, too, in the case of a CLRA s. 40(3) return order. Both the scope of a best interests inquiry and the role played by a best interests inquiry under s. 40(3) differ from that when determining custody under s. 24. That is because the scope and role of the inquiry must be commensurate with the purposes of the s. 40(3) analysis, which differ from those under s. 24. [185] The scope of the analysis under CLRA s. 40(3) does not decide the ultimate issue of custody of the children but the narrower, preliminary issue of the jurisdiction in which custody should be determined. [186] As well, under s. 24 the best interests of the child is the only factor a court may take into account. However, to fulfill the purposes set out in CLRA s. 19, a court making a return order under CLRA s. 40(3) must consider not only the best interests of the child but also s. 19’s policy objectives – namely, discouraging the abduction of children as an alternative to the determination of decision-making responsibility by due process, as well as refraining from exercising jurisdiction in cases where it is more appropriate for the matter to be determined by another tribunal (one that has jurisdiction and with which the child has a closer connection). A holistic analysis of those three factors is required in order that the statutory discretion granted by s. 40(3) fulfills the purposes of Part III of the CLRA . [187] This differing application of the best interests of the child test under CLRA ss. 40(3) and 24 reflects the “inherent indeterminacy and elasticity” of the test: MacGyver v. Richards (1995), 22 O.R. (3d) 481 (C.A.), at p. 15. As put by Abella J.A. (as she then was), the test “ can be no more than an informed opinion made at a moment in the life of a child about what seems likely to prove to be in that child's best interests ”: MacGyver , at p. 15. At this point of time in the lives of these two children, their immediate legal interests concern where the issue of their custody should be determined, not who should have custody. The best interests test must be applied in that context. [188] Moreover, the statutory scheme of which CLRA s. 40(3) forms a part offers a procedurally fair mechanism, which accords with principles of fundamental justice, by which a court can consider any risk of harm to the children, including the impact of a separation from a parent and/or primary caregiver. [189] Reading the reasons of the trial judge as a whole, I am satisfied he performed the multi-factored analysis required by CLRA s. 40(3). He made specific findings of fact regarding the interests of the children: about the relationship between the children and both parents and the potential impact of a return order on the children; the adequacy of evidence of the best interests of the children available in Ontario; the potential risk of harm to the children if returned to Dubai; that the settlement proposed by the father, if accepted by the mother, would be incorporated in a Dubai judgment; [4] and that the best interests of the children would be the paramount consideration in determining custody in a court in Dubai: at paras. 291, 294, 347, and 366. [190] The trial judge also correctly recognized that a return order under CLRA s. 40(3) is not the same as a custody order. Finally, the trial judge specifically found, at several places in his reasons, that the return of the children to Dubai was in their best interests: at paras. 387, 390, and 460-61. [191] Consequently, I would not give effect to this ground of appeal by the mother. Third Issue: Does the removal order’s effect of requiring the mother to litigate issues concerning the children’s custody in the UAE deny her a constitutionally protected right to access to justice? [192] In her appeal factum, the mother submits that “being forced through the UAE legal system amounts to a denial of her constitutionally protected right to access to justice.” She elaborated on this argument in her factum before the trial judge, stating in part, at paras. 88 and 90: The [mother’s] access to justice in Dubai is impaired. Neither the Mother, or children, will receive constitutionally-minimum legal treatment in Dubai. The Charter requires that the foreign legal system afford constitutionally-minimum legal treatment, assessed from a purely Canadian standard, or the Canadian ‘jurisdiction’ decision will ipso facto, reject handing a matter over to that foreign legal system. The effect of the return Order is a change of primary residence and a separation of the child from the primary parent, ordered in the absence of a full best-interests determination in the ordinary course . Such effects are an unconstitutional infringement of the independent constitutional right of primary parent and each applicant child under s.2 and s.7. [Emphasis in original.] [193] In support of this submission, the mother relies on the concurring reasons of Brown J. in Uber Technologies Inc. v. Heller , 2020 SCC 16, 447 D.L.R. (4th) 179, a case dealing with the enforceability of an arbitration clause in a contract of adhesion that would require an Ontario Uber driver to resolve any dispute with Uber through mediation and arbitration in the Netherlands. [194] The majority of the court concluded that the arbitration agreement made it impossible for the driver to arbitrate, thereby constituting a classic case of unconscionability that invalidated an arbitration agreement: at para. 4. [195] While agreeing that the arbitration agreement was invalid, Brown J. was not prepared to rely on the doctrine of unconscionability to reach that result. Instead, he anchored his analysis on the principle that precludes the ouster of court jurisdiction, either directly or through a clause that has the ultimate effect of blocking access to a legally determined resolution: at paras. 110, 113. It was in that context that Brown J. made the following statements, at para. 120, upon which the mother relies: [A]ccess to justice is constitutionally protected through s. 96 of the Constitution Act , 1867 , which limits the legislature’s ability to place restrictions on dispute resolution ( Trial Lawyers Association of British Columbia v. British Columbia (Attorney General ) , 2014 SCC 59, [2014] 3 S.C.R. 31, at para. 43). As this Court stated in Trial Lawyers , at para. 32: The historic task of the superior courts is to resolve disputes between individuals and decide questions of private and public law. Measures that prevent people from coming to the courts to have those issues resolved are at odds with this basic judicial function. The resolution of these disputes and resulting determination of issues of private and public law, viewed in the institutional context of the Canadian justice system, are central to what the superior courts do. Indeed, it is their very book of business. To prevent this business being done strikes at the core of the jurisdiction of the superior courts protected by s. 96 of the Constitution Act, 1867 . [Emphasis added in Uber .] [196] I do not see how this passage from Uber assists the mother’s s. 7 argument. First, s. 7 of the Charter was not in issue in the Uber case; the Supreme Court made no comment on the section. Second, CLRA s. 40(3) has not denied the mother access to a s. 96 court: the mother asserted claims and defences in her Fresh as Amended Answer, and her evidence and submissions were considered by a s. 96 judge. Third, the claims and counterclaims raised by the father and mother in this proceeding constitute the type of issue frequently considered by a s. 96 court: namely, which jurisdiction is the most appropriate in which to decide the merits of the case? [197] Quite apart from the mother’s misplaced reliance on the Uber decision, I see no merit in her other submissions. The return order does not change the children’s primary residence. On the contrary, it seeks to restore the status quo of the children’s residence before the mother engaged in her wrongful conduct. [198] Finally, the mother does not point to authority to support her submission that “[t]he Charter requires that the foreign legal system afford constitutionally-minimum legal treatment, assessed from a purely Canadian standard”. Many foreign countries do not share the same family law as Ontario. That does not preclude a court from considering a request under CLRA s. 40(3) to return a child to such a country. Of course, when considering such a request, Part III of the CLRA requires a court to examine the effects of returning a child to such a country. That is precisely the analysis the trial judge conducted. Significantly, he found, at para. 366(vi), that: [T]here is a total absence of any reliable evidence at trial that the court system in Dubai will do anything other than (a) determine custody in accordance with the best interests of Z. and E., if contested, and (b) award custody to F., if contested, and (c) approve the settlement proposal tendered by N., if agreed to by the mother. [Emphasis in original.] [199] Consequently, I give no effect to this part of the mother’s s. 7 claim. Conclusion on s. 7 claims [200] The trial judge dismissed the s. 7 claims by the mother and on behalf of the children. For the reasons set out above, I see no error in that result. C. CHARTER S. 2(a) CLAIM Analysis [201] Section 2(a) of the Charter provides that everyone has the fundamental “freedom of conscience and religion”. The standard claim that state conduct has infringed a person’s s. 2(a) freedom requires a claimant to demonstrate that (i) she has a sincere belief or practice that has a nexus with religion and (ii) that the impugned state conduct interferes, in a manner that is more than trivial or insubstantial, with his or her ability to act in accordance with that practice or belief: Trinity Western University v. Law Society of Upper Canada , 2018 SCC 33, [2018] 2 S.C.R. 453, at para. 32. [202] The mother has not asserted a standard s. 2(a) claim, which is not surprising given the facts of this case. In respect of her own s. 2(a) right, the mother has made it clear that she does not intend to return to Dubai, so any CLRA s. 40(3) return order would not limit her ability to practise her faith in Canada. As to the children, the evidence is uncontroverted that upon their return to Dubai, they will continue to be raised in their parent’s Shia faith, so the return order works no limit on their instruction in that faith. [203] The mother fashions a s. 2(a) claim predicated on her return to Dubai which, as mentioned, is completely at odds with her evidence that she will not return to Dubai. In any event, the mother recasts her s. 7 claim as a s. 2(a) claim to argue that a return order breaches her right as the children’s primary caregiver “to raise the children according to her decision-making, a right that would be unambiguously denied to her under UAE law” (emphasis in original). The factual findings made by the trial judge undermine the claim so framed. I repeat the findings made by the trial judge, at para. 366(vi) of his reasons: [T]here is a total absence of any reliable evidence at trial that the court system in Dubai will do anything other than (a) determine custody in accordance with the best interests of Z. and E., if contested, and (b) award custody to F., if contested, and (c) approve the settlement proposal tendered by N., if agreed to by the mother. [Emphasis in original.] [204] In addition, the trial judge made the following findings, at paras. 368-69: Further, even if I did believe [the mother’s] evidence about not returning to Dubai, I do not accept her evidence about how allegedly miserable her life in Dubai was . I do believe that she was unhappy in her marriage, but that marriage will be over now.  She deserves to be happy and fulfilled and respected, and that will not happen with N. Otherwise, however, regarding her evidence about religious discrimination and social isolation and so on, I reject it . [Emphasis added.] [205] The mother has not demonstrated that those findings of fact were tainted by palpable and overriding error. Accordingly, I see no error in the trial judge’s dismissal of the s. 2(a) claims advanced by the mother. D. CHARTER S. 15(1) CLAIM The proceeding below [206] Section 15(1) of the Charter states: “Every individual is equal before and under the law and has the right to the equal protection and equal benefit of the law without discrimination and, in particular, without discrimination based on race, national or ethnic origin, colour, religion, sex, age or mental or physical disability.” At trial, the mother framed her s. 15(1) claim in two different ways. [207] First, in her Fresh as Amended Answer, she argued that CLRA s. 40(3) authorized state action that removed the custody of a child from a psychological parent without affording a best interests of the child hearing in the ordinary course. As I understand this argument, the mother contrasts (a) the treatment of a parent who is found to have wrongfully removed a child from another jurisdiction to Ontario with (b) the treatment of two Ontario resident parents who are disputing custody of a child. In the latter case, the determination of custody is subject only to a best interests of the child analysis, whereas in her case it is not. [208] Second, the mother reframed the argument in a slightly different fashion in her factum below: The offensive state conduct is the act of forcibly ‘returning’ a Canadian citizen from Ontario to Dubai, pursuant to a CLRA s. 40 change of custody from Mother to Father, where that change of custody is done without a best interests custody analysis . Every other child in Canada, who is not part of this discrete and insular minority (of children coming from non-democratic sharia law countries), is unharmed, both legally and in fact, by the application of the CLRA s.40 ‘wrongfully retained’ test to change their custody and remove them from Ontario. This is because, every other child, when being removed from Ontario, pursuant to CLRA s.40, goes to a geographic location where best interests will then be applied to determine their fate. This does not happen in Dubai or any other non-democratic sharia law country. This is disproportionate impact. This adverse impact of a facially neutral law, infringes the applicants’ right to all the equalities under s 15 of the Charter. [Emphasis added.] [209] This reframed argument contends that a disparate impact arises from both the operation of Ontario law – i.e., the failure to consider the best interests of the children in a CLRA s. 40(3) analysis – and from the law of the country to which the children are returned. [210] During final argument at trial, the mother attempted to further recast her s. 15(1) claim. Her counsel argued that CLRA s. 40 impacts the mother as a woman differently than a man who comes under the same provision and has disproportionate impacts with respect to a woman than with respect to a man. The father objected to the mother raising a new claim at the end of trial based on the enumerated ground of sex; the trial judge upheld that objection. [211] The trial judge dismissed the mother’s s. 15(1) claim largely on the basis that the argument required accepting a person’s place of residence as an analogous ground, which the case law to date has not recognized. The trial judge concluded that the mother had not established that a CLRA s. 40(3) return order discriminated on any enumerated or analogous ground. The issues on appeal [212] On appeal, the mother submits that CLRA s. 40(3) has a discriminatory impact on her and the children. She identifies three discriminatory impacts: (i) As a primary caregiver, she would suffer more of a severe discriminatory legal burden where a child is ordered returned to Dubai than if ordered returned to another province, the United States or England. This differential burden is a disproportionate effect; (ii) The two children would suffer dramatically more severe impact leaving Ontario to return to Dubai than identically placed children returned to Alberta, Scotland, or the United States; and (iii) Where the child’s primary caregiver is the mother, a return to Dubai by female results in the loss of badges of custody to the father under UAE law, which a father would not face “if he had to make the decision to follow the infants back to Dubai”, causing a disproportionate impact. [213] In response, the father submits that the mother’s distinction between children who are habitually resident in Dubai and those resident in another province, the United States, or England, relies on a distinction based upon residence, a ground that courts repeatedly have rejected. The mother’s other argument advances discriminatory impact based on sex, which the trial judge did not permit her to argue. In any event, no evidence or data were advanced at trial to demonstrate that CLRA s. 40(3) disproportionately affects women. Fathers as well as mothers abduct or wrongfully retain children, and s. 40(3) provides an important discretionary tool to protect mothers in such situations. [214] The AGO also contends that the mother’s claim that the legislation discriminates on the basis of residence fails at the first step of the s. 15 analysis. Analysis [215] To prove a prima facie violation of s. 15(1), a claimant must demonstrate that the impugned law or state action (i) on its face or in its impact, creates a distinction based on enumerated or analogous grounds and (ii) imposes burdens or denies a benefit in a manner that has the effect of reinforcing, perpetuating, or exacerbating disadvantage: Fraser v. Canada (Attorney General) , 2020 SCC 28, 450 D.L.R. (4th) 1, at para. 27. In the second step of the analysis, “[t]he goal is to examine the impact of the harm caused to the affected group”, which “may include ‘[e]conomic exclusion or disadvantage, [s]ocial exclusion…[p]sychological harms…[p]hysical harms…[or] [p]olitical exclusion’, and must be viewed in light of any systemic or historical disadvantages faced by the claimant group”: Fraser , at para. 76 (citation omitted). [216] As to the first step of the s. 15(1) analysis in the present case, CLRA s. 40(3) is facially neutral. It provides that where a court is satisfied that a child has been wrongfully removed to or is being wrongfully retained in Ontario, the court may order “a party to return the child to such place as the court considers appropriate”. Under the provision, the person who wrongfully removes a child may be the mother, father, or some other person. The provision does not distinguish amongst wrongdoers based on any of the grounds enumerated in s. 15(1) or recognized, to date, as analogous. Nor does the provision distinguish amongst those places to which the judicial return of a child might be “appropriate”. [217] Given the facial neutrality of CLRA s. 40(3), the mother casts her s. 15(1) claim as one based on the impact of the provision. “Adverse impact discrimination occurs when a seemingly neutral law has a disproportionate impact on members of groups protected on the basis of an enumerated or analogous ground”; “[i]nstead of explicitly singling out those who are in the protected groups for differential treatment, the law indirectly places them at a disadvantage”: Fraser , at para. 30. “[I]n order for a law to create a distinction based on prohibited grounds through its effects, it must have a disproportionate impact on members of a protected group”; “a court must explore whether it does so indirectly through its impact on members of that group”: Fraser , at paras. 52-53. [218] The threshold issue regarding the mother’s s. 15(1) claims then becomes: what is the group protected on the basis of an enumerated or analogous ground in which she claims membership and who are subject to a disproportionate impact under a law? The “law”, of course, must be a law enacted by a Canadian state entity identified in s. 32 of the Constitution Act , 1982 : Hogg, at §55.5(b). In this case, the law is CLRA s. 40(3). [219] I accept the submissions by the father and the AGO that the two s. 15(1) claims described in para. 212(i) and (ii) above advanced by the mother on behalf of herself and the two children are predicated on using a place of residence as an analogous ground. The claims compare the treatment of (a) the mother as a parent who removed her children from Dubai with that received by (b) parents who remove children from another country, and compare the treatment of (c) children to be returned to Dubai with that of (d) children to be returned to another country. Both claims use place of residence as the marker by which to locate the mother and the children in a “protected group” for purposes of a s. 15(1) analysis. [220] With one exception, Canadian courts have consistently held that residence is not a ground of discrimination analogous to those enumerated in s. 15(1) of the Charter : see the cases cited in Canadian Snowbirds Association Inc. v. Attorney General of Ontario , 2020 ONSC 5652, 152 O.R. (3d) 738, at para. 73. The one exception is “Aboriginality-residence” as it pertains to whether an Aboriginal band member lives on or off a reserve. Such residence has been recognized as an analogous ground as it relates to “a personal characteristic essential to a band member’s personal identity, which is no less constructively immutable than religion or citizenship”: Corbiere v. Canada (Minister of Indian and Northern Affairs) , [1999] 2 S.C.R. 203, at para. 14. [221] Given that jurisprudence, I see no error in the trial judge’s conclusion that the return order did not discriminate based on any enumerated or analogous ground. [222] As to the mother’s third claim, described in para. 212(iii) above, it closely resembles the sex-based s. 15(1) claim that the mother tried, unsuccessfully, to raise at the end of trial. While not strictly speaking a new constitutional issue raised for the first time on appeal, I accept the submission of the father and the AGO that the mother has failed to lead any evidence to show a disproportionate impact on women in the operation of CLRA s. 40(3). Moreover, the mother and father did lead evidence specific to their case about Dubai law and, as mentioned, the trial judge found, at para. 366(vi) that: [T]here is a total absence of any reliable evidence at trial that the court system in Dubai will do anything other than (a) determine custody in accordance with the best interests of Z. and E., if contested, and (b) award custody to F., if contested, and (c) approve the settlement proposal tendered by N., if agreed to by the mother. [Emphasis in original.] [223] The mother has not demonstrated that that finding is tainted by palpable and overriding error. [224] For these reasons, I conclude that the trial judge did not err in dismissing the s. 15(1) claims advanced by the mother. E. CHARTER S. 6(1) CLAIM The proceeding below [225] Section 6(1) of the Charter states: “Every citizen of Canada has the right to enter, remain in and leave Canada.” [226] The mother advances s. 6(1) claims on behalf of both children. As articulated in her Fresh as Amended Answer, the claims asserted are that the children, as Canadian citizens, have constitutional rights under s. 6 of the Charter to remain in Canada, and any removal of the citizen-child “from Canada against the citizen’s consent, as expressed through the Mother, or as determined by a best interest analysis in the ordinary course is a breach of s.6.” [227] I would observe that, as articulated in this manner, the mother’s claim proceeds on a false predicate: it assumes, incorrectly, that at law the mother possesses some superior “right” in the children to that of the father. [228] The trial judge dealt briefly with these claims in his reasons, concluding that the return order made under CLRA s. 40(3) did not “banish or exile or deport, and thereby infringe the mobility rights of anyone”. Issues on appeal [229] On appeal, the mother repeats her submission that the interest protected by s. 6 of the Charter is the right of the citizen children “exercisable only in Canada to maintain the child-bond with the psychological mother.” [230] On his part, the father submits that neither CLRA s. 40(3), nor return orders made thereunder, infringe the children’s s. 6(1) Charter rights . That is because, practically speaking, young children reside with their parents or guardians. If their s. 6 rights to remain in or leave Canada were engaged by a court order under CLRA s. 40(3), any outcome would potentially infringe the Charter . [231] The AGO argues that a family law order made on the basis of the best interests of the child, which returns a child to a jurisdiction outside of Canada pending the determination of a custody or access application in the appropriate forum, is removed from the protected “core” of s. 6(1) of the Charter and does not infringe the child’s s. 6(1) rights. This is particularly the case because the CLRA only permits such an order where no serious harm to a child would result. [232] It is the position of the OCL that for a court to order the removal of a child from Canada against their will and in a manner that negatively impacts their connections, including potential separation from the primary caregiver, the court must first consider and give significant weight to the impact on the child’s enjoyment of the right to remain in Canada. Analysis [233] What is the protection afforded by s. 6(1) of the Charter and how does it apply in the context of an order made under the authority of CLRA s. 40(3) directing the return of children to the country from which one parent wrongfully removed them? [234] The starting point of the analysis remains the decision of the Supreme Court of Canada in United States of America v. Cotroni , [1989] 1 S.C.R. 1469, where that court considered whether the surrender of a Canadian citizen to a foreign state constituted an infringement of his right to remain in Canada as found in s. 6(1) of the Charter and, if it did, whether the infringement was justified under s. 1 of the Charter . Although the court held, at p. 1482, that “the central thrust of s. 6(1) is against exile and banishment, the purpose of which is the exclusion of membership in the national community”, the court rejected the contention that s. 6(1) of the Charter would only apply when a Canadian citizen is threatened with exile, banishment, or expulsion. Instead, drawing on the broad phrasing of s. 6(1)’s guarantee of the right to remain in Canada, the court held that “[t]he right to remain in one's country is of such a character that if it is to be interfered with, such interference must be justified as being required to meet a reasonable state purpose”: Cotroni , at p. 1480. The court concluded that extradition prima facie infringes upon the right guaranteed by s. 6(1) of the Charter : at pp. 1479-81; Divito v. Canada (Public Safety and Emergency Preparedness) , 2013 SCC 47, [2013] 3 S.C.R. 157, at paras. 46-47. [235] However, the court went on to hold that the infringement was justified under s. 1 of the Charter : the infringement to s. 6(1) that results from extradition lies at the outer edges of the core values sought to be protected by the provision; the impact of extradition on the rights of the citizen is of secondary importance as an accused may return to Canada following his trial (if acquitted) or completion of sentence; the objective of extradition relates to concerns that are pressing and substantial, specifically the investigation, prosecution and suppression of crime with an international dimension for the protection of the citizen; and the means are proportional as extradition practices have been tailored, as much as possible, for the protection of the liberty of the individual: Cotroni , at pp. 1481-82, 1485, 1490. [236] Three decisions of this court have touched upon the relationship between CLRA s. 40(3) and s. 6(1) of the Charter , but in none was the court asked to consider squarely whether the operation of CLRA s. 40(3) has the effect of infringing a child’s rights under s. 6(1) of the Charter . [237] Parsons v. Styger (1989), 67 O.R. (2d) 1 (H.C.), aff’d (1989), 67 O.R. (2d) 11 (C.A.), was a case under the Hague Convention in which the court granted a father’s application for return of the infant child to California. The child had dual Canadian and American citizenship. In response to an argument made by the mother resisting the return on the basis of the child’s rights as a Canadian citizen, the application judge stated, at p. 10: “As a Canadian citizen does [the child] have the right to remain in Canada in defiance of The Hague Convention ? I think not. No more so than a Canadian citizen could defeat a Canadian [c]ourt extradition order to a [t]reaty co-signatory member.” In a very short endorsement, this court dismissed the mother’s appeal without commenting on the s. 6(1) argument. [238] In J.P.B. v. C.B. , 2016 ONCA 996, 2 R.F.L. (8th) 48, a panel of this court had ordered that two children be returned to Germany in a proceeding under the Hague Convention . The OCL moved for a stay of that order pending an application for leave to appeal the panel decision to the Supreme Court of Canada. Benotto J.A., sitting as a motion judge, dismissed the stay motion. In the course of her reasons she addressed the OCL’s argument based on s. 6 of the Charter , stating, at paras. 27 and 28: The OCL submits that the children, as Canadian citizens, have a right to remain in Canada pursuant to s. 6 of the Charter. Children who have been abducted from their country of habitual residence and brought to a country where they are citizens are not immunized from the application of the Hague Convention and may be ordered to return to a custodial parent in another country: see Kovacs v. Kovacs (2002), 59 O.R. (3d) 671 (S.C.), at para. 117. The proposed appeal does not raise a serious question to be tried . [Emphasis added.] [239] Finally, Ojeikere concerned an order made under CLRA s. 40(3) that three children – 12, 14, and 15 years old – be returned to Nigeria. All were Canadian citizens. The majority reasons stated that the factors to be considered in assessing the issue of serious harm under CLRA s. 23 included the risk of psychological harm to and the views of the children. The majority regarded the Canadian citizenship of the children as an element of a court’s assessment of the risk of psychological harm, stating, at para. 85: [T]he children’s desire to stay in Ontario is reinforced by their citizenship. All three children are Canadian citizens who would be entitled to stay here but for this custody dispute. Of course, the views and objections of non-Canadian citizens would also be relevant under s. 23. But the children’s rights as Canadian citizens, rooted in their constitutional right under s. 6(1) of the Canadian Charter of Rights and Freedoms to remain in Canada, is an added consideration somewhat increasing the risk of psychological harm from being ordered to return to Nigeria. [240] Miller J.A., in his concurring reasons, queried the appropriateness of including the children’s citizenship as a factor in the serious harm analysis, in part because it would grant an implicit exemption to Canadian citizens from the ordinary application of the Hague Convention . He noted, at para. 122: It is settled law, for example, that s. 6 (properly qualified by s. 1 considerations) does not preclude extradition, given that the purpose of extradition is not exclusion from membership in the national community: United States of America v. Cotroni ,  [1989] 1 S.C.R. 1469, at p. 1482. Just as the extradited citizen is eventually free to return to Canada, so too is the child citizen who, at the direction of one or both parents, is relocated overseas. [241] The majority’s reasons in Ojeikere suggest that the weight to be accorded to a child’s Canadian citizenship in a serious harm analysis will vary according to the age of the child and his or her consequent ability to express their views, for Laskin J.A. wrote, at para. 78: “A 15-year-old who expresses a considered objection to returning to the country of habitual residence is harmed far more by a forced removal than is, say, a five-year-old.” [242] Counsel also referred to the decision of the Saskatchewan Court of Queen’s Bench in J.S.S. v. P.R.S. , 2001 SKQB 283, [2001] S.J. No. 380, a case involving an application in respect of Article 12 of the Hague Convention for the return to the United States of a 6-year old child who was a Canadian citizen. In the proceeding, the mother, who had been granted interim custody by a Saskatchewan court, contended that she thereby had the standing to exercise the child’s right under s. 6(1) to remain in Saskatchewan. The application judge rejected that submission but went on to consider whether a return order made under the Hague Convention would infringe the child’s s. 6(1) rights. [243] The application judge concluded it would not, stating, at para. 19: The rights protected by s. 6(1) are not infringed by family law orders relating to the custody or residence of a minor child. Children do not have control over their own residence. They are always subject to the direction of their parents or in the case of parental disputes an order of the Court. While s. 6(1) protects a citizen’s right to stay in Canada it also guarantees the citizen’s right to leave Canada. If a family law order requiring that a child be returned to the United States breached the child’s right to stay in Canada, then equally the family law order requiring the child to stay in Canada would breach the child’s right to leave Canada. All family law orders that contain any restriction on a child’s residence would prima facie infringe one or the other right under s. 6(1) and would have to be justified under s. 1 of the Charter . If [J.S.S.]’s argument were correct there would be a substantial restriction on the power of the courts to grant custody to parents who live outside of Canada. [244] In any event, the application judge regarded the return power in Article 12 of the Hague Convention as a reasonable limitation that was justified under s. 1 of the Charter . [245] Notwithstanding that the weight of the jurisprudence suggests return orders do not infringe a child’s s. 6(1) rights, I think the generous interpretation of that right as formulated in Cotroni and Divito directs a different conclusion, namely that an order made under CLRA s. 40(3) to return a Canadian citizen child to a place outside of Canada prima facie infringes the child’s Charter right to remain in Canada. I see no analytical utility in characterizing such an order as near, on the outer edge, or having fallen off the table of the “core values” protected by s. 6(1). Cotroni emphasized the broad language of s. 6(1), and a return order made under CLRA s. 40(3) clearly prevents a child from remaining in Canada. [246] However, just as with extradition orders, such a prima facie infringement is justified as a reasonable limit under s. 1 of the Charter . Considering each element of the s. 1 analysis in turn: (i) CLRA s. 40(3) addresses pressing and substantial objectives: to remedy the harms caused to a child and the parent left behind by the wrongful removal of a child; to discourage the abduction of children as an alternative to the determination of decision-making responsibility by due process; and to ensure that issues concerning the custody of a child are determined by a tribunal having jurisdiction in a place other than Ontario with which the child has a closer connection; (ii) There is a clear connection between those objectives and the means chosen to implement them in CLRA s. 40(3): the provision is remedial in nature as it seeks to restore the child’s status quo ante , or position before his or her wrongful removal; (iii) The provision meets the requirement of minimal impairment: the harm the provision seeks to remedy is the child’s wrongful removal; no other remedy would right that wrong; and (iv) The Charter infringement of the child’s s. 6(1) rights is not “too high a price to pay for the benefit of the law”: Hogg , at §38.12. Section 40(3) is only triggered by a finding that a child has been wrongfully removed to or retained in Ontario. As the jurisprudence has explained repeatedly, the wrongful removal of a child is a bad thing; it harms the child; it is to be