Judgments

Decision Information

Decision Content

T-4124-79
Rocois Construction Inc. (Plaintiff)
v.
Quebec Ready Mix Inc., and Levis Ready Mix Inc., Pierre Viger, and Dominion Ready Mix Inc., Jean Desjardins, Marc Crépin, and Verreault Frontenac Ready Mix Inc., Claude Ferland, Michel Bérubé, Pierre Legault, and Pilote Ready Mix Inc., Gaston Pilote (Defendants)
and
Attorney General of Canada and Attorney-Gener al of Quebec (Intervenors)
Trial Division, Marceau J.—Quebec City, October 29; Ottawa, December 4, 1979.
Jurisdiction — Combines Investigation Act — Civil action for compensation initiated independently of criminal proceed ings, pursuant to s. 31.1, after alleged breach of Act by defendants — Whether or not this recourse reserved exclusive ly to the provincial jurisdiction — Whether or not provisions cannot be dissociated from the legislation, and therefore valid ly adopted by Parliament — Combines Investigation Act, R.S.C. 1970, c. C-23, ss. 31.1(1)(a),(3), 32(1) — The British North America Act, 1867, 30 & 31 Vict., c. 3 (U.K.) IR.S.C. 1970, Appendix III, ss. 91(2),(27), 92(13),(16).
In its action based on section 31.1 of the Combines Investi gation Act, plaintiff claims damages which, it contends, result ed from an agreement which defendants concluded among themselves in breach of that Act. The Court agreed to make a preliminary ruling on two points of law: (1) the constitutional ity of paragraph 31.1(1)(a) and subsection 31.1(3) of the Combines Investigation Act and (2) the jurisdiction of the Federal Court to hear the claim of the plaintiff-respondent. The provisions under attack give any person who may have suffered injury as the result of a commission of an act proscribed by Part V the right to himself institute, independently of any criminal proceedings, an action in the Federal Court for com pensation. Defendants contend that the sanction and regulation of a recourse of this kind are reserved to the exclusive legisla tive authority of the provinces. Plaintiff maintains, however, that these are enactments which cannot be dissociated from the legislation of which they are an integral part, and as such are validly adopted by Parliament in the exercise of its legislative authority.
Held, paragraph 31.1(1)(a) and subsection 31.1(3) of the Combines Investigation Act are ultra vires the power of Parlia ment. It is not possible to support the legislation in question by the immediate or ancillary power of Parliament to legislate respecting the criminal law. The power of Parliament to legis late on the criminal law does not include regulating the purely
civil effects of acts prohibited on behalf of society, outside the criminal process. Competition does not constitute a subject of specific and independent legislation in the same way as the subjects listed in sections 91 and 92, or even in the same way as companies incorporated for non-provincial purposes. A general statute on competition, going beyond the prevention and penali- zation of restrictive practices and proscribed acts of unfair competition, could be of national concern, but since it is not a question of a national emergency, however, in the present state of the Constitution, that does not suffice to enable Parliament to adopt it alone. It is not possible to regard the Combines Investigation Act as a general statute on competition, adopted pursuant to Parliament's powers regarding trade and commerce or its power to legislate for the peace, order and good govern ment of Canada. The provisions in question are not related in a truly ancillary manner to a general law regarding competition. The sanction of civil actions in damages benefiting the victim of a criminal act of unfair competition is not necessarily inherent. in general legislation designed to preserve competition; at most it can be seen as properly ancillary because it is necessary to make the statute more completely effective.
R. v. Zelensky [1978] 2 S.C.R. 940, distinguished. Refer ence concerning the Anti-Inflation Act [1976] 2 S.C.R- 373, distinguished. In re the Validity of the Combines Investigation Act and Section 498 of the Criminal Code [1929] S.C.R. 409, followed. Ross v. The Registrar of Motor Vehicles [1975] 1 S.C.R. 5, followed. MacDonald v. Vapor Canada Ltd. [1977] 2 S.C.R. 134, followed. Proprietary Articles Trade Association v. Attorney-Gen eral for Canada [1931] A.C. 310, considered. British Columbia Lightweight Aggregate Ltd. v. Canada Cement LaFarge Ltd. (unreported), considered. Philco Products, Ltd. v. Thermionics, Ltd. [1940] S.C.R. 501, considered. Ex parte Island Records Ltd [1978] 3 All E.R. 824, considered.
ACTION. COUNSEL:
Pierre Gaudreau and Jean Morand for plaintiff.
Louis Crête for intervenor Attorney-General of Quebec.
Jacques Duellet for intervenor Attorney Gen eral of Canada.
Hubert Walters and Henri-Louis Fortin for defendants Quebec Ready Mix Inc. et al. Gérald Tremblay and J. P. Belhumeur for defendants Dominion Ready Mix Inc. et al.
SOLICITORS:
Bélanger, Gagnon, Gaudreau & Ass., Quebec City, for plaintiff.
Boissonneault, Roy, Poulin, Montreal, for intervenor Attorney-General of Quebec.
Deputy Attorney General of Canada for inter- venor Attorney General of Canada.
Létourneau & Stein, Quebec City, for defend ants Quebec Ready Mix Inc. et al.
Stikeman, Elliott, Tamaki, Mercier & Robb, Montreal, for Dominion Ready Mix Inc. et al.
The following is the English version of the reasons for judgment rendered by
MARCEAU J.: The Court, by order dated Sep- tember 24, 1979, agreed to make a preliminary ruling on two points of law raised by the action at bar. In its action, plaintiff is claiming damages, which it contends resulted from an agreement which defendants concluded among themselves in breach of prohibitions contained in the Combines Investigation Act, and it bases its action on section 31.1 of that Act. By the terms of the order of September 24, made by consent of counsel for all the parties—including representatives of the Attorney General of Canada and the Attorney- General of Quebec, who were present at the hear ing and were at that time formally authorized to intervene—these two points, which must be deter mined before the case can go forward, concern:
1. the constitutionality of paragraph 31.1(1) (a) and subsection 31.1(3) of the Combines Investi gation Act, R.S.C. 1970, c. C-23, as amended; and
2. the jurisdiction of the Federal Court to hear the claim of plaintiff-respondent.
The Court can only dispose finally of the pro ceedings brought before it on the basis of its lack of jurisdiction—which is what defendants are ulti mately seeking—and this is why the two questions were formulated separately. In fact, however, it is clear that the response to the second question will necessarily result from the response given to the first. That is because this Court has only the jurisdiction conferred on it by an Act of Parlia ment, adopted within the limits of its authority (as the Supreme Court recently noted again in Mac- Donald v. Vapor Canada Limited % and it is not disputed that the only Act from which its jurisdic tion to hear the action at bar may be derived is
I [1977] 2 S.C.R. 134.
that referred to in the first question.
