Judgments

Decision Information

Decision Content

A-1024-82
Restrictive Trade Practices Commission and O. Gerald Stoner (Appellants) (Respondents)
v.
Director of Investigation and Research, Combines Investigation Act (Respondent) (Applicant)
Court of Appeal, Pratte, Urie and Ryan JJ.— Ottawa, March 1, 2 and 7, 1983.
Combines — Director requesting subpoenas during Com mission hearing under s. 47 — Commission refusing — Com mission not obliged to issue subpoena on Director's demand in s. 47 hearing — Director's main responsibility to hold in quiries, under either s. 8 or s. 47 — S. 8 inquiry leading to s. 18 hearing under Commission's exclusive control — S. 47 inquiry more general — Director to hold initial s. 47(1) inquiry, as if s. 8 inquiry — Only after may Commission hold s. 47(2) hearing for further evidence — Director cannot con duct his inquiry at Commission's hearing — Commission controls s. 47(2) hearing — Director cannot determine evidence — Only Commission has power to issue subpoena — Power involves discretion, not purely administrative — Duty to avoid unfairness and oppression — Issuance purely administrative in courts only because of court rules — Combines Investigation Act, R.S.C. 1970, c. C-23 (as am. by S.C. 1974-75-76, c. 76, ss. 4, 6, 9, 25), ss. 8, 9, 10, 12, 17, 18, 19, 21, 27(1), 47 — Inquiries Act, R.S.C. 1970, c. 1-13, ss. 4, 5.
Following a private inquiry which he conducted pursuant to section 47 of the Combines Investigation Act, the Director submitted to the Chairman of the Commission a statement of the evidence collected. The Commission decided to hold public hearings, also under section 47, to obtain further evidence. In the course of those hearings, the Director asked the Commis sion to issue subpoenas directed to the heads of five petroleum companies. The Commission refused. On application by the Director, the Trial Judge ordered the Commission and its Chairman to comply with the Director's request. The Commis sion and its Chairman appealed.
Held, the appeal is allowed, and the Director's application is dismissed. The Commission is not obliged to issue a subpoena whenever the Director, in a hearing before the Commission under section 47, so requests. Under the Act, the main respon sibility of the Director is to conduct inquiries. This is done pursuant to either section 8 or section 47. A section 8 inquiry
does not directly involve the Commission, but it may result in a situation wherein section 18 applies. Under section 18, the Commission takes over the inquiry, and must hold a hearing. This hearing is subject to the Commission's exclusive control; consequently, the Director has no authority to decide what evidence the Commission will hear. The situation is similar in the case of a section 47 proceeding, which comprises an inquiry of a more general nature. Under subsection 47(1), the Director is to hold an initial, private inquiry, and to conduct it as if it were a section 8 inquiry. After—and only after—he has com pleted his investigation and transmitted the evidence collected to the Commission, the Commission may decide to hold hear ings under subsection 47(2), in order to obtain further evidence. The Director does not have the option of conducting his inquiry in front of the Commission, at its hearings. Accordingly, it is the Commission which is master of those hearings, not the Director, and thus, again, the Director cannot determine what evidence the Commission will receive. In any event, though, the Commission is the body with the power, pursuant to section 21, to summon witnesses. Nowhere in the Act is the Director given such authority. This power is not purely administrative. Instead, it involves the exercise of discretion, the Commission being under a duty not to use the power in an unfair or oppressive manner. While the issuance of a subpoena is an entirely administrative act in most courts, this is so only because there are rules in those courts which make it such. No comparable rules have been adopted by the Commission.
COUNSEL:
B. C. McDonald and J. M. Belanger for appellants (respondents).
G. F. Henderson, Q.C., G. E. Kaiser and G. N. Addy for respondent (applicant).
C. L. Campbell, Q.C. and M. E. Barrack for cross-appellants Gulf Canada Ltd. and John L. Stoik.
J. L. McDougall, Q.C. for cross-appellant R. W. D. Hanbidge, President of B.P. Canada Inc.
A. McN. Austin for C. W. Daniel, President of Shell Canada Ltd.
SOLICITORS:
Lang, Michener, Cranston, Farquharson & Wright, Toronto, for appellants (respond- ents).
