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A-558-78
Petrofina Canada Ltd. (Applicant)
v.
Chairman, Restrictive Trade Practices Commis sion, Director of Investigation and Research, Attorney General of Canada, L. A. Couture, A. R. Norfolk, H. Leduc, C. Gundy, P. G. Comision, J. H. Rocking, K. Saldanha and G. G. Smith (Respondents)
Court of Appeal, Pratte and Ryan JJ. and Lalande D.J.—Montreal, November 22 and 23, 1979.
Judicial review — Application to review decisions of Mem bers of Restrictive Trade Practices Commission on grounds that they lacked jurisdiction or failed to act judicially or gave authorization to search and remove evidence in terms wider than what is permitted by statute — Combines Investigation Act, R.S.C. 1970, c. C-23, ss. 7, 8, 9, 10 — Federal Court Act, R.S.C. 1970 (2nd Supp.), c. 10, s. 28.
This is a section 28 application to review and set aside decisions of Members of the Restrictive Trade Practices Com mission pursuant to sections 9(2) and 10(3) of the Combines Investigation Act. The applicant submitted that the Members lacked jurisdiction on the grounds that two of the orders under attack are invalid because they were made in relation to an inquiry that had already been terminated and the other orders were made in relation to an inquiry which had been illegally commenced. The applicant also submitted that the Members who gave their authorization under sections 9(2) and 10(3) failed to act judicially in that they exercised their discretion under the statute without showing sufficient information en abling them to make decisions. Lastly, the applicant submitted that the Members failed in their authorizations to specify the offences in relation to which they were given.
Held, the application is dismissed. Regarding the allegation that the orders were made in relation to an inquiry already terminated, it is based on an interpretation of the material on record and of sections 14 and 15 of the Act that appears to be unwarranted. The allegation that the other orders were made in relation to an inquiry illegally commenced, was based on the fact it was discovered that one of the six persons who signed the application under section 7 was not, at that time, a Canadian citizen. This was a mere irregularity which did not affect the validity of the subsequent decision of the Director to hold an inquiry. Regarding the allegation that the Members failed to act judicially, under sections 9(2) and 10(3) of the Act, the Members are neither required nor authorized to determine the legality of the Director's decision to hold an inquiry; they are
merely required to ascertain that there is, de facto, an inquiry in progress under the Act. The Members are not required or authorized to pass judgment on the reasonableness of the motives prompting the Director to exercise his powers under sections 9 and 10. As the Members did not have to make decisions on these two points, they cannot be blamed for not having required information. Lastly regarding the failure to specify the offences, the statute does not specify the contents or form of the order authorizing the exercise of the Director's powers under sections 9 and 10 nor does the statute require that it contains reference to offences; the power of the Director to make inquiries is very wide and it is not the function of the Members to determine the validity of an inquiry or to set limits.
APPLICATION for judicial review. COUNSEL:
J. Chipman, Q.C. and C. Carron for applicant.
P. A. Martineau, Q.C. for respondent Chair man, Restrictive Trade Practices Commis sion.
J. Ouellet, Q.C. for respondents Director 'of Investigation and Research, Attorney General of Canada, L. A. Couture, A. R. Norfolk, H. Leduc, C. Gundy, P. G. Comision, J. H. Bocking, K. Saldanha and G. G. Smith.
SOLICITORS:
Ogilvy, Renault, Montreal, for applicant.
Martineau & Associates, Hull, for respondent Chairman, Restrictive Trade Practices Com mission.
Deputy Attorney General of Canada for respondents Director of Investigation and Research, Attorney General of Canada, L. A. Couture, A. R. Norfolk, H. Leduc, C. Gundy, P. G. Comision, J. H. Bocking, K. Saldanha and G. G. Smith.
The following are the reasons for judgment delivered orally in English by
PRATTE J.: This is a section 28 application to review and set aside a decision of a Member of the Restrictive Trade Practices Commission pursuant to section 10(3) of the Combines Investigation
Act, R.S.C. 1970, c. C-23.' It was heard at the same time as three other applications made by the same applicant 2 against other decisions of the same nature and another section 28 application 3 made by the applicant against a decision of a Member of the Commission pursuant to section 9(2) of the same Act. 4 As all those applications raise substantially the same problems, these rea sons will apply to them all.
' Subsections (1) and (3) of section 10 read as follows:
10. (I) Subject to subsection (3), in any inquiry under this Act the Director or any representative authorized by him may enter any premises on which the Director believes there may be evidence relevant to the matters being inquired into and may examine any thing on the premises and may copy or take away for further examination or copying any book, paper, record or other document that in the opinion of the Director or his authorized representative, as the case may be, may afford such evidence.
(3) Before exercising the power conferred by subsection (1), the Director or his representative shall produce a certifi cate from a member of the Commission, which may be granted on the ex parte application of the Director, authoriz ing the exercise of such power.
2 In files A-559-78, A-560-78 and A-561-78.
3 File No. A-562-78.
° Section 9 reads as follows:
9. (I) Subject to subsection (2), the Director may at any time in the course of an inquiry, by notice in writing, require any person, and in the case of a corporation any officer of the corporation, to make and deliver to the Director, within a time stated in such notice, or from time to time, a written return under oath or affirmation showing in detail such information with respect to the business of the person named in the notice as is by the notice required, and such person or officer shall make and deliver to the Director, precisely as required a written return under oath or affirmation showing in detail the information required; and, without restricting the generality of the foregoing, the Director may require a full disclosure and production of all contracts or agreements which the person named in the notice may have at any time entered into with any other person, touching or concerning the business of the person named in the notice.