What is put into question here is thus the consti tutionality of two subsections of a section of the Combines Investigation Act—two subsections merely, but containing provisions which stand by themselves and which are the only ones on which the action is based. This will easily be seen from a reading of the whole of the section:
31.1 (1) Any person who has suffered loss or damage as a result of
(a) conduct that is contrary to any provision of Part V, or
(b) the failure of any person to comply with an order of the Commission or a court under this Act,
may, in any court of competent jurisdiction, sue for and recover from the person who engaged in the conduct or failed to comply with the order an amount equal to the loss or damage proved to have been suffered by him, together with any additional amount that the court may allow not exceeding the full cost to him of any investigation in connection with the matter and of proceedings under this section.
(2) In any action under subsection (1) against a person, the record of proceedings in any court in which that person was convicted of an offence under Part V or convicted of or punished for failure to comply with an order of the Commission or a court under this Act is, in the absence of any evidence to the contrary, proof that the person against whom the action is brought engaged in conduct that was contrary to a provision of Part V or failed to comply with an order of the Commission or a court under this Act, as the case may be, and any evidence given in those proceedings as to the effect of such acts or omissions on the person bringing the action is evidence thereof in the action.
•
•
(3) For the purposes of any action under subsection (1), the Federal Court of Canada is a court of competent jurisdiction.
(4) No action may be brought under subsection (1),
(a) in the case of an action based on conduct that is contrary to any provision of Part V, after two years from
(i) a day on which the conduct was engaged in, or
(ii) the day on which any criminal proceedings relating thereto were finally disposed of,
whichever is the later; and
(b) in the case of an action based on the failure of any person to comply with an order of the Commission or a court, after two years from
(i) a day on which the order of the Commission or court was violated, or
(ii) the day on which any criminal proceedings relating thereto were finally disposed of,
whichever is the later.
The section speaks of "conduct that is contrary to any provision of Part V". Part V is titled "Offences in Relation to Competition". It brings together, in two sections containing several subsec tions, a long series of provisions classifying as criminal, and as such subject to penalty, particular acts or conduct which are defined and circum scribed with precision; reference is made to con spiracy or combination to unduly lessen competi tion; bid-rigging; conspiracy relating to professional sport; the creation of monopolies; dis criminatory sales; misleading advertising; double ticketing; pyramid selling; referral selling; selling at bargain prices without having enough items to sell; selling above the advertised price; and certain practices found in promotional contests. For pur poses of illustration, we may read the first of these provisions, which deals specifically with acts of the kind with which defendants in the action at bar are charged:
32. (1) Every one who conspires, combines, agrees or arranges with another person
(a) to limit unduly the facilities for transporting, producing, manufacturing, supplying, storing or dealing in any product,
(b) to prevent, limit or lessen, unduly, the manufacture or production of a product, or to enhance unreasonably the price thereof,
(c) to prevent, or lessen, unduly, competition in the produc tion, manufacture, purchase, barter, sale, storage, rental, transportation or supply of a product, or in the price of insurance upon persons or property, or
(d) to restrain or injure competition unduly,
is guilty of an indictable offence and is liable to imprisonment for five years or a fine of one million dollars or to both.
We are thus dealing with enactments which present no problems of understanding: they give any person who may have suffered injury as a result of the commission of an act proscribed by
Part V the right to himself institute, independently of any criminal proceedings, an action for compen sation against the perpetrator or perpetrators of the act, which action will be subject to a number of specific rules and may be brought in the Federal Court. However, while the provisions are very clear in themselves, the constitutional problem which they raise at first glance is no less so. This may readily be seen from a cursory review of the respective contentions of the parties. Defendants, who are joined by the Attorney-General of Quebec, contend that the sanction and regulation of a recourse of this kind have no place in a federal statute; these are matters which, under the consti tution, are reserved to the exclusive legislative authority of the provinces. The plaintiff and the Attorney General of Canada dispute that: they maintain that these are enactments which cannot be dissociated from the legislation of which they are an integral part, and as such they are validly adopted by Parliament in the exercise of the legis lative authority conferred on it by the constitution al Act. Several extracts from sections 91 and 92 of The British North America Act, 1867, R.S.C. 1970, Appendix II, No. 5, where legislative powers are distributed between the two levels of govern ment, may be and are in fact referred to:
91. It shall be lawful for the Queen, by and with the Advice and Consent of the Senate and House of Commons, to make Laws for the Peace, Order, and good Government of Canada, in relation to all Matters not coming within the Classes of Subjects by this Act assigned exclusively to the Legislatures of the Provinces; and for greater Certainty, but not so as to restrict the Generality of the foregoing Terms of this Section, it is hereby declared that (notwithstanding anything in this Act) the exclusive Legislative Authority of the Parliament of Canada extends to all Matters coming within the Classes of Subjects next herein-after enumerated; that is to say,-
2. The Regulation of Trade and Commerce.
27. The Criminal Law, except the Constitution of Courts of Criminal Jurisdiction, but including the Procedure in Crimi nal Matters.
And any Matter coming within any of the Classes of Subjects enumerated in this Section shall not be deemed to come within the Class of Matters of a local or private Nature comprised in the Enumeration of the Classes of Subjects by this Act assigned exclusively to the Legislatures of the Provinces.
92. In each Province the Legislature may exclusively make Laws in relation to Matters coming within the Classes of Subjects next herein-after enumerated; that is to say,-
13. Property and Civil Rights in the Province.
16. Generally all Matters of a merely local or private Nature in the Province.
The constitutional question raised by these provisions is thus apparent, but before considering it directly it will be most convenient to indicate the scope of the problem, and in particular to see the various points its solution must take into account, by examining more closely the arguments of the parties.
This section 31.1, from which the two provisions in question are taken, is new law. It formed part of the amendments made by Parliament in December 1975 to the Combines Investigation Act, S.C. 1974-75-76, c. 76. The Act itself, however, is, as it is well known, far from new and it has had, judicially speaking, a very turbulent history which it will be as well to keep clearly in mind. I shall recall here very broadly its main points, and subse quently return to the more significant of them if necessary.
Parliament has long been concerned about prac tices likely to distort the laws of the marketplace by restraining competition. In 1889 it prohibited the best known of such practices by a number of provisions, which three years later were incorpo rated into the Criminal Code; and in 1910 it adopted the first The Combines Investigation Act, S.C. 1910, c. 9, by which it gave an ad hoc body invested with powers of injunction the duty of undertaking investigations to uncover prohibited practices and report on them to the Minister. No challenge was made in the courts to the criminal provisions of 1889 or to the 1910 Act.