Gowling & Henderson, Ottawa, for respond ent (applicant).
McCarthy & McCarthy, Toronto, for cross- appellants Gulf Canada Ltd. and John L. Stoik.
Fraser & Beatty, Toronto, for cross-appellant R. W. D. Hanbidge, President of B.P. Canada Inc.
Weir & Foulds, Toronto, for C. W. Daniel, President of Shell Canada Ltd.
The following are the reasons for judgment rendered in English by
PRATTE J.: This is an appeal from an order of the Trial Division [[1983] 1 F.C. 520] directing the Restrictive Trade Practices Commission and its Chairman to accede to a request made by the Director of Investigation and Research under the Combines Investigation Act [R.S.C. 1970, c. C-23] and issue subpoenas requiring the presidents or chief executive officers of five petroleum com panies to attend and give evidence in an inquiry conducted before the Commission.
There is only one issue to be resolved: has the Commission the duty, when an inquiry is held before it pursuant to section 47 of the Combines Investigation Act [as am. by S.C. 1974-75-76, c. 76, s. 25], to issue all the subpoenas that the Director may request? The Trial Division answered that question affirmatively. First, it held that the responsibility for the conduct of the inqui ry before the Commission was vested in the Direc tor who, as a consequence, had the right to deter mine the witnesses to be subpoenaed. Second, it held that the issuance of a subpoena by the Com mission was a purely administrative act which did not involve the exercise of any discretion.
Under the Combines Investigation Act, the main responsibility of the Director is to make inquiries. Those inquiries are made either pursuant to sec tion 8 or under section 47.
Section 8 [as am. by S.C. 1974-75-76, c. 76, s. 4] provides that the Director must make an inqui ry whenever there is reason to believe that:
8.(b)...
(i) a person has contravened or failed to comply with an order made pursuant to section 29, 29.1 or 30,
(ii) grounds exist for the making of an order by the Commission under Part IV.1, or
(iii) an offence under Part V or section 46.1 has been or is about to be committed ....
In those cases, the Director must inquire "into all such matters as he considers necessary to inquire into with the view of determining the facts." That inquiry is conducted in private (subsection 27 (1) [as enacted by S.C. 1974-75-76, c. 76, s. 9]) and the Commission takes no part in it. The members of the Commission, however, may be called upon to make orders so as to enable the Director, in the course of his inquiry, to compel the production of evidence or the attendance of witnesses. Indeed, the Director does not have the power, under the statute, to compel the production of evidence or to summon a witness. If the Director needs to exer cise those powers during the course of an inquiry, he must make an ex parte application to a member of the Commission and obtain an order as provided in sections 9, 10, 12 and 17.
A section 8 inquiry may lead to four possible outcomes: the Director may realize that the matter does not justify a further inquiry and decide to discontinue the inquiry; he may form the view that grounds exist for making an order under Part IV.1 of the Act, in which case he will apply for such an order; he may refer the matter to the Attorney General of Canada; finally, if the evidence obtained discloses an offence under Part V, the Director must report his findings to the Commis sion, and then sections 18 [as am. by S.C. 1974- 75-76, c. 76, s. 6] and 19 of the Act come into play. These two sections read as follows:
18. (1) At any stage of an inquiry,
(a) the Director may, if he is of the opinion that the evidence obtained discloses a situation contrary to any provision in Part V, and
(b) the Director shall, if the inquiry relates to an alleged or suspected offence under any provision of Part V and he is so required by the Minister,
prepare a statement of the evidence obtained in the inquiry which shall be submitted to the Commission and to each person against whom an allegation is made therein.
(2) Upon receipt of the statement referred to in subsection (1), the Commission shall fix a place, time and date at which argument in support of such statement may be submitted by or on behalf of the Director, and at which such persons against whom an allegation has been made in such statement shall be allowed full opportunity to be heard in person or by counsel.
(3) The Commission shall, in accordance with this Act, consider the statement submitted by the Director under subsec-
tion (1) together with such further or other evidence or ma terial as the Commission considers advisable.
(4) No report shall be made by the Commission under section 19 or 22 against any person unless such person has been allowed full opportunity to be heard as provided in subsection (2).