discouraged. But, as described earlier in these reasons, before issuing a removal order under CLRA s. 40(3) a court must examine the circumstances of the wrongful removal and retention, together with its effect on the child, including the serious harm a child might suffer if returned. Assessed in the context of that statutory regime, CLRA s. 40(3) works a proportionate effect. [247] Accordingly, I conclude that CLRA s. 40(3) does not violate the s. 6(1) Charter rights of the two children. I therefore see no error in the trial judge’s dismissal of the s. 6(1) claims advanced by the mother and give no effect to this ground of appeal. F. CONCLUSION ON THE CHARTER CLAIMS [248] For the reasons set out above, I see no error in the trial judge’s dismissal of the mother’s claims, on behalf of herself and the children, that CLRA s. 40(3) violates their various rights guaranteed by ss. 2(a), 6(1), 7, and 15 of the Charter . IV. DISPOSITION [249] I join with Hourigan J.A. in dismissing the mother’s motion for leave to file the fresh evidence and her appeal. “David Brown J.A.” Lauwers J.A. (dissenting): A. INTRODUCTION [250] I would allow the appeal in this difficult case and therefore dissent, for the reasons that follow. [251] I have had the benefit of reading the reasons of my colleague, Hourigan J.A. The basis for our disagreement is explained at length in our respective reasons. Here I briefly address four of his criticisms. [252] First, I take no issue with my colleague’s articulation of the standard of appellate review or its purposes in preventing result-selective reasoning by appellate courts. As I will explain, the trial judge made legal errors that warrant reversal in his interpretation and application of ss. 23 and 40 of the Children's Law Reform Act , R.S.O. 1990, c. C.12 (" CLRA "). [253] Second, in my view the trial judge failed to take into account Mother’s peculiar vulnerability as a foreign national, and as a woman undergoing a divorce process in Dubai under the laws of the UAE, with its effects on the children. The expert evidence of both parties clearly demonstrated Mother’s precarious residency status. This gave rise to an evidentiary burden that Father, with whom all the relevant power rests, did not dispel. His arrangements to address her precarious residency status were all unacceptably contingent. The suggestion that I reversed the legal onus on that issue is unfounded. [254] Third, the defects in Father’s case are not endemic to UAE law, so any suggestion that my approach would set an iron-clad precedent is unfounded. One can imagine cases in which a mother’s residency status is not precarious. In any event, courts are well able to deal with forum-shopping. [255] Finally, the trial judge did not accept Mother’s expert evidence on the specific impact of separation from her on the children. He found that the impact was unknown. In my view the risk of this harm was precisely what the trial judge had to assess in order to make determinations under ss. 23 and 40 of the CLRA . [256] I now turn to the factual background. [257] This is an international parenting dispute. [5] It is governed by ss. 23 and 40 of the CLRA because Dubai is part of the United Arab Emirates (“UAE”), which is not a signatory to the Hague Convention , [6] unlike Canada. The court below declined jurisdiction and ordered the return of the children to Dubai for parenting orders to be made there. [258] The father, N., and the mother, F., were married in Pakistan in 2012. For convenience, I will refer to the mother as “Mother” and to the father as “Father” throughout. They have lived in Dubai their entire married lives. Father is a Pakistani national. Mother was born in Pakistan and is a Canadian citizen. She lived in Canada with her family from the age of 15 until her marriage to Father, when she moved to Dubai. She has family in Ontario whom she usually visits for about three weeks each year. Daughter, Z., was born in Ontario in 2016 and is a Canadian citizen. Son, E., was born in Dubai in 2019 and is also a Canadian citizen. [259] Neither party nor their children are citizens of the UAE. Mother has no independent status to reside in the UAE. She and the children were sponsored by Father and are subject to his UAE residency permit. Father is seeking a divorce in the UAE. Under UAE law, if Mother does not secure a residency permit within a one-year grace period after the divorce, she will be required to leave the UAE, likely without the children. [260] On June 19, 2020, Mother travelled to Ontario with Z. and E. to visit family for one month. Father consented to the trip but did not consent to Mother moving the children to Ontario permanently. On or around July 2, 2020, Mother told Father that she and the children were not returning to Dubai. She cancelled Z.’s enrollment in school in Dubai and enrolled her in school in Ontario. [261] Father objected and applied to the Ontario Superior Court for an order returning the children to the UAE under s. 40 of the CLRA . Mother, in response, asked the court to exercise jurisdiction under s. 23 of the CLRA and to make parenting orders. [262] The trial judge found that he could not exercise jurisdiction under s. 22 of the CLRA . He declined to exercise jurisdiction under s. 23 because he was not satisfied, on a balance of probabilities, that the children would suffer serious harm if they were removed from Ontario and returned to Dubai. The trial judge then exercised his discretion under cl. 3 of s. 40 of the CLRA and ordered that the children be returned “forthwith” to Father in Dubai. He was satisfied on the evidence that the children were being “wrongfully retained in Ontario” by Mother under s. 40(a). He dismissed Mother’s constitutional challenges to the legislation. The Attorney General of Ontario intervened on those constitutional challenges at first instance and in this court. The Office of the Children’s Lawyer also intervened on the constitutional challenges, but only in this court. B. OVERVIEW [263] The trial judge reached three basic conclusions. First, he found that the children are not habitually resident in Ontario but rather in Dubai. [7] The children had no real and substantial connection to Ontario. [8] He also found that the parties did not share the intention to permanently relocate the family to Canada. [9] In my view, these factual findings are right. Consequently, the trial judge found that he could not exercise jurisdiction under s. 22(1)(b) of the CLRA . [10] This legal conclusion is also right. [264] Second, the trial judge was satisfied on the evidence that Mother had wrongfully retained the children in Ontario, [11] giving him authority to make an order returning the children to Father in Dubai under s. 40, cl. 3 of the CLRA . Again, this factual finding and the legal conclusion that follows from it are both right. [265] However, the trial judge’s third conclusion is problematic. He found that a Dubai court would, on his view of the expert evidence, decide custody based on the children’s best interests. [12] He concluded, therefore, that in the pending proceeding in Dubai brought by Father, there is no risk of serious harm to the children if they are returned to Dubai that could trigger the application of s. 23 of the CLRA . [13] [266] This appeal turns on whether, in his approach to ss. 23 and 40 of the CLRA , the trial judge considered the relevant principles in assessing the risk of serious harm to the children. In my view, he failed to do so and made legal errors that warrant reversal. [14] C. iSSUES [267] Mother’s numerous grounds of appeal compress into three issues: 1. What is the nature of Ontario’s interest in the parties’ parenting dispute? 2. Did the trial judge err in ordering that the children be returned to Father in Dubai? 3. Is the provision of Ontario’s legislation that permits such a return order unconstitutional? [268] I do not address the constitutional issues in this dissent. D. ISSUE ONE: WHAT IS THE NATURE OF ONTARIO’S INTEREST IN THE PARTIES’ CUSTODY DISPUTE? [269] This case is framed by the fact that Mother is withholding the children, who are habitually resident in Dubai. As a policy matter, Canada and Ontario deplore the wrongful withholding or retention of children who, while physically present in Ontario, are habitually resident elsewhere. Section 19 of the CLRA discourages the abduction of children as an alternative to determination by due process. [270] This perspective on wrongful retention of children is reinforced by Canada’s subscription to the Hague Convention , which aims to secure the prompt return of children wrongfully removed to a contracting state and obliges contracting states to take various measures towards that goal, including ordering the child’s return in most circumstances. Section 46 of the CLRA incorporates the Hague Convention into law in Ontario. In wrongful retention cases where the children are habitually resident in a contracting state, the provisions of the Hague Convention apply. [271] However, in this case, the jurisdictional and extra-provincial provisions of the CLRA govern because the UAE is not a signatory to the Hague Convention . Even though Canada and Ontario have set their face against child abduction and wrongful child retention, there are circumstances in which an Ontario court will consider the application of a parent for custody in Ontario. In both ss. 23 and 40 of the CLRA , the “best interests of the child” pose a potentially countervailing policy influence against the policy favouring the return of wrongfully retained children. (1) The role of the “best interests of the child” in interpreting and applying ss. 23 and 40 of the CLRA [272] The Supreme Court of Canada has noted often that in interpreting legislation the court must heed the text, the context and the purpose of a provision. The concept of the “best interests of the child” plays a basic role in interpreting and applying ss. 23 and 40 of the CLRA . Section 19(a) specifies expressly that one of the purposes of Part III of the CLRA , which includes ss. 23 and 40, is to ensure that matters are determined “on the basis of the best interests of the children”. While s. 23 does not use the phrase, cl. 1 of s. 40 gives the court authority to: “Make such interim parenting order or contact order as the court considers is in the best interests of the child.” [273] Section 24(2) of the CLRA requires a court, in determining the best interests of a child, to “consider all factors related to the circumstances of the child” and to “give primary consideration to the child’s physical, emotional and psychological safety, security and well-being”. In s. 24(3), a non-exhaustive list of factors related to the circumstances of a child is provided. These factors will often be relevant in assessing whether a risk of serious harm exists under s. 23, and in determining whether a return order should be made under s. 40. [274] What goes into an assessment of the best interests of the child will vary with the context. Section 21 contemplates a full-scale assessment but that is not expected under either s. 23 or s. 40. Nonetheless, in exercising authority under both ss. 23 and 40, the court must be alive to the issue. [275] In H.E. v M.M. , 2015 ONCA 813, 393 D.L.R. (4th) 267, at para. 82, leave to appeal refused, [2016] S.C.C.A. No. 63, Weiler J.A. noted that because “[c]hildren have no control over where their parents litigate”, “[t]he CLRA mandates a child-centered approach based on the best interests of the child in discouraging child abduction.” Laskin J.A. pointed to the primacy of the best interests of the child in Ojeikere v. Ojeikere , 2018 ONCA 372, 140 O.R. (3d) 561, at paras. 13, 16 and 17. Assessing best interests requires a holistic approach: M.A.A. v D.E.M.E. , 2020 ONCA 486, 152 O.R. (3d) 81, at para. 44, per Benotto J.A., leave to appeal refused, [2020] S.C.C.A. No. 402. Benotto J.A. added, at para. 76: “When the issue is potential harm to children, the courts must always be guided by the children’s best interests.” [276] The exercise of the court’s discretion under both s. 23 and s. 40 must be guided by the imperative of the best interests of the children. (2) The governing principles regarding the serious harm exception [277] I now turn to consider the “serious harm” exception in s. 23(b)(iii) of the CLRA , which allows the court to exercise jurisdiction to make a parenting or contact order even though the child is not habitually resident in Ontario and is, as here, being wrongfully retained in Ontario, where the child would, on the balance of probabilities, “suffer serious harm if… removed from Ontario”. [278] What constitutes “serious harm”? The context for considering this question is that the foreign jurisdiction, the UAE, has declined to sign the Hague Convention , whose signatories are, according to the Convention’s preamble, “[f]irmly convinced that the interests of children are of paramount importance in matters relating to their custody”. The adherence by signatories to reciprocal obligations under the Convention gives Ontario courts some confidence that, in the signatory foreign jurisdiction, custody will be decided based on the child’s best interests. By contrast, “[i]n cases decided under s. 23, an Ontario court will not always have the same assurance that a non-signatory country will, as Ontario does, put the best interests of children first”: Ojeikere , at para. 61, Geliedan v. Rawdah , 2020 ONCA 254, 446 D.L.R. (4th) 440, at paras. 37-38, leave to appeal refused, [2020] S.C.C.A. No. 193. [279] The exercise of the court’s discretion under s. 23 should be guided by principle. As Laskin J.A. noted in Ojeikere , at para. 63, the relevant factors “will vary from case to case”. He added: “In some cases, one factor may decisively show ‘serious harm’; in other cases a combination of relevant factors may do so”. One or more of the factors listed in s. 24(3) might be relevant to this determination. The threshold for demonstrating “serious harm” under s. 23 is lower than the standard under the Hague Convention , which requires a “grave risk” of an “intolerable situation”: Ojeikere , at paras. 58-59, 62; M.A.A. v. D.E.M.E. , at para. 43, Thomson v. Thomson , [1994] 3 S.C.R. 551, at pp. 596-597, [1994] S.C.J. No. 6, at para. 80. [280] The court must assess both the likelihood and the severity of a risk of future harm: Ojeikere , at para. 62. Where a risk of serious harm exists, “the aim of discouraging child abduction must yield to… the best interests of the child”: H.E. v. M.M. , at para. 87. The objective of discouraging child abduction then becomes secondary to the aim of preventing serious harm to the child: Ojeikere , at para. 39. (3) The application of the governing principles [281] The possible serious harm at issue in this case is the effect on the children of Mother’s involuntary separation from them. I note that my colleague’s reasons refer to this court’s comments in Ojeikere that a parent should not be able to voluntarily refuse to return to the habitual residence and then rely on the serious harm that separation from her would create. That is not the issue in this case. Here, on the facts as found by the trial judge, the mother’s lack of status in the UAE may force her involuntary separation from the children. The trial judge did not mention this possibility in considering the risk of serious harm under s. 23. He referred to the possibility of adverse impacts if Z. and E. are returned to Dubai without Mother and to her claim “that she will not return to Dubai if the children are ordered to return there”, before commenting that “there is nothing else in the evidence at trial that this court finds to be relevant to the serious harm assessment for Z. and E.” [15] The trial judge failed to properly assess the harm of an involuntary separation and, in so doing, made a palpable and overriding error. [282] The risk of this harm emerges from the intersection of three different elements: the precariousness of Mother’s residential status in Dubai; the uncertain status of the proposed consent order on which the trial judge’s decision hinged, particularly if Father were to change his mind and not take out the consent order in Dubai or to later countermand it; and the unacceptable nature of the allocation of parenting responsibilities between Father and Mother if the situation reverted to UAE law. I address each element in sequence, after describing the serious harm in issue. (a) Separation of Mother from the children would constitute serious harm [283] One of the factors referred to in s. 24(3) is “the nature and strength of the child’s relationship with each parent”. The trial judge found that Mother is and has always been the primary caregiver for Z. and E. [16] He found that Mother had fulfilled this role well, describing her as a “loving and caring and devoted mother” who has “been a powerful force in the lives of these two children” and “has so much to offer them”. [17] Comparatively, the trial judge found that Father had always been less involved in their care. [18] [284] Mother’s expert witness, Carol-Jane Parker, gave evidence on the potential impact on infants, including Z. and E., of separation from their primary caregiver. The trial judge accepted Ms. Parker’s evidence that “[b]rain development in an infant is impacted where there is a loss of consistency that the primary caregiver provides”. [19] [285] However, the trial judge declined to accept Ms. Parker’s evidence as to what would happen to Z. and E. if they were separated from Mother. [20] On a voir dire , Ms. Parker had said that she was not able to express an opinion about Z. and E. with any degree of certainty. [21] In her evidence, she expressed opinions about Z. and E. with a “very high degree of certainty”. [22] This inconsistency left the trial judge unable to rely on Ms. Parker’s opinion evidence on the likely impact of separation on Z. and E., in particular. [286] The trial judge accepted that “as for whether infants, generally, face potential adverse impacts, emotional and psychological, upon separation from their primary caregiver, the answer is, undoubtedly, ‘yes’.” [23] But he went on to find that “as for whether that would occur here, with Z. and E., if separated from [Mother], the answer is unknown”. [24] [287] The trial judge made a palpable and overriding error in finding that, because he could not accept the expert evidence offered on the specific impact of separation on Z. and E., that impact was unknown. The risk of this harm was precisely the issue that the trial judge needed to determine, on the evidence available to him, to make determinations under ss. 23 and 40. [288] The absence of expert evidence on the specific impact on Z. and E. did not render him unable to make this determination. Z. and E. are very young children. Z. is four years-old, and E. is not yet two. The trial judge accepted that Mother is their primary caregiver. The “particular role and emotional bonding the child enjoys with his or her primary caregiver” and “[t]he importance of preserving the child’s relationship with his or her psychological parent” are well recognized: Gordon v. Goertz , [1996] 2 S.C.R. 27, at para. 121, per L'Heureux Dubé J. (concurring). This relationship may be “the most determinative factor on the child’s long-term welfare”: Gordon , at para. 121. No further evidence was needed to conclude that separating Z. and E. from Mother would put them at risk of serious harm. [289] In Ojeikere , Laskin J.A. stated, at para. 92, in connection with much older children, that, “[t]here may be cases where a parent’s refusal to accompany the children back to the country of habitual residence could give rise to a serious risk of harm to the children”. Laskin J.A. did not give weight to this factor because, in the circumstances of that case, the mother had simply asserted that there was nothing for her in returning to the habitual residence of Nigeria. The mother was born in Nigeria and there was no legal impediment to her returning to and staying in Nigeria with the children. [290] If a parent’s voluntary refusal to return to the country of habitual residence with teenage children could give rise to a serious risk of harm, it follows that so could a primary parent’s legal inability to remain with her young children in the country of habitual residence. [291] In my view, an indefinite separation of two quite young children, one under two years and the other only four, from the parent who has always been their primary caregiver, constitutes a risk of serious harm. This finding can be reached without any expert evidence on the specific impact such a separation is likely to have on Z. and E. in particular. A risk of serious harm is established if the court is convinced on a balance of probabilities that this separation will occur. (b) Mother’s residential status in the UAE is precarious [292] The trial judge did not give due weight to Mother’s precarious residency status in the UAE. She has no legal right to remain in the UAE. Her residency permit is and has always been contingent on Father’s residency permit. Father proposed several ways to mitigate the risk of separation due to her loss of residency, but none is assured. There is no solid legal arrangement that mitigates the risk of harm to the children. [293] As noted, after the parties divorce, Mother will have a one-year grace period in which to secure a new residency permit. [25] She could do so if Father buys real estate of a certain value in her name. [26] In a with-prejudice letter from his counsel, dated October 30, 2020, Father undertook to buy a property in Mother’s name, to be held in trust for Z. and E. [27] However, as the trial judge noted, Father has provided no evidence to substantiate his financial ability to do so. [28] [294] On the facts found by the trial judge, Mother could not secure a residency permit independently. Instead, she would be reliant on Father fulfilling his undertaking. In a proposed settlement agreement, Father also agrees to “procure, either directly or through a third party a residency visa for [Mother] at all times”. [29] The copy of this agreement in the record is not signed by either party. [30] [295] The trial judge did not consider whether Father’s undertaking would be enforceable in Dubai and made no findings on the recourse available to Mother if Father were to rescind or fail to fulfil his undertaking, or to later countermand the consent order. Without such recourse, Mother’s ability to secure a residency permit would be entirely within Father’s control. [296] In short, Father has not proven his ability to mitigate Mother’s precarious residency status. (c) The proposed consent order is unacceptably contingent [297] The trial judge was clearly reassured by Father’s proposed settlement agreement, referred to in the October 2020 with-prejudice letter from Father’s counsel, which the trial judge reproduced in his reasons. [31] The letter states that the proposal’s terms could be included as an order of the court as a condition of a return order under s. 40, and that “[t]he terms herein will be made into a consent Order/Judgment issued by the court in the UAE”. [298] Under Father’s settlement proposal, he would secure a residency permit for Mother, she would remain the children’s primary caregiver, they would share decision-making, and Father would provide financial support. [32] [299] Both parties called expert witnesses on family law in the UAE. The application judge accepted the evidence of Diana Hamade, Father’s expert, in full, and preferred it over the evidence of Elena Schildgen, Mother’s expert. [33] [300] Ms. Hamade stated that settlement agreements made between parents are respected by the courts in the UAE. [34] Ms. Schildgen admitted in cross-examination that “people in the UAE that separate and have children regularly turn to agreements to share decision-making” and parenting time, and that those agreements are then made into and enforced as judgments of the court. [35] [301] Based on this evidence, the trial judge found that: [A]s for whether the settlement proposed by [Father], if agreed to by [Mother], will be able to be incorporated into a valid court order in Dubai, approved by the court in Dubai, and enforceable as a valid court order in Dubai, the answer is, unreservedly, “yes”. [36] The trial judge repeated this finding in his conclusions on s. 23. [37] [302] As with the undertaking to secure residency for Mother, the trial judge does not appear to have considered whether Father’s settlement proposal, in its current form, is actually enforceable in Dubai at Mother’s instance. At present, it is no more than a proposal. While I acknowledge the trial judge’s finding that Father was “significantly more credible” than Mother, his credibility cannot be relied upon to presume that he will honour the proposal he has made. [38] There does not appear to be anything preventing Father from rescinding this proposal and either making a new proposal on less favourable terms, or refusing to enter into a settlement agreement at all. Father’s proposed consent order is unacceptably contingent. (d) If UAE law were to prevail, Mother would not have the incidents of custody contemplated by Ontario law, to the detriment of the children [303] If Father were to rescind or unacceptably alters the settlement proposal, UAE law would govern the parenting dispute. The risk of Mother becoming separated from the children due to her residency status must therefore be considered in the context of family law in the UAE. [304] The trial judge found that the best interests of Z. and E. would be “ the paramount consideration in determining custody in a court in Dubai” (emphasis in the original). [39] He commented that the best interests of the child “means everything” in custody proceedings in Dubai. [40] However, a review of the expert evidence, and the trial judge’s findings, demonstrates that the best interests of the child are – to use the language of the CLRA – applied only in disputes over parenting time, and not to determine the division of decision-making responsibility. [305] The expert evidence concerning Dubai law might have lulled the trial judge into a false sense of security that Dubai’s understanding of the term “the best interests of the child” substantially resembles Ontario’s understanding. While I agree with his statement that the foreign legislation need not duplicate Ontario’s legislation, [41] the fact that it might fall far short must be a relevant consideration to an Ontario court. [306] The trial judge reproduced the entirety of Ms. Schildgen’s cross-examination in his reasons and placed great emphasis on her admissions about the UAE’s Personal Status Law , which governs parenting disputes. [42] Ms. Schildgen admitted that while the UAE legislation does not say “best interests”, there is no expression in Arabic that equates to “best interests”. [43] However, the phrase “interests of the child” in the legislation has been applied to mean “best interests of the child”. [44] The trial judge commented: The cross-examination of Ms. Schildgen at trial eviscerated the very underpinning of the mother’s case… that is that the children cannot be returned to Dubai because this Court can have no confidence that any decision made there regarding their welfare will be based, as the paramount consideration , on their best interests. Ms. Schildgen’s evidence in cross-examination points precisely to the opposite conclusion. [Emphasis in the original.] [45] [307] The fact that the law in the UAE uses an expression equivalent to “best interests of the children” cannot determine the issues in this case. It is not the language of the law but its substance that governs. [308] The experts agreed that, in the UAE, upon divorce, a mother will usually have what they call “custody” of the children, and the father will have what is called “guardianship”. [46] The experts also agreed that what they were referring to as “custody” amounted to care of the children. [47] Fathers, as guardians, are assured decision-making power. A mother can lose custodial rights upon the children reaching a certain age (11 for a male child, 13 for a female child), or if she remarries. [48] The expert evidence at trial established that this loss of custodial rights is not automatic and depends on the best interests of the children involved. [49] [309] When asked what “role the best interests of children plays in the court’s decision-making process and within the legislation”, Ms. Hamade responded that it is taken into account “when we talk about the end of the custody years of children”. [50] In cross-examination, Ms. Schildgen agreed that the principle that “custody shall revolve around the interests of the child” had been applied in hundreds of cases in Dubai. [51] She agreed that a court in the UAE has to consider the best interests of the children if custody is disputed upon them reaching the age where a mother can lose custodial rights, or when the mother remarries. [52] The best interests of children are also considered when a father seeks custody. [53] [310] The trial judge, after reproducing Ms. Schildgen’s cross-examination, commented that Ms. Schildgen agreed that the best interests of the child determine all decisions of the court, “regardless of whether the decision is being made at first instance , or when the children turn certain ages, or when the mother remarries, or whenever the decision is being made” (emphasis added). [54] In fact, neither expert provided evidence that the best interests of the child are taken into account in any kind of “first instance” decision on parenting arrangements. [311] Instead, both experts suggested that the initial allocation of parenting responsibility is automatic, with custody (care of the children) going to the mother and guardianship (decision-making) to the father. Ms. Hamade “stated that, generally, custody in the United Arab Emirates goes to the mother, while guardianship is with the father”. [55] Ms. Schildgen stated that “custody goes to the mother, while the father gets guardianship”. [56] The experts described the difference between custody and guardianship in similar terms. According to Ms. Schildgen, custody, essentially, “means day to day care”. [57] Ms. Schildgen and Ms. Hamade agreed that the guardian’s role is tied to finances, and that the guardian makes the major decisions, including on the children’s education and religion. [58] [312] The trial judge appears to have accepted that without an enforceable settlement agreement, and without any best interests of the child analysis being performed by the Dubai court, Mother and Father would occupy the prescribed “custody” and “guardianship” roles described by the experts. He states: I accept the evidence of both Ms. Hamade and Ms. Schildgen that [Mother] will be granted custody of the children in Dubai, and that means day to day care and the decision-making authority that goes along with that. Further, I accept the evidence of Ms. Hamade that the rights of the custodian are not subject to those of the guardian. Besides, the fact that the guardian, [Father], is able to make certain decisions about the children is of no consequence here, in terms of prejudice to [Mother], because the evidence demonstrates that things like education and religion… were not subjects of dispute between the parties by the time that [Mother] left with the children in June 2020. There is simply no basis in the evidence at trial to conclude that the custodial rights of [Mother] in Dubai will be some illusory concept that will not have any real meaning to it. I find otherwise. [59] [313] “Decision-making responsibility” is defined in s. 18(1) of the CLRA as “responsibility for making significant decisions about a child’s well-being, including with respect to, (a) health, (b) education, (c) culture, language, religion and spirituality, and (d) significant extra-curricular activities”. In the UAE, according to both experts, all decision-making responsibility is reserved to the guardian. [314] This automatic assignment of decision-making power to fathers is in direct contrast to s. 20(1) of Ontario’s CLRA , which, at the date of trial, provided: “Except as otherwise provided in this Part, a child’s parents are equally entitled to custody of the child.” This provision was updated: “Except as otherwise provided in this Part, a child’s parents are equally entitled to decision-making responsibility with respect to the child.” The change is one of terminology, not philosophy. [315] Section 19 of the CLRA clearly states that one of the purposes of the parenting order provisions is: [T]o ensure that applications to the courts respecting decision-making responsibility , parenting time, contact and guardianship with respect to children will be determined on the basis of the best interests of the children. [Emphasis added.] One of the factors pertaining to the best interests of the child analysis, listed in s. 24(3), is “(h) the ability and willingness of each person in respect of whom the order would apply to care for and meet the needs of the child.” [316] The automatic assignment of decision-making responsibility to one parent is not, as the trial judge found, “of no consequence”. It is a pronounced departure from Ontario’s understanding of the best interests of the child in determining parenting arrangements. [317] Equal entitlement of parents to decision-making responsibility is one very significant way in which Ontario’s legislation puts the best interests of children first. Where parents disagree, the court will choose the parent whose decisions will best promote the children’s best interests to make decisions. A system that automatically entitles a father to responsibility for all major decision-making deprives the court of the opportunity to grant decision-making responsibility to the parent who will best promote the children’s best interests. On the trial judge’s own findings, in the UAE, decision-making responsibility would not be determined based on the best interests of the children as Ontario understands them. [318] This is particularly problematic in this case. The trial judge did not consider whether, absent a settlement agreement, and as custodian and not guardian, Mother would be able to take Z. and E. with her if she were forced to leave the UAE due to her precarious residency status. Evidence accepted by the trial judge strongly suggests that she would not be able to do so. [319] Ms. Hamade’s expert report states: A mother must live near to the father of the children otherwise may lose custody. It must be noted that the mother can relocate with the children to another state without forfeiting custody, if she so desires however the move should not harm the father or cause him hardship in travelling to see the children, hence the distance between the location of the mother and the father must not be too great. [60] [320] Ms. Hamade also states that, in the UAE, either parent can make an ex parte application to the court for a travel ban to prevent the children from leaving the UAE with the other parent. [61] This suggests both that Mother would not be permitted to leave the UAE for Canada with her children over the objections of their guardian, Father, and that he could prevent Mother from doing so by obtaining a travel ban. [321] Ms. Schildgen’s report points to several parts of the UAE’s Personal Status Law that support this conclusion. Article 149 states: “It shall not be permissible for the custodian female to travel with the child in custody abroad except with the approval of the status guardian in writing.” Ms. Schildgen states that under arts. 150(2) and 152, Mother could lose her custodial rights if she moved out of the UAE. Ms. Schildgen also states that Father, as guardian, would have the right to keep the children’s passports, pursuant to art. 157. [62] [322] Based on the expert evidence, UAE law would not confer on Mother the ability to take Z. and E. with her if her residency status lapsed and she were forced to leave the UAE. (4) Conclusions on s. 23 [323] The trial judge erred in his approach to s. 23 of the CLRA and in his treatment of the evidence. [324] To recapitulate, separating Mother from the children would constitute serious harm to them and would be inconsistent with their best interests. [325] Mother’s residential status in Dubai is undoubtedly precarious on the evidence. The trial judge made a palpable and overriding error in failing to give any practical weight to this fact. Father has not proven his financial ability to remedy Mother’s precarious residency status, which is entirely under his control. [326] The consent agreement proposed by Father is unacceptably contingent. [327] Further, at the moment there is no negotiated parenting agreement that might apply to the family’s life in Dubai. There is no evidence that a negotiated settlement agreement in a form acceptable to Mother and reasonably congruent with the best interests of the children under Ontario law would be enforceable in Dubai at Mother’s instance if Father changed his position. [328] On the evidence, in the absence of a settlement agreement, a parenting determination by the Dubai courts would not be made based on the children’s best interests, as understood under Ontario law. This court held in H.E. v. M.M. , at para. 30, that Egyptian law, under which fathers are automatically decision-makers while physical custody remains with the mother until the children turn 15, “would not determine custody based on the best interests of the child”. [329] The number of contingencies left open by the trial judge gives rise to a real risk that Z. and E. could suffer the serious harm of being separated from their primary caregiver, Mother. I am satisfied on the record that the children would, on the balance of probabilities, suffer serious harm if they were removed from Ontario and returned to the UAE. In my view, an Ontario court may exercise its jurisdiction pursuant to s. 23 to make parenting orders. The matter should proceed to a hearing on what parenting orders would be in these children’s best interests. Father may present evidence to allay the concerns identified and to satisfy the court that residing in Dubai would be in these children’s best interests, which could lead to a parenting order under s. 21 requiring their return to Dubai. E. ISSUE TWO: DID THE TRIAL JUDGE ERR IN ORDERING THAT THE CHILDREN BE RETURNED TO FATHER IN DUBAI? [330] Section 40, cl. 3 of the CLRA allows a court to order a child’s return to another jurisdiction in cases of wrongful retention to which the Hague Convention does not apply. The trial judge, acting under this provision, ordered that Z. and E. be returned “forthwith” to Father in Dubai. Because I would find that Ontario should exercise jurisdiction under s. 23, a return order under s. 40 is not available. However, the trial judge’s reasons on s. 40 require comment. [331] Where a court finds no risk of serious harm, and so refuses to exercise jurisdiction under s. 23, a return order under s. 40, cl. 3 does not automatically follow. Section 40 lists things that a court “may” do. While art. 12 of the Hague Convention obliges a court that does not find a grave risk under art. 13 to order a child’s return, s. 40 does not operate in the same manner, because “unlike under the Hague Convention , the court is given broad discretionary powers when determining what order will remedy a wrongful removal to or retention in Ontario”: Geliedan , at para. 69. [332] The trial judge agreed that the return order is discretionary, citing Geliedan , but stated “the mother’s counsel offer no other potential alternative”. [63] While alternatives may be relevant in exercising the discretion provided by s. 40, cl. 3, it is not incumbent on a party opposing return to provide an alternative. [333] The Office of the Children’s Lawyer intervened on this appeal and argued that, in exercising the discretion to make a return order under s. 40, cl. 3 in a non- Hague Convention case, courts must consider whether the return order is in the overarching best interests of the child. I agree. [334] The trial judge agreed with Mother that, in Young v. Young , [1993] 4 S.C.R. 3, “all of the Judges agreed that the best interests of the child is the , not merely one of the, and not merely a, consideration that must govern all decisions regarding the welfare of children, whether custody or access” (emphasis in the original). [64] Yet, the trial judge disagreed that a “fulsome” best interests of the child analysis is necessary before making a return order under s. 40, cl. 3. [65] He asked: “What does that mean – a fulsome best interests of the child analysis? The application of section 24 and an award of custody to one of the parents, on the merits?”