In 1919, after the war, with the necessities of life in somewhat short supply, much more vigorous action was undertaken. Two statutes were adopted. One of them (9-10 George V, c. 37 [S.C. 1919, c. 37]) created a Board of Commerce with wide powers of inquiry and compulsion, responsible for
supervising compliance with the provisions of the other (9-10 George V, c. 45 [S.C. 1919, c. 45]), which as its title stated dealt with the "Investiga- tion and Restraint of Combines, Monopolies, Trusts, and Mergers and the withholding and enhancement of the price of commodities." The Board was empowered to order or prohibit any act required to be done or prohibited by either of the two statutes, and any failure to comply with its orders was severely penalized. It was specifically required to restrain and prohibit the formation and operation of combines, but its primary concern was to ensure the supply of goods constituting the "necessaries of life" such as articles of food, cloth ing and fuel. The statute provided that no person should accumulate or withhold from sale unrea sonable quantities of such "necessaries of life", and the Board was empowered to make the neces sary orders to ensure that no individual, whether trader or private person, should hold such goods in excessive quantities, engage in any practice cal culated to raise their cost, or make unfair profits thereon.. Both Acts gave rise to doubts as to their constitutionality immediately they were promul gated, and in fact in 1921 the Privy Council stated that they constituted a trenching on the powers of the provinces which was not authorized either by the initial wording of section 91 of the B.N.A. Act, by subsection (2) (regulation of trade and com merce) or by subsection (27) (criminal law) (In re the Board of Commerce Act, 1919 and the Fair Prices Act, 1919 [1922] 1 A.C. 191).
In 1923 Parliament made another attempt. It adopted another Act, on the model of the 1919 statutes but less comprehensive. This new The Combines Investigation Act, S.C. 1923, c. 9, was careful to limit the powers of the Board essentially to those of investigation and reporting, while of course maintaining the nomenclature of the pro scribed acts and the penalties associated with them. In view of the fate of the 1919 statutes, the new statute was certainly not immune to chal lenge, and in 1929 the government itself thought it proper to determine. its validity in the courts. It was upheld by the Privy Council: as adopted, it constituted a valid exercise of the powers of Parlia ment respecting the criminal law (91.27) (Pro- prietary Articles Trade Association v. Attorney-
General for Canada 2 ). This statute is still the basis of the present law.
In 1935, by an Act amending the 1923 Act (25-26 George V, c. 54 [S.C. 1935, c. 54]) and another creating a federal Trade and Industry Commission (The Dominion Trade and Industry Commission Act, 1935, S.C. 1935, c. 59), Parlia ment made a new body responsible for monitoring unfair trade practices, empowering it inter alfa to hear and investigate complaints, make recommen dations and institute proceedings. The new statutes were validated by the Privy Council on the same basis as the 1923 Act (Attorney-General for Ontario v. Attorney-General for Canada 3 ). In the same year, 1935, Parliament inserted in the Criminal Code a provision (section 498A) prohib iting price discrimination, and this was held intra vires both by the Supreme Court in Reference Re Section 498A of the Criminal Code 4 , and by the Privy Council in Attorney-General for British Columbia v. Attorney-General for Canadas.
In 1951 retail price maintenance was added to the list of proscribed acts, and in the following year superior courts of criminal jurisdiction were given power to make orders of prohibition and orders dissolving mergers against persons convict ed of proscribed acts, in addition to sentences. In both cases, the Supreme Court held that these provisions were valid, again because they were associated with the criminal law (Regina v. Camp- bell and The Goodyear Tire and Rubber Company of Canada Limited v. The Queen 6 ).
Finally, there was the last stage: the Act of December 15, 1975. This was a comprehensive revision. The result was a Combines Investigation Act, S.C. 1974-75-76, c. 76, profoundly altered along the lines suggested by the Interim Report on Competition Policy submitted to the Government by the Economic Council of Canada in 1969, indicating its belief in an economic system in
2 [1931] A.C. 310.
3 [1937] A.C. 405.
4 [1936] S.C.R. 363.
5 [1937] A.C. 368.
6 (1966) 58 D.L.R. (2d) 673 and [1956] S.C.R. 303.
which the production and distribution of goods and services would be left to the operation of market forces in a genuine context of free competition '. The courts may now issue interim injunctions against anyone whose actions are judicially ques tionable; the acts proscribed cover services as well as goods, and the list of them has been consider ably extended; new rules of procedure are appli cable; and finally, to come to the matter which concerns us, as we have seen, a civil remedy has been created, together with its related procedure, in favour of anyone who sustains injury as the result of behaviour contrary to any prohibitive provision of Part V or of an order made under the Act.
That several of the new provisions sooner or later give rise to a new round of constitutional challenges will surprise none. The members of the Economic Council were the first to anticipate it. s However, the same reservations do not apply to all the debatable provisions, and it should be clearly borne in mind that only those relating to the civil action resulting from the commission of a pro scribed act are in question here. The remainder of the Act, with all the new provisions, constitutes for this Court a valid body of legislation to which the disputed provisions are attached, or in which they are inserted. These last words, actually, were sug gested to me by the arguments made before the Court, the essential points of which I have already, indicated. I shall now return to them.
If we examine these provisions of the Combines Investigation Act, sanctioning the possibility of an action in damages, on their own, it is clear that there can only be one conclusion: they are intended
7 However, not all the suggestions made by the Council are contained in the amendments of the 1975 Act to the Combines Investigation Act: a decision was evidently made to proceed in two stages, and the second is yet to come.
a Cf the work by Michael Flavell, Canadian Competition Law: A Business Guide, 1979, published by McGraw-Hill Ryerson Ltd. See also the article by Peter W. Hogg and Warran Grover, "The Constitutionality of the Competition Bill" (1975-76) 1 Canadian Business Law Journal 197, and S. G. M. Grange, The Constitutionality of Federal Intervention in the Marketplace—The Competition Case, Montreal, C. D. Howe Research Institute, 1975.
to apply to a subject covered by subsections (13) and (16) of section 92 of the B.N.A. Act. A remedy to compensate for an injury sustained is a civil right, of a local or private nature. However, it is clear that the question of constitutionality cannot be resolved merely from such an observa tion. Parliament obviously has jurisdiction over civil rights directly implicated in areas over which it is competent: the words "property and civil rights" in subsection 92(13) and "matters of a private nature" in subsection 92(16) can only be interpreted by taking into account the fields of jurisdiction covered by section 91. This is required both by simple common sense and by the last paragraph of section 91. As is well known, it has always been recognized that Parliament can even trench on a field of provincial jurisdiction, when such trenching is necessary to give effect to legisla tion on a subject within its jurisdiction. These rules for interpreting the sections of the Constitution relating to the distribution of powers between the two levels of government are very clearly delineat ed in this oft-cited passage from the reasons of Lord Tomlin in the fisheries case (Attorney-Gen eral for Canada v. Attorney-General for British Columbia [1930] A.C. 111, at 118):
Questions of conflict between the jurisdiction of the Parlia ment of the Dominion and provincial jurisdiction have fre quently come before their Lordships' Board, and as the result of the decisions of the Board the following propositions may be stated:—
(1) The legislation of the Parliament of the Dominion, so long as it strictly relates to subjects of legislation expressly enumerated in s. 91, is of paramount authority, even though it trenches upon matters assigned to the provincial legislatures by s. 92: see Tennant v. Union Bank of Canada [1894] A.C. 31.