19. (1) The Commission shall, as soon as possible after the conclusion of proceedings taken under section 18, make a report in writing and without delay transmit it to the Minister.
(2) The report under subsection (1) shall review the evidence and material, appraise the effect on the public interest of arrangements and practices disclosed in the evidence and con tain recommendations as to the application of remedies pro vided in this Act or other remedies.
As, under section 18, the Commission may clearly become involved in an inquiry, section 21 confers on the Commission and its members "all the powers of a commissioner appointed under Part I of the Inquiries Act", including, of course, the power to summon witnesses.'
So much for the inquiries held by the Director pursuant to section 8. Apart from the inquiries held for the purposes mentioned in that section, the Director may also hold inquiries of a more general nature under section 47. That section, which is the only one which expressly regulates that kind of inquiry, reads as follows:
47. (1) The Director
(a) upon his own initiative may, and upon direction from the Minister or at the instance of the Commission shall, carry out an inquiry concerning the existence and effect of condi tions or practices relating to any product that may be the subject of trade or commerce and which conditions or prac tices are related to monopolistic situations or restraint of trade, and
(b) upon direction from the Minister shall carry out a general inquiry into any matter that the Minister certifies in the direction to be related to the policy and objectives of this Act,
' Sections 4 and 5 of the Inquiries Act, R.S.C. 1970, c. I-13, read as follows:
4. The commissioners have the power of summoning before them any witnesses, and of requiring them to give evidence on oath, or on solemn affirmation if they are persons entitled to affirm in civil matters, and orally or in writing, and to produce such documents and things as the commissioners deem requisite to the full investigation of the matters into which they are appointed to examine.
5. The commissioners have the same power to enforce the attendance of witnesses and to compel them to give evidence as is vested in any court of record in civil cases.
and for the purposes of this Act, any such inquiry shall be deemed to be an inquiry under section 8.
(2) It is the duty of the Commission to consider any evidence or material brought before it under subsection (1) together with such further evidence or material as the Commission considers advisable and to report thereon in writing to the Minister, and for the purposes of this Act any such report shall be deemed to be a report under section 19.
It is common ground that the inquiry during which the Commission refused to issue the sub poenas requested by the Director was held pursu ant to section 47. It related to the petroleum industry in Canada and had been commenced by the Director in 1973. Until 1981, it had been conducted in private in accordance with the provi sions of the statute relating to section 8 inquiries. On February 27, 1981, the Director sent to the Chairman of the Commission a voluminous state ment of the evidence collected during the course of that inquiry, together with the following covering letter:
Pursuant to section 47 of the Combines Investigation Act, I am submitting to you in English and in French, a Statement of Evidence and Material collected in the above inquiry so that, pursuant to the said section, the Restrictive Trade Practices Commission can consider it together with such further evidence or material as you consider advisable and report thereon in writing to the Minister of Consumer and Corporate Affairs.
Following the receipt of that letter, the Commis sion decided to hold public hearings to receive further evidence on the same subject. It is in the course of those hearings that the Commission rejected the Director's request for the issuance of subpoenas.
It may not be necessary, in order to dispose of this appeal, to determine whether the inquiry that was being held by the Commission when it refused to issue the subpoenas was under the responsibility of the Director or of the Commission. However, I feel obliged to say that I cannot agree with the opinion expressed by the learned Judge of first instance that that inquiry was under the direction and responsibility of the Director.
If the inquiry in question had been held by the Commission pursuant to section 18, following the submission of a statement of the evidence obtained by the Director during a section 8 inquiry, there would have been no doubt, in my view, as to the characterization of that inquiry. Until the submis-
sion of a statement of evidence pursuant to section 18, a section 8 inquiry is a private inquiry made by the Director and the Commission is not involved in it. However, once a statement of evidence is filed pursuant to section 18, that situation changes. Then the Commission takes over: it must give the Director an opportunity to submit argument in support of the statement; it must give to all those against whom allegations are made in the state ment an opportunity to refute those allegations; it must hear "such further or other evidence" as it considers advisable; it must, finally, make a report pursuant to section 19. It is clear, in my view, that when the Commission decides, under section 18, to hold hearings to obtain "further or other evi dence", those hearings are under its sole control. Those hearings are not conducted by the Director, who therefore does not have the power to decide the evidence that the Commission will hear.