. [66] [335] The trial judge appears to have viewed the best interests of the child analysis as an all-or-nothing exercise specific to the determination of custody disputes. It is not. [336] The best interests of the child principle is “widely understood and accepted in Canada’s legal system”: Kanthasamy v. Canada (Citizenship and Immigration) , 2015 SCC 61, [2015] 3 S.C.R. 909, at para. 36. Canada has ratified the Convention on the Rights of the Child , 20 November 1989, Can. T.S. 1992 No. 3 (entered into force 2 September 1990), and “[t]he values and principles of [that] Convention recognize the importance of being attentive to the rights and best interests of children when decisions are made that relate to and affect their future”: Baker v. Canada (Minister of Citizenship and Immigration) , [1999] 2 S.C.R. 817, at para. 71. The child’s best interests must be the primary consideration “[w]henever a child is affected by a court or government process”: Ontario (Children’s Lawyer) v. Ontario (Information and Privacy Commissioner) , 2018 ONCA 559, 141 O.R. (3d) 481, at para. 58, leave to appeal refused, [2018] S.C.C.A. No. 360. [337] The application of the best interests of the child principle is highly contextual: Canadian Foundation for Children, Youth and the Law v. Canada (Attorney General) , 2004 SCC 4, [2004] 1 S.C.R. 76, at para. 11. The relevant factors and the depth of analysis required will vary with the scope and nature of the impact of the judicial determination on the child. In each case, the best interests of the child principle must “be applied in a manner responsive to each child’s particular age, capacity, needs and maturity”: Kanthasamy , at para. 35. [338] The implementation of a return order under s. 40, cl. 3 could have a deep and lasting impact on a child, particularly, but not only, where that order is enforceable by police. In my view, before making such an order, the court must determine that doing so is in the best interests of the child, focussing, as called for by s. 24(2) of the CLRA , on “the child’s physical, emotional and psychological safety, security and well-being” and having regard to the list of factors in s. 24(3). Other factors may be relevant in the circumstances, including the citizenship and residency status of each child and each parent in all of the relevant countries. [339] To repeat, the best interests of the child analysis conducted under s. 40, cl. 3 need not mirror the analysis required to make a parenting order. F. DISPOSITION [340] I would allow the appeal. I would set aside the order of the trial judge and order that the Ontario Superior Court has jurisdiction to make a parenting order in relation to the children, Z. and E. Both parents would have the right to fully participate in that determination, which would be made by a judge other than the trial judge. [341] Pending that determination, I would continue the relevant parts of the August 12, 2020 interim order of Chozik J. prohibiting: Mother from removing Z. and E. from Ontario with the children’s passports remaining with Mother’s counsel, pending further order of the court or the agreement of both parties. I would further order that Mother have interim custody of Z. and E. and be permitted to remain with them in Ontario pending the determination of the court, and that Father have generous access in that time, including by voice calls, video calls, or personal visits. If Mother and Father cannot agree on terms of access, I would direct them to apply to the Superior Court for interim relief. Released: September 14, 2021 “P.L.” “P. Lauwers J.A.” [1] In the present case, the father, in his Application, claimed custody of the children under the CLRA . However, his Reply clarified that the primary relief he sought was (i) a declaration that the appellant had wrongfully removed the children from their habitual residence in Dubai and was wrongfully retaining them in Ontario and (ii) an order that the mother return the children to Dubai to the care and control of the father. If the mother did not comply with the return order, then the father sought an order that the children temporarily be in his care and control for the limited purpose of travelling with him to Dubai. On her part, the mother, in her Fresh as Amended Answer, sought a temporary and final order for sole custody of the children under the CLRA . [2] In Ojeikere , there was disagreement between the majority and concurring reasons about the precise content of “serious harm”. In that case, the majority saw the relevant factors guiding the serious harm inquiry in the particular circumstances as: the risk of physical harm; the risk of psychological harm; the views of the children; and the retaining parent’s claim that she or he would not return to the country from which the children were taken if the children were required to return there: Ojeikere , at paras. 63-64. The concurring reasons warned against reducing the notion of serious psychological harm caused by a return to mere disappointment of having to return to another country: at para. 101. [3] See, for example, the discussion of the relationship between the Charter and custody orders in Young v. Young , [1993] 4 S.C.R. 3, per McLachlin J., at p. 120, and per Sopinka J., at p. 107. [4] The father’s “with prejudice” settlement offer is described at para. 16 above in the reasons of Hourigan J.A. [5] Though the decision below was made under the previous version of the CLRA , I refer throughout to the current provisions of the CLRA , which came into effect on March 1, 2021. The substance of the relevant provisions is the same in the previous and current versions. As of March 1, 2021, the language of orders for “custody” and “access” was replaced with the language of parenting orders involving “decision-making responsibility” and “parenting time”. [6] The Hague Convention is formally known as the Convention on the Civil Aspects of International Child Abduction , 25 October 1980, Can. T.S. 1983 No. 35 (entered into force 1 December 1983). [7] Reasons, at paras. 341 and 354. [8] Reasons, at para. 352. [9] Reasons, at para. 355. [10] Reasons, at para. 362. [11] Reasons, at para. 388. [12] Reasons, at para. 293. [13] Reasons, at para. 366. [14] The trial judge’s reasons in this case extended over 179 pages and 482 paragraphs. Large chunks of the text consisted of lengthy verbatim recitations of evidence, arguments, and case law. This is a form of unacceptable “data dump” criticized by this court in Welton v. United Lands Corporation Limited , 2020 ONCA 322, at paras. 61-63. As I noted there, a blizzard of words can obscure. That happened here too. [15] Reasons, at para. 366. [16] Reasons, at para. 291. [17] Reasons, at para. 380. [18] Reasons, at para. 291. [19] Reasons, at para. 308. [20] Reasons, at para. 312. [21] Reasons, at para. 313. [22] Reasons, at para. 314. [23] Reasons, at para. 294. [24] Reasons, at para. 294. [25] Reasons, at para. 194. [26] Reasons, at para. 194. [27] Appeal Book and Compendium, at p. 719. [28] Reasons, at para. 51. [29] Appeal Book and Compendium, at p. 443. [30] Appeal Book and Compendium, at p. 455. [31] Reasons, at para. 49. [32] Appeal Book and Compendium, at p. 441ff. [33] Reasons, at para. 293. [34] Reasons, at para. 19. [35] Reasons, at p . 77. [36] Reasons, at para. 294. [37] Reasons, at para. 366. [38] Reasons, at para. 255. [39] Reasons, at para. 294. [40] Reasons, at para. 303 [41] Reasons, at para. 417. [42] Reasons, at para. 214. [43] Reasons, at p. 67. [44] Reasons, at pp. 68-69. [45] Reasons, at para. 304. [46] Reasons, at para . 185 (Ms. Hamade) and para. 207 (Ms. Schildgen). [47] Appeal Book and Compendium, at p. 731 (Ms. Hamade’s Report) and Reasons, at para. 207 (Ms. Schildgen). [48] Reasons, at para. 185. [49] Reasons, at para. 185. [50] Reasons, at para. 187. [51] Reasons, at pp. 70-71. [52] Reasons, at p. 71. [53] Reasons, at p. 72. [54] Reasons, at para. 216. [55] Reasons, at para. 185. [56] Reasons, at para. 207. [57] Reasons, at para. 207. [58] Reasons, at para. 189 (Ms. Hamade) and para. 207 (Ms. Schildgen). [59] Reasons, at para. 378. [60] Appeal Book and Compendium, at p. 736. [61] Appeal Book and Compendium, at p. 738. [62] Appeal Book and Compendium, at p. 754. [63] Reasons, at paras. 382-386. [64] Reasons, at para. 432. [65] Reasons, at p ara. 447. [66] Reasons, at para. 448.
THIS IS AN APPEAL UNDER THE YOUTH CRIMINAL JUSTICE ACT AND IS SUBJECT TO: 110(1)          Subject to this section, no person shall publish the name of a young person, or any other information related to a young person, if it would identify the young person as a young person dealt with under this Act. (2) Subsection (1) does not apply (a) in a case where the information relates to a young person who has received an adult sentence; (b) in a case where the information relates to a young person who has received a youth sentence for a violent offence and the youth justice court has ordered a lifting of the publication ban under subsection 75(2); and (c) in a case where the publication of the information is made in the course of the administration of justice, if it is not the purpose of the publication to make the information known in the community. (3) A young person referred to in subsection (1) may, after he or she attains the age of eighteen years, publish or cause to be published information that would identify him or her as having been dealt with under this Act or the Young Offenders Act , chapter Y-1 of the Revised Statutes of Canada, 1985, provided that he or she is not in custody pursuant to either Act at the time of the publication. 111(1)          Subject to this section, no person shall publish the name of a child or young person, or any other information related to a child or a young person, if it would identify the child or young person as having been a victim of, or as having appeared as a witness in connection with, an offence committed or alleged to have been committed by a young person. 138(1)          Every person who contravenes subsection 110(1) (identity of offender not to be published), 111(1) (identity of victim or witness not to be published), 118(1) (no access to records unless authorized) or 128(3) (disposal of R.C.M.P. records) or section 129 (no subsequent disclosure) of this Act, or subsection 38(1) (identity not to be published), (1.12) (no subsequent disclosure), (1.14) (no subsequent disclosure by school) or (1.15) (information to be kept separate), 45(2) (destruction of records) or 46(1) (prohibition against disclosure) of the Young Offenders Act , chapter Y-1 of the Revised Statutes of Canada, 1985, (a) is guilty of an indictable offence and liable to imprisonment for a term not exceeding two years; or (b) is guilty of an offence punishable on summary conviction. COURT OF APPEAL FOR ONTARIO CITATION: R. v. S.K., 2021 ONCA 619 DATE: 20210916 DOCKET: C66374 Pardu, Paciocco and Nordheimer JJ .A. BETWEEN Her Majesty the Queen Respondent and S.K. Appellant Laura Remigio, for the appellant Justin Reid, for the respondent Heard: September 1, 2021 by video conference On appeal from the sentence imposed on March 24, 2017 by Justice Lucia Favret of the Ontario Court of Justice. REASONS FOR DECISION [1] The appellant seeks leave to appeal from sentences imposed for offences related to four home invasion robberies. The offences were committed over a period of approximately two months when the appellant was 17 and 18 years old. He was sentenced to a total term of imprisonment of nine years broken down as follows: · Adult sentences · Three counts of robbery, and one count of forcible entry, contrary to s. 73 of the Criminal Code , R.S.C. 1985, c. C-46 – seven years concurrent on each count · Possession of a loaded firearm without a serial number- two years consecutive to the robbery sentences · Possession of a firearm without a serial number – two years concurrent · Possession of cocaine – 30 days concurrent · Youth sentence · Robbery – one year concurrent to adult sentence [2] At the sentencing proceedings the Crown sought a global sentence of 12 years for the adult offences; the defence suggested six to seven years would be adequate. For the youth sentence the Crown sought one year concurrent and the defence advocated for a sentence of three to six months, also concurrent. Nature of the offences [3] The home invasions took place between November 2014 and January 2015. [4] The first offence was committed when the appellant was 17 years old in November 2014. He and one other person entered L.’s apartment and the appellant “caged her” with his arms and legs around her on a couch. He asked her where she kept her money. After they obtained some money and her cell phone, they left the apartment. L. was not injured and no other violence was used. [5] On January 3, 2015, four males, including the appellant, forced their way into Z.’s home. One of them, not the appellant, hit Z. on the head and kicked her several times. Another, again not the appellant, had an imitation firearm in his possession. While the culprits searched the apartment, Z. escaped and shouted for help. The four males left. They stole $200-$300, an iPhone, and the keys to her apartment. Surveillance video recorded the men leaving the residence, one of whom was the appellant. [6] Three weeks later, H.W. woke to find a man (not the appellant) armed with a knife in her bedroom. He demanded money and held the knife to her cheek, cut her on the face, and placed a comforter over her head. The victim could feel a large amount of blood flowing from the cut on her cheek and cried out. The man ran out of her room. The males who entered her apartment were not initially masked but donned masks after entering the apartment. Surveillance recorded that the appellant was one of the males who entered her home. [7] The next day, L. was expecting a visitor. Lobby camera footage showed the appellant using the buzzer system to get into the building, with three other men. When L. heard a knock at her door, she opened it and four men forced their way in. She was hit on the head, had a bag placed over her head and was beaten and dragged to the bathroom. Another male entered the bathroom brandishing a firearm and asked where her money was. One of the males sexually assaulted her. There was no evidence identifying the appellant as the one who assaulted her or used the firearm. The men left after gathering two cell phones, purses, jewelry, and money. [8] On March 2, 2015, about five weeks after the last robbery, a search warrant executed at the appellant’s home uncovered a loaded handgun, with an obliterated serial number and 8.05 grams of cocaine. Plea [9] The appellant pleaded guilty to the offences on October 6, 2016. An agreed statement of facts outlined the circumstances of each of the offences. Analysis [10] The sentencing judge made errors in principle which had an impact on the sentences imposed, and accordingly it falls to this court to determine a fit sentence: see R v. Lacasse , 2015 SCC 64, [2015] 3 S.C.R. 1089, at paras. 41-44; R v. Friesen , 2020 SCC 9, 444 D.L.R. (4 th ) 1, at paras. 25-27. [11] The sentencing judge did not differentiate in the principles to be applied when sentencing a youth under the Youth Criminal Justice Act (“ YCJA ”), S.C. 2002, c. 1 as opposed to an adult. A youth sentence must be the least restrictive sentence possible, while still holding the young person accountable: YCJA , ss. 38(2) (d), (e). General deterrence is not a relevant factor when sentencing a young person. The sentencing judge was under the mistaken impression that there was a joint submission for a one-year custodial sentence for this offence. She indicated that she would deliver reasons on the youth sentence at a later date, but those reasons were never delivered. [12] The appellant was a youthful first offender. When dealing with the adult offences, the sentencing judge referred to rulings from this court indicating that “ordinarily for youthful offenders, as for first offenders, the objectives of individual deterrence and rehabilitation are paramount.” She then went onto say that that principle did not apply because of the “aggravating feature of the home invasion.” That was a misreading of this court’s authorities: see e.g. R. v. Batisse , 2009 ONCA 114, 93 O.R. (3d) 643, at para. 32; R. v. Priest (1996), 1996 CanLII 1381 (ON CA), 110 C.C.C. (3d) 289 (Ont. C.A.) . Where a term of incarceration must be imposed because of the nature of the offence, for a young first offender, the term “should be as short as possible and tailored to the individual circumstances of the accused.” R. v. Priest at p. 12. In R. v. Kwakye , 2015 ONCA 108, [2015] O.J. No. 707 (QL) this court noted that rehabilitation remains an important factor, when sentencing a young first offender on any offence, including manslaughter. R. v. Jacko , 2010 ONCA 452, 101 O.R. (3d) 1 provides another example: perpetrators of a serious home invasion had their sentences reduced on appeal to two years less a day and a conditional sentence in order to better reflect their rehabilitative potential. [13] This is particularly important when sentencing a youthful first offender to a first penitentiary sentence. This court noted in R. v. Borde (2003), 2003 CanLII 4187 (ON CA), 63 O.R. (3d) 417 (C.A.), at para. 36: Aside from the gravity of the appellant's crimes, the overwhelming factor is his youth. In my view, the trial judge erred in principle in focusing almost exclusively on the objectives of denunciation and general deterrence, given the appellant's age and that this was his first adult prison sentence and his first penitentiary sentence. The length of a first penitentiary sentence for a youthful offender should rarely be determined solely by the objectives of denunciation and general deterrence. Where, as here, the offender has not previously been to penitentiary or served a long adult sentence, the courts ought to proceed on the basis that the shortest possible sentence will achieve the relevant objectives. The trial judge's repeated references to the need to send a message and his statement that the sentence was meant to deter others who resort to guns make it clear that general deterrence and to a less extent denunciation determined the length of the sentence. In my view, this error led the trial judge to impose an excessive sentence for the aggravated assault. [14] The appellant had the support of his family and community. The sentencing judge failed to give adequate weight to the appellant’s rehabilitative potential. [15] Finally, the sentencing judge erred when she found that it was an aggravating factor that the appellant deliberately used his baby-faced appearance to dupe the victims into opening their doors. This was not an argument advanced by the Crown, and the evidence did not support this conclusion. In effect, the sentencing judge used the appellant’s youth as an aggravating factor. [16] These offences were in the nature of a spree, all committed before the appellant was subject to the sanction of imprisonment, when he was a youthful first offender. Fresh evidence bears out the rehabilitative potential the appellant has. He is now on parole and working. He pleaded guilty at an early opportunity and was remorseful for his actions. [17] We would not interfere with the one-year concurrent youth sentence. The effect of that sentence is now spent. Pursuant to s. 82 of the YCJA, the appellant has been deemed never to have been found guilty of the youth offence, as that sentence was completed by March 24, 2018. Variation of that sentence would have no practical effect. [18] We agree the offences were serious and merit a stiff sentence. Tailoring that sentence to the circumstances of this appellant, we are of the view that a global sentence of seven years, before credit for pre-sentence custody, would be adequate. That is still a very substantial jail sentence for a youthful first offender going to the penitentiary. [19] We would vary the adult sentences imposed by the trial judge as follows: 1. Robbery Count 3, the appellant was a party to a robbery committed while a participant was armed with a restricted firearm. This attracts a minimum sentence of five years. We impose that sentence less credit for presentence custody of 605 days for 403 days actual presentence custody for a net sentence of 1220 days. 2. Robbery Counts 6, and 11, four years’ incarceration concurrent to the sentence on Count 3 on each count. 3. Count 7, forcible entry contrary to s. 73 of the Criminal Code . The Crown concedes that the seven years’ incarceration must be reduced, and we substitute a one-year sentence concurrent to the sentence on Count 3, as the maximum available sentence is not more than two years. 4. Count 22 possession of a loaded firearm contrary to s. 95(1) of the Criminal Code , we maintain the two-year consecutive sentence consecutive to Count  3. 5. Count 25 possession of firearm without a serial number, we maintain the two years concurrent to the sentence on Count 22. 6. Count 26, possession of cocaine, we maintain the 30 days concurrent to Counts 22 and 23. [20] The victim fine surcharge is set aside, in light of R. v. Boudreault , 2018 SCC 58, [2018] S.C.R. 599. [21] The other ancillary orders made by the sentencing judge are affirmed. “G. Pardu J.A.” “David Paciocco J.A.” “I.V.B. Nordheimer J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: Gefen v. Gaertner, 2021 ONCA 631 DATE: 20210916 DOCKET: M52606 (C68850) Strathy C.J.O., Pepall and Pardu JJ.A. BETWEEN Henia Gefen in her personal capacity and as estate trustee of the Estate of Elias Gefen Plaintiff ( Appellant/Responding Party ) and Arie Gaertner, Miller, Canfield, Paddock and Stone LLP the Jewish Home for the Aged, Baycrest Hospital, Baycrest Centre for Geriatric Care, \ Yehuda Gefen and Harry Gefen Defendants ( Respondents/ Moving Party / Responding Party ) AND BETWEEN Harry Gefen Plaintiff by Counterclaim ( Respondent/Responding Party ) and Henia Gefen in her personal capacity and as estate trustee of the Estate of Elias Gefen, Harvey Gefen, Ashley Gefen, Dundas-Thickson Properties Ltd., 1393522 Ontario Limited and 1585708 Ontario Limited Defendants by Counterclaim ( Appellant/ Responding Party ) Christopher M.B. Graham, for the moving party, Lucia Maria Saunders, Estate Trustee of the Estate of Yehuda Gefen (deceased) Ronald B. Moldaver, Q.C., for the responding party, Henia Gefen in her personal capacity and as estate trustee of the estate of Elias Gefen Devin McMurtry, for the responding party, Harry Gefen Heard: September 15, 2021 by video conference REASONS FOR DECISION [1] At the conclusion of submissions, we advised counsel that the motion to quash the appeal would be dismissed with reasons to follow. These are our reasons. [2] The moving party seeks to quash the appeal of the responding party, Henia Gefen, on the ground that it is out of time. [3] The trial judge released her reasons for decision on October 17, 2019. The judgment dismissed the claim of Henia Gefen in her personal capacity and as estate trustee. The judgment also dismissed the counterclaim of the responding party, Harry Gefen. [4] The appeal of Harry Gefen from that judgment, and the appeal of Henia Gefen in respect of paragraph 5 of that judgment, are scheduled to be heard on October 13, 2021. [5] Although the reasons were released on October 17, 2019, and a decision on costs was released on February 14, 2020, the judgment itself was not signed until October 16, 2020, because the parties could not agree on the form of judgment. It was necessary for the trial judge to convene a case conference and to receive further submissions in order to settle the judgment. On October 13, 2020, the trial judge released an endorsement giving reasons for settling the form of judgment. [6] On October 20, 2020, Henia Gefen served a notice of appeal from the judgment, but only insofar as para. 5 of the judgment was concerned. That paragraph identified assets owned by the deceased at the time of his death. [7] The moving party submits that the time for appeal generally runs from the date of the release of the reasons, not from the date that the judgment is finally settled and issued. That proposition, as a general rule, is well supported by authority: Fontaine v. Canada (Attorney General) , 2012 ONCA 206, 213 A.C.W.S. (3d) 7. [8] The general rule may be displaced where the judgment provides otherwise, or where the judgment is uncertain on a point, or where something of substance has been missed. In such cases, time runs from the date of entry of the judgment, not the date of pronouncement: Fontaine , at paras. 59-60; Byers (Litigation Guardian of) v. Pentex Print Master Industries Inc. (2003), 62 O.R. (3d) 647 (C.A.), at paras. 31, 33, 34, 36, 43. [9] It is equally well settled, however, that the appeal itself is from the judgment and not from the reasons: Ross v. Canada Trust Company , 2021 ONCA 161, 458 D.L.R. (4th) 39, at para. 53. The content of para. 5 of the judgment was not a part of the trial judge’s “summary of disposition” at para. 248 of her reasons, where she summarized the relief that she granted. [10] It was not until the judgment was finally settled, and issued, that the responding party, Henia Gefen, became aware that the content of para. 5 would form part of the judgment of the court. It is reasonable, in our view, to treat October 16, 2020 as the date on which time to appeal began to run and it is not, therefore, out of time. [11] Quite apart from the foregoing, the two appeals are factually connected, the moving party has identified no prejudice as a result of an extension of time and it would have been in the interests of justice that an extension be granted, had it been necessary. [12] The motion to quash is dismissed, with costs to the responding party, Henia Gefen, fixed in the amount of $3,500, inclusive of disbursements and all applicable taxes. “G.R. Strathy C.J.O.” “S.E. Pepall J.A.” “G. Pardu J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: Pinder v. Biggar, 2021 ONCA 623 DATE: 20210917 DOCKET: M52551 (C69419) Benotto, Brown and Harvison Young JJ.A. BETWEEN Jack Pinder, Victor Dusik and Innotech Safety Solutions Inc. Creditors (Respondents/Moving Parties) and Wayne Biggar Debtor ( Appellant/Responding Party ) and Hospodar Davies & Goold Garnishee (Respondent/Responding Party) Stephen Barbier and Ben Tustain, for the moving parties Douglas Spiller, for the responding party Wayne Biggar John Davies, for the responding party Hospodar Davies & Goold [1] Heard: September 8, 2021 by video conference REASONS FOR DECISION [1] The respondents, Jack Pinder, Victor Dusik and Innotech Safety Solutions Inc., move to quash the appeal brought by the appellant, Wayne Biggar, from the order made by Skarica J. dated April 13, 2021 following a garnishment hearing (the “Order”) on the basis that the Order is interlocutory, not final. [2] For the reasons that follow, we conclude that the Order is interlocutory in nature and quash Mr. Biggar’s appeal. [3] By way of background, in 2018 Mr. Biggar commenced an oppression action against the respondents, in which he obtained an interlocutory injunction and orders to produce information. Mr. Biggar later alleged that the respondents failed to comply with the production order and he moved for contempt. The respondents brought a cross-motion to dissolve the injunction. By order dated June 5, 2019 Perell J. dismissed Mr. Biggar’s contempt motion and dissolved the injunction. He ordered costs against Mr. Biggar. [4] Mr. Biggar sought to appeal the order of Perell J., first to this court and then to the Divisional Court. By the time all the appellate dust had settled, the order of Perell J. was left standing, undisturbed, and Mr. Biggar had been ordered to pay the respondents’ costs totalling $128,500 ($110,000 by Perell J.; $7,500 by this court; and $11,000 by the Divisional Court). [5] Mr. Biggar has exhausted his rights of appeal in respect of the order of Perell J., the cost order of this court, and that of the Divisional Court. [6] Mr. Biggar’s oppression action remains outstanding, with no final determination having been made. [7] The respondents sought to enforce the cost orders totalling $128,500 by garnishing part of the proceeds of the sale of Mr. Biggar’s matrimonial home, which were being held in trust by a law firm pending the determination of the matrimonial litigation between Mr. Biggar and his wife. At the request of Mr. Biggar, the motion judge held a garnishment hearing. [8] As the motion judge noted in his oral reasons for the Order, Mr. Biggar’s wife did not oppose the respondents’ effort to garnish as she was satisfied that sufficient funds would remain in trust to satisfy the claims she is asserting against Mr. Biggar in their matrimonial litigation. The motion judge relied on the statements made by Ms. Biggar at para. 18 of her affidavit of December 11, 2020 where she deposed: I was aware that I could oppose the garnishment but based upon the amount being sought under the garnishment I instructed my solicitors not to oppose as I felt there would be sufficient funds remaining to address issues of equalization and costs in the matrimonial proceedings. [9] Following a garnishment hearing, the motion judge ordered $128,500 to be paid from the trust funds to the respondents in satisfaction of Mr. Biggar’s cost obligations to them. In addition, he ordered $5,600 to be paid for accrued postjudgment interest on the cost awards. [10] Mr. Biggar has appealed the Order to this court, contending that it is a final order. The respondents move to quash the appeal on the basis that the Order is interlocutory. Mr. Biggar’s wife did not oppose the Order and she is not a party to Mr. Biggar’s appeal. The garnishee takes no position on this motion. [11] The Order is an interlocutory one. It was made within the oppression action Mr. Biggar commenced, not within the matrimonial litigation. The Order did not finally dispose of the rights of the parties in the oppression action, including any right to substantive relief sought by Mr. Biggar: Hendrickson v. Kallio , [1932] O.R. 675 (C.A.), at p. 680; Sun Life Assurance Co. v. York Ridge Developments Ltd. (1998), 116 O.A.C. 103 (C.A.), at para. 13. Nor did it finally dispose of an issue raised by a defence in the oppression action, as Mr. Biggar is the plaintiff: Ball v. Donais (1993), 13 O.R. (3d) 322 (C.A.). Nor does the Order end a discrete proceeding before the court, as the garnishment hearing was simply a step in the process to enforce cost orders made in the oppression action: Buck Brothers Ltd. v. Frontenac Builders Ltd. (1994), 19 O.R. (3d) 97 (C.A.). [12] The legal effect of the Order that Mr. Biggar seeks to appeal is interlocutory in nature: the Order was made in furtherance of the respondents’ efforts to enforce cost awards made against Mr. Biggar in the oppression action and in respect of which Mr. Biggar has exhausted his rights of appeal. [13] Accordingly, this court has no jurisdiction to hear an appeal from the Order: Courts of Justice Act , R.S.O. 1990, c. C.43, s. 6(1)(b) (“ CJA ”). Mr. Biggar’s appeal is quashed. Any avenue of appeal that Mr. Biggar may have left in respect of the Order lies to the Divisional Court pursuant to CJA s. 19(1)(b) and must be considered by that court. [14] If the parties are unable to agree upon the costs of this motion to quash and the motion to extend, they may deliver written cost submissions, not exceeding three pages in length (excluding any Bill of Costs), within 10 days of the date of these reasons. “M.L. Benotto J.A.” “David Brown J.A.” “Harvison Young J.A.” [1] John Davies appeared but made no written or oral submissions on behalf of the responding party Hospodar Davies & Goold.