(2) The general power of legislation conferred upon the Parliament of the Dominion by s. 91 of the Act in supplement of the power to legislate upon the subjects expressly enumerat ed must be strictly confined to such matters as are unquestion ably of national interest and importance, and must not trench on any of the subjects enumerated in s. 92 as within the scope of provincial legislation, unless these matters have attained such dimensions as to affect the body politic of the Dominion: see Attorney-General for Ontario v. Attorney-General for the Dominion [1896] A.C. 348.
(3) It is within the competence of the Dominion Parliament to provide for matters which, though otherwise within the legislative competence of the provincial legislature, are neces sarily incidental to effective legislation by the Parliament of the Dominion upon a subject of legislation expressly enumerated in
s. 91:, see Attorney-General of Ontario v. Attorney-General for the Dominion [1894] A.C. 189; and Attorney-General for Ontario v. Attorney-General for the Dominion [1896] A.C. 348.
(4) There can be a domain in which provincial and Domin ion legislation may overlap, in which case neither legislation will be ultra vires if the field is clear, but if the field is not clear and the two legislations meet the Dominion legislation must prevail: see Grand Trunk Ry. of Canada v. Attorney-General of Canada [ 1907] A.C. 65.
It is again on the basis of this quotation that, in the recent case of The Queen v. Zelensky 9 , Pigeon J. defined the theory of the ancillary power in his reasons for judgment, adding that instead of the expression "necessarily incidental" (nécessaire- ment accessoire) in paragraph 3, "truly ancillary" (vraiment accessoire) or "properly ancillary" (proprement accessoire) could be used, as it has been in subsequent decisions, but the phrases in question were in any case to be regarded as synonymous.
Naturally, no one is here questioning these basic assumptions; they are accepted by everyone at the outset. The opposing arguments before the Court are concerned with their specific application and the conclusions that must be drawn from them.
Defendants and the Attorney-General of Quebec relied solely on the content of the disputed provisions. They maintained that these provisions speak for themselves, and there is no basis for considering them other than by themselves. The rules which they lay down are manifestly ultra vires the powers of Parliament, since they relate to none of the fields specifically mentioned in section 91 of the B.N.A. Act and deal strictly with a matter of a local nature, involving a civil right, which section 92 places under the exclusive au thority of the provinces.
As we have seen, plaintiff and the Attorney General of Canada object to the sections in ques tion being viewed in isolation from their context. They contend that the rules which they contain may concern a question of civil rights, but they are rules which are related directly or at least in a manner that is "properly ancillary" to the area of federal jurisdiction regulated by the Act contain ing them. This can readily be determined, in their
9 [1978] 2 S.C.R. 940, at 983 et seq.
view, whether the Combines Investigation Act is regarded strictly as a criminal law statute within the meaning of subsection 91(13) of the B.N.A. Act, or whether it is more properly regarded as a more general statute relating to competition, regu lating trade and commerce (the 91(2) power) or intended to promote peace, order and good govern ment in the country (the residuary power of the initial paragraph).
The Court must examine the last two proposi tions, on which the entire argument of the propo nents of constitutionality rests, for if neither of them can be verified then the conclusion of the opponents must be adopted, namely that, in view of the subject-matter dealt with, the provisions in question were in fact ultra vires the powers of Parliament.
I
The first proposition, then, is that the disputed provisions are constitutionally valid as being associated with criminal legislation adopted pursu ant to the powers conferred on Parliament regard ing the criminal law. In their argument, plaintiff and the Attorney General of Canada even make this their fundamental proposition, since their approach to defining the purpose of the Act overall is the one which comes most readily to mind and which is based in the case law itself.
It will be recalled, in effect, that the first The Combines Investigation Act was viewed as a crimi nal law statute, and that the changes or additions subsequently made to it were always accepted in the same context. In upholding the 1923 Act, in Proprietary Articles Trade Association (cited above), Lord Atkin explained (at page 314) that:
A comparison of the legislation now in question with the two acts considered in the Board of Commerce Case [1922] 1 A.C. 191 shows that all the features which were held to be objection able have been omitted. There is moreover an essential distinc tion. The former legislation was held invalid as an interference with matters assigned to the Provincial legislatures sought to be brought within the Dominion powers by ancillary provisions imposing penalties. Here the primary intention and effect is to make certain acts, when they are to the public detriment, offences; the provisions as to investigations being reasonably necessary for carrying out that primary intention. If any of those provisions are not directly within s. 91, head 27, they
nevertheless are valid as being ancillary provisions to carry out the scheme of legislation ....
Further on, at pages 323-324, he stated:
In their Lordships' opinion s. 498 of the Criminal Code and the greater part of the provisions of the Combines Investigation Act fall within the power of the Dominion Parliament to legislate as to matters falling within the class of subjects, "the criminal law including the procedure in criminal matters" (s. 91, head 27). The substance of the Act is by s. 2 to define, and by s. 32 to make criminal, combines which the legislature in the public interest intends to prohibit. The definition is wide,-and may cover activities which have not hitherto been considered to be criminal. But only those combines are affected "which have operated or are likely to operate to the detriment or against the interest of the public, whether consumers, producers, or oth ers"; and if Parliament genuinely determines that commercial activities which can be so described are to be suppressed in the public interest, their Lordships see no reason why Parliament should not make them crimes. "Criminal law" means "the criminal law in its widest sense": Attorney-General for Ontario v. Hamilton Street Ry. Co. [1903] A.C. 524. It certainly is not confined to what was criminal by the law of England or of any Province in 1867. The power must extend to legislation to make new crimes. Criminal law connotes only the quality of such acts or omissions as are prohibited under appropriate penal provi sions by authority of the State. The criminal quality of an act cannot be discerned by intuition; nor can it be discovered by reference to any standard but one: Is the act prohibited with penal consequences? Morality and criminality are far from co-extensive; nor is the sphere of criminality necessarily part of a more extensive field covered by morality—unless the moral code necessarily disapproves all acts prohibited by the State, in which case the argument moves in a circle. It appears to their Lordships to be of little value to seek to confine crimes to a category of acts which by their very nature belong to the domain of "criminal jurisprudence"; for the domain of criminal jurisprudence can only be ascertained by examining what acts at any particular period are declared by the State to be crimes, and the only common nature they will be found to possess is that they are prohibited by the State and that those who commit them are punished.