Counsel for the respondent submitted, however, that the situation is different when an inquiry is held pursuant to section 47. That section contem plates, said he, an inquiry to be made by the Director and in the course of which evidence is brought before the Commission. It follows, accord ing to that submission, that the Commission has the duty to hear all the evidence that the Director wishes to adduce before it in the course of that inquiry. In that sense, the inquiry before the Com mission would be under the control of the Director.
This submission rests entirely on the wording of subsection 47(2), which imposes on the Commis sion the duty "to consider any evidence or material brought before it under subsection (1) ...." As subsection 47 (1) does not indicate how the evi dence gathered by the Director during the course of his inquiry must be brought before the Commis sion, counsel for the respondent infers from those words in subsection 47(2) that the Director may choose to bring the evidence before the Commis sion by making his inquiry in the presence of the Commission during its public hearings.
I must confess that the manner in which subsec tion 47(2) is drafted lends some credibility to the respondent's contention. However, I cannot accept it. Section 47 provides for inquiries in which both the Director and the Commission play a part. The part of the Director is described in subsection 47(1): he must carry out an inquiry which, for the
purposes of the Act, is deemed to be a section 8 inquiry. Now, an inquiry by the Director is not, as I understand it, an inquiry before the Commission; it is a private inquiry which is conducted as if it were a section 8 inquiry. I cannot interpret subsec tion 47(1) as giving the Director the power to decide to make his inquiry before the Commission. The part to be played by the Commission in a section 47 inquiry is described in subsection 47(2): it must consider the evidence "brought before it under subsection (1) together with such further evidence or material as the Commission considers advisable" and "report thereon ... to the Minis ter". In my view, the use of the words "any evidence . .. brought before it under subsection (1)" does not support the inference that the Direc tor may choose to bring that evidence before the Commission by making his inquiry in its presence. The only inference that, in my view, can be drawn from those words is that section 47 contemplates that the Director will, after he has completed his investigation, bring the evidence that he has col lected before the Commission for its consideration. This does not imply that the inquiry be made before the Commission but, rather, that the evi dence already obtained by the Director in the course of his private inquiry will be transmitted to the Commission.
My conclusion, therefore, is that when the Com mission, after having been informed by the Direc tor of the evidence collected by him during a section 47 inquiry, decides to hold hearings to hear further evidence, those hearings are those of the Commission and are in no way under the control of the Director. It follows that the Director cannot tell the Commission what kind of evidence should be adduced at those hearings.
The crucial point in this case, however, is not the characterization of the inquiry that was being held when the Commission refused to issue the subpoenas; it is the characterization of the power of the Commission to summon witnesses. Was the Trial Division right in holding [at page 523] that the issuance of a subpoena by the Commission is a purely administrative act "analogous to the issu ance of a subpoena by the courts of the land"? In my opinion, it was not.
The power to summon witnesses belongs to the Commission by virtue of section 21, which confers on the Commission and its members all the powers of a commissioner appointed under Part I of the Inquiries Act. I do not know any authority sup porting the proposition that the power to summon witnesses is purely ministerial and does not involve the exercise of a discretion. If that proposition were true, the Commission would have to accede to any request to summon witnesses, however abu sive it might be. This, of course, is unacceptable. The Commission has a duty not to use its power in an unfair or oppressive manner. It is true that under the rules of most courts, the issuance of subpoenas is a purely administrative act. However, this is so because, under those rules, subpoenas are to be issued on demand by officers of the court. It is the rules of the courts which make the issuance of subpoenas a purely administrative function. Here, no such rules have been adopted by the Commission.
Counsel for the respondent argued that, in refusing to issue subpoenas, the Commission pre vented the Director from adducing evidence which he had the right to adduce. This argument presup poses, however, that the Director has the right to determine the evidence that will be heard by the Commission during its hearings. I have already indicated that, in my view, the Director has no such right.
I would, for these reasons, allow the appeal, set aside the order of the Trial Division and, pro nouncing the judgment that the Trial Division should have pronounced, I would dismiss the respondent's application. I would make no order as to costs.
URIE J.: I agree. RYAN J.: I agree.
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