COURT OF APPEAL FOR ONTARIO CITATION: R. v. McLaughlin-Coward, 2021 ONCA 626 DATE: 20210917 DOCKET: C68324 Hoy, Trotter and Paciocco JJ.A. BETWEEN Her Majesty the Queen Respondent and Allister McLaughlin-Coward Appellant Allister McLaughlin-Coward, acting in person Michael Crystal, appearing as duty counsel Avene Derwa, for the respondent Heard: September 10, 2021 by video conference On appeal from the sentenced imposed on April 27, 2020 by Justice Iona M. Jaffe of the Ontario Court of Justice. REASONS FOR DECISION [1] The appellant was convicted of one count of aggravated assault. He was sentenced to 6 years’ imprisonment, less 17 months’ credit for time spent in pre-sentence custody (“PSC”), and another 4 months as a result of the harsh conditions of confinement. He applies for leave to appeal his sentence. [2] The appellant attacked his former partner’s husband, the victim, with a knife. The appellant and his former partner had a daughter together 14 years earlier. The appellant was frustrated about not being able to see her. One afternoon, he showed up unannounced at the home of his former partner and the victim, demanding to see his daughter. His former partner told the appellant that he must follow the formal access procedures. [3] When the victim intervened, the appellant threatened him. The conflict soon turned physical. The appellant was armed with two knives. He stabbed the victim multiple times. The police arrived shortly after and saw the appellant using a screwdriver to puncture the tire of the family’s vehicle. In the course of his arrest, the appellant yelled at the victim, “I hope it hurt.” [4] The appellant gave an inculpatory statement to the police at the scene in which he explained that he believed his daughter was being exploited. He told the police that he did not intend to kill the victim, but he knew that it could have happened. He said he wanted to hurt the victim. [5] The victim sustained serious injuries. The sentencing judge noted: He was stabbed twice in the stomach. One stomach wound was one centimeter in length and the other was five centimeters. The larger of those two stab wounds eviscerated the victim’s abdominal contents. The victim also sustained five stab wounds in the back and one on the left side of his neck. The victim required surgery and spent three days in hospital. [6] The appellant entered a plea of guilty to the offence. [7] At the time, he was 41 years old. He had prior convictions for assault with a weapon in 2008, for which he received a suspended sentence, and possession of a weapon in 2017, for which he received a suspended sentence (after spending 75 days in PSC). [8] The Crown submitted that the appellant should receive a sentence in the range of 5 to 6 years’ imprisonment, whereas counsel for the appellant sought a sentence of 15 to 18 months. [9] The sentencing judge provided thorough reasons for sentence. She identified general deterrence and denunciation as the primary objectives in sentencing the appellant. In doing so, she relied on the victim’s injuries, the fact that the appellant armed himself with two knives, the appellant’s related criminal record, and that part of the scenario occurred in front of his daughter. The sentencing judge characterized the attack as “unprovoked and vicious”, which left the victim seriously injured. [10] On the other side of the equation, the sentencing judge took into account the mitigating value of the appellant’s guilty plea. She also considered the detailed information about his life circumstances in the Pre-Sentence Report (“PSR”) and the challenges he has faced over the years. At the time, the appellant denied any alcohol or substance abuse. However, he was medicated for anxiety and depression. [11] In her reasons, the sentencing judge expressed concern about the appellant’s insight into the gravity of the offence. In his discussions with the author of the PSR, he seemed to suggest that his actions were justified on some level (i.e., for the protection of his daughter). He made similar comments to the sentencing judge when asked if he had anything to say before his sentence was imposed. [12] On appeal, the appellant submits that the trial judge misunderstood his attitude in court. He acknowledges that he showed little emotion at the time. He explained that he was under stress as a result of the conditions of his pre-sentence custody and that he was trying to be strong for his daughter. The appellant says that he was remorseful then, as he is now. [13] There is no indication that the sentencing judge formed her impressions about the appellant’s lack of insight based on his emotional presentation. Her observations were based on the appellant’s statements to the author of the PSR, and his words prior to being sentenced. During the hearing of the appeal, the appellant made similar statements, focusing on his concern for his daughter, rather than the impact of his offence on the victim. [14] We see no error in the trial judge’s treatment of this factor. It was a finding that was open to her to reach on the record. She did not improperly treat the appellant’s lack of insight as an aggravating factor; instead, she merely found that she was limited in her ability to give effect to the appellant’s rehabilitative potential by virtue of his attitude towards his conduct. In the circumstances, the trial judge was correct to focus on general deterrence and denunciation. The sentence imposed properly reflects the application of those principles to this case. It cannot be said that the sentence is unfit. [15] In conclusion, we note that the author of the PSR recommended that the appellant take rehabilitative and/or counselling programs directed at: substance abuse, anger management, counseling through a mental health professional, and “additional counselling as directed.” At the appeal hearing, the appellant expressed a willingness to follow this rehabilitative path and we encourage him to do so. [16] The application for leave to appeal sentence is allowed, but the appeal is dismissed. “Alexandra Hoy J.A.” “Gary Trotter J.A.” “David M. Paciocco J.A.”
WARNING The President of the panel hearing this appeal directs that the following should be attached to the file: An order restricting publication in this proceeding under ss. 486.4(1), (2), (2.1), (2.2), (3) or (4) or 486.6(1) or (2) of the Criminal Code shall continue. These sections of the Criminal Code provide: 486.4(1)       Subject to subsection (2), the presiding judge or justice may make an order directing that any information that could identify the victim or a witness shall not be published in any document or broadcast or transmitted in any way, in proceedings in respect of (a)     any of the following offences; (i)      an offence under section 151, 152, 153, 153.1, 155, 159, 160, 162, 163.1, 170, 171, 171.1, 172, 172.1, 172.2, 173, 210, 211, 213, 271, 272, 273, 279.01, 279.011, 279.02, 279.03, 280, 281, 286.1, 286.2, 286.3, 346 or 347, or (ii)      any offence under this Act, as it read at any time before the day on which this subparagraph comes into force, if the conduct alleged involves a violation of the complainant’s sexual integrity and that conduct would be an offence referred to in subparagraph (i) if it occurred on or after that day; or (iii)     REPEALED: S.C. 2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49). (b)     two or more offences being dealt with in the same proceeding, at least one of which is an offence referred to in paragraph (a). (2)     In proceedings in respect of the offences referred to in paragraph (1)(a) or (b), the presiding judge or justice shall (a)     at the first reasonable opportunity, inform any witness under the age of eighteen years and the victim of the right to make an application for the order; and (b)     on application made by the victim, the prosecutor or any such witness, make the order. (2.1) Subject to subsection (2.2), in proceedings in respect of an offence other than an offence referred to in subsection (1), if the victim is under the age of 18 years, the presiding judge or justice may make an order directing that any information that could identify the victim shall not be published in any document or broadcast or transmitted in any way. (2.2) In proceedings in respect of an offence other than an offence referred to in subsection (1), if the victim is under the age of 18 years, the presiding judge or justice shall (a) as soon as feasible, inform the victim of their right to make an application for the order; and (b) on application of the victim or the prosecutor, make the order. (3)     In proceedings in respect of an offence under section 163.1, a judge or justice shall make an order directing that any information that could identify a witness who is under the age of eighteen years, or any person who is the subject of a representation, written material or a recording that constitutes child pornography within the meaning of that section, shall not be published in any document or broadcast or transmitted in any way. (4)     An order made under this section does not apply in respect of the disclosure of information in the course of the administration of justice when it is not the purpose of the disclosure to make the information known in the community. 2005, c. 32, s. 15; 2005, c. 43, s. 8(3)(b); 2010, c. 3, s. 5; 2012, c. 1, s. 29; 2014, c. 25, ss. 22,48; 2015, c. 13, s. 18. 486.6(1)       Every person who fails to comply with an order made under subsection 486.4(1), (2) or (3) or 486.5(1) or (2) is guilty of an offence punishable on summary conviction. (2)     For greater certainty, an order referred to in subsection (1) applies to prohibit, in relation to proceedings taken against any person who fails to comply with the order, the publication in any document or the broadcasting or transmission in any way of information that could identify a victim, witness or justice system participant whose identity is protected by the order. 2005, c. 32, s. 15. COURT OF APPEAL FOR ONTARIO CITATION: R. v. N.H., 2021 ONCA 636 DATE: 20210917 DOCKET: C63612 Simmons, Watt and Roberts JJ.A. BETWEEN Her Majesty the Queen Respondent and N.H. Appellant Margaret Bojanowska, for the appellant Philippe Cowle, for the respondent Heard: September 29, 2020 by video conference On appeal from the convictions entered on September 23, 2016 by Justice Beth A. Allen of the Superior Court of Justice, sitting with a jury and from the sentence imposed on April 21, 2017. ADDENDUM Introduction [1] On November 4, 2020, we released our reasons in this matter to the parties only. Because our reasons contained references to evidence the appellant applied to adduce at trial under s. 276 of the Criminal Code and to the trial judge’s decision dismissing that application, we requested submissions from the parties concerning publication of our reasons. Among other things, we asked whether the publication ban contained in s. 278.95 [1] of the Criminal Code applies to our reasons and if it does, whether we could make an order permitting publication of our reasons “as-is”, i.e. , unredacted, in the same form in which they were distributed to the parties. [2] The Crown responded to our request and informed us that appellant’s counsel agreed with its response. In essence, the Crown submitted that the s. 278.95 publication ban applies to our reasons but that this court has, and in this case we should invoke, inherent jurisdiction to make an order permitting publication of our reasons as is. [3] Prior to this panel determining the issue, two other panels of this court requested submissions concerning publication of their reasons in other appeals involving the same or similar publication bans. In at least one of those matters, the Crown submitted this court has jurisdiction under s. 278.95(1)(d)(ii) of the Criminal Code to make an order permitting publication of unredacted reasons subject to the s. 278.95 publication ban. Given that submission, we requested further submissions concerning the jurisdiction issue. [4] Counsel have now clarified that the Crown’s position is that this court has inherent jurisdiction to make an order permitting publication of our reasons as is and should exercise that discretion based on the same factors that would guide a trial judge or a justice under s. 278.95(1)(c) or (d)(ii) of the Criminal Code . [5] For the reasons that follow, we accept the Crown’s position and order that our reasons in this matter may be published in the form released to the parties on November 4, 2020, subject to the s. 486.4 publication ban imposed at trial. The Section 278.95 Criminal Code Publication Bans and Related Provisions [6] Section 278.93 of the Criminal Code sets out the procedure for an accused to apply for a hearing to determine the admissibility at trial of evidence of other sexual activity on the part of the complainant not the subject of the charge before the court. Section 278.93(4) specifies that the presiding judge or justice may decide to hold an admissibility hearing. [2] Section 278.94 prescribes various procedural rules relating to any hearing that is ordered, including a requirement that the presiding judge or justice give reasons for the admissibility determination: s. 278.94(4). [3] [7] Section 278.95 prohibits publication of: the contents of a s. 278.93 application; the evidence or representations made on a s. 278.93 application or at a s. 278.94 hearing; and of the decision(s) concerning same, but subject to certain exceptions concerning the decision(s) made as set out in s s. 278.95(1)(c) and (d) : 278.95 (1) A person shall not publish in any document, or broadcast or transmit in any way, any of the following: (a) the contents of an application made under subsection 278.93; (b) any evidence taken, the information given and the representations made at an application under section 278.93 or at a hearing under section 278.94; (c) the decision of a judge or justice under subsection 278.93(4), unless the judge or justice, after taking into account the complainant’s right of privacy and the interests of justice, orders that the decision may be published, broadcast or transmitted ; and (d) the determination made and the reasons provided under subsection 278.94 (4) unless ; (i) that determination is that evidence is admissible, or (ii) the judge or justice, after taking into account the complainant’s right of privacy and the interests of justice, orders that the determination and reasons may be published, broadcast or transmitted . [Emphasis added.] The Crown’s Position [8] In essence, the Crown submits: · the s. 278.95 publication ban applies to our reasons; · the authority to make an order permitting publication under s s. 278.95(1)(c) and/or (d)(ii) is restricted to the judge who made the decision under s. 278.93 or 278.94 as the case may be; and · this court has, and in this case should invoke its inherent jurisdiction to make an order permitting publication of its reasons in the same form in which they were distributed to the parties. (i) The s. 278.95 publication ban applies to our reasons [9] In brief, the Crown submits that the s. 278.95 publication ban applies to our reasons and that neither of the exceptions to the application of the ban set out in ss. 278.95(1)(c) and (d) apply. That is: i) the evidence sought to be adduced in the court below was not admitted; and ii) the judge in the court below did not make an order permitting publication, broadcast or transmission of her decision. In fact, there was no discussion in the court below concerning whether the ban should apply. [10] The Crown is not aware of any provisions that would limit or restrict the duration or operation of the ban but submits s. 278.95 should not be interpreted to impose such limits or restrictions, as a restrictive interpretation would defeat its purpose. The purpose of s. 278.95 can be gleaned by analogy to similar publication bans and by reference to the statutory context. In Canadian Newspapers Co. v. Canada (Attorney General), [1988] 2 S.C.R. 122, at pp. 129-32, the Supreme Court of Canada discussed the purpose of s. 486.4 publication bans, which protect the identity of complainants in prosecutions for sexual offences. Broadly speaking, the Court recognized that the purpose of the publication ban was to foster complaints from victims of sexual assault by protecting them from the trauma of wide-spread publication, which could result in embarrassment and humiliation. [11] The Crown notes that those same important objectives underlie the statutory framework surrounding applications to lead evidence of extrinsic sexual activity. In ss. 276(3)(b),(f), and (g), Parliament expressly lays out the objectives of encouraging reporting and protecting the dignity and privacy of complainants as factors that the court must consider in determining whether the evidence of extrinsic sexual is admissible. As highlighted in Canadian Newspapers , at pp. 131-33, legislation aimed at protecting a complainant’s privacy rights must be robust, as temporary protection is effectively no protection at all. [12] Finally, the Crown submits that the existence of a s. 486.4 publication ban does not affect whether the s. 278.95 ban applies. The scope of the bans and the protected interests under them are different. Whether a s. 486.4 ban is in place, a complainant may, or may not, wish the details of the evidence presented on a s. 276 application to remain private. (ii) Subsections 278.95(1)(c) and (d)(ii) do not provide this court with authority to permit publication of our reasons [13] The Crown submits that the authority to make an order pursuant to ss. 278.95(1)(c) or (d)(ii) is restricted to the judge who made the decision under ss. 278.93 or 278.94. Subsections 278.95(1)(c) and (1)(d) both refer to “the judge or justice” (as opposed to “a judge or justice”), suggesting that the authority is granted specifically to the judge who made the decision. The French text supports this interpretation, referring to “le juge ou le juge de paix”. Read on its face, no language in s. 278.95 purports to create any power exercisable by a reviewing court. (iii) This court has, and should invoke in this case its inherent jurisdiction to make an order permitting publication of its reasons as-is [14] The Crown acknowledges that it may be possible for this court to access the trial court’s power to make an order under s. 278.95 through s. 13(2) of the Courts of Justice Act , R.S.O. 1990, c. C.43 (the “ CJA ”), [4] or to find jurisdiction to make an order permitting publication through the combined operation of s. 683(3) of the Criminal Code and s. 134 of the CJA . [5] [6] However, the Crown submits both of those options present challenges. In any event, the Crown submits this court has inherent jurisdiction to make an order permitting publication of its reasons as is. As will be discussed further below, the Crown relies on several cases holding that a court has inherent jurisdiction to control its own records in support of that proposition. Further, taking account of the statutory factors that would guide trial judges making the same decision under ss. 278.95(c) or (d), the Crown submits this court should make an order permitting publication of its reasons in this case for four reasons: · the complainant is comfortable with this court’s decision being published as is; · the complainant’s privacy remains protected through the s. 486.4 publication ban, which will remain in place; · on the particular facts of this case, the privacy rights at issue are already lessened, because the evidence at issue on the s. 276 application came out at trial despite the trial judge’s ruling; and · the development of the jurisprudence surrounding s. 276 applications and evidence of extrinsic sexual activity will benefit from the publication of this court’s decision as is. Discussion (1) This court has inherent jurisdiction to permit publication of its reasons as is [15] Assuming that we cannot authorize publication, broadcast or transmission of our reasons under ss. 278.95(1)(c) or (d)(ii) of the Criminal Code , we are satisfied that, in any event, we have inherent jurisdiction to do so. [16] In support of its position that this court has inherent jurisdiction to order that its judgment be published unedited and effectively override the s. 276.3 publication ban, the Crown initially relied on this court’s decisions in Re Joudrie (1997), 100 O.A.C. 25 and R. v. A.B. (1997), 33 O.R. (3d) 321 in which this court lifted publication bans imposed at trial under ss. 486(3) and (4) of the Criminal Code . Although this court did not discuss its jurisdiction in those cases, the Crown submitted that, by implication, it relied on its inherent jurisdiction to control its own records. [17] In our view, those cases appear to be premised on a court’s inherent jurisdiction to vary or revoke an order made at trial where the circumstances that were present at the time the order was made have materially changed. The Crown has subsequently clarified [7] that it relies on a general line of cases establishing a court’s authority to control its own records. [18] Those cases are: R. v. Garofoli , [1990] 2 S.C.R. 1421, at p. 1457; Vickery v. Nova Scotia Supreme Court (Prothonotary) , [1991] 1 S.C.R. 671, at pp. 681-83; R. v. Bernardo , [1995] O.J. No. 1472 (Gen. Div.), at paras. 13, 112-28, leave to appeal refused, [1995] S.C.C.A. No. 250, further appeal dismissed for lack of jurisdiction, (1998) 122 C.C.C. (3d) 475 (Ont. C.A.); and R. v. Canadian Broadcasting Corp. , 2010 ONCA 726, 102 O.R. (3d) 673. [19] None of the above-noted cases dealt with a reviewing court’s power to lift a statutory publication ban. However, they all dealt with public access to court records and affirmed the supervisory power a court holds over access to its records. Further, Vickery relied on A.G. (Nova Scotia) v. MacIntyre , [1982] 1 S.C.R. 175, in which the Supreme Court clearly stated, at p. 189, “Undoubtedly every court has a supervisory and protecting power over its own records.” [20] The records at issue in the cases upon which the Crown relied include exhibits at a criminal trial or preliminary inquiry (transcripts of an alleged confession after an accused was acquitted: Vickery ; explicit recordings of violent crime: Bernardo ; preliminary inquiry exhibits: CBC ; search warrants and the information to obtain based on which they were issued: MacIntyre ; and affidavits, upon which the police relied to obtain wiretaps: Garofoli ). [21] Here, the court record at issue is this court’s reasons for decision, which include reference to the reasons of the court below – the object of a s. 278.95 statutory publication ban. However, if this court has supervisory and protective powers over externally filed court records, it must follow that it has at least the same or greater powers over its own reasons. [22] Moreover, given that s. 278.95 is silent on the powers of a reviewing court, whatever inherent jurisdiction this court possesses necessarily survives, as it has not been displaced by clear and precise statutory language: Canada (Attorney General) v. Fontaine , 2017 SCC 47, [2017] 2 S.C.R. 205, at para. 33; R. v. Adams , [1995] 4 S.C.R. 707, at para. 28. [23] Undoubtedly, the tests enunciated in the early cases for restricting public access to court records have been superseded by the Dagenais/Mentuck test: see Dagenais v. Canadian Broadcasting Corp., [1994] 3 S.C.R. 835; R. v. Mentuck , 2001 SCC 76, [2001] 3 S.C.R. 442 . However, what is at issue in this case is not restricting public access. Rather, the issue is whether statutorily restricted public access to this court’s reasons should be expanded. [24] Accepting that this court has inherent jurisdiction over its own records, we conclude that it can exercise its discretion concerning publication, based on the same factors that the court below is entitled to permit publication of its reasons. It makes sense that this court’s discretion should be exercised in a manner that accords with the framework of the statutory publication ban. [25] We also accept the Crown’s submission that this court’s discretion extends to permitting publication of any portion of the reasons of the court below that refer to the content of the underlying application and the evidence and representations made in relation to it or at a hearing. That is consistent with a purposive interpretation of s. 278.95(1). To hold otherwise would make the discretion to permit publication conferred in that section, and by extension this court’s inherent jurisdiction to do so, meaningless. (2) This court should permit publication of its reasons as is in this case [26] In this case, there was no discussion in the court below concerning whether the mandatory s. 278.95 publication ban should be lifted under s. 278.95(1)(c). The mandatory ban therefore applied by statute. The question of what, if any, deference is owed to the court below does not arise. [27] On appeal, the Crown asks that this court exercise its discretion to publish its reasons. It notes that the complainant is comfortable with that result and the complainant’s identity will in any event be protected by the s. 486.4 publication ban, which will remain in place. Equally important, the development of the jurisprudence surrounding s. 276 applications and evidence of extrinsic sexual activity will benefit from the publication of this court’s decision as is. [28] We accept the Crown’s submissions as supporting the order it seeks. They take proper account of both the complainant’s privacy right and the interests of justice, the relevant factors under s. 278.95(1)(c) of the Criminal Code . Disposition [29] Based on the foregoing reasons, we order that, despite the s. 278.95 publication ban, our reasons in this matter may be published in the form released to the parties on November 4, 2020, subject to the s. 486.4 publication ban imposed at trial. “Janet Simmons J.A.” “David Watt J.A.” “L.B. Roberts J.A.” Appendix “A” English Version Evidence of complainant’s sexual activity 276 (1) In proceedings in respect of an offence under section 151, 152, 153, 153.1 or 155, subsection 160(2) or (3) or section 170, 171, 172, 173, 271, 272 or 273, evidence that the complainant has engaged in sexual activity, whether with the accused or with any other person, is not admissible to support an inference that, by reason of the sexual nature of that activity, the complainant (a) is more likely to have consented to the sexual activity that forms the subject-matter of the charge; or (b) is less worthy of belief. Conditions for admissibility (2) In proceedings in respect of an offence referred to in subsection (1), evidence shall not be adduced by or on behalf of the accused that the complainant has engaged in sexual activity other than the sexual activity that forms the subject-matter of the charge, whether with the accused or with any other person, unless the judge, provincial court judge or justice determines, in accordance with the procedures set out in sections 278.93 and 278.94, that the evidence (a) is not being adduced for the purpose of supporting an inference described in subsection (1); (b) is relevant to an issue at trial; and (c) is of specific instances of sexual activity; and (d) has significant probative value that is not substantially outweighed by the danger of prejudice to the proper administration of justice. Factors that judge must consider (3) In determining whether evidence is admissible under subsection (2), the judge, provincial court judge or justice shall take into account (a) the interests of justice, including the right of the accused to make a full answer and defence; (b) society’s interest in encouraging the reporting of sexual assault offences; (c) whether there is a reasonable prospect that the evidence will assist in arriving at a just determination in the case; (d) the need to remove from the fact-finding process any discriminatory belief or bias; (e) the risk that the evidence may unduly arouse sentiments of prejudice, sympathy or hostility in the jury; (f) the potential prejudice to the complainant’s personal dignity and right of privacy; (g) the right of the complainant and of every individual to personal security and to the full protection and benefit of the law; and (h) any other factor that the judge, provincial court judge or justice considers relevant. Interpretation (4) For the purpose of this section, sexual activity includes any communication made for a sexual purpose or whose content is of a sexual nature. Application for hearing — sections 276 and 278.92 278.93 (1) Application may be made to the judge, provincial court judge or justice by or on behalf of the accused for a hearing under section 278.94 to determine whether evidence is admissible under subsection 276(2) or 278.92(2). Form and content of application (2) An application referred to in subsection (1) must be made in writing, setting out detailed particulars of the evidence that the accused seeks to adduce and the relevance of that evidence to an issue at trial, and a copy of the application must be given to the prosecutor and to the clerk of the court. Jury and public excluded (3) The judge, provincial court judge or justice shall consider the application with the jury and the public excluded. Judge may decide to hold hearing (4) If the judge, provincial court judge or justice is satisfied that the application was made in accordance with subsection (2), that a copy of the application was given to the prosecutor and to the clerk of the court at least seven days previously, or any shorter interval that the judge, provincial court judge or justice may allow in the interests of justice and that the evidence sought to be adduced is capable of being admissible under subsection 276(2), the judge, provincial court judge or justice shall grant the application and hold a hearing under section 278.94 to determine whether the evidence is admissible under subsection 276(2) or 278.92(2). Hearing — jury and public excluded 278.94 (1) The jury and the public shall be excluded from a hearing to determine whether evidence is admissible under subsection 276(2) or 278.92(2). Complainant not compellable (2) The complainant is not a compellable witness at the hearing but may appear and make submissions. Right to counsel (3) The judge shall, as soon as feasible, inform the complainant who participates in the hearing of their right to be represented by counsel. Judge’s determination and reasons (4) At the conclusion of the hearing, the judge, provincial court judge or justice shall determine whether the evidence, or any part of it, is admissible under subsection 276(2) or 278.92(2) and shall provide reasons for that determination, and (a) if not all of the evidence is to be admitted, the reasons must state the part of the evidence that is to be admitted; (b) the reasons must state the factors referred to in subsection 276(3) or 278.92(3) that affected the determination; and (c) if all or any part of the evidence is to be admitted, the reasons must state the manner in which that evidence is expected to be relevant to an issue at trial. Record of reasons (5) The reasons provided under subsection (4) shall be entered in the record of the proceedings or, if the proceedings are not recorded, shall be provided in writing. Publication prohibited 278.95 (1) A person shall not publish in any document, or broadcast or transmit in any way, any of the following: (a) the contents of an application made under subsection 278.93; (b) any evidence taken, the information given and the representations made at an application under section 278.93 or at a hearing under section 278.94; (c) the decision of a judge or justice under subsection 278.93(4), unless the judge or justice, after taking into account the complainant’s right of privacy and the interests of justice, orders that the decision may be published, broadcast or transmitted; and (d) the determination made and the reasons provided under subsection 278.94(4), unless (i) that determination is that evidence is admissible, or (ii) the judge or justice, after taking into account the complainant’s right of privacy and the interests of justice, orders that the determination and reasons may be published, broadcast or transmitted. Offence (2) Every person who contravenes subsection (1) is guilty of an offence punishable on summary conviction. Order restricting publication — sexual offences 486.4 (1) Subject to subsection (2), the presiding judge or justice may make an order directing that any information that could identify the victim or a witness shall not be published in any document or broadcast or transmitted in any way, in proceedings in respect of (a) any of the following offences: (i) an offence under section 151, 152, 153, 153.1, 155, 160, 162, 163.1, 170, 171, 171.1, 172, 172.1, 172.2, 173, 213, 271, 272, 273, 279.01, 279.011, 279.02, 279.03, 280, 281, 286.1, 286.2, 286.3, 346 or 347, or (ii) any offence under this Act, as it read from time to time before the day on which this subparagraph comes into force, if the conduct alleged would be an offence referred to in subparagraph (i) if it occurred on or after that day; or (b) two or more offences being dealt with in the same proceeding, at least one of which is an offence referred to in paragraph (a). Mandatory order on application (2) In proceedings in respect of the offences referred to in paragraph (1)(a) or (b), the presiding judge or justice shall (a) at the first reasonable opportunity, inform any witness under the age of eighteen years and the victim of the right to make an application for the order; and (b) on application made by the victim, the prosecutor or any such witness, make the order. Victim under 18 — other offences (2.1) Subject to subsection (2.2), in proceedings in respect of an offence other than an offence referred to in subsection (1), if the victim is under the age of 18 years, the presiding judge or justice may make an order directing that any information that could identify the victim shall not be published in any document or broadcast or transmitted in any way. Mandatory order on application (2.2) In proceedings in respect of an offence other than an offence referred to in subsection (1), if the victim is under the age of 18 years, the presiding judge or justice shall (a) as soon as feasible, inform the victim of their right to make an application for the order; and (b) on application of the victim or the prosecutor, make the order. Child pornography (3) In proceedings in respect of an offence under section 163.1, a judge or justice shall make an order directing that any information that could identify a witness who is under the age of eighteen years, or any person who is the subject of a representation, written material or a recording that constitutes child pornography within the meaning of that section, shall not be published in any document or broadcast or transmitted in any way. Limitation (4) An order made under this section does not apply in respect of the disclosure of information in the course of the administration of justice when it is not the purpose of the disclosure to make the information known in the community. Version française Preuve concernant le comportement sexuel du plaignant 276 (1) Dans les poursuites pour une infraction prévue aux articles 151, 152, 153, 153.1 ou 155, aux paragraphes 160(2) ou (3) ou aux articles 170, 171, 172, 173, 271, 