The approach suggested by the first proposition of the proponents of constitutionality is thus made apparent. The Act is undoubtedly largely con cerned with the criminal law. However, if in accordance with this approach it is regarded strict ly as such, can the disputed provisions be con sidered to relate thereto necessarily or in a manner that is "properly ancillary"? In my opinion, they cannot.
Here are provisions which were adopted to govern a purely civil action, benefiting only private parties and between private parties, the instituting of which remains completely independent of any criminal process. They are certainly not criminal provisions in themselves, and they cannot become so merely because the action to which they relate is one which may result from the commission of acts that have been declared to be criminal: the civil effects resulting from the commission of an act remain civil effects whether the act is prohib ited as criminal or not. To conclude otherwise would be to deprive the concept of criminal law as opposed to civil law of any specific meaning. Any static, narrow or rigid concept of the criminal law has long been rejected in interpreting sections 91 and 92 of the B.N.A. Act (Attorney-General for Ontario v. The Hamilton Street Railway Company 10 ). It was readily admitted also that the field of criminal law covered not only the defini tion of and the providing of penalties for conduct considered detrimental to society, but its preven tion as well (The Goodyear Tire and Rubber Company of Canada Limited v. The Queen"). However, so far as I know it has never been thought that the power of Parliament to legislate on the criminal law could include that of regulat ing the purely civil effects of acts prohibited on behalf of society, outside the criminal process. This was clearly indicated by Duff J. in In re the Validity of the Combines Investigation Act and Section 498 of the Criminal Code 12 :
The words of head 27 read in their widest sense would enable Parliament to take notice of conduct in any field of human activity, by prohibiting acts of a given description and declaring such acts to be criminal and punishable as such. But it is obvious that the constitutional autonomy of the provinces would disappear, if it were open to the Dominion to employ its powers under head 27 for the purpose of controlling by such means the conduct of persons charged with responsibility for the working of provincial institutions. It is quite clear also that the same result would follow, if it were competent to Parlia ment, by the use of those powers, to prescribe and indirectly to enforce rules of conduct, to which the provincial legislatures had not given their sanction, in spheres exclusively allotted to provincial control. This has been fully elaborated in the series of cases just mentioned.
10 [1903] A.C. 524.
'' [1956] S.C.R. 303.
12 [1929] S.C.R. 409, at p. 412.
And, this was repeated by Laskin C.J. in Mac- Donald v. Vapor Canada Limited":
This last mentioned basis of validity deserves no more than a brief statement of reasons for rejecting it. Assuming that s. 7(e) (as, indeed, the other subparagraphs of s. 7) proscribe anti social business practices, and are thus enforceable under the general criminal sanction of s. 115 of the Criminal Code respecting disobedience of a federal statute, the attempt to mount the civil remedy of s. 53 of the Trade Marks Act on the back of the Criminal Code proves too much, certainly in this case. The principle which would arise from such a result would provide an easy passage to valid federal legislation to provide and govern civil relief in respect of numerous sections of the Criminal Code and would, in the light of the wide scope of the federal criminal law power, debilitate provincial legislative authority and, the jurisdiction - of provincial Courts so as to transform our constitutional arrangements on legislative power beyond recognition. It is surely unnecessary to go into detail on such an extravagant posture. This Court's judgment in Good- year Tire and Rubber Co. of Canada Ltd. v. The Queen ([1956] S.C.R. 303), upholding the validity of federal legisla tion authorizing the issue of prohibitory order in connection with a conviction of a combines offence, illustrates the preven tive side of the federal criminal law power to make a conviction effective. It introduced a supporting sanction in connection with the prosecution of an offence. It does not, in any way, give any encouragement to federal legislation which, in a situation unrelated to any criminal proceedings, would authorize independent civil proceedings for damages and an injunction.
Thus, Pigeon J. could state clearly and finally in Ross v. The Registrar of Motor Vehicles 14 :
It should now be taken as settled that civil consequences of a criminal act are not to be considered as "punishment" so as to bring the matter within the exclusive jurisdiction of Parliament.
It is true that, in The Queen v. Zelensky, 15 the Supreme Court recently upheld section 653 of the Criminal Code, according to which a judge-who sentences someone convicted of a crime against property is authorized to include in the sentence an order for satisfaction or compensation in the vic tim's favour. However, the Chief Justice, writing for the majority (Pigeon and Beetz JJ. dissenting) was careful to ensure that the decision rested on the notion that the order authorized could in that instance correspond to a form of penalty for a crime, as it was an integral part of the sentencing process. That reasoning can hardly be applied
13 [1977] 2 S.C.R. 134, at pp. 145-146.
'4 [1975] 1 S.C.R. 5, at 13.
15 [1978] 2 S.C.R. 940.
here. The paragraph 31.1(1)(a) remedy is independent of any criminal proceeding; it in no way implicates the Crown; and it is governed by special rules different from those of criminal procedure: in my view any attempt to liken it to a new means of constraint or criminal penalty would be improper.
In short, I do not feel it is possible to support the legislation in question by the immediate or ancil lary power of Parliament to legislate respecting the criminal law.
II
The second proposition of the proponents of constitutionality is that the disputed provisions are valid in so far as they are related to legislation which is wider in scope than purely criminal legis lation, that is, a statute on competition, adopted pursuant to the power conferred on Parliament regarding trade and commerce or the power regarding peace, order and good government. This is a more complex proposition than the one which I have just disposed of.
The first ascribed to the Act itself a meaning which the courts had always recognized it as having, so that the only question which arose was as to the possible connection of the provisions in question. The proposition which must now be con sidered, on the contrary, suggests an approach which is definitely not self-evident. Such an approach may undoubtedly be suggested, and it acquires some legitimacy from the fact that Lord Atkin was careful to emphasize, at the conclusion of his judgment upholding the 1923 Act in Pro prietary Articles Trade Association 1 b, that while the Privy Council did not think it necessary to consider the possibility of basing the validity of the Act on the powers of Parliament over trade and commerce, it should not be inferred therefrom that such a possibility must be dismissed. But, before dealing with provisions relating to a general stat ute on competition, the question must be answered as to whether it is possible to attribute such scope to the Combines Investigation Act, having regard to the powers under which it was allegedly adopt
16 [193J] A.C. 310, at 326.
ed. The legislation cannot be given a scope that would remove it from the limits within which Parliament was able to legislate.
In my opinion, the present state of the authori ties on the interpretation that must be given to subsection (2) and to the initial wording of section 91 does not provide any basis for concluding that the power to make laws on trade and commerce, or to legislate for the peace, order and good govern ment of Canada, can enable Parliament to adopt general legislation on competition that will apply to local commerce as well as to interprovincial or international commerce.
