Judgments

Decision Information

Decision Content

A-561-84 A-562-84
Energy Probe (Appellant) v.
Atomic Energy Control Board and Ontario Hydro (