272 ou 273, la preuve de ce que le plaignant a eu une activité sexuelle avec l’accusé ou un tiers est inadmissible pour permettre de déduire du caractère sexuel de cette activité qu’il est : a) soit plus susceptible d’avoir consenti à l’activité à l’origine de l’accusation; b) soit moins digne de foi. Conditions de l’admissibilité (2) Dans les poursuites visées au paragraphe (1), l’accusé ou son représentant ne peut présenter de preuve de ce que le plaignant a eu une activité sexuelle autre que celle à l’origine de l’accusation sauf si le juge, le juge de la cour provinciale ou le juge de paix décide, conformément aux articles 278.93 et 278.94, à la fois: a) que cette preuve n’est pas présentée afin de permettre les déductions visées au paragraphe (1); b) que cette preuve est en rapport avec un élément de la cause; c) que cette preuve porte sur des cas particuliers d’activité sexuelle; d) que le risque d’effet préjudiciable à la bonne administration de la justice de cette preuve ne l’emporte pas sensiblement sur sa valeur probante. Facteurs à considérer (3) Pour décider si la preuve est admissible au titre du paragraphe (2), le juge, le juge de la cour provinciale ou le juge de paix prend en considération: a) l’intérêt de la justice, y compris le droit de l’accusé à une défense pleine et entière; b) l’intérêt de la société à encourager la dénonciation des agressions sexuelles; c) la possibilité, dans de bonnes conditions, de parvenir, grâce à elle, à une décision juste; d) le besoin d’écarter de la procédure de recherche des faits toute opinion ou préjugé discriminatoire; e) le risque de susciter abusivement, chez le jury, des préjugés, de la sympathie ou de l’hostilité; f) le risque d’atteinte à la dignité du plaignant et à son droit à la vie privée; g) le droit du plaignant et de chacun à la sécurité de leur personne, ainsi qu’à la plénitude de la protection et du bénéfice de la loi; h) tout autre facteur qu’il estime applicable en l’espèce. Précision (4) Il est entendu que, pour l’application du présent article, activité sexuelle s’entend notamment de toute communication à des fins d’ordre sexuel ou dont le contenu est de nature sexuelle. Demande d’audience : articles 276 et 278.92 278.93 (1) L’accusé ou son représentant peut demander au juge, au juge de la cour provinciale ou au juge de paix de tenir une audience conformément à l’article 278.94 en vue de décider si la preuve est admissible au titre des paragraphes 276(2) ou 278.92(2). Forme et contenu (2) La demande d’audience est formulée par écrit et énonce toutes précisions utiles au sujet de la preuve en cause et le rapport de celle-ci avec un élément de la cause; une copie en est expédiée au poursuivant et au greffier du tribunal. Exclusion du jury et du public (3) Le jury et le public sont exclus de l’audition de la demande. Audience (4) Une fois convaincu que la demande a été établie conformément au paragraphe (2), qu’une copie en a été expédiée au poursuivant et au greffier du tribunal au moins sept jours auparavant, ou dans le délai inférieur autorisé par lui dans l’intérêt de la justice, et qu’il y a des possibilités que la preuve en cause soit admissible, le juge, le juge de la cour provinciale ou le juge de paix accorde la demande et tient une audience pour décider de l’admissibilité de la preuve au titre des paragraphes 276(2) ou 278.92(2). Audience — exclusion du jury et du public 278.94 (1) Le jury et le public sont exclus de l’audience tenue pour décider de l’admissibilité de la preuve au titre des paragraphes 276(2) ou 278.92(2). Non-contraignabilité (2) Le plaignant peut comparaître et présenter ses arguments à l’audience, mais ne peut être contraint à témoigner. Droit à un avocat (3) Le juge est tenu d’aviser dans les meilleurs délais le plaignant qui participe à l’audience de son droit d’être représenté par un avocat. Motifs (4) Le juge, le juge de la cour provinciale ou le juge de paix rend une décision, qu’il est tenu de motiver, à la suite de l’audience sur l’admissibilité de tout ou partie de la preuve au titre des paragraphes 276(2) ou 278.92(2), en précisant les points suivants: a) les éléments de la preuve retenus; b) ceux des facteurs mentionnés aux paragraphes 276(3) ou 278.92(3) ayant fondé sa décision; c) la façon dont tout ou partie de la preuve à admettre est en rapport avec un élément de la cause. Forme (5) Les motifs de la décision sont à porter dans le procès-verbal des débats ou, à défaut, donnés par écrit. Publication interdite 278.95 (1) Il est interdit de publier ou de diffuser de quelque façon que ce soit le contenu de la demande présentée en vertu de l’article 278.93 et tout ce qui a été dit ou déposé à l’occasion de cette demande ou aux audiences mentionnées à l’article 278.94. L’interdiction vise aussi, d’une part, la décision rendue sur la demande d’audience au titre du paragraphe 278.93(4) et, d’autre part, la décision et les motifs mentionnés au paragraphe 278.94(4), sauf, dans ce dernier cas, si la preuve est déclarée admissible ou, dans les deux cas, si le juge ou le juge de paix rend une ordonnance autorisant la publication ou la diffusion après avoir pris en considération le droit du plaignant à la vie privée et l’intérêt de la justice. Infraction (2) Quiconque contrevient au paragraphe (1) commet une infraction punissable sur déclaration de culpabilité par procédure sommaire. Ordonnance limitant la publication — infractions d’ordre sexuel 486.4 (1) Sous réserve du paragraphe (2), le juge ou le juge de paix qui préside peut rendre une ordonnance interdisant de publier ou de diffuser de quelque façon que ce soit tout renseignement qui permettrait d’établir l’identité de la victime ou d’un témoin dans les procédures relatives à: a) l’une des infractions suivantes: (i) une infraction prévue aux articles 151, 152, 153, 153.1, 155, 160, 162, 163.1, 170, 171, 171.1, 172, 172.1, 172.2, 173, 213, 271, 272, 273, 279.01, 279.011, 279.02, 279.03, 280, 281, 286.1, 286.2, 286.3, 346 ou 347, (ii) une infraction prévue par la présente loi, dans toute version antérieure à la date d’entrée en vigueur du présent sous-alinéa, dans le cas où l’acte reproché constituerait une infraction visée au sous-alinéa (i) s’il était commis à cette date ou par la suite; b) deux infractions ou plus dans le cadre de la même procédure, dont l’une est une infraction visée à l’alinéa a). Obligations du juge (2) Dans les procédures relatives à des infractions visées aux alinéas (1)a) ou b), le juge ou le juge de paix qui préside est tenu: a) d’aviser dès que possible les témoins âgés de moins de dix-huit ans et la victime de leur droit de demander l’ordonnance; b) de rendre l’ordonnance, si le poursuivant, la victime ou l’un de ces témoins lui en fait la demande. Victime de moins de dix-huit ans — autres infractions (2.1) Sous réserve du paragraphe (2.2), le juge ou le juge de paix qui préside peut rendre une ordonnance interdisant de publier ou de diffuser de quelque façon que ce soit tout renseignement qui permettrait d’établir l’identité de la victime âgée de moins de dix-huit ans dans les procédures relatives à toute infraction autre que celles visées au paragraphe (1). Obligations du juge (2.2) Dans les procédures relatives à toute infraction autre que celles visées au paragraphe (1), le juge ou le juge de paix qui préside est tenu, si la victime est âgée de moins de dix-huit ans: a) d’aviser dans les meilleurs délais la victime de son droit de demander l’ordonnance; b) de rendre l’ordonnance, si le poursuivant ou la victime lui en fait la demande. Pornographie juvénile (3) Dans les procédures relatives à une infraction visée à l’article 163.1, le juge ou le juge de paix rend une ordonnance interdisant de publier ou de diffuser de quelque façon que ce soit tout renseignement qui permettrait d’établir l’identité d’un témoin âgé de moins de dix-huit ans ou d’une personne faisant l’objet d’une représentation, d’un écrit ou d’un enregistrement qui constitue de la pornographie juvénile au sens de cet article. Restriction (4) Les ordonnances rendues en vertu du présent article ne s’appliquent pas à la communication de renseignements dans le cours de l’administration de la justice si la communication ne vise pas à renseigner la collectivité. [1] Many of the Criminal Code provisions referred to in this Addendum have been renumbered since the trial. For convenience, we will refer to the current section numbers. [2] Sections 278.93 and 278.94 also apply to applications and hearings regarding the admissibility of records in the accused’s possession that relate to a complainant, which are presumptively inadmissible under s. 278.92. [3] All Criminal Code provisions referred to in this Addendum are set out in full, in both French and English, in Appendix “A”. [4] Section 13(2) of the CJA states: “A judge of the Court of Appeal is, by virtue of his or her office, a judge of the Superior Court of Justice and has all the jurisdiction, power and authority of a judge of the Superior Court of Justice.” [5] Section 683(3) of the Criminal Code states: A court of appeal may exercise, in relation to proceedings in the court, any powers not mentioned in subsection (1) that may be exercised by the court on appeals in civil matters, and may issue any process that is necessary to enforce the orders or sentences of the court, but no costs shall be allowed to the appellant or respondent on the hearing and determination of an appeal or on any proceedings preliminary or incidental thereto. Section 134(1) of the CJA states: Unless otherwise provided, a court to which an appeal is taken may, (a) make any order or decision that ought to or could have been made by the court or tribunal appealed from; (b) order a new trial; (c) make any other order or decision that is considered just. [6] The Crown notes there is precedent for this court to impose a publication ban pursuant to s. 134(1) of the CJA : R. v. G.M. , [2000] O.J. No. 5007, at para. 4. (Presumably, this was done in conjunction with s. 683(3) of the Criminal Code .) Further, the Crown notes that a Superior Court judge has inherent jurisdiction to vary or lift publication bans pursuant to s. 486.4 after the trial judge has become functus officio ( R. v. Ireland (2005), 203 C.C.C. (3d) 443 (Ont. S.C.J.)). As noted, under s. 13(2) of the CJA , judges of this court have the jurisdiction, power and authority of judges of the Superior Court of Justice. [7] In our second request for submissions referred to above, we asked if this court’s inherent jurisdiction to make an order permitting unredacted publication of its reasons was confined to situations where there had been a material change in circumstances. We asked this question because in Re Joudrie and R. v. A.B. , the complainants asked on appeal that publication bans imposed at trial be lifted and the Crown supported their requests. In lifting the publication bans, this court had regard to principles set out in R. v. Adams , [1955] 4 S.C.R. 707. In Adams , the Supreme Court of Canada held, at para. 30, that, as a general rule, any order relating to the conduct of a trial can be varied or revoked if the circumstances that were present at the time the order was made have materially changed. To be material, the change must relate to a matter that justified the order in the first place.
COURT OF APPEAL FOR ONTARIO CITATION: R. v. Scott, 2021 ONCA 625 DATE: 20210917 DOCKET: C68108 Tulloch, Roberts and Trotter JJ.A. BETWEEN Her Majesty the Queen Appellant and Gary Scott Respondent Frank Au and Scott Patterson, for the appellant Nader R. Hasan, Dragana Rakic and Karen Bernofsky, for the respondent Heard: May 11, 2021 by video conference On appeal from the acquittal entered on January 30, 2020, by Justice Kelly P. Byrne of the Superior Court of Justice, sitting without a jury. Trotter J.A.: A. Introduction [1] Henryk Dabrowski was murdered in his apartment on October 28, 2017. He was stabbed 23 times, and his face, hair, and hands were covered with a brown substance that appeared to be chocolate sauce. Months later, the respondent was charged with second degree murder. After a judge alone trial, the respondent was found not guilty. The Crown appeals his acquittal. [2] The trial judge provided thorough reasons for judgment in which she carefully evaluated all of the evidence. The Crown isolates three aspects of the trial judge’s reasons and contends they reflect errors of law that were instrumental in her decision to acquit the respondent. [3] I would dismiss the appeal. The trial judge made no legal errors in her analysis. The Crown disputes the weight the trial judge assigned to certain pieces of evidence and attacks the reasonableness of the acquittal, both of which are beyond the scope of proper appellate review on a Crown appeal. B. factual background (1) Introduction [4] The bulk of the trial judge’s findings are uncontested. Consequently, the following general overview relies heavily on her reasons. I will review the contested portions of the evidence in greater detail when addressing the grounds of appeal. [5] The trial was brief, lasting only a week. The respondent made many admissions. The Crown’s case was entirely circumstantial. The only issue was identity. [6] The precise time of Mr. Dabrowski’s death was never established. After he was killed, however, witnesses observed the respondent moving around the building, going between floors, and changing his appearance. His comings and goings were captured by security video cameras, which turned out to be a significant feature of this case. At one point, the respondent was seen leaving the building with his hand wrapped in a white towel, returning just a few minutes later. A contentious issue at trial was whether anything was concealed under the towel. The Crown contended the respondent disposed of the murder weapon, a knife. The trial judge disagreed and found that there was nothing concealed in the towel. [7] The Crown relied on forensic evidence concerning an apparent “trail” of what appeared to be chocolate sauce, leading from the deceased’s apartment to the respondent’s. The trial judge rejected the proposition that the deposits or stains that the Crown pointed to were sufficient to establish a “trail”. This conclusion is linked to the Crown’s complaint, discussed below, that the trial judge improperly rejected an admission made by the respondent concerning the apparent presence of a sticky substance on a stairwell door handle close to Mr. Dabrowski’s apartment. [8] It was admitted at trial that the respondent had been in Mr. Dabrowski’s apartment on the day that he was killed. The police seized shoes from the respondent’s apartment. The shoes could not be excluded as having made the impressions in Mr. Dabrowski’s apartment. The footwear impressions expert, Detective Johnston, however, could not say when the impressions were made. The police also seized a jacket, seen in some of the video clips, that contained a small stain of Mr. Dabrowski’s blood. The trial judge found that the respondent was inside Mr. Dabrowski’s apartment after he had been killed. [9] The respondent called no evidence in his defence. [10] Twice in its factum, the Crown makes mention that this trial was meant to be a bifurcated procedure. That is, it was expected that the respondent would be found to have killed Mr. Dabrowski and the proceedings would then shift to address a potential defence of not criminally responsible on account of mental disorder (“NCRMD”): Criminal Code , R.S.C. 1985, c. C-46, s. 16. [11] The Crown leaves the impression that the trial of the question of the respondent’s guilt in killing Mr. Dabrowski was a mere formality along the road to a NCRMD hearing. The respondent rejects this proposition and contends that the Crown’s case was seriously challenged through cross-examination, especially that of William Cameron, whose evidence the trial judge largely rejected. [12] Whatever may have transpired behind the scenes before trial, it is not in issue on this appeal, nor does it form a backdrop for our consideration. At trial, the respondent enjoyed the full protection of the presumption of innocence. The trial judge was tasked with determining whether the evidence proved beyond a reasonable doubt that the respondent killed Mr. Dabrowski. She did just that, making the following thoughtful observations, at para. 102: In a case like this where an individual has been brutally murdered, I am mindful that the desire to want to identify the offender is strong. Human nature wants to blame and hold someone accountable. As I navigate my way through the evidence, I remind myself that suspicion and probable guilt are not a basis for conviction. Our law requires certainty and nothing less than proof beyond a reasonable doubt will suffice. When I consider the evidence against Mr. Scott, I am unable to say with a level of certainty that he stabbed Mr. Dabrowski. I find myself left in a state of reasonable doubt. Our law requires that Mr. Scott be given the benefit of that doubt. [13] As discussed below, the trial judge was entitled the make the findings that she did based on the evidence and lack of evidence before her. (2) Mr. Dabrowski and The Apartment Building [14] Mr. Dabrowski and the respondent lived in the same building at 5 Wakunda Place. Mr. Dabrowski lived in apartment 213; the respondent lived in apartment 502. 5 Wakunda Place is connected to an adjacent building, 7 Wakunda Place, via an enclosed walkway that extends from a lobby on the second floor. As discussed below, a good deal of evidence focused on the respondent’s movements that night within 5 Wakunda and back and forth between 5 and 7 Wakunda. [15] The apartment buildings, and one other, are part of a Toronto Community Housing Complex. The trial judge observed that many residents deal with addictions and have other challenges. It was common for the police, the fire department, and ambulances to be at the complex on a daily basis. [16] Mr. Dabrowski sold beer out of his apartment for double the price he paid for it. He accepted cash or, if someone was low on cash near the end of the month, he took collateral, such as personal items. As discussed below, the respondent may have left electronics at Mr. Dabrowski’s apartment. [17] Mr. Dabrowski was last seen alive at 5:32 p.m. on the night he was murdered. Mr. Dabrowski’s neighbours found his body at approximately 8:50 p.m. At least five people entered Mr. Dabrowski’s apartment after he was found dead, one of whom helped himself to a beer. [18] When the police arrived, Mr. Dabrowski was lying in a pool of blood. He had been stabbed 23 times in his torso, and he suffered other defensive wounds. Mr. Dabrowski’s hair, face, and hands were covered in a brown substance that appeared to be chocolate sauce. The apartment otherwise seemed to be in order: a significant amount of money, electronics, and other valuables were left undisturbed. The police did not find the murder weapon. (3) The Respondent’s Movements That Night [19] The respondent was on the move around the Wakunda buildings around the time Mr. Dabrowski was killed. Of importance to the appeal is the evidence of William Cameron, who claimed to see the respondent three times that night, and the evidence of Arthur Ramsay, who spoke with the respondent while in an elevator. Their evidence is better understood against the backdrop of the security video footage, which establishes the following timeline on the evening of the murder: [1] 6:22:16 p.m. The respondent stands outside the elevator on the fifth floor. He is wearing a blue shirt and green Adidas shoes but does not get on the elevator. 6:37:20 p.m. As Mr. Cameron enters 5 Wakunda Place via the second-floor walkway, a man runs past him, moving north away from the direction of Mr. Dabrowski’s apartment and toward the north stairwell. 6:40:03 p.m. The respondent enters the elevator on the fifth floor. His appearance has changed. He is wearing a green jacket with the hood up, a blue shirt, black pants, a black mask, and green Adidas shoes. He is carrying a black gym bag, and there is a white cloth on his right hand. 6:40:30 p.m. The respondent exits the elevator on the first floor and walks across the lobby and into the north stairwell. 6:40:35 p.m. The respondent enters the north stairwell on the first floor and heads up the stairs. 6:40:45 p.m. Mr. Cameron enters the second-floor walkway from outside, and a man runs past him, heading south from the north stairwell, toward Mr. Dabrowski’s apartment. The trial judge accepted that the respondent is the man in the footage. 6:43:15 p.m. The respondent walks from the second-floor lobby to the walkway and drops an envelope addressed to Mr. Dabrowski. 6:43:18 p.m. to 6:45:48 p.m. The respondent walks along the second-floor walkway, leaves 5 Wakunda Place, and walks southbound on the sidewalk. He then returns to 5 Wakunda Place from the same direction in which he left. 6:46:25 p.m. The respondent stands outside the main entrance to 5 Wakunda Place. He is talking to two people and hands them a CD out of his bag. 7:53:18 p.m. The respondent boards the elevator on the fifth floor. Mr. Ramsay is in the elevator. The respondent has changed his clothes again and is wearing white shoes and a multi-coloured shirt. He is carrying a beer in his left hand and his right hand is wrapped in an unknown item. (a) William Cameron [20] William Cameron lived at 7 Wakunda Place. He was an important but contentious witness. He testified to seeing the respondent three times that night. The trial judge concluded Mr. Cameron only saw the respondent twice. [21] First, at 6:37 p.m. (approximately one hour after Mr. Dabrowski was last seen alive), Mr. Cameron said he saw the respondent running from the direction of Mr. Dabrowski’s apartment on the second floor toward the north stairwell and up the stairs. He was wearing a “varsity style” jacket with mixed colours. [2] [22] The trial judge viewed the corresponding video clip (6:37:20 p.m.) “numerous times”, noting that it was blurry and fleeting. She was unable to conclude that the male who was running away was the respondent. The trial judge rejected Mr. Cameron’s evidence that it was the respondent. [23] Second, at 6:40 p.m., Mr. Cameron passed the respondent on the first floor, as the respondent was getting off the elevator and Mr. Cameron was getting on. The respondent had changed his clothes and was now wearing a green jacket over a blue shirt. He had the hood of the jacket up over his head and wore a black mask. Mr. Cameron testified that the respondent was holding an object in his right hand, wrapped in a white cloth. I will address this evidence in more detail below. [24] A few seconds later, as Mr. Cameron got off the elevator on the second floor, he saw the respondent for the third time. The respondent was walking southbound down the second-floor hallway, away from the north stairwell and in the direction of Mr. Dabrowski’s apartment. Upon reviewing the video surveillance, the trial judge concluded that it was the respondent in this sequence. (b) Arthur Ramsay [25] Mr. Ramsay lived on the 10 th floor at 5 Wakunda Place. He knew Mr. Dabrowski and the respondent. On October 28, 2017, he and his friend were on an elevator with the respondent at 7:53:18 p.m. The respondent told Mr. Ramsay that he was depressed, out of sorts, and needed someone to talk to. He asked Mr. Ramsay to go to Mr. Dabrowski’s apartment to retrieve a piece of electronic equipment for him, telling Mr. Ramsay to “go down and if the door is open” get it for him. Mr. Ramsay declined to do so, but suggested he would tell Mr. Dabrowski to go see the respondent, to which the respondent replied, “I can do it myself”. [26] When the three men got off the elevator, they ran into a fourth resident who asked the respondent why his hand was wrapped. There was no response. (4) Items Seized from the Respondent [27] The police searched the respondent’s apartment on November 1, 2017, four days after the murder. The police seized a green jacket and a pair of green Adidas shoes. The shoes were found in the respondent’s bathtub. There was a small bloodstain inside the right sleeve of the jacket, and the respondent conceded it was Mr. Dabrowski’s blood. There was no evidence, however, as to how much blood was inside the sleeve where the bloodstain was located. No blood was found on the exterior of the jacket. [28] The shoes tested positive for the presence of blood, but the sample was too small to be tested for DNA. The respondent did not dispute that his shoes left footwear impressions in the blood inside Mr. Dabrowski’s apartment; however, there was no evidence as to when the impressions were made. (5) Substance “Trail” and Formal Admission [29] The Centre of Forensic Science (“CFS”) tested the brown substance that covered Mr. Dabrowski’s hair, face, and hands. It was never formally identified as chocolate sauce, though the parties agreed the substance looked like chocolate sauce, and the CFS determined that it contained carbohydrates and starches. [30] The Crown introduced a series of photographs of dark stains, alleging they formed a trail running from Mr. Dabrowski’s second floor apartment up to the respondent’s apartment on the fifth floor: (1) The first stain was in the hallway outside Mr. Dabrowski’s apartment; (2) The second stain was in the north stairwell, on the third-floor landing; (3) The third stain was in the north stairwell, on the fourth-floor landing, near the door; (4) The fourth stain was on the inside door handle in fifth-floor stairwell; and (5) The fifth stain was on the hallway floor just outside the respondent’s apartment. [31] Both the fourth and fifth stains shared some similar features and properties with the brown substance found in Mr. Dabrowski’s apartment. The CFS confirmed that the fourth and fifth stains contained carbohydrates and possibly proteins, but no starches. There was no evidence that the carbohydrates in either sample matched the other, nor that they matched the substance covering Mr. Dabrowski. [32] As already mentioned, the respondent admitted that Mr. Cameron noted a sticky, brown, molasses-type substance on the second-floor door handle leading to the north stairwell immediately after a male ran past him and into the stairwell. C. the trial judge’s essential findings Time of Death [33] The trial judge found that Mr. Dabrowski was killed between 5:32 p.m. and 6:43 p.m. She narrowed this time frame futher, based on video footage showing the respondent wearing the jacket on which the blood stain was found. At 6:40:45, he was seen walking in the direction of Mr. Dabrowski’s apartment. At 6:43:40, he is seen leaving the complex on the second-floor walkway when he drops a letter addressed to Mr. Dabrowski. Both times he is wearing the green jacket. This led the trial judge to conclude, at para. 86: I am satisfied, based on this evidence, that Mr. Scott had been inside and was coming directly from Mr. Dabrowski’s apartment when he dropped the envelope at 6:43:45. I am further satisfied that it was during his attendance inside Mr. Dabrowski’s apartment that Mr. Scott left the foot impression and got the stain on his jacket. Based on these findings, the only logical conclusion is that Mr. Dabrowski had been stabbed certainly by the time Mr. Scott left his apartment just prior to 6:43:45 p.m. [Emphasis added.] Opportunity [34] The trial judge found that the respondent did not have the exclusive opportunity to commit the murder. She found that, although he may have had a two to three-minute opportunity to kill Mr. Dabrowski when he was inside the apartment, “I am unable to exclude the possibility that others may also have had opportunity prior to Mr. Scott’s attendance.” The trial judge pointed to the 48 minutes prior to Mr. Scott’s attendance that she said were “completely unaccounted for.” The Respondent’s Movements [35] The trial judge found the respondent’s movements and interactions in the aftermath of the killing to be “somewhat curious and unusual”; however, they were not necessarily indicative of guilt. Although his face was covered at times, the respondent traveled in public areas and had seemingly uneventful interactions with others. At other times, his face was not covered. The White Cloth [36] The trial judge declined to find that the respondent was concealing a weapon under the white cloth that was captured on video. She further rejected the Crown’s submission that the respondent had a cloth in his hand because he had injured himself while stabbing Mr. Dabrowski. As the trial judge observed, at para. 96, “Mr. Scott is seen repeatedly on the video with the white cloth wrapped around his right hand, both before and after entering Mr. Dabrowski’s apartment. There is no evidence on the video footage that the cloth is stained.” Blood on the Respondent’s Jacket [37] The trial judge found that the minimal amount of blood found on the respondent’s jacket was not indicative of the respondent killing Mr. Dabrowski as opposed to merely being inside his apartment. As this forms the basis for one of the grounds of appeal, I address this evidence in more detail below. The “Trail” of Brown Substance and Stains [38] At trial and on appeal, the Crown contends that there was an identifiable “trail” of the brown substance, thought to be chocolate sauce, from Mr. Dabrowski’s apartment to the respondent’s apartment. The trial judge dealt with this evidence in great detail. She found the photographs of the location of the stains to be problematic and not adequately explained. Ultimately, she was unable to find the “trail” the Crown attempted to demonstrate. The trial judge, however, did find that the respondent did transfer two of the stains, “which is consistent with Mr. Scott’s position that he was present inside the apartment at some time contemporaneous to the stabbing. The finding, however, does not assist me in finding that Mr. Scott was the stabber.” The trial judge’s finding in relation to what Mr. Cameron “noted” about the substance on the second floor door handle is discussed below. Motive [39] Based on the respondent’s conversation with Mr. Ramsay in the elevator, the Crown suggested that the retention of electronics by Mr. Dabrowski may have been a motive for the killing. The trial judge rejected this theory as “speculative”, noting that “there is absolutely no evidence of motive.” Conclusion [40] Based on the above, the trial judge concluded that she was not satisfied beyond a reasonable doubt that the respondent was responsible for the stabbing of Mr. Dabrowski. Accordingly, she acquitted the respondent. D. analysis [41] The Crown advances three grounds of appeal: 1. The trial judge misapprehended the evidence of Mr. Cameron, causing her to fail to consider the totality of evidence on the ultimate issue; 2. The trial judge erred in how she approached a formal admission that Mr. Cameron observed a sticky substance on a second floor door handle after a man ran past him and went through the door; and 3. The trial judge erred in speculating about the amount of blood that would have been on the killer as a result of the stabbing. [42] The Crown submits that the trial judge committed legal errors in her analysis of the evidence that undermined a legally appropriate approach to the evidence and resulted in an unlawful acquittal. The respondent claims that the Crown’s attempts to undermine the trial judge’s factual findings, including her credibility assessment of the Crown’s main witness, Mr. Cameron, are nothing more than thinly veiled attempts to contrive questions of law. In effect, the Crown attacks the reasonableness of the acquittal. [43] Section 676(1)(a) of Criminal Code limits an appellate court’s ability to set aside an acquittal. The Crown must establish an error based on a question of law alone; errors of fact or mixed errors of fact and law are not sufficient: R. v. Rudge , 2011 ONCA 791, 108 O.R. (3d) 161, at para. 35; R. v. Palmer , 2021 ONCA 348, at para. 60; R. v. J.M.H. , 2011 SCC 45, [2011] 3 S.C.R. 197, at para. 24. [44] Short of a legally flawed approach to the evidence, the Crown is precluded from arguing that an acquittal is unreasonable. Section 686(1)(a)(i) furnishes appellate courts with the power to set aside a conviction when it is determined that it is unreasonable or cannot be supported by the evidence; there is no corresponding power to set aside an acquittal on this basis. This is not simply a matter of textual asymmetry. There is a more fundamental principle at stake. In R. v. Biniaris , 2000 SCC 15, [2000] 1 S.C.R. 381, at para. 33, Arbour J. said, “as a matter of law, the concept of ‘unreasonable acquittal’ is incompatible with the presumption of innocence and the burden which rests on the prosecution to prove its case beyond a reasonable doubt.” See also J.M.H. , at para. 27. [45] Further, identifying an error of law is only the first step in the analysis. In order to succeed in overturning an acquittal, the Crown must also establish, with a reasonable degree of certainty, that the error of law “might reasonably be thought, in the concrete reality of the case at hand, to have had a material bearing on the acquittal”: R. v. Graveline , 2006 SCC 16, [2006] 1 S.C.R. 609, at paras. 14-16; R. v. Goldfinch , 2019 SCC 38, 89 Alta. L.R. (6th) 1, at para. 135; R. v. Barton , 2019 SCC 33, [2019] 2 S.C.R. 579, at para. 160; R. v. Button , 2019 ONCA 1024, at para. 15; Palmer , at para. 62. [46] The Crown has not identified any legal errors in the trial judge’s reasons. The Crown essentially challenges the reasonableness of the acquittal and asks us to engage in our own weighing of the evidence and to reach our own conclusion on the ultimate issue of guilt. The contested findings were open to the trial judge to make on the record before her. (1) Misapprehension of Evidence (a) Introduction [47] The core of the Crown’s submission is that the trial judge failed to consider all of the evidence in relation to the issue of guilt and innocence, a recognized error of law: J.M.H. , at para. 31. This error is most typically seen when a trial judge subjects individual pieces of evidence to the standard of proof beyond a reasonable doubt, failing to the evaluate the cumulative effect of all of the evidence: R. v. B.