A. Of all the subsections contained in sections 91 and 92 of the B.N.A. Act, subsection (2) of section 91 is undoubtedly the one which has been considered by the Supreme Court and the Privy Council at the greatest length. Nevertheless, it is perhaps the one whose exact meaning is still the least well defined. This is understandable. It became apparent from the outset that the words "regulation of trade and commerce", clear though they may be, could not be taken in their full meaning without divesting the powers of the prov inces over property, civil rights and local matters of a large part of their content, and thus warping the entire balance of the Constitution. Having made this assumption, however, the courts have always been careful subsequently, as recommend ed by the Privy Council in The Citizens Insurance Company of Canada v. Parsons," to avoid attempting to give the provision a narrower or wider definition than was necessary for decision of the particular cases submitted for consideration. This voluminous series of authorities has often been reviewed. In his reasons in Reference re The Farm Products Marketing Act 18 , Locke J. analyzed them at length, and Laskin C.J. recently did likewise in disposing of MacDonald v. Vapor Canada Limited (cited above). For the present purposes, I need only review the general outline.
17 (1881-82) 7 App. Cas. 96.
18 [1957] S.C.R. 198, at 228 et seq.
The power of Parliament to legislate on trade and commerce appeared at one stage to have been reduced to an insignificant quantity as the result of an observation by Lord Haldane in Toronto Elec tric Commissioners v. Snider 19 :
It is, in their Lordships' opinion, now clear that, excepting so far as the power can be invoked in aid of capacity conferred independently under other words in s. 91, the power to regulate trade and commerce cannot be relied on as enabling the Dominion Parliament to regulate civil rights in the Provinces.
In fact, the position which appeared to result from this assertion was later regarded as going too far and subsequent decisions gradually moved away from it. However, they did so with considerable reservations. This may be seen in the findings of Duff C.J., in Reference re the Natural Products Marketing Act, 1934 20 :
It would appear to result from these decisions that the regulation of trade and commerce does not comprise, in the sense in which it is used in section 91, the regulation of particular trades or occupations or of a particular kind of business such as the insurance business in the provinces, or the regulation of trade in particular commodities or classes of commodities in so far as it is local in the provincial sense; while, on the other hand, it does embrace the regulation of external trade and the regulation of inter-provincial trade and such ancillary legislation as may be necessarily incidental to the exercise of such powers.
And below (page 412):
Parliament cannot acquire jurisdiction to deal in the sweeping way in which these enactments operate with such local and provincial matters by legislating at the same time respecting external and interprovincial trade and committing the regula tion of external and interprovincial trade and the regulation of trade which is exclusively local and of traders and producers engaged in trade which is exclusively local to the same authority. 21
The same reservations may be seen in the observa tions of Laskin C.J. in MacDonald v. Vapor Canada Limited (cited above), although the Chief Justice appeared there willing to return to the position taken by the Privy Council in Parsons (cited above), before Lord Haldane made his as
19 [1925] A.C. 396, at 410.
20 [1936] S.C.R. 398, at 410.
21 This judgment was subsequently approved by the Privy Council and the Supreme Court in Attorney-General for Brit- ish Columbia v. Attorney-General for Canada, at p. 387, and Reference re The Farm Products Marketing Act [ 1957] S.C.R. 198, at 209.
sertion, in which Sir Montague Smith had stated [at page 113]:
Construing therefore the words "regulation of trade and commerce" by the various aids to their interpretation above suggested, they would include political arrangements in regard to trade requiring the sanction of parliament, regulation of trade in matters of inter-provincial concern, and it may be that they would include general regulation of trade affecting the whole dominion. Their Lordships abstain on the present occa sion from any attempt to define the limits of the authority of the dominion parliament in this direction.
All of this undoubtedly remains very vague, especially when one returns to the point of depar ture. However, from this progression of opinion itself and the reactions underlying it emerges a general proposition which in my view is beyond question. If it must be assumed that in addition to its exclusive jurisdiction over interprovincial and international trade, Parliament has, pursuant to subsection (2) of section 91, power to legislate on matters which are properly ancillary to interpro- vincial and international trade, and even possibly on matters of general regulation affecting Canada as a whole, great care must be taken that the exercise of this power does not in any way permit an encroachment on the powers of the provinces over local commerce.
It is because a general statute on competition as such, that is a statute regulating competition beyond the detection, prevention and penalization of disapproved and proscribed acts, may make such an encroachment possible that I do not think that it can be based on the power of Parliament over trade and commerce. As the prime mover in our system of production and exchange of goods and services, competition depends on so many factors and takes on so many aspects that it may give rise to legislation as far-reaching as it is diversified. To admit that, as such, it is covered by Parliament's power pursuant to subsection (2) of section 91, would be to open the door to a potential trenching on the powers of the provinces which, in my view, the courts have definitively rejected, despite their persistent hesitation.
B. The residuary power of Parliament has also given rise to a vast body of case law, which is at times difficult to comprehend. However, the recent decision of the Supreme Court in the Reference concerning the Anti-Inflation Act 22 , has shed light on the subject which, I think, now permits a better understanding.
It has always been readily admitted that the initial wording of section 91 could not be interpret ed as authorizing Parliament to invade fields of provincial jurisdiction solely on the pretext that standardization of the law throughout the country appeared desirable. Beyond this fundamental pos tulate, however, two views have emerged. Some have concluded that the residuary power could justify federal legislative intervention once the problem which it was attempting to solve had acquired a national dimension. Others felt, how ever, that apart from legislation dealing with a distinct and specific subject not related to any of the subjects listed in section 92 (for example, the incorporation of companies for non-provincial pur poses, 23 aeronautics, 24 radio, 25 and the national capita1 26 ), the residuary power could not support invasion of a field reserved to the provinces except in the case of an emergency situation affecting the country as a whole. The first view, which gave rise to the so-called "national dimension" theory, could find support in some cases, the best known being those of Russell v. The Queen 27 and Attorney- General for Ontario v. Canada Temperance Federation 25 . But it was the second that was sup ported by the great majority of decided cases.
In the Reference concerning the Anti-Inflation Act the Supreme Court had to rule directly on the respective validity of these opposing views. It was then argued in effect that the disputed statute was
22 [1976] 2 S.C.R. 373.
23 The Citizens Insurance Company of Canada v. Parsons (1881-82) 7 App. Cas. 96.
24 In re the Regulation and Control of Aeronautics in Canada [1932] A.C. 54 and Johannesson v. Rural Municipali ty of West St. Paul [1952] I S.C.R. 292.