(2) The Director shall not issue a notice under subsection (I) unless, on the ex parte application of the Director, a member of the Commission certifies, as such member may, that such notice may be issued to the person or officer of a corporation disclosed in the application.
As I understand them, the various attacks made by the applicant against those decisions are, in effect, that the Members who made those decisions
(a) either lacked jurisdiction, or
(b) failed to act judicially, or
(c) gave their authorization in terms wider than what is permitted by the statute.
I—Lack of Jurisdiction
Sections 9 and 10 make clear that applications for authorization under sections 9(2) and 10(3) may only be made in the course of an inquiry under the Act. It is the applicant's contention that two of the orders under attack are invalid because they were made in relation to an inquiry that had already been terminated and that the other orders were made in relation to an inquiry which had been illegally commenced.
Of the applicant's argument concerning the alleged termination of the inquiry, I do not wish to say more than that it is based on an interpretation of the material on record and of sections 14 and 15 of the Act that appears to me to be completely unwarranted.
In order to understand the applicant's conten tion with respect to the inquiry that had allegedly been irregularly commenced, it is necessary to explain that some of the orders under attack were pronounced in relation to an inquiry that had been commenced by the Director in 1973 on the application of six persons pursuant to sections 7 and 8 of the Act. 5 In August 1979, more than six
5 At the relevant time, those two sections read as follows:
7. (I) Any six persons, Canadian citizens, resident in
Canada, of the full age of twenty-one years, who are of the opinion that an offence under Part V has been or is about to be committed may apply to the Director for an inquiry into such matter.
(2) The application shall be accompanied by a statement in the form of a solemn or statutory declaration showing
(a) the names and addresses of the applicants, and at their election the name and address of any one of their number, or of any attorney, solicitor or counsel, whom they may, for the purpose of receiving any communication to be made pursuant to this Act, have authorized to represent them;
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years after the commencement of the inquiry and more than a year after the making of the most recent of the orders under attack, it was discovered that one of the six persons who had signed the application under section 7 was not, at that time, a Canadian citizen. The applicant contends that it follows from that irregularity that the inquiry was invalidly commenced by the Director and that, when the orders under attack were made, there was, in law, no inquiry. I do not agree. In my view, the fact that one of the six applicants was not a Canadian citizen was a mere irregularity which did not affect the validity of the subsequent deci sion of the Director to hold an inquiry. In spite of that irregularity, an inquiry was, in fact, being made under the Act and, therefore, Members of the Commission had jurisdiction, under sections 9(2) and 10(3), to make orders relating to that inquiry.
II—The Failure to Act Judicially
According to the applicant, the Members who gave their authorization under sections 9(2) and 10(3) failed to act judicially in that they exercised their discretion under the statute without showing sufficient information enabling them to make enlightened decisions. The applicant says that the Members who made those decisions should have had before them sufficient information to enable them to determine the legality of the inquiry then in progress and the reasonableness of the belief of the Director that circumstances warranted the exercise of his powers under sections 9 and 10.
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(b) the nature of the alleged offence and the names of the persons believed to be concerned therein and privy thereto; and
(c) a concise statement of the evidence supporting their opinion that the offence has been or is about to be committed.
8. The Director shall
(a) on application made under section 7,
(b) whenever he has reason to believe that any provision in Part V has been or is about to be violated, or
(c) whenever he is directed by the Minister to inquire whether any provision in Part V has been or is about to be violated,
cause an inquiry to be made into all such matters as he considers necessary to inquire into with the view of determin ing the facts.
This argument, in my view, must also be reject ed. In making the decisions that sections 9 and 10 require them to make, the Members must act judicially. The Court so held on April 19, 1979, when it decided that the decisions here in question were reviewable under section 28 of the Federal Court Act, R.S.C. 1970 (2nd Supp.), c. 10. How ever, that duty to act judicially applies only to the decisions that the Members are required to make under sections 9(2) and 10(3). Under those provi sions, the Members are neither required nor authorized to determine the legality of the Direc tor's decision to hold an inquiry; they are merely required to ascertain that there is, de facto, an inquiry in progress under the Act. The Members are not required or authorized, either, to pass judgment on the reasonableness of the motives prompting the Director to exercise his powers under sections 9 and 10. As the Members did not have to make decisions on those two points, they cannot, in my opinion, be blamed for not having required information on those points.
I now turn to the last contention put forward by the applicant, namely, that the terms of the authorization given by the Members were too broad because they did not specify the offence in respect of which they were given.
III—The Failure of the Decisions under Attack to Mention an Offence under the Act
According to the applicant, the Director is empowered, under the Act, to make an inquiry in relation to violations or suspected or apprehended violations of the Act. As an authorization given under sections 9(2) and 10(3) must relate to an inquiry, it must, following the applicant's argu ment, relate to offences under the Act. The appli cant concludes that the failure of the authoriza tions here in question to specify the offences in relation to which they were given, is fatal.
The answer to that argument is, in my view, that
(a) the statute does not specify the contents or the form of the order authorizing the exercise of the Director's powers under sections 9 and 10
and does not require that it contains any refer ence to one or more offences under the Act;
(b) the power of the Director to make inquiries is very wide and is not limited to the circum stances mentioned in section 8 (see section 47); and,
(c) as I have already stated, it is not the func tion of a Member under sections 9(2) and 10(3) to determine the validity of an inquiry in progress; it is not his duty, either, to set limits to an inquiry that the Director has commenced.
For all these reasons, I would dismiss the application.
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RYAN J. concurred.
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LALANDE D.J. concurred.
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