(G.) , [1990] 2 S.C.R. 57. [48] This case rests on a different footing. The Crown submits that the trial judge misapprehended the evidence of the main Crown witness, Mr. Cameron, concerning what the respondent was carrying in his hand. This mistake, in turn, was instrumental in the trial judge’s negative assessment of Mr. Cameron’s credibility. It prevented the trial judge from considering the whole of the evidence. I disagree. (b) The Disputed Evidence [49] This ground of appeal focuses on a narrow issue concerning the interpretation of Mr. Cameron’s evidence. Specifically, at issue is his description of what the respondent may have been carrying when Mr. Cameron saw him for the second time that evening, at 6:40 p.m. [50] The respondent was carrying something in his hand that was longer than his hand and was wrapped in a white cloth. He said that the respondent “had something in [his] hand wrapped up in either a towel, or like a bag, that was sticking out, like, straight, like as if you’re holding like a pipe or, like, a bat or something…or a knife.” The import of his evidence was that whatever protruded from his hand was covered by the towel – “whatever part of it he was holding in his hand, and the part that wasn’t in his hand was wrapped in something white.” [51] The dispute that arose at trial, and on appeal, was whether Mr. Cameron was describing something protruding from the respondent’s hand that was covered by the towel, or something protruding from the towel. (c) The Trial Judge’s reasons [52] During Mr. Cameron’s cross-examination, it is clear that the trial judge believed Mr. Cameron said that the object in the respondent’s hand was not completely covered by the towel. The trial judge was corrected on this point by the Crown. It is clear from the various exchanges with counsel throughout the rest of the trial that the trial judge understood the main import of Mr. Cameron’s evidence (i.e., that there was an object that was completely covered by the towel). Moreover, the trial judge advised counsel that she had ordered a transcript of Mr. Cameron’s evidence and that she would re-read it. [53] The trial judge addressed this evidence in her reasons for judgment on more than one occasion. On the first occasion, at para. 66, she said the following: Mr. Cameron said he saw this individual again two or three minutes later when he got on the elevator on the first floor. He said this individual was getting off the elevator. He said the only difference was his face was covered and he had something in his hand that was wrapped up in a white towel or a bag. He said something was sticking straight out like a pipe or bat or something. Later, Mr. Cameron said the object was sticking straight out and it could have been a bat, a pipe, a knife or a chair leg. [Emphasis added.] [54] The Crown submits that this passage demonstrates that the trial judge persisted in her belief that Mr. Cameron said the object was not completely covered by the towel. I disagree. This passage reveals an accurate understanding of Mr. Cameron’s evidence on this point. This becomes clear when other passages from the trial judge’s reasons are considered. [55] To frame the first passage relied upon by the Crown, it is necessary to take a step back to consider Mr. Cameron’s evidence more generally. Mr. Cameron purported to identify the respondent on three occasions that night. He volunteered information about how good he is at eyewitness identification. In cross-examination, when he was confronted with the fact that the respondent was wearing a mask, he changed his testimony and acknowledged the respondent’s face was covered on one occasion. However, the evidence demonstrated that the respondent was masked on two occasions. This led the trial judge to make the following findings and credibility assessment, at paras. 72-74: In cross-examination, Mr. Cameron was questioned about his evidence that the male had something wrapped in his hand . Mr. Cameron would not even entertain the possibility that he was wrong on this point. He said he was certain that the male was not holding a gun because he had fired firearms before. He later added that the object protruded about five inches out from his wrapped hand and guessed that the object was close to 10 inches long including the handle . Later, he testified it could have been four different things and without any prompt said, “if you really want to know what I think, it was probably a knife.” He said he knows this because he was going to go into the knife business at point in his life and gave some details about that. He was adamant on this point. I do not accept Mr. Cameron’s evidence that he saw something protruding from the white cloth that was wrapped around Mr. Scott’s hand. I have viewed the compilation video contained in Exhibit 4 multiple times. It provides a clear view of Mr. Scott’s wrapped hand from a variety of angles and I am unable to see anything protruding from that hand . [Emphasis added.] [56] In my view the trial judge did not misapprehend the evidence. Taken together, the trial judge understood that Mr. Cameron said that whatever the respondent had in his hand was covered by a white cloth. During the course of his testimony, the object grew in size, as did Mr. Cameron’s apparent clarity. [57] Ultimately, having reviewed the videotape evidence, the trial judge was unable to see anything protruding from the respondent’s wrapped hand, whether wrapped or not. It was open to her to make this finding. [58] For the sake of completeness, I will address the Crown’s further arguments on this issue. The Crown submits that the trial judge’s misapprehension of the hand/towel evidence caused her to unfairly assess Mr. Cameron’s evidence, resulting in a skewed assessment of the case as a whole, and a failure to consider the totality of the evidence bearing on the ultimate issue. In making this submission, the Crown relies on R. v. Curry , 2014 ONCA 174, 317 O.A.C. 329, leave to appeal refused, [2014] S.C.C.A. No. 185, in which Tulloch J.A. held that the trial judge was “blinded” by what he mistakenly believed to be the evidence of a Crown witness, causing him to ignore other important evidence: at para. 51. [59] This case is different from Curry . In that case, the trial judge misunderstood the evidence of a key witness on the identification of the driver in a fatal driving case, resulting in an acquittal. It distorted his assessment of other evidence led by the Crown that was indicative of guilt. Here, the evidence of Mr. Cameron on the hand/towel issue was far from central to the Crown’s case. The trial judge’s rejection of the hand/towel evidence did not lead her to ignore or devalue other evidence supporting the Crown’s theory. [60] Moreover, the trial judge’s finding on this aspect of the evidence did not overwhelm her assessment of Mr. Cameron’s credibility. There were many reasons to reject Mr. Cameron’s evidence, separate and apart from the hand/towel evidence. In her submissions, the trial Crown acknowledged that Mr. Cameron “became frustrated and combative during his cross-examination.” On appeal, the Crown asserts in its factum, “Mr. Cameron is not the kind of witness who is likely to endear himself to a trial judge.” The trial judge made the following observations of Mr. Cameron, at paras. 75-77: Mr. Cameron was prone to exaggeration and eager to share details that had no relevance to this case . His testimony had a stream of consciousness quality to it . Layered on top of all of this was a tendency towards theatrics on his behalf. More than once he stood up or came out of the witness box to demonstrate things without being asked to do so. If Mr. Cameron interpreted a question as being confrontational, he had a tendency to dig in and overstate . Overall, Mr. Cameron was argumentative and combative . His answers were often non-responsive. He did not seem to appreciate the difference between an actual observation and speculation, and he was quick to exaggerate whenever the opportunity presented itself. For these reasons, I am cautious about relying on the testimony of Mr. Cameron unless corroborated by other evidence. To that end, I am prepared to accept the portions of his evidence that are consistent with the video surveillance evidence. [Emphasis added.] [61] I do not accept the Crown’s submission that the trial judge was led to these conclusions because she failed to appreciate Mr. Cameron’s evidence on the hand/towel issue. The trial judge’s assessment of his credibility is broad and wide-ranging, transcending the hand/towel evidence. Even if she did err in her interpretation of this evidence, which she did not, it was only part of her analysis. It did not drive a skewed approach to Mr. Cameron’s evidence, the assessment of which is a question of fact: R. v. R.P. , 2012 SCC 22, [2012] 1 S.C.R. 746, at para. 10. [62] Moreover, the trial judge had the videotape evidence to assist her. While it did confirm that one of the respondent’s hands was covered with a towel, it did not reveal anything protruding – neither from his hand nor from under the towel. [63] In essence, the Crown asks us “to dissect and microscopically examine single passages from the trial judge’s reasons in isolation and out of context” and to “improperly substitute [our] own credibility assessments for those made by the trial judge”: R. v. Harris , 2014 ONCA 746, at para. 16. See also R. v. Stirling , 2008 SCC 10, [2008] 1 S.C.R. 272, at para. 13. I would decline to do so and dismiss this ground of appeal. (2) Improper Use of Admissions [64] As discussed at the outset, the trial was an efficient one. A number of admissions were made under s. 655 of the Criminal Code , which provides: s. 655 Where an accused is on trial for an indictable offence, he or his counsel may admit any fact alleged against him for the purpose of dispensing with proof thereof. [65] The admission at issue was one of six admissions in Exhibit #7 – Admissions Re Scene . Admissions #2 to #6 purport to state objective facts about what the police did and what the CFS found, mostly in relation to the presence, location, and properties of the brown substance. The contentious admission, #1, is different. It reads as follows: While taking out his garbage William Cameron noted a sticky brown molasses type substance on the door handle leading to the North Exit stairwell . This happened when Mr. Cameron followed the person that had ran past him into the north exit stairwell. The person went up the stairs and Mr. Cameron went down the stairs to take out his garbage. [Emphasis added.] [66] This admission does not purport to state an objective fact: rather, it records the observations Mr. Cameron said that he made. It was an admission that, if asked about the matter during his testimony, Mr. Cameron would have provided that information. Exhibit #8 contained further admissions along these same lines. [67] This type of admission has been called an informal admission: see R. v. Stennett , 2021 ONCA 258, at para. 57; R. v. Korski , 2009 MBCA 37, 236 Man. R. (2d) 259, at paras. 114-128, 137; R. v. Falconer , 2016 NSCA 22, 372 N.S.R. (2d) 186, at para. 49. Discussing the difference between admissions as to objective facts (formal admissions) and admissions as to the anticipated evidence of a witness (informal admissions), Watt J.A. said in Stennett , at para. 58, “An agreement about what a witness could say or would have said is not an agreement that what they say is true”: Korski , at para. 125. [68] When Exhibit #7 was entered, Mr. Cameron had already testified. It is not apparent from the record why he was not asked about this issue when he gave evidence. Moreover, a police officer also testified about the brown substance and stains but said nothing about the door handle on the second floor. [69] The trial judge inquired of counsel whether the admission in question was a formal admission. The parties agreed that it was. It would appear that they were mistaken. As Watt J.A. said in Stennett , at para. 58, “Those that recite what a witness would say retain their true character, however they may be styled.” [70] The trial judge discussed this evidence at para. 36 of her reasons: The final stain for consideration comes in the form of an admitted fact pursuant to s. 655 of the Criminal Code . It is an admitted fact that Mr. Cameron noted a sticky brown molasses type substance on the second-floor door handle leading to the north stairwell. The evidence is that Mr. Cameron felt the sticky substance on the door handle immediately after a male had run into the stairwell. There is no evidence that the substance was tested or photographed by the police. There is no evidence that this door handle formed part of the police investigation regarding the substance trail from Mr. Dabrowski’s apartment to Mr. Scott’s apartment. Surely if the handle had been covered in a brown sticky substance, the police would have noted it. They did not. Accordingly, I am cautious about the weight I am prepared to attach to this evidence . [Emphasis added.] [71] The Crown submits that, notwithstanding how the admission is characterized, the trial judge committed an error of law by failing to act on the admission because her rejection was based on speculation about the police investigation. The Crown contends that this admission was critical because, according to the combined force of Mr. Cameron’s evidence and the admission, the brown substance was deposited onto the door handle at 6:37:20 p.m. by the respondent. The Crown submits that this moves the time of the murder forward by three minutes, contrary to the trial judge’s findings on this issue. I have a number of problems with the Crown’s submissions on this issue. [72] First, the trial judge did not fail to give effect to the admission. This assertion is simply incorrect. She merely expressed caution about how much weight she was prepared to attach to it. The trial judge was entitlted to take this approach. The Crown offers no authority to support its position that a trial judge is required to assign any particular weight to admitted facts simply because they are admitted, or to find they assist the Crown in discharging its burden. Essentially, the Crown submits that the trial judge should have regarded this admission as more significant than she did. For the same reasons given in relation to the first ground of appeal, this court is not empowered to engage in this fact-finding exercise. [73] Second, while it might be said that there is a degree of speculation involved in the trial judge’s treatment of this evidence, it may also be viewed as a valid observation about a lack of evidence on this point. Moreover, it must be considered in conjuction with the trial judge’s more general findings about the evidence concerning the brown substance. [74] Third, it is difficult to accept the submission that this evidence was crucial, let alone important, to the Crown’s case. After all, police witnesses were not asked about this evidence, nor was Mr. Cameron when he testified. [75] Fourth, the Crown’s submission on appeal ignores the trial judge’s rejection of Mr. Cameron’s evidence that it was the respondent who ran past him to enter the north stairwell at 6:37 p.m. She did so because Mr. Cameron was unreliable, and the video footage was fleeting and blurry. This critical finding rendered the informal admission about the door handle insignificant. [76] Lastly, it is unclear how the Crown’s case would have been strengthened by moving the time of death forward to 6:37 p.m. Mr. Dabrowski was last seen alive at 5:32 p.m., leaving a lengthy period of time unaccounted. [77] I would dismiss this ground of appeal. (3) Improper Speculation [78] This ground of appeal relates to the testing of items seized from the respondent’s apartment four days after Mr. Dabrowski was killed. The green jacket worn by the respondent had a blood stain inside the right sleeve that was admitted to be Mr. Dabrowski’s blood. [79] The Crown submits that the trial judge erred in finding that these items were seized the day after the murder. This error is insignificant. The trial judge was aware of the possibility that the items could have been washed by the respondent following the murder. [80] The Crown submits that the trial judge improperly speculated about the blood staining evidence on the inner sleeve of the jacket. She addressed this aspect of the evidence at paras. 98 and 100 of her reasons: I turn now to the blood on Mr. Scott’s jacket. The evidence before me is that blood, identified as coming from Mr. Dabrowski, was found on the inside sleeve of Mr. Scott’s jacket. There is no evidence as to the exact location of the stain or the quantity of blood on the jacket. I do know that Mr. Dabrowski was stabbed 23 times and the amount of blood in and around his body in the photographs is significant. Common sense would suggest the killer would have been covered in blood. There is no evidence, aside from the stain on the jacket and the footwear impression, that Mr. Scott was covered in blood. The amount of blood depicted in the photographic evidence suggests that it would have been unavoidlable for anyone who attended inside that apartment to not have gotten some blood on their person. Given the substantial amount of blood and brown substance at the crime scene, one would expect anyone who went inside to have some blood transferred onto their person. To that end, one would expect the stabber, after 23 stabs, to be covered in blood. There is no evidence that Mr. Scott was covered in blood. Quite the opposite, my impression was that the amount of blood and brown substance attached to Mr. Scott was minimal. [Emphasis added.] [81] The Crown took a different view of the blood on the respondent’s items found in the bathtub. It was her theory that the respondent washed these items. She further took the view that the presence of blood on his clothing explained why he changed his appearance later in the evening. As she submitted during her closing argument: He’s completely, one hour and ten minutes after he’s seen leaving the building with his hand covered, he’s completely changed his appearance, and in my respectful submission that’s because his clothing was covered in the victim’s blood. And we know from the forensic evidence that the victim’s DNA and his blood was found on the jacket Mr. Scott had been wearing. [Emphasis added.] [82] The trial Crown asked the trial judge to find that the respondent’s clothing would have been “covered in the victim’s blood.” The Crown can hardly complain now, on appeal, that the trial judge erred in following the trial Crown’s sensible lead. Moreover, the trial judge’s reasons demonstrate that she was aware that the respondent had changed his clothes on the night of the murder, and the possibility that the respondent had washed the items found in his bathtub. [83] I would dismiss this ground of appeal. E. Disposition [84] I would dismiss the Crown’s appeal from acquittal. Released: “MT” September 17, 2021 “Gary Trotter J.A.” “I agree. M. Tulloch J.A.” “I agree. L.B. Roberts J.A.” [1] This summary is taken largely from para. 39 of the reasons for judgment. [2] After Mr. Cameron testified, the respondent made a number of admissions, one of which was that Mr. Cameron noted a sticky brown substance on the door handle. I will return to this issue below when considering how the trial judge dealt with this admission in her reasons.
COURT OF APPEAL FOR ONTARIO CITATION: South Beach Street Development Ltd. v. US Income Partners LLC, 2021 ONCA 624 DATE: 20210917 DOCKET: C69126 Strathy C.J.O., Pepall and Pardu JJ.A. BETWEEN South Beach Street Development Ltd., Amaryco Inc. and Fabrizio Lucchese Defendants ( Appellants ) and US Income Partners LLC Plaintiff (Respondent) Matthew R. Harris, for the appellants Amaryco Inc. and Fabrizio Lucchese Yeganeh Pejman, for the respondent Heard: September 13, 2021 by video conference On appeal from the judgment of Justice Sean F. Dunphy of the Superior Court of Justice, dated February 5, 2021. REASONS FOR DECISION [1] The appellants Amaryco Inc. and Fabrizio Lucchese were indebted to the respondent as a result of an investment in Florida. [2] Following default in payment, the parties entered into a Settlement Agreement. The appellants had U.S. counsel for the purposes of negotiating the Settlement Agreement. [3] The Settlement Agreement provided: - for a monthly repayment schedule; - for a consent to an Ontario judgment that would be released from escrow in the event that there was a default in the repayment schedule. It constituted an absolute estoppel and bar to any defence or counterclaim with respect to the consent judgment; and - an attached form of judgment for US$2,750,000 plus stipulated interest and legal costs. [4] Failure to make any of the required payments entitled the respondent to register a warranty deed on some of the appellants’ vacant land in Florida, and to reduce the balance due on the appellants’ outstanding settlement debt by US$1,500,000. [5] Each of the parties represented that they had made such investigation as deemed necessary or desirable. [6] The appellants defaulted on a payment required by the Settlement Agreement. The respondent successfully moved for judgment relying on the consent to judgment. It provided a credit to the appellants on account of the warranty deed on the vacant land in Florida. [7] The appellants appeal from that judgment. [8] Although the appellants raised three arguments in their factum, before us they only pressed one. They argued that the consent was ineffective because the statement of claim had not been issued beforehand, and in granting judgment the motion judge improperly relied on Rule 1.04 of the Rules of Civil Procedure , R.R.O. 1990, Reg. 194 . [9] The appellants did not contest the defaults under the Settlement Agreement. The Settlement Agreement clearly identified the substance of the claim contained in the statement of claim that was ultimately issued. By providing the consent to judgment, the appellants plainly intended to create a legal obligation based on the contents of that claim. They had the benefit of advice from their U.S. attorney and could not point to any matters that required the expertise of an Ontario lawyer. Indeed, they represented that they had made all necessary investigations. [10] The full record was before the motion judge and reliance on r. 1.04 did not result in any prejudice to the appellants. The motion judge was legitimately satisfied that he had all he needed to do justice between the parties, and that reconstituting the proceedings under a different rule would reflect the triumph of form over substance. [11] For these reasons, the appeal is dismissed. As agreed by the parties, the appellants are to pay the respondent its costs fixed in the amount of $7,500 inclusive of disbursements and tax. “G.R. Strathy C.J.O.” “S.E. Pepall J.A.” “G. Pardu J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: R. v. Wawatie, 2021 ONCA 609 DATE: 20210913 DOCKET: C68256 Feldman, Paciocco and Nordheimer JJ.A. BETWEEN Her Majesty the Queen Respondent and Jerry Wawatie Appellant Jessica Smith Joy, counsel for the respondent Amy J. Ohler, counsel for the appellant Heard: September 2, 2021 by video conference On appeal from the sentence imposed on August 8, 2019 by Justice Peter K. Doody of the Ontario Court of Justice. REASONS FOR DECISION [1] Mr. Wawatie pleaded guilty to aggravated assault and breach of probation arising out of a June 4, 2019 attack on his former intimate partner, an Indigenous woman. The attack occurred after Mr. Wawatie attended at her place of residence in violation of two separate court orders. He punched the complainant in the face, knocking her to the ground. He then held his knee on her neck, endangering her life by restricting her ability to breathe. She began to see spots and involuntarily urinated before the attack ended. She was left with multiple injuries. [2] This was not Mr. Wawatie’s first offence relating to the complainant. He had repeatedly been convicted of breaching court orders prohibiting him from contacting her and attending her residence. He had also previously been convicted of being unlawfully in her dwelling house, causing mischief to her property, assaulting her, and assaulting her causing her bodily harm by breaking her wrist. Mr. Wawatie was convicted of the assault causing bodily harm only nine months prior to the June 4, 2019 offences. [3] Mr. Wawatie has a long history of alcohol and substance abuse and he has serious mental health issues. Soon after his arrest his counsel concluded that his mental health was deteriorating. He sought a swift resolution of the charges, with a view to achieving a rehabilitative sentence for Mr. Wawatie at the St. Lawrence Valley Correctional and Treatment Centre. On June 19, 2019, he successfully arranged for Mr. Wawatie to enter a guilty plea in Ottawa’s Indigenous Peoples’ Court with a view to securing a report pursuant to s. 21 of the Mental Health Act , R.S.O. 1990, c. M-7, that would assist in securing the rehabilitative sentence he sought. After the s. 21 report was completed, that plea was struck and a new plea was entered before the trial judge, also in the Indigenous Peoples’ Court. After a plea inquiry, Mr. Wawatie was found guilty of both the aggravated assault and the breach of probation charges. On August 8, 2019, the trial judge rejected the defence submission for a reformatory sentence and sentenced Mr. Wawatie to 30 months’ imprisonment. [4] Mr. Wawatie seeks leave to appeal that sentence. He argues that the trial judge erred by failing to apply the Gladue principles as required when sentencing Indigenous offenders. Those principles require a trial judge to consider not only the impact of an Indigenous offender’s unique systemic or background factors on their degree of responsibility, but also restorative and rehabilitative sanctions that may be appropriate because of the offender’s Indigenous heritage: R. v. Gladue , [1999] 1 S.C.R. 688, at para. 66. Mr. Wawatie submits that the trial judge failed to give due consideration to either of these required inquiries. [5] We do not agree. Although the trial judge did not have a Gladue report before him, the s. 21 report included extensive, highly specific biographical information about Mr. Wawatie’s experience as an Indigenous man, including his connection to his culture, his traumatic and abusive upbringing, its link to intergenerational trauma, and the profound mental health and addiction challenges that have plagued Mr. Wawatie’s life. The report described how the significant trauma Mr. Wawatie had experienced, the behaviour he was exposed to, and his addictions, contributed to his low frustration tolerance and his inability to maintain control over his emotions. Commendably, the s. 21 report also expressed Mr. Wawatie’s desire for a culturally appropriate rehabilitative sentence and outlined the available options. [6] Armed with this information, both Mr. Wawatie’s counsel and the Crown made submissions on the impact that the Gladue principles should have on sentencing. The trial judge inquired how he was to resolve the interplay between those principles and s. 718.04 of the Criminal Code . Section 718.04 requires sentencing judges to give primary consideration to denunciation and deterrence if the offence involved the abuse of a person who is vulnerable because of personal circumstances, including because the person is Aboriginal and female. The trial judge said, “I would have thought I had to take both into account in the particular circumstances of this offence and this offender”. [7] It is clear from his sentencing reasons that the trial judge did so. He said explicitly that he had considered the Gladue principles. He also identified the role those principles play in identifying the moral culpability of the offender, and in encouraging alternative sanctions which may more effectively achieve the objectives of sentencing in the offender’s Indigenous community. Although he did not overtly address each of the relevant features of Mr. Wawatie’s background, or speak directly to the alternative sentencing options, he did not have to. This was an experienced trial judge sitting in a specialized Indigenous Peoples’ Court in a heavily burdened court system. Although he could have been more explicit, the reasons he provided were sufficient. There is no basis for concluding that he failed to give due consideration to the Gladue principles. [8] Moreover, the trial judge was entitled to conclude that the Gladue principles that he had considered did not require a lesser sentence than would otherwise be the case, or a sentence more focused on rehabilitation. Mr. Wawatie had consistently terrorized the complainant. Prior efforts at his rehabilitation had failed, as had prior efforts to protect the complainant from Mr. Wawatie. The aggravated assault, in particular, was a grave offence and Mr. Wawatie’s level of violence was escalating in each assault. The sentence was fit and not unduly harsh. [9] We grant Mr. Wawatie leave to appeal his sentence, but we dismiss his appeal. “K. Feldman J.A.” “David M. Paciocco J.A.” “I.V.B. Nordheimer J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: McFarlane (Re), 2021 ONCA 632 DATE: 20210920 DOCKET: C69015 Tulloch, van Rensburg and Nordheimer JJ.A. IN THE MATTER OF: Odean McFarlane AN APPEAL UNDER PART XX.1 OF THE CODE Anita Szigeti and Maya Kotob, for the appellant Elena Middelkamp, for the respondent, Attorney General of Ontario James P. Thomson, for the respondent, Person in Charge of St. Joseph’s Healthcare Hamilton Heard: September 10, 2021 by video conference On appeal from the disposition of the Ontario Review Board, dated December 2, 2020, with reasons dated January 5, 2021. REASONS FOR DECISION [1] The appellant appeals the disposition of the Ontario Review Board (“ORB”), dated January 5, 2021, ordering his detention at the Forensic Psychiatry Program of the St. Joseph’s Healthcare Hamilton (the “Hospital”), with provision for certain privileges, including that he be permitted to live in the community in accommodation approved by the Person in Charge of the Hospital. [2] The appellant argues that the Board erred by refusing his request to continue his previous disposition of a conditional discharge. The appellant also argues, in oral submissions, that a detention order and being subjected to the continued jurisdiction of the ORB exacerbates his mental condition by making him more anxious, which leads to further deterioration to his mental health. [3] At the conclusion of the hearing, we dismissed the appeal with reasons to follow. We now provide our reasons. Background [4] The appellant has a lengthy history under the ORB. We include here only the aspects of this history that are pertinent to this appeal. [5] The appellant has been diagnosed with schizophrenia, which is now in remission; substance use disorder, which is currently in early remission in a controlled environment; and anti-social personality traits. [6] The appellant has been the subject of a range of dispositions under the ORB since 2008, after he was found not criminally responsible on account of a mental disorder for a charge of assault. [7] In recent years, the appellant’s mental condition significantly improved, and he commenced living with his long-time partner, who is now his fiancée. After showing considerable progress in his treatment and relative stability in his condition, on February 5, 2020, the Board granted the appellant a conditional discharge. [8] While in the community, the appellant worked with a treatment team. After some challenges with his initial case manager, his case was re-assigned. He met with his treatment team twice per week, provided negative urine samples, and showed no thought disorders. [9] Since being discharged, the appellant has resided in an apartment with his fiancée in Hamilton. Unfortunately, the couple began experiencing challenges in their relationship, which has resulted in them taking time apart from one another. The appellant’s fiancée commenced living in Brampton during the week and returned to the apartment on weekends, both to accommodate her commute to work in the Peel area, and due to the discord in their relationship. The appellant has questioned his fiancée’s fidelity, which has resulted in increased stress in their relationship. On one occasion, the appellant voluntarily admitted himself to hospital, as he was having difficulty coping with these relationship challenges. [10] In September 2020, the appellant reported that his relationship with his fiancée was undergoing an increased level of stress. During the same month, the appellant approached two 15-year-old boys and demanded their cell phones and backpacks, which were given to him. The appellant returned to his apartment and discarded the stolen items. The appellant’s treatment team determined that there was no change in the appellant’s mental status, and his toxicology screens returned negative. Consequently, he could not be admitted to hospital under the Mental Health Act . [11] On October 29, 2020, the appellant was charged with two counts of mischief, after which he was taken to the Hospital by police and admitted into seclusion. Earlier that day, around 2:45 a.m., the appellant had driven to a home and asked the occupant if he could park his car in their driveway to sleep. He was refused. The appellant attended at another home and threw a rock through a window of the home. He explained he had been trying to get the attention of the house’s occupants. At the Hospital, the appellant tested positive for THC and, when asked, he admitted to having consumed a cannabis edible. [12] On November 27, 2020, an early review hearing was held. In a disposition dated December 2, 2020, the appellant’s previous conditional discharge was vacated, and a detention order was imposed. The appellant now appeals this disposition. Discussion [13] We see no error with the Board’s disposition. At the hearing before the Board, the appellant’s treating psychiatrist, Dr. Nagari, gave evidence that a detention order was necessary and appropriate as the appellant’s mental state had deteriorated. Dr. Nagari based his conclusions on the appellant’s unexplained actions in which he exhibited concerning behaviours on two separate occasions during September and October 2020, which resulted in police intervention. [14] The Board also heard evidence from Dr. Mamak who conducted a Psychological Risk Assessment on the appellant and found him to be at a moderate to moderate-high risk to reoffend. [15] Finally, the Board considered whether the appellant’s request for the inclusion of a “Young” clause within a conditional discharge order would mitigate the risk, as it would require the appellant to attend at the Hospital for the purposes of assessment and re-admission, if requested by the Hospital. The Board concluded that based on the evidence, it would not sufficiently mitigate the risk. [16] In the end, the Board concluded that based on all the evidence before it, a conditional discharge was no longer appropriate to manage the appellant’s apparent state of decompensation, and that the appellant continued to pose a risk to the safety of the public. [17] In our view, the evidence provided a reasonable basis for the imposition of a disposition that would permit the Hospital to approve the appellant’s accommodation. As has been held in previous decisions of this court, giving the Board the power to require the hospital’s approval of accommodation is only possible under a detention order: see Runnalls (Re), 2012 ONCA 295; 2013 ONCA 386. [18] We see no error in the Board’s decision, as there was ample evidence to support its finding that the appellant continues to pose a significant risk to the community (which is not contested), and the disposition that was imposed. As the appellant’s counsel acknowledged, although the disposition may be disappointing to him, and may contribute to his anxiety, this is not a basis to interfere. [19] We encourage the appellant to continue his treatment to improve his condition. We also encourage the treatment team to continue in its efforts to work towards the appellant’s full reintegration into the community when that is possible. [20] As we were satisfied that the Board’s disposition was both reasonable and consistent with a need to achieve a disposition that is the least onerous and least restrictive, the appeal was dismissed. “M. Tulloch J.A.” “K. van Rensburg J.A.” “I.V.B. Nordheimer J.A.”
Corrected decision: The text of the original judgment was corrected on October 29, 2021 and the description of the correction is appended. COURT OF APPEAL FOR ONTARIO CITATION: R. v. Alekozai, 2021 ONCA 633 DATE: 20210920 DOCKET: C68292 Watt, Benotto and Jamal JJ.A. BETWEEN Her Majesty the Queen Respondent and Sakhi  Alekozai Appellant Andrew Burgess, for the appellant Rebecca De Filippis, for the respondent Heard: March 5, 2021 by videoconference On appeal from the conviction entered on February 5, 2019 by Justice Victor Giourgas of the Ontario Court of Justice. Watt J.A.: [1] An advertisement appeared in the Escorts section of Backpages.com. Its title: “BACK only for the Afternoon – Tight Brand New girl in richmond hill today only – waiting – 18”. [2] A picture accompanied the advertisement. A woman in a bedroom. Her face not visible. And a text from “Kathy”. A telephone number and an email address. [3] The appellant sent a text to “Kathy”. He asked about rates and services. An exchange of messages followed. They made arrangements about all the essentials. Price. Services. Location. [4] The appellant knocked on the hotel room door. “Kathy” said she would be there, waiting. But “Kathy” was not there. A police officer answered the door. He arrested the appellant on charges of internet child luring and communicating with a person to obtain sexual services for consideration from a person under 18. [5] The appellant was convicted of both charges after a trial before a judge of the Ontario Court of Justice. He appeals his convictions. [6] In these reasons, I explain why I conclude that the appeal fails. The Background [7] Like many others, this case arises of Project Raphael, a York Region Police Services (YRPS) sting operation aimed at combatting internet child luring. The project involved placing an advertisement in the Escorts section of Backpages.com. A police officer, posing as an underage female, would exchange messages with those who responded to the advertisement. Arrangements for sexual services would be concluded. When the respondent arrived at the designated location, he would be arrested. The Advertisement [8] The advertisement posted in the Escorts section of Backpages.com included a title, a picture, and some text. A disclaimer in this section of the website advises about its sexual content and that it is to be accessed only by those who are 18 or older and not considered minors in their state of residence. Anyone who agrees to the condition gets access to the website. [9] The title and accompanying text are composed in language designed to appeal to those interested in purchasing sex from underage girls. The specific age of the underage girl is not stated in the advertisement. [10] In this case, the posted title read: BACK only for the Afternoon, Tight Brand-New girl in richmond hill today – waiting – 18 followed by some symbols and “18”. The accompanying photograph was of a female police officer in her 30s. Her face was not visible in the photograph. [11] In addition to the title and photograph, the advertisement contained some further text, Sexy, new and hot. Hi guys, I’m Kathy and I’m a girl who is sexy and young with a tight body, looking for fun. I’m only here today just visiting from out of town, in-calls only. Don’t miss this, you’ll be sorry. Text or e-mails only. Contact information was a telephone number and an email address of KathyBlunt16@gmail.com. The Response [12] Within half an hour of its posting, the appellant responded to the advertisement. He proposed a specific type of sexual activity for one-half hour for which he would pay $80. He and “Kathy” exchanged messages for almost four hours. The Discussion about Age [13] Early in their exchange of messages, “Kathy” asked the appellant his age. He responded and asked for her address to book an appointment. She asked him to text her when he arrived at Leslie and Highway 7. She then added: but Im a little younger than 18 ok? The appellant responded: That’s ur business hun I wouldn’t have id u. But I’ll text when I’m at Leslie and highway 7 thanks. [14] The appellant advised “Kathy” that he had arrived at the intersection. “Kathy” responded: Im avail now but I just want to be honest so ur not mad when u see me…i turn 17 soon but I look 18 The appellant answered twice in 20 seconds “ok” and “that’s fine babe” but “Kathy” did not receive the second message. [15] The exchange of messages continued. The appellant asked why “Kathy” kept “insisting ur age” and added “I’m not into young girls. I would only look at u as an escort nothing personal”. Later, the appellant sent a message: Don’t text back. The Exchange Resumes [16] About four minutes later, “Kathy” sent two texts “well u worry me” and “u want to see me or no”. The appellant agreed “sure just be serious plz”. “Kathy” provided the name of the hotel, its address, and her room number. The Arrest [17] The appellant knocked on the door of the room where he agreed to meet “Kathy”. A police officer answered and arrested the appellant. The Positions of the Parties at Trial [18] The case for the Crown consisted of the text messages exchanged between the appellant and “Kathy”, print-outs of Backpages.com, including the advertisement posted by the undercover police officer and the testimony of the undercover police officer, and a civilian member of YRPS. The Crown contended that the evidence established that the appellant believed “Kathy” was underage. His interest was to purchase sex and he was indifferent about the age of his sexual partner. In addition, the Crown argued that the appellant’s evidence that he believed “Kathy” was over 18 was unworthy of belief, and at all events, the appellant took no reasonable steps to determine her true age. [19] The appellant testified as the only defence witness. He admitted exchanging text messages with “Kathy” to arrange sexual services for money. He always believed “Kathy” was over 18 and assumed her texts to the contrary were simply a ploy to get more money from him. The Reasons of the Trial Judge [20] The trial judge identified two issues that required decision: i. whether Crown counsel had proven beyond a reasonable doubt that the appellant believed his collocutor was under 18; and ii. whether the Crown had proven beyond a reasonable doubt that the appellant had not taken the reasonable steps required to ascertain the collocutor’s true age. [21] The essence of the trial judge’s reasons concluding that the appellant’s guilt had been established beyond a reasonable doubt appears in three paragraphs of his written reasons: The texts are powerful evidence that Mr. Alekozai was indifferent to the age of the undercover. The phrases “That’s ur business hun I wouldn’t have id u”, “That’s fine babe” and “Ok but why do you keep insisting ur age if u fucked older men before what different would I make and it’s a turn off I’m not into young girls I would only look at u as an escort nothing personal” clearly indicate along with all of the other evidence that Mr. Alekozai wished to purchase sex from this escort and did not mind that she was underaged. The fact that he became annoyed with her for repeatedly raising the issue of being underaged serves to reinforce his indifference. He was trying to tell her that he didn’t care what her age was and that she shouldn’t keep raising the issue. Mr. Alekozai’s explanation that he said these things because he was trying to deflect her asking for more money does not make sense. The issue of increasing the price was never raised. Nothing in the texts suggests that it was even contemplated. I reject Mr. Alekozai’s explanation in this regard. His intent and belief was clear. I find that the Crown has established that Mr. Alekozai believed that he was dealing with an underaged escort and that he showed up at the hotel room in order to exchange money for sexual services from that escort. Even if I had a reasonable doubt about Mr. Alekozai’s belief as to the age of the escort, the Crown has established beyond a reasonable doubt that Mr. Alekozai did not take reasonable steps to determine that she was an adult. Despite the factors at play in paragraph 20, more was required of Mr. Alekozai in circumstances where the undercover repeatedly stated that she was underaged and that she was trying to be honest and that she never wavered from that position. Faced with these assertions, Mr. Alekozai was required to take reasonable steps to satisfy himself that this escort’s age was at 18 years. [Emphasis in original.] The Grounds of Appeal [22] The appellant advances two grounds of appeal. He says that the trial judge erred: i. in conflating the standards of recklessness and belief in determining the mens rea of the luring offence; and ii. in failing to consider whether the evidence as a whole raised a reasonable doubt about the appellant’s guilt. Ground #1: Proof of the Fault Element in Child Luring [23] Although the appellant was convicted of offences under both sections 172.1(1)(a) and 286.1(2) of the Criminal Code , the principal focus of this ground of appeal is the child luring conviction under s. 172.1(1)(a). [24] The circumstances of the offences, as well as the essence of the trial judge’s reasons for finding guilt established, appear in earlier paragraphs and require no repetition. A brief recapture of the arguments advanced will provide a suitable framework for the discussion that follows. The Arguments on Appeal [25] The appellant contends that developments in the jurisprudence since the trial judge rendered his decision require a new trial. [26] At the time of trial, the appellant reminds us, the appellant’s indifference to his collocutor’s age was sufficient to establish his guilt in light of the presumptive belief for which s. 172.1(3) provided and the absence of reasonable steps. Two pathways to conviction existed. Proof of actual belief in the collocutor’s underage status. Or proof of unreasonable indifference to the possibility that the collocutor was underage as evidenced by the failure to take the necessary reasonable steps to determine that age. [27] But then the law changed in R. v. Morrisson , 2019 SCC 15. Indifference to the collocutor’s age was not enough. The Crown now must prove beyond a reasonable doubt that the accused believed the collocutor was underage. Proof that an accused did not take reasonable steps simply precludes the trier of fact from considering the defence that the accused honestly believed the collocutor was of legal age. It does not provide an alternative pathway to prove guilt. [28] In this case, the appellant acknowledges, the trial judge did find that the appellant believed that the collocutor was underage. But this conclusion was grounded on recklessness or indifference to the collocutor’s age neither of which is the equivalent of what is required – an actual belief. In addition, the trial judge concluded that the appellant had failed to take reasonable steps, thus under the then applicable law, the appellant was guilty irrespective of whether he was merely indifferent to “Kathy’s” age or actually believed her to be 18. As in Morrison , a new trial is required. [29] The respondent says that the appellant was not convicted because he was reckless as to “Kathy’s” age, or because he failed to take reasonable steps to determine her age. He was convicted because the trial judge was satisfied that the appellant subjectively believed “Kathy” was underage. [30] Read as a whole, the trial judge’s reasons demonstrate that he was satisfied beyond a reasonable doubt that the Crown had proven that the appellant believed “Kathy” was underage. The trial judge emphasized that the burden was on the Crown to prove that the appellant believed “Kathy” was underage and that he did not take such reasonable steps as required into consideration in forming his mistaken belief in her age. The trial judge found that the appellant believed that he was dealing with an underaged escort and that he showed up at the hotel room in order to exchange money for sexual services from that underaged escort. [31] In his oral ruling, the trial judge described the case for the Crown as overwhelming. The appellant’s evidence did not raise a reasonable doubt. But even if that evidence were to have raised a reasonable doubt, the appellant had failed to meet the evidentiary burden that he took reasonable steps in order to put the mistaken belief in age defence in play. [32] The respondent says that the trial judge’s statement that the appellant was “indifferent” to “Kathy’s” age does not amount to a finding that the appellant was reckless about whether she was underage. An accused who is reckless never turns their mind to the collocutor’s age. In other words, recklessness is about the absence of knowledge. Indifference, on the other hand, refers to a person who is marked by a lack of interest, enthusiasm, or concern for something, or by no special liking for or dislike of something. Indifference is about the absence of interest. Lack of interest in “Kathy’s” young age is not the equivalent of lack of awareness of that age. [33] The trial judge’s finding that the appellant was indifferent to “Kathy’s” underage status was responsive to the arguments advanced at trial. Trial counsel submitted that the appellant’s text that he was “not into young girls” demonstrated his belief that “Kathy” was over 18. The Crown did not contest that the appellant was not specifically interested in underaged partners, but argued that the appellant believed “Kathy” was not 18, a fact that did not matter to him since this was simply a business transaction – cash for sexual services. The finding of indifference was a rejection of the accused’s argument that his stated disinterest should raise a reasonable doubt about his belief in “Kathy’s” age. [34] In this case, the respondent concludes, the trial judge was well aware of the difference between subjective belief and recklessness. He specifically described belief and reasonable steps as distinct inquiries. He was satisfied that the appellant believed “Kathy” was underage and did not rely on the lack of reasonable steps to reach that conclusion. The Governing Principles [35] As I have said, the principal focus of the appellant’s submissions has been on the conviction of child luring under s. 172.1(1)(a), not that under s. 286.1(2). Although the elements of each offence differ, each has a common requirement that an accused believe in the underage status of the escort and a “reasonable steps” (s. 172.1(4)) or “all reasonable steps” (s. 150.1(4)) requirement to engage a mistaken belief in age defence. The principles that follow are those that apply to the child luring offence under s. 172.1. [36] The essential elements of child luring under s. 172.1 may be briefly described as: · communication · age · purpose The age element refers to the actual age of the person with whom the communication takes place or the accused’s belief in that person’s age. See, R. v. Levigne , 2010 SCC 25, at para. 23; Morrisson , at para. 43; R. v. Carbone , 2020 ONCA 394, at para. 80. [37] When the constitutionality of ss. 172.1(3) and (4) had not been in issue or finally determined, two pathways were available to the Crown to establish guilt where, as here, there was no underage collocutor. The Crown could prove that the accused believed that the collocutor was underage, or that the accused had failed to take reasonable steps to ascertain the collocutor’s actual age: R. v. Morrison , 2019 SCC 15, at para. 49; Carbone , at para. 75. [38] In Morrison , also a case of child luring arising out of a police sting operation, the Supreme Court confirmed this court’s decision that s. 172.1(3) was unconstitutional, but not s. 172.1(4): Morrison , at paras. 73, 92. However, the Supreme Court differed with the courts below about the reasonable steps requirement in s. 172.1(4). That provision does not , in the absence of the presumption under s. 172.1(3), provide a second pathway to conviction, rather it simply limits the availability of the mistaken belief in age defence: Morrison , at para. 80. [39] After the decision of the Supreme Court in Morrison , to prove the fault element in cases involving a police sting with no underage participant, the Crown must prove beyond a reasonable doubt that the accused: i. believed the other person or collocutor was underage; or ii. was wilfully blind whether the other person was underage. Recklessness as to the other person’s age is not sufficient to prove the fault element: Morrison , at para. 102; Carbone , at para. 89. [40] After Morrison , an accused charged with communicating with a person believed to be under 18 must be acquitted, regardless of whether he took any reasonable steps to determine the age of his collocutor even if he suspected that person was under 18 but decided to proceed in any event, or if he never turned his mind to the collocutor’s age. Prior to Morrison , the reckless or negligent accused would be convicted so long as the Crown proved that the accused did not take the reasonable steps required to determine the collocutor’s true age: Carbone , at para. 91. [41] After Morrison , where the Crown proves beyond a reasonable doubt that an accused failed to take reasonable steps to ascertain the collocutor’s age, s. 172.1(4) forecloses an accused’s reliance on the defence that they believed the collocutor was of legal age. But this falls short of what is necessary to establish guilt. This is so because the reasonable steps requirement under s. 172.1(4) does not provide an independent pathway to conviction. Once the trier of fact is satisfied that the Crown has proven that the accused did not take reasonable steps, the trier of fact must consider the whole of the evidence, including evidence about the accused’s failure to take reasonable steps, to decide whether the Crown has discharged its legal burden of proving that the accused believed the other person was underage: Morrison , at para. 129. [42] Recklessness is a state of mind. It is the state of mind of a person who is aware that their conduct might bring about the result prohibited by the criminal law, but who persists in the conduct despite the risk. Recklessness is subjective. It entails an appreciation of some level of risk and the decision to take that risk. In most cases, an accused who never turns their mind to the age of the other person is properly characterized as reckless. Reckless indifference also describes a subjective state of mind, a choice to treat age as irrelevant and to assume the risk associated with that choice: Morrison , at para. 100 citing R. v. Sansregret , [1985] 1 S.C.R. 570, at p. 582; Carbone , at paras. 125-127. [43] On the other hand, wilful blindness, sometimes referred to as deliberate ignorance, is established where a person who becomes aware of the need for some inquiry declines to make the inquiry because they do not wish to know the truth, rather prefer to remain ignorant: Morrison , at para. 100; Sansregret , at p. 584. [44] The mistaken belief in age defences for which ss. 172.1(4) and 150.1(4) impose an evidentiary burden on the accused to put the defence in play, and a persuasive burden on the Crown, once in play, to negate it: R. v. W.G ., 2021 ONCA 578, at paras. 54-56. The Crown may negate these defences in either of two ways. The Crown may prove that the accused did not honestly believe that the other person was at least 18 years old at the time of the offence. Or the Crown may prove that, despite the accused’s claim that they honestly believed that the other person was at least 18, the accused did not take reasonable (s. 172.1(4)) or all reasonable (s. 150.1(4)) steps to ascertain the other person’s age: Morrison , at para. 88; Carbone , at para. 116; W.G . , at para. 57. [45] The analysis of “reasonable steps” or “all reasonable steps” is highly contextual and fact-specific. “Reasonable steps” are steps that a reasonable person would take, in the same circumstances known to the accused at the time, to find out the other person’s age. The reasonable steps requirement includes objective as well as subjective elements. Viewed objectively, the steps must be reasonable. The reasonableness of the steps must be assessed in the circumstances known to the accused: W.G . , at para. 60, citing Morrison , at para. 105. [46] To be “reasonable steps”, the steps must be meaningful. They must be steps that provide information reasonably capable of supporting an accused’s belief that the other person is of legal age. Relevant factors include not only the nature of the steps themselves, but also the information those steps solicit: W.G . , at para. 61. The Principles Applied [47] I would not give effect to this ground of appeal. I reach this conclusion even though the trial judge did not have the benefit of the Supreme Court’s decision in Morrison to guide him in his analysis. [48] The appellant was charged with offences under ss. 172.1(1)(a) and 286.1(2). No dispute arose about proof of many of the essential elements of each offence. Under s. 172.1(1)(a), there was no controversy about the fact or manner of the appellant’s communication or about his purpose in doing so. Likewise, under s. 286.1(2), communication and purpose were unchallenged. [49] The contested ground had to do with the fault element and the availability of the mistaken belief in age defence in ss. 172.1(4) and 150.1(4). The trial judge identified these as the issues to be determined at the outset of his written reasons. [50] The trial judge considered first whether the Crown had proven beyond a reasonable doubt that the appellant believed “Kathy” was under 18. He reviewed the evidence on the issue, principally the text exchanges, and the appellant’s testimony about his state of belief. He rejected the appellant’s explanation that he did not believe “Kathy” was underaged. From previous experience, the appellant had generally found that escorts were always older than advertised. He considered that “Kathy” was trying to get more money for her services by portraying herself as a child. No such discussion ever occurred during their exchange. [51] The trial judge specifically found that the Crown had proven that the appellant believed that he was dealing with an underaged escort. He showed up at the designated hotel room with the agreed upon funds to exchange money for the sexual services from that underaged escort. This finding is firmly grounded in the evidence adduced at trial. It was not cumbered by any misapprehension of the evidence, impermissible use of the unconstitutional presumption in s. 172.1(3), or error about the state of mind required to establish the fault element of the offences charged. [52] Nor am I persuaded that the trial judge’s periodic reference to the appellant’s indifference to “Kathy’s” age tainted his finding that the appellant actually believed “Kathy” was underage, or amounted to finding guilt established on an impermissible standard of recklessness, rather than actual belief or wilful blindness as to underage status. Belief in underage status and indifference about its significance in pursuit of sexual services are not incompatible. [53] Once having found the fault element established, the trial judge then examined whether the mistaken belief in age defence was available to the appellant. He correctly identified the incidence of the evidentiary and persuasive burdens of proof on the defence and Crown respectively. [54] The trial judge concluded that the appellant had failed to meet the evidentiary burden necessary to put the defence of mistaken belief in age in play. This finding was available on the evidence adduced at trial. Whether the standard be “reasonable steps” (s. 172.1(4)) or “all reasonable steps” (s. 150.1(4)) is of no real moment here. The appellant’s invocation of the disclaimer on the Backpages.com website (restricted to those 18 and over), the stated age of 18 in the advertisement (with the email address including a reference to 16), and the apparent age of the person depicted in the photo included in the advertisement, in combination, are insufficient to invoke the defence. The trial judge did not err in rejecting the mistaken belief in age defence, nor did he use its rejection as an independent pathway to find the appellant’s guilt established. Ground #2: Failure to Consider the Totality of the Evidence [55] The second ground of appeal is related to the first. Once again, a brief review of the arguments advanced will provide an appropriate setting for the discussion that follows. The Arguments on Appeal [56] The appellant submits that, as a general rule, a judge who has rejected the evidence of an accused must then consider whether the totality of the evidence satisfies them, as the trier of fact, of the guilt of the accused. This is the third step in the analysis under R. v. W(D) , [1991] 1 S.C.R. 742. This principle applies to the offences with which the appellant was charged. However, when the appellant was tried, this step was not necessary because an accused’s failure to take reasonable or all reasonable steps to ascertain the collocutor’s age afforded a second pathway to conviction. [57] In this case, in accordance with what was when the law, the trial judge did not engage in any real analysis of the totality of the evidence or assess whether the cumulative force of the evidence satisfied the standard of proof required. The trial judge failed to carefully analyze the messages exchanged between the appellant and “Kathy”, especially those showing skepticism about the collocutor’s report of her age. [58] In addition, the appellant says, the trial judge failed to engage with the undercover officer’s testimony about the type of person who might claim to be under 18 on the Internet. Rejection of the appellant’s testimony did not end the trial judge’s inquiry to determine whether the appellant’s guilt had been proven beyond a reasonable doubt. A further examination of the evidence was necessary, but not done. A new trial is required. [59] The focus of this ground of appeal, the respondent begins, is on the failure of the trial judge to properly apply the third step of the W(D ) analysis. No such failure occurred. The trial judge expressly found that the appellant subjectively believed “Kathy” was underage. This finding was recorded on the evidence as a whole and is untainted by any reference to the appellant’s failure to take reasonable steps. [60] As the respondent sees it, the appellant’s complaint is twofold. The first aspect – that an analysis of the messages does not support the conclusion that the appellant actually believed that “Kathy” was underage – is neither more nor less than an invitation to redo the factual findings made by the trial judge. The appellant does not say that the finding of guilt is unreasonable, only that different findings of fact should have been made. The trial judge carefully scrutinized the evidence. His findings of fact are entitled to deference here. [61] The second prong of the appellant’s argument is that the trial judge failed to consider whether the undercover officer’s evidence could raise a reasonable doubt about the appellant’s guilt. The failure to mention this evidence does not amount to reversible error. This evidence had nothing to do with proof of the fault element or disproof of the honest but mistaken belief in age defence. This evidence formed no part of the defence submissions at trial. A trial judge is not required to consider every piece of evidence adduced at trial or to respond to arguments not put forward there. The Governing Principles [62] The principles that assist in resolution of this claim of error are commonplace and in no need of painstaking recital. [63] The jury instructions suggested in W(D) , the familiar three steps, are well known. Equally well established is its purpose: to make it clear that the principle of reasonable doubt applies to credibility and to ensure that the verdict rendered at trial is not the product of a simple choice between the case for the Crown, on the one hand, and that of the defence, on the other: R. v. Y. (C.L.) , [2008] 1 S.C.R. 5, at para. 8. [64] Equally fundamental and stated first in W(D ) itself is the principle that the steps of W(D) need not be religiously followed or articulated as if a catechism. Substance matters, not form: W(D) , at p. 758; Y. (C.L.) , at para. 7. What matters is whether the correct burden and standard of proof were applied, not the language used in their application: Y. (C.L.) , at para. 7. [65] The final point concerns the obligation of a trial judge in their capacity as trier of fact to discuss the evidence and the arguments advanced by counsel. A trial judge is not required to discuss all the evidence related to a particular point or to answer each and every argument advanced by counsel: R. v. Vuradin , 2013 SCC 38, at para. 17, citing R. v. M. (R.E.), [2008] 3 S.C.R. 3, at paras. 32, 64 and R. v. Dinardo , [2008] 1 S.C.R. 788, at para. 30. The Principles Applied [66] In my respectful view, this ground lacks persuasive force. [67] The reasons of the trial judge demonstrate his awareness of the principles articulated in W(D ) which he included in their pristine form in his reasons. The only live issue at trial had to do with proof of the fault element. The other elements, communication and purpose, were not only not in dispute, but also plainly established on the evidence. [68] The appellant testified. He said he believed “Kathy” was over 18. The trial judge did not believe the appellant’s evidence. Nor did the appellant’s evidence raise a reasonable doubt about the only contested issue at trial, whether the appellant believed, as he said, that “Kathy” was over 18. A trial judge made it clear that the burden was on the Crown to prove beyond a reasonable doubt: i. that the appellant believed “Kathy” was underage; and ii. that the appellant did not take reasonable steps in reaching his belief that “Kathy” was over 18. Further, the trial judge was satisfied that the Crown had proven the appellant actually believed that “Kathy” was under 18 and that he had taken no reasonable steps to ascertain her true age. The complaint that the trial judge did not consider all the evidence in reaching his conclusion fails. [69] Nor can the submission that the trial judge erred in concluding, from his analysis of the message traffic, that the appellant believed that “Kathy” was under 18 succeed. Absent a specific claim of misapprehension of evidence or unreasonable verdict, the argument is but a thinly-veneered invitation for a re-weighing of the evidence and re-calibration of where the balance settles. This exceeds the scope of our authority. [70] That the trial judge failed to rehearse the evidence of the undercover officer in deciding whether the appellant’s guilt had been established affords no basis for our intervention. Defence counsel did not advance this argument at trial. The evidence in issue consisted largely of generalities unmoored from the evidence at trial and, in some respects at least, of doubtful relevance and admissibility. Disposition [71] For these reasons, I would dismiss the appeal. Released:    “D.W.”    September 20, 2021 “David Watt J.A.” “I agree. M.L. Benotto J.A.” “I agree. M. Jamal J.A.” Erratum Correction made October 29, 2021: The word “is” in the first sentence of paragraph 63 was replaced with the word “are”.
COURT OF APPEAL FOR ONTARIO CITATION: R. v. Shuman, 2021 ONCA 638 DATE: 20210920 DOCKET: C66257 Doherty, Gillese and Huscroft JJ.A. BETWEEN Her Majesty the Queen Respondent and Jeffrey Shuman Appellant Stephen Proudlove, for the appellant Gregory Furmaniuk, for the respondent Heard: September 17, 2021 by video conference On appeal from the sentence imposed on July 25, 2017, by Justice Cynthia Johnston of the Ontario Court of Justice. REASONS FOR DECISION [1] The appellant pleaded guilty to seven counts of robbery with a firearm arising from bank robberies he committed in Ontario between 2010 and 2015. At the sentencing hearing, the parties agreed that the sentences should run concurrently because otherwise the appellant would have been sentenced to 28 years, given the four-year mandatory minimum. He was sentenced to 15 years in prison, less credit for pre-sentence custody. [2] The appellant raises two issues on his sentence appeal and argues that a global sentence of 12-13 years is appropriate. He submits that: 1. the 15-year sentence is outside the sentencing range for these offences and demonstrably unfit; and 2. the reasons for sentence are insufficient because the sentencing judge did not (a) explain why 15 years was the appropriate sentence, (b) explain how she apportioned the 15 years, or (c) mention the totality principle. [3] We accept neither submission. We see no error on the part of the sentencing judge. [4] In respect of the submission that the sentence is demonstrably unfit, we begin by noting that it is not far off that sought by the appellant on appeal. In any event, the sentence is fit. Deterrence and denunciation were paramount for these serious offences that traumatized innocent, vulnerable and unsuspecting bank employees, and the community more broadly. [5] Nor do we accept the complaints levied against the adequacy of the reasons for sentence. Those reasons leave no room for doubt as to how and why the sentencing judge arrived at the 15-year sentence. She carefully set out the facts, applicable legal principles, nature of the offences, and the appellant’s circumstances. She then noted the following aggravating factors: the robberies were sophisticated, planned and premeditated; the appellant used intimidation and threats of violence against vulnerable bank employees; he brandished a handgun on each occasion; in some of the robberies, he confined bank employees to locked rooms or bank vaults after he fled; and, he had a history of committing bank robberies, having been convicted in the United States of 14 bank robberies in Florida and Tennessee, for which he was sentenced to 12 years’ imprisonment. The sentencing judge also expressed “significant doubt” that the appellant was remorseful or appreciated the gravity of his actions and their significant impact on the victims and community. The sentencing judge also identified the mitigating factors: the appellant pleaded guilty on the eve of trial; he used a pellet gun – not a handgun – in the commission of the offences; he did not use gratuitous violence in committing the robberies; on occasion, he waited until civilians left the bank before robbing it; and, he agreed that 100,000 Euros seized from his apartment were robbery proceeds and should be used toward restitution. [6] Further, the sentencing judge was clearly alive to the totality principle. While the Crown sought a penitentiary sentence of 17 ½ years and the defence sought a sentence of 10 years, both parties asked for concurrent sentences to avoid a 28-year sentence given the four-year mandatory minimum. There was no need for the sentencing judge to break down the global sentence because, as the defence conceded at the time of sentencing, all counts were identical and the appropriate outcome was concurrent sentences. DISPOSITION [7] Accordingly, leave to appeal sentence is granted but the appeal is dismissed. “Doherty J.A.” “E.E. Gillese J.A.” “Grant Huscroft J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: Public Guardian and Trustee v. Zammit, 2021 ONCA 648 DATE: 20210921 DOCKET: M52761 (C69730) Lauwers J.A. (Motion Judge) BETWEEN The Public Guardian and Trustee Applicant (Respondent/Responding Party) and Mary Zammit and Patricia Zammit Respondents (Appellants/Moving Parties) Patricia Zammit, acting in person Matthew Tubie, for the moving party Mary Zammit Philippa Geddie, for the responding party Heard: September 7, 2021 by video conference REASONS FOR DECISION [1] The moving party Mary Zammit seeks a stay of the order of Dietrich J. dated July 20, 2021 in which she declared that Mary Zammit is incapable of making decisions respecting her property, ordering the termination of the power of attorney in favour of her daughter Patricia Zammit, and appointing the Public Guardian and Trustee (“PGT”) as the guardian of Mary Zammit’s property. [2] The parties agree that the governing precedent is the Supreme Court’s decision in RJR-MacDonald Inc. v. Canada (Attorney General) , [1994] 1 S.C.R. 311. The elements of the test are that there is a serious issue to be tried, the applicant will suffer irreparable harm if the relief is not granted, and the balance of convenience favours the granting of relief. [3] This court has put a gloss on the application of the test in RJR-MacDonald where a stay is sought pending appeal. In Ogden Entertainment Services v. United Steelworkers of America, Local 440 (1998), 38 O.R. (3d) 448, [1998] O.J. No. 1824 (C.A.) Robins J.A. said, at para. 5: In determining whether a stay should be granted, regard must be had to the judgment under appeal and a strong case in favour of a stay must be made out. The court must proceed on the assumption that the judgment is correct and that the relief ordered was properly granted. The court is not engaged in a determination of the merits of the appeal on a stay application. [4] In this case, there were three prior judicial processes leading to the order under appeal. The first was the order of Koehnen J. on February 23, 2021 directing a capacity assessment of Mary Zammit on the application of the PGT. The certified capacity assessor met with Mary Zammit twice and gave the opinion that she lacked capacity to manage her property due to an underlying cognitive impairment. Further, during the first meeting, Mary Zammit had no memory of having made the power of attorney in favour of her daughter Patricia Zammit, although she recalled the power of attorney in the second meeting. Based in part on the capacity assessment, the motion judge made an interim appointment of the PGT for guardianship of Mary Zammit on June 30, 2021. In the decision under appeal, the motion judge made the appointment permanent. [5] The core of the motion judge’s decision is set out in paras. 22-23: Based on the evidence, Patricia continued to use Ms. Zammit's funds for her own benefit and the benefit of her children after she was appointed as Ms. Zammit's attorney for property. This conduct is contrary to Patricia's fiduciary duty to exercise her powers and duties diligently, with honesty and integrity and in good faith, for the incapable person's benefit: SDA, s. 32(1) and s. 38(1). A core duty of an attorney for property is the duty to act exclusively for the benefit of the grantor, relinquishing the attorney's own self-interest. It is apparent that Patricia has breached her fiduciary duties to Ms. Zammit both before and after she was appointed as Ms. Zammit's attorney for property. Even with the restrictions on the CIBC account, thousands of dollars have been withdrawn from the CIBC account following the execution of the Power of Attorney. Between March and June 2020, $5,592.29 was debited from Ms. Zammit's TD Bank chequing account, which is a joint account in the names of Ms. Zammit and Patricia. These debits include purchases from retailers, at least some of which were not likely for Ms. Zammit's benefit or exclusive benefit (e.g., Apple.com, numerous fast food restaurants, LCBO, Netflix, and gas stations). In February 2020, Ms. Zammit paid $3,200 for a car for Patricia, and months later, in September 2020, Ms. Zammit paid $3,700 for a replacement car when the first was rendered inoperable following an accident. Between June 2020 and January 2021, there were $13,710 in unexplained ATM withdrawals from Ms. Zammit's TD Bank chequing account. Patricia conceded that she, personally, had made only a few modest contributions to the TD Bank chequing account. Most of the deposits to the account came from Ms. Zammit's property. [6] At the first step of the RJR-MacDonald test – that there is a serious issue to be tried – the moving party states in an affidavit that the purchases made by her daughter Patricia Zammit were for Mary Zammit’s benefit and were in line with her intentions or with her consent. The motion judge found that Mary Zammit’s lack of capacity was fatal to the argument based on her consent. [7] Counsel’s second argument is that the CIBC disregarded the power of attorney in favour of Patricia Zammit when it made the report that resulted in an investigation. Mary Zammit’s incapacity affects the validity of the power of attorney. [8] On the issue of irreparable harm, Patricia Zammit argues that there are bills that must be paid, to which Mary Zammit cannot attend because she is in a hospital following a fall that occurred after the order was made. Counsel points out that there is no evidence that the PGT is attending to these day-to-day expenses so that it would be preferable in the circumstances for the stay to be granted in order to allow Patricia Zammit to resume daily care for her mother. It is not clear why a temporary, if any, delay in bill payments would constitute irreparable harm, assuming that the PGT staff are not yet fully engaged with Mary Zammit. [9] On the balance of convenience, counsel submits that if a stay is not granted then the PGT will take over Mary Zammit’s bank accounts and daily financial activities. This will drastically change the status quo thereby impacting her daily activities with her family. Again, it is not clear why the order protecting Mary Zammit’s assets would have such an effect on her daily activities with her family. [10] The complaints made by the moving party’s counsel essentially turn on the facts. Counsel has not pointed to any palpable and overriding errors of fact made by the motion judge. The motion judge’s reasons are thorough and comprehensively address all of the issues raised by counsel in argument. The grounds of appeal are not frivolous, but they are not likely to be successful. As noted, the basis for a stay has not been established. [11] The motion is dismissed with costs reserved, as agreed, to the panel hearing the merits of the appeal. “P. Lauwers J.A.”
WARNING The President of the panel hearing this appeal directs that the following should be attached to the file: An order restricting publication in this proceeding under ss. 486.4(1), (2), (2.1), (2.2), (3) or (4) or 486.6(1) or (2) of the Criminal Code shall continue.  These sections of the Criminal Code provide: 486.4(1)       Subject to subsection (2), the presiding judge or justice may make an order directing that any information that could identify the victim or a witness shall not be published in any document or broadcast or transmitted in any way, in proceedings in respect of (a)     any of the following offences; (i)      an offence under section 151, 152, 153, 153.1, 155, 159, 160, 162, 163.1, 170, 171, 171.1, 172, 172.1, 172.2, 173, 210, 211, 213, 271, 272, 273, 279.01, 279.011, 279.02, 279.03, 280, 281, 286.1, 286.2, 286.3, 346 or 347, or (ii)      any offence under this Act, as it read at any time before the day on which this subparagraph comes into force, if the conduct alleged involves a violation of the complainant’s sexual integrity and that conduct would be an offence referred to in subparagraph (i) if it occurred on or after that day; or (iii)     REPEALED: S.C. 2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49). (b)     two or more offences being dealt with in the same proceeding, at least one of which is an offence referred to in paragraph (a). (2)     In proceedings in respect of the offences referred to in paragraph (1)(a) or (b), the presiding judge or justice shall (a)     at the first reasonable opportunity, inform any witness under the age of eighteen years and the victim of the right to make an application for the order; and (b)     on application made by the victim, the prosecutor or any such witness, make the order. (2.1) Subject to subsection (2.2), in proceedings in respect of an offence other than an offence referred to in subsection (1), if the victim is under the age of 18 years, the presiding judge or justice may make an order directing that any information that could identify the victim shall not be published in any document or broadcast or transmitted in any way. (2.2) In proceedings in respect of an offence other than an offence referred to in subsection (1), if the victim is under the age of 18 years, the presiding judge or justice shall (a) as soon as feasible, inform the victim of their right to make an application for the order; and (b) on application of the victim or the prosecutor, make the order. (3)     In proceedings in respect of an offence under section 163.1, a judge or justice shall make an order directing that any information that could identify a witness who is under the age of eighteen years, or any person who is the subject of a representation, written material or a recording that constitutes child pornography within the meaning of that section, shall not be published in any document or broadcast or transmitted in any way. (4)     An order made under this section does not apply in respect of the disclosure of information in the course of the administration of justice when it is not the purpose of the disclosure to make the information known in the community. 2005, c. 32, s. 15; 2005, c. 43, s. 8(3)(b); 2010, c. 3, s. 5; 2012, c. 1, s. 29; 2014, c. 25, ss. 22,48; 2015, c. 13, s. 18.. 486.6(1)       Every person who fails to comply with an order made under subsection 486.4(1), (2) or (3) or 486.5(1) or (2) is guilty of an offence punishable on summary conviction. (2)     For greater certainty, an order referred to in subsection (1) applies to prohibit, in relation to proceedings taken against any person who fails to comply with the order, the publication in any document or the broadcasting or transmission in any way of information that could identify a victim, witness or justice system participant whose identity is protected by the order. 2005, c. 32, s. 15. COURT OF APPEAL FOR ONTARIO CITATION: R. v. Simpson-Fry, 2021 ONCA 647 DATE: 20210921 DOCKET: C63212 Doherty, Gillese and Huscroft JJ.A. BETWEEN Her Majesty the Queen Respondent and Jamie Simpson-Fry Appellant Chris Rudnicki and Mark C. Halfyard, for the appellant Craig Harper, for the respondent Heard: September 17, 2021 by video conference On appeal from the sentence imposed on August 30, 2016, by Justice Joseph A. De Filippis of the Ontario Court of Justice, with reasons reported at 2016 ONCJ 532. REASONS FOR DECISION [1] The appellant was designated a dangerous offender, on consent, following his convictions stemming from his brutal sexual assault of a young woman he did not know. He was 30 years old [1] at the time of the offence and extremely intoxicated. He was given an indeterminate sentence. [2] The appellant appeals against sentence. He contends that his risk in the community can be managed and asks this court to set aside the indeterminate sentence and impose a determinate sentence, followed by a 10-year supervision order with appropriate conditions. BACKGROUND [3] In October of 2013, while extremely intoxicated, the appellant grabbed the complainant, a young woman walking home from a friend’s house. He said if she screamed, he would break her neck. He dragged her into a yard shielded from the street view by tall trees, forcibly confined her on the ground for two hours, and brutally sexually assaulted her twice. When they left the scene, he told the complainant he would kill her if she told anyone about what had happened. [4] The appellant was convicted of sexual assault, forcible confinement, and threatening death. It was his first conviction for a sexual offence. However, he had a long criminal record which began in April 2000 when he was a youth. It contains more than fifty entries, including robbery with violence, forcible confinement, assault, assault with a weapon, and assault with the intent to resist arrest. There are also multiple convictions for acts of domestic violence, failures to attend court, and breaches of probation. Alcohol was related to many – but not all – of the offences. For example, when he was 19, he committed a home invasion robbery with an imitation firearm while sober. He threatened the occupants of the home, including a “countdown”, after which he threatened to shoot an 82-year-old grandmother. He committed this offence for drug money. [5] The Crown sought a dangerous offender designation under s. 753 of the Criminal Code , R.S.C. 1985, c. C-34 and an indeterminate sentence. The defence conceded that the appellant met the criteria for a dangerous offender but contended that a determinate sentence followed by a ten-year long-term supervision order (“LTSO”) could reasonably be expected to control his risk in the community. [6] Dr. Pearce prepared the court-ordered psychiatric assessment and Dr. Gojer prepared an assessment for the defence. These experts agreed on much of the information leading to their respective opinions. They concurred in their diagnosis: the appellant has an antisocial personality disorder and a poly-substance use disorder. Their risk assessment tools and test results were also consistent. [7] Dr. Pearce found the appellant was at high risk of violent re-offence. He considered the effect of an Antabuse prescription on the appellant’s risk. Antabuse renders a person violently ill if they drink alcohol. To be effective, Antabuse must be taken daily. Given the appellant’s history of non-compliance with court orders, Dr. Pearce did not believe that the appellant could be trusted to reliably report having taken his medication so conditions would have to be imposed such as urinalysis twice per week, and a staff member or medical professional watching to ensure the appellant actually swallowed the medication. In any event, however, Dr. Pearce found no reasonable prospect of control of the appellant on an LTSO, even if the appellant complied with anti-alcohol medication and counselling. He noted that the appellant’s risk could not be managed even under the strict conditions in a medium-security correctional facility where the appellant had previously been incarcerated and in which he had violently re-offended. Dr. Pearce also opined that the proposed conditions would not address the appellant’s substance abuse disorder nor his very severe, treatment-resistant antisocial personality disorder. [8] Dr. Gojer also viewed the appellant as a high risk of violent re-offence. He observed that the appellant’s history of compliance while on judicial release and in custody has been “problematic”. However, in his opinion, there was a reasonable possibility of eventual control under an LTSO with a term to take anti-alcohol medication and under significant supervision. In reaching his conclusion on the appellant’s amenability to treatment, he adopted the opinion of Dr. Kalia who interviewed the appellant and was impressed with his insight and promise to reform. Dr. Gojer also spoke to the appellant and believed that he now accepts he has an alcohol problem. [9] The appellant did not testify at the sentencing hearing. [10] In his reasons, the sentencing judge describes the shocking nature of the index offences and summarizes the appellant’s background and extensive criminal record. Among other things, his criminal record shows an abysmal record of non-compliance with court orders – the appellant has been placed on probation 15 times and breached those orders every time. The sentencing judge also thoroughly canvassed the expert evidence and the evidence on management of LTSO by Correctional Service of Canada. Further, he accepted Dr. Pearce’s expert opinion that the proposed anti-alcohol treatment plan could not manage the appellant’s risk because it did not address the appellant’s dependence on other drugs or his antisocial personality disorder. [11] At para. 71 of his reasons, the sentencing judge considered the appellant’s stated promises to seek professional help and abide by the terms of any release plan, including taking medication to deal with his alcohol dependence. He then made the following statement which is central to this appeal (the “Impugned Statement”): I note that [the appellant] made these promises indirectly, to the doctors, without subjecting himself to cross-examination. This, in itself, does not mean I refuse to trust him; however, it does point to the additional significance of the evidence about the [appellant’s] background, the expert opinions about his prognosis, and the feasibility of managing his risk in the community. [12] The sentencing judge declared the appellant a dangerous offender and sentenced him to an indeterminate custodial term. At para. 92 of his reasons, he concluded he was not satisfied there was a reasonable expectation that a fixed sentence, with or without an LTSO, would adequately protect the public against the appellant’s commission of a serious personal injury offence. He explained that in reaching this conclusion, he considered the appellant’s past performance as a predictor of future behaviour, his abysmal record of non-compliance, the expert opinions, the voluntary nature of treatment inside the penitentiary and in the community, the limitations inherent in a LTSO, the absence of treatment for all aspects of the poly-substance use disorder, and the substantial difficulty in addressing the appellant’s antisocial personality disorder. THE ISSUE [13] The issue on appeal flows from the Impugned Statement in para. 71 of the sentencing judge’s reasons. In his factum, the appellant says the issue is whether the sentencing judge violated his s. 7 Charter right to silence by, in effect, refusing to trust him because he declined to testify on his sentencing. In his oral submissions, the appellant says the Impugned Statement raises the question whether, in a dangerous offender hearing, the accused must testify before their statements to a psychiatric expert can be relied on for the truth of their contents. ANALYSIS [14] We do not view the Impugned Statement as raising either of the issues articulated by the appellant. The sentencing judge did not rule the statements inadmissible or draw an adverse inference against the appellant because he did not testify. Nor did the sentencing judge refuse to accept the truth of the appellant’s statements. Rather, as the sentencing judge explained in the Impugned Statement itself, he considered those statements in light of the entire evidentiary record and, in part because the appellant had not been cross-examined on his statements, afforded them less weight than other pieces of evidence when determining the feasibility of managing the appellant’s risk to the community. [15] The sentencing judge made no error in his treatment of the appellant’s statements. There is no basis for this court to interfere with the sentence imposed. DISPOSITION [16] Accordingly, the appeal is dismissed. “Doherty J.A.” “E.E. Gillese J.A.” “Grant Huscroft J.A.” [1] In some of the documents, the appellant is said to have been 29 years old at the time of these offences. However, this appears incorrect as his date of birth is September 29, 1983, and the offences took place in October 2013.
COURT OF APPEAL FOR ONTARIO CITATION: Markham (City) v. AIG Insurance Company of Canada, 2021 ONCA 649 DATE: 20210921 DOCKET: M52381 (C67455) Doherty, Brown and Thorburn JJ.A. BETWEEN The Corporation of the City of Markham Applicant (Respondent in Appeal) and AIG Insurance Company of Canada Respondent (“Main Application”/Appellant) BETWEEN AIG Insurance Company of Canada Applicant (Appellant) and Lloyd’s Underwriters and The Corporation of the City of Markham Respondents (“Counter-Application”/Respondents in Appeal) David G. Boghosian and Shaneka Shaw Taylor, for the Corporation of the City of Markham and Lloyd’s Underwriters Marcus B. Snowden and Sébastien A. Kamayah, for AIG Insurance Company of Canada Heard: In writing ENDORSEMENT [1] The court released a costs endorsement on the latest motion in this matter on July 27, 2021. The court indicated that the moving party (respondents in appeal) had not filed any written submissions on costs. It turns out counsel for the moving party did file costs submissions, although those submissions were filed after the deadline and were not forwarded to the panel. Counsel for the moving party has asked us to reconsider our costs disposition in light of those submissions. We have. [2] We see no reason to vary our costs order made on July 27, 2021. The order stands. “Doherty J.A.” “David Brown J.A.” “J.A. Thorburn J.A.”
COURT OF APPEAL FOR ONTARIO CITATION: R. v. Coore, 2021 ONCA 645 DATE: 20210922 DOCKET: C68384 Doherty, Gillese and Huscroft JJ.A. BETWEEN Her Majesty the Queen Respondent and Oral Coore Appellant Andrew Furgiuele, for the appellant Geoffrey Roy, for the respondent Heard: In writing On appeal from the conviction entered by Justice O’Donnell of the Ontario Court of Justice, dated October 3, 2018. REASONS FOR DECISION [1] The Crown concedes the appeal must be allowed. [2] The appellant pled guilty to possession of a narcotic for the purposes of trafficking. Unfortunately, trial counsel (not Mr. Furgiuele) unintentionally misled the appellant as to the immigration consequences of his guilty plea. Those consequences were of central importance to the appellant. The guilty plea cannot stand and must be set aside. [3] The appeal is allowed, the guilty plea is set aside, the conviction is quashed, and a new trial is ordered. “Doherty J.A.” “E.E. Gillese J.A.” “Grant Huscroft J.A.”
WARNING The President of the panel hearing this appeal directs that the following should be attached to the file: An order restricting publication in this proceeding under ss. 486.4(1), (2), (2.1), (2.2), (3) or (4) or 486.6(1) or (2) of the Criminal Code shall continue.  These sections of the Criminal Code provide: 486.4(1)       Subject to subsection (2), the presiding judge or justice may make an order directing that any information that could identify the victim or a witness shall not be published in any document or broadcast or transmitted in any way, in proceedings in respect of (a)     any of the following offences; (i)      an offence under section 151, 152, 153, 153.1, 155, 159, 160, 162, 163.1, 170, 171, 171.1, 172, 172.1, 172.2, 173, 210, 211, 213, 271, 272, 273, 279.01, 279.011, 279.02, 279.03, 280, 281, 286.1, 286.2, 286.3, 346 or 347, or (ii)      any offence under this Act, as it read at any time before the day on which this subparagraph comes into force, if the conduct alleged involves a violation of the complainant’s sexual integrity and that conduct would be an offence referred to in subparagraph (i) if it occurred on or after that day; or (iii)     REPEALED: S.C. 2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49). (b)     two or more offences being dealt with in the same proceeding, at least one of which is an offence referred to in paragraph (a). (2)     In proceedings in respect of the offences referred to in paragraph (1)(a) or (b), the presiding judge or justice shall (a)     at the first reasonable opportunity, inform any witness under the age of eighteen years and the victim of the right to make an application for the order; and (b)     on application made by the victim, the prosecutor or any such witness, make the order. (2.1) Subject to subsection (2.2), in proceedings in respect of an offence other than an offence referred to in subsection (1), if the victim is under the age of 18 years, the presiding judge or justice may make an order directing that any information that could identify the victim shall not be published in any document or broadcast or transmitted in any way. (2.2) In proceedings in respect of an offence other than an offence referred to in subsection (1), if the victim is under the age of 18 years, the presiding judge or justice shall (a) as soon as feasible, inform the victim of their right to make an application for the order; and (b) on application of the victim or the prosecutor, make the order. (3)     In proceedings in respect of an offence under section 163.1, a judge or justice shall make an order directing that any information that could identify a witness who is under the age of eighteen years, or any person who is the subject of a representation, written material or a recording that constitutes child pornography within the meaning of that section, shall not be published in any document or broadcast or transmitted in any way. (4)     An order made under this section does not apply in respect of the disclosure of information in the course of the administration of justice when it is not the purpose of the disclosure to make the information known in the community. 2005, c. 32, s. 15; 2005, c. 43, s. 8(3)(b); 2010, c. 3, s. 5; 2012, c. 1, s. 29; 2014, c. 25, ss. 22, 48; 2015, c. 13, s. 18. 486.6(1)       Every person who fails to comply with an order made under subsection 486.4(1), (2) or (3) or 486.5(1) or (2) is guilty of an offence punishable on summary conviction. (2)      For greater certainty, an order referred to in subsection (1) applies to prohibit, in relation to proceedings taken against any person who fails to comply with the order, the publication in any document or the broadcasting or transmission in any way of information that could identify a victim, witness or justice system participant whose identity is protected by the order. 2005, c. 32, s. 15. COURT OF APPEAL FOR ONTARIO CITATION: R. v. Safieh, 2021 ONCA 643 DATE: 20210922 DOCKET: C65769 Doherty, Gillese and Huscroft JJ.A. BETWEEN Her Majesty the Queen Applicant (Appellant) and Boutros Safieh Respondent Stacey Taraniuk, for the appellant Deborah Krick, for the respondent Heard: September 13, 2021 by video conference An application for leave to appeal and, if leave is granted, an appeal from an order made on July 20, 2018 by Justice M. McKelvey of the Superior Court of Justice, declaring s. 286.3(2) unconstitutional, reported at 2018 ONSC 4486; and from the sentence imposed on January 14, 2019, reported at 2019 ONSC 287. REASONS FOR DECISION [1] The respondent was convicted of two counts of procuring a prostitute under age 18, contrary to s. 286.3(2) and two counts of making child pornography, contrary to s. 163.1(2) of the Criminal Code . Convictions under s. 286.3(2) carry a mandatory minimum of five years imprisonment. [2] The respondent challenged the constitutionality of the mandatory minimum, alleging it amounted to cruel and unusual punishment. On July 20, 2018, the trial judge held the section contravened s. 12 and was of no force and effect: R. v. Safieh , 2018 ONSC 4468. [3] Although the respondent was not sentenced on that date, the Crown immediately purported to appeal “the sentence imposed”, seeking an order setting aside the declaration of invalidity. The Crown filed a factum shortly thereafter, seeking the same relief. [4] The trial judge sentenced the respondent in January 2019 to a global sentence of six years: R. v. Safieh , 2019 ONSC 287. The trial judge imposed the following sentences: · Procuring (count one) – two years; · Procuring (count two) – two years consecutive; · Making child pornography (count three) – one year consecutive; and · Making child pornography (count four) – one year consecutive. [5] The Crown appeal and an appeal brought by the respondent from the convictions (C66003) did not come before the court until September 2021. The Crown continued to rely on the Notice of Appeal filed in July 2018 and the factum filed shortly thereafter. That material sought only an order setting aside the trial judge’s declaration of invalidity. A Preliminary Point [6] The Crown’s Notice of Appeal and factum do not ask the court to vary the sentence imposed. Indeed, they could not have sought that relief, as both were filed long before any sentence was imposed. [7] The Crown appears to have been under the misapprehension that it had a right of appeal under Part XXI of the Criminal Code from the finding that the mandatory minimum sentence was unconstitutional. The Crown has no such right of appeal. The Crown’s right of appeal is from the sentence imposed and not from any ruling that may have been made in the course of the sentencing proceedings: Criminal Code , s. 687. [8] The Notice of Appeal filed in the summer of 2018 was a nullity. The Crown’s right to seek leave to appeal the sentence imposed at trial crystallized only when the sentence was imposed in January 2019. After the sentence was imposed, the Crown should have filed a proper Notice of Appeal and factum, setting out the arguments in support of the constitutionality of the mandatory minimum and the variation sought by the Crown in the sentences imposed by the trial judge in January 2019. [9] Although the appeal was not properly commenced and a new Notice of appeal and factum should have been filed after sentencing, we are satisfied the respondent was not prejudiced. The appellant had timely notice of the Crown’s intention to challenge the trial judge’s ruling on the constitutionality of the mandatory minimum. The Crown has also made it clear that it does not seek to increase the total sentence imposed on the respondent at trial. The Crown seeks, first and foremost, a determination by this court that the mandatory minimum is constitutional. The Crown also seeks a reconfiguring of the sentences imposed at trial to give effect to the five-year mandatory minimum required under s. 286.3(2). To achieve that end, the Crown proposed concurrent five-year sentences on each of the procuring charges, a consecutive sentence of one year on one of the making child pornography charges, and a further concurrent sentence of one year on the other making child pornography charge. This reconfiguration would produce the same total sentence as was imposed by the trial judge. The Merits [10] It is unnecessary to set out the facts of the case. Those facts can be found in the trial judge’s ruling on the constitutionality of s. 286.3(2) ( R. v. Safieh , 2018 ONSC 4486 and his reasons for sentence ( R. v. Safieh , 2019 ONSC 287). [11] The trial judge followed the s. 12 methodology laid down in R. v. Nur , 2015 SCC 15, at para. 46, and recently applied in R. v. Morrison , 2019 SCC 15, at paras. 143-54. No one argued the mandatory minimum was unconstitutional, as applied to the respondent. The constitutional arguments focused on the reasonable hypotheticals presented to the trial judge. The Crown agreed that the hypotheticals were properly considered. [12] In finding the section unconstitutional, the trial judge focused on the second hypothetical: After having begun negotiating with a pimp via text messaging in order to work for him so she can pay off her drug debts, an 18-year-old prostitute, at the behest of her pimp, approaches her 17-year-old friend to see if she also wants to act as a prostitute for the pimp. The older girl is aware that the younger girl also has drug debts of her own. The younger girl jumps at the opportunity. The 18-year-old then brings the 17-year-old girl along with her for a face-to-face meeting with the pimp with the knowledge that the purpose of the meeting is for the pimp to continue recruiting herself and to recruit the 17-year-old. During the meeting, the pimp addresses the nature of the working relationship he will have with both girls. The pimp himself has no direct contact with the 17-year-old until they actually meet in person. As such, the 18-year-old directly assisted the pimp in recruiting the 17-year-old. The 18-year-old prostitute expects no financial gain or any other benefit from bringing the younger girl to the meeting. The 18-year-old prostitute is the product of the group home system and has been manipulated, exploited and prostituted by a pimp when she was a minor. [13] The facts used in the hypothetical outlined above are similar to the facts in R. v. Robataille , 2017 ONCJ 768, a case involving a charge of obtaining a benefit from sexual services provided by a person under 18, contrary to s. 286.2(2) of the Criminal Code . That provision provides for a two-year mandatory minimum. [14] On the facts in the hypothetical, the offender is herself a victim of the same crime. Her choices are significantly constrained by her circumstances, including her addiction, background, and ongoing relationship with her pimp. In addition, her offence involves no coercion or threats targeting the victim. Nor does the offender in the hypothetical gain any monetary advantage from her actions. [15] Following Nur , the trial judge considered, having regard to the applicable principles of sentencing, but excluding the mandatory five-year minimum, the appropriate sentencing range for the offender described in the hypothetical: Nur , at para. 46. The trial judge acknowledged that the offence, as described in the hypothetical, remained a serious offence for which denunciation and general deterrence were primary considerations. The trial judge further held, however, that on the facts of the hypothetical, the offender’s moral culpability was substantially reduced. He said, at para. 46: While the court must still recognize that the principal factors to consider on sentencing are denunciation and general deterrence, the circumstances in a case like Robataille would in my view constitute exceptional circumstances … and would serve to reduce the appropriate sentence to well below the normal range. The failure to take these special circumstances into account would serve only to revictimize the offender and punish her based on her prior sexual abuse as a child. [16] The trial judge concluded that the appropriate sentence for the hypothetical offender was between 2 and 2 ½ years. The trial judge recognized that the mandatory minimum sentence of five years amounted to cruel and unusual punishment only if a five-year sentence was grossly disproportionate to the sentence that would have been imposed on the hypothetical offender, but for the mandatory minimum. Although the concept of gross disproportionality is probably incapable of precise definition, there can be no doubt that it describes a high threshold. Sentences which are sufficiently excessive to merit appellate intervention are not necessarily grossly disproportionate for the purposes of s. 12 of the Charter : Nur , at para. 39. The trial judge was satisfied that a sentence of five years imposed on a person for whom two years would have been an appropriate sentence, crossed over the grossly disproportionate threshold:  Reasons, at para. 47. [17] The trial judge’s ruling striking down s. 286.3(2) has been followed in at least two other decisions in the Superior Court: R. v. J.G. , 2021 ONSC 1095, at para. 5; R. v. Boohoo , 2018 ONSC 7207, at para. 13. [18] This court’s decision in R. v. Joseph , 2020 ONCA 733, at paras. 143-55, striking down the two-year minimum in s. 286.2(2), also provides support for the trial judge’s conclusion. While the procuring offence in this case is more serious than the receiving of a benefit offence described in s. 286.2(2), the offences are closely related and raise very similar reasonable hypotheticals for consideration. The “victim/offender” hypothetical can apply to both. [19] The analysis in Joseph also provides some assistance with the question of when a mandatory minimum sentence will be regarded as “grossly disproportionate”. Joseph clearly contemplates that differences of significantly less than three years between a mandatory minimum sentence and the appropriate sentence can, in some circumstances, provide a basis for a finding that the mandatory minimum is “grossly disproportionate”. The reasoning and conclusion reached in Joseph offers support for the trial judge’s analysis. [20] We agree with the trial judge’s analysis of the significantly reduced moral culpability of the offender described in the hypothetical. Assuming, without deciding, that a sentence of two years, as opposed to a sentence of something less than two years, would have been an appropriate sentence for the offender described in the hypothetical, we agree that a sentence of five years – two and one-half times the length of the appropriate sentence – would be grossly disproportionate. We note that although the Crown argued in her factum that a sentence of five years would not necessarily be grossly disproportionate, she did not pursue that argument in her oral submissions. Disposition [21] The trial judge correctly held that s. 286.3(2) is inconsistent with s. 12 of the Charter and therefore of no force and effect. The Crown appeal is dismissed. “Doherty J.A.” “E.E. Gillese J.A.” “Grant Huscroft J.A.”