25 In re Regulation and Control of Radio Communication in Canada [1932] A.C. 304.
26 Munro v. National Capital Commission [1966] S.C.R. 663.
27 (1881-82) 7 App. Cas. 829. 25 [1946] A.C. 193.
justified under the general residuary power: first, because inflation had attained proportions creating a problem of "national dimension"; and second, because in any case the problem was such that it resulted in an emergency situation affecting the entire country. The Act was in fact upheld, a majority of the members of the Court (Beetz and de Grandpré JJ. dissenting) acknowledging that it had been adopted to deal with an emergency situa tion; but five of the nine judges were careful, in stating their opinions, to expressly reject the theory of national dimension. Beetz J. wrote on his own behalf and that of de Grandpré J., the most elaborate reasons on the subject, taking great pains to discuss all the earlier decisions of signifi cance, but Ritchie J., delivering judgment for him self and for Martland and Pigeon JJ., was no less categorical when he observed (at page 437):
I do not consider that the validity of the Act rests upon the constitutional doctrine exemplified in earlier decisions of the Privy Council, to all of which the Chief Justice has made reference, and generally known as the "national dimension" or "national concern" doctrine. It is not difficult to envisage many different circumstances which could give rise to national con cern, but at least since the Japanese Canadians case, I take it to be established that unless such concern is made manifest by circumstances amounting to a national emergency, Parliament is not endowed under the cloak of the "peace, order and good government" clause with the authority to legislate in relation to matters reserved to the Provinces under s. 92 of the British North America Act. In this regard I am in full agreement with the reasons for judgment prepared for delivery by my brother Beetz which I have had the advantage of reading, and I have little to add to what he has said.
I should also say, however, that I cannot find that the authority of Parliament to pass legislation such as the present Act stems from any of the enumerated classes of subjects referred to in s. 91. The source of the federal power in relation to the Anti-Inflation Act must, in my opinion, be found in the "peace, order and good government" clause, and the aura of federal authority to which that clause relates can in my view only be extended so as to invade the provincial area when the legislation is directed to coping with a genuine emergency in the sense to which I have made reference.
It is true that Ritchie, Martland and Pigeon JJ. did not base their findings on this opinion, and that it can accordingly be argued that the point has not been finally resolved. That may be the case for the Supreme Court, but not for me.
In my opinion, competition, as the prime mover in an economic system, does not constitute a sub-
ject of specific and independent legislation in the same way as the subjects listed in sections 91 and 92, or even in the same way as companies incorpo rated for non-provincial purposes, aeronautics, radio or the national capital. It seems to me that it can be said of competition and its promotion what Beetz J., in discussing the Anti-Inflation Act, S.C. 1974-75-76, c. 75, said of inflation and its contain ment (at pages 457 and 458):
In my view, the incorporation of companies for objects other than provincial, the regulation and control of aeronautics and of radio, the development, conservation and improvement of the National Capital Region are clear instances of distinct subject matters which do not fall within any of the enumerated heads of s. 92 and which, by nature, are of national concern.
I fail to see how the authorities which so decide lend support to the first submission. They had the effect of adding by judicial process new matters or new classes of matters to the federal list of powers. However, this was done only in cases where a new matter was not an aggregate but had a degree of unity that made it indivisible, an identity which made it distinct from provincial matters and a sufficient consistence to retain the bounds of form. The scale upon which these new matters enabled Parliament to touch on provincial matters had also to be taken into consideration before they were recognized as federal matters: if an enumerated federal power designated in broad terms such as the trade and commerce power had to be construed so as not to embrace and smother provincial powers (Parson's case) and destroy the equilibrium of the Constitution, the Courts must be all the more careful not to add hitherto unnamed powers of a diffuse nature to the list of federal powers.
The "containment and reduction of inflation" does not pass muster as a new subject matter. It is an aggregate of several subjects some of which form a substantial part of provincial jurisdiction. It is totally lacking in specificity. It is so pervasive that it knows no bounds. Its recognition as a federal head of power would render most provincial powers nugatory.
There is no doubt that the implementation of a policy of production and exchange of goods based on private enterprise and the free market concerns the country as a whole, which in this regard can only be seen as constituting a single economic unit; and I readily admit that a general statute on competition, going beyond the prevention and penalization of restrictive practices and proscribed acts of unfair competition, could be of national concern. Unfortunately, however, since it is not a question of a national emergency, I do not think
that in the present state of the Constitution that suffices to enable Parliament to adopt it alone.
Thus, the approach suggested by the proponents of constitutionality in their second proposition is not admissible. It does not appear possible to regard the Combines Investigation Act as a gener al statute on competition, adopted by Parliament pursuant to its power to make laws regarding trade and commerce or its power to legislate for the peace, order and good government of Canada. I could stop there and dispose of the proposition itself on this basis alone, but in order to fully explain my thinking I shall undertake to go beyond this point and to reason on the assumption that the approach suggested is admissible.
The proposition is that the provisions in question are related, if not directly then at least in a "truly ancillary" manner, to a general law regarding competition. That does not appear to me to be any more persuasive.
The sanction of a civil action in damages bene fiting the victim of a criminal act of unfair compe tition does not seem to me to be necessarily inher ent in general legislation designed to preserve competition; at most it can be seen as properly ancillary, because it is necessary to make the statute more completely effective. And in fact, it is on this basis that the argument regarding its con nection was made. The existence of such an action, it is argued, encourages individuals to monitor compliance with the Act themselves and, by their civil proceedings, penalize offences to which it may give rise. The situation prevailing in the United States is cited as a conclusive illustration in this regard: there, apparently, following the Clayton Act (1914), which undertook to extend the rights of action in favour of individuals, the majority of anti-trust actions are now private. 29
29 This is the observation made by B. C. McDonald in his study "Private Actions and the Combines Investigation Act", in chapter 8 of the publication by Butterworths, Competition Policy, Fotoset by Howarth & Smith.
There is not likely to be any dispute that the existence of a civil remedy is capable of lending greater effectiveness to a statute designed to pre vent harmful practices which are often difficult to identify. However, to explain the adoption of the provisions under dispute on the basis of this obser vation, it has to be assumed that the remedy did not already exist. Now, I do not think that was the case.
There can be no doubt, in my opinion, that the action already existed in Quebec law by virtue of the general principle of liability recognized in article 1053 of the Civil Code. (Cf. Beullac, La responsabilité civile dans le droit de la province de Québec, 1948, p. 12; Nadeau, Traité pratique de la responsabilité civile délictuelle, 1971, p. 221; in French law, Planiol & Ripert, Traité pratique de droit civil français, 2nd ed., vol. 6, p. 15, No. 12.) The carefully reasoned judgment recently handed down by Nadeau J. in Philippe Beaubien & Cie Ltée v. Canadian General Electric Company Limited 30 is a notable illustration of this. (See also Roy v. Blais 31 , Joyal v. Air Canada")
At common law, the situation definitely cannot be stated in such a simple and decisive manner, given the absence of a general principle of liability, but it would not appear to lead to very different results.
First, it should be noted that a very recent decision of the Supreme Court of British Columbia, accompanied by lengthy reasons by Callahan J., recognized the existence of the civil action at common law in a case where the facts were similar to those relied on in the case at bar (British Columbia Lightweight Aggregate Ltd. v. Canada Cement LaFarge Ltd. 33 ). More important ly, there is the principle stated by Duff J. in Philco Products, Limited v. Thermionics, Limited 34 , in the following laconic terms: "If B commits an indictable offence and the direct consequence of that indictable offence is that A suffers some special harm different from that of the rest of His
3° [ 1976] C.S. 1459.
3' (1931) 50 Q.B. (Que.) 164.
32 [ 1976] C.S. 1211.
33 An as yet unreported decision of August 24, 1979.
34 [1940] S.C.R. 501 at p. 504.
Majesty's subjects, then, speaking generally, A has a right of action against B". I would also take the liberty of reproducing a lengthy citation from the judgment of Lord Denning M.R. in a case before the English Court of Appeal, Ex parte Island Records Ltd, 35 which dealt specifically with the possible civil remedy of the victim of a criminal offence:
The result of Gouriet's case may be summarized thus: when a statute creates a criminal offence, prescribing a penalty for the breach of it, but not giving any civil remedy, the general rule is that no private individual can bring an action to enforce the criminal law, neither by way of an injunction nor by damages. It must be left to the Attorney-General to bring an action, either of his own motion or at the instance of a member of the public who `relates' the facts to him.
But there is an exception to this rule in any case where the criminal act is not only an offence against the public at large, but also causes or threatens to cause special damage to a private individual. If a private individual can show that he has a private right which is being interfered with by the criminal act, thus causing or threatening to cause him special damage over and above the generality of the public, then he can come to the court as a private individual and ask that his private right be protected: see Gouriet's case by Lord Dilhorne, Lord Diplock, Lord Edmund-Davies and Lord Fraser. The court can, in those circumstances, grant an injunction to restrain the offender from continuing or repeating his criminal act. It is no answer then for the defendant to say: 'It is a crime which I am about to commit. If an injunction is granted, I shall be in double jeopardy if I break it, on the one hand for contempt of court in the civil jurisdiction, and on the other hand for a penalty in the criminal jurisdiction.' The reply to him is simple: 'All the more reason why you should not break the law. You will then be in no jeopardy. If you do break it, you will not be punished twice over. Whichever court deals with you, it will take into consider ation the punishment which has been, or can be, inflicted by the other.'
The exception, depends, however, on the private individual having a private right which he is entitled to have protected. That was made clear long ago by Holt C.J. in the leading case of Iveson v. Moore, when he was considering a public nuisance by stopping up a highway leading to a colliery. It was a criminal act, but it was held that the colliery owner could bring an action against the offender if he could show special damage. Holt C.J. said: `... actions upon the case for nuisances are founded upon particular rights; but where there is not any particular right, the plaintiff shall not have an action.'
The question, therefore, becomes this: has the plaintiff a particular right which he is entitled to have protected? To this the answer which runs through all the cases is: a man who is
35 [1978] 3 All E.R. 824 at pp. 829-830.
carrying on a lawful trade or calling has a right to be protected from any unlawful interference with it: see Acrow (Automa- tion) Ltd v. Rex Chainbelt Inc. It is a right which is in the nature of a right of property. Such as a right to have the access to your premises kept clear without being obstructed by nui sance or smells (see Benjamin v. Storr), or a right to run a ferry for profit across the river Mersey without being injured by rail traffic contrary to the penal statute (see Chamberlain v. Chester and Birkenhead Railway Co), or a right to prevent spurious notes being circulated to the damage of the plaintiffs interests (see Emperor of Austria v. Day and Kossuth), or a right to prevent passing-off (see Levy v. Walker by James L.J.), or a right to have your servants come unhindered to work, even though it is only made unlawful by a penal statute (see Springhead Spinning Co v Riley), or a right to have your contractual relations maintained inviolate without interference by others, unless there is just cause or excuse (see National Phonograph Co Ltd v. Edison-Bell Consolidated Phonograph- ic Co Ltd, Torquay Hotel Co Ltd v. Cousins and the recent cricketers case of Greig v. Insole) or a right in a workman to have his pay slip properly vouched, even though it is only made unlawful by a penal statute (see Simmonds v. Newport Aber- cam Black Vein Steam Coal Co, where a declaration was granted).
In all these cases the unlawful interference may be a tort, such as fraud or passing-off; or it may be a crime, such as a public nuisance or a breach of a statute which imposes only criminal penalties; but whatever be the nature of the unlawful interference, the party concerned is entitled to come himself to the courts of law and ask to be protected from the unlawful interference. It is no answer for the defendant to say: `It is a crime and so you cannot sue me.' It would be a sorry state of the law if a man could excuse himself by such a plea, and thus cause special damage with impunity. For the fact must be faced: the criminal law is a broken reed in some of these cases; at any rate in this particular case. The police have not the men or the means to investigate the offence or to track down the offenders or to prosecute them. Nor have they the will. Nor has the Attorney-General. He has, we are told, refused his consent to a relator action, presumably because no public rights are involved. So perforce, if the law is to be obeyed, and justice be done, the courts must allow a private individual himself to bring an action against the offender in those cases where his private rights and interests are specially affected by the breach.
This principle is.,capable of extension so as to apply not only to rights of property or rights in the nature of it, but to other rights or interests, such as the right of a man to his good name and reputation (see Margaret, Duchess of Argyll v. Duke of Argyll) and his right to the lawful transmission of his mail (see my illustration in Gouriet's case).
I readily admit that the disputed provisions may have clarified, beneficially regulated and even possibly enlarged the civil action which the victim
of an act proscribed by the Combines Investigation Act could already exercise in reliance on the prin ciples of the civil or the common law alone. I do not see however on what basis they may thereby be regarded more favourably than those of section 7 of the Trade Marks Act, R.S.C. 1970, c. T-10 which MacDonald v. Vapor Canada Limited (cited above) refused to validate, on the basis in part of the conclusion of Laskin C.J. who, after analyzing the provisions in question, found thus 36:
Overall, whether s. 7(e) be taken alone or, more properly, as part of a limited scheme reflected by s. 7 as a whole, the net result is that the Parliament of Canada has, by statute, either overlaid or extended known civil causes of action, cognizable in the provincial courts and reflecting issues falling within provin cial legislative competence.
At the conclusion of this lengthy analysis, made necessary by the significance and complexity of the problem presented, I feel I am in a position to answer the questions put to me.
To the first question, I would answer no. Para graph 31.1(1)(a) and subsection 31.1(3) of the Combines Investigation Act are not valid because they are ultra vires the powers of Parliament.
Consequently, I would also answer no to the second question. Subsection 31.1(3) being devoid of effect, this Court lacks jurisdiction to hear the claim made by the action instituted.
I do not dispose of the action itself and make no ruling as to costs, since no request was submitted in that regard.
36 [1977] 2 S.C.R. 134, at p. 156.
 You are being directed to the most recent version of the statute which may not be the version considered at the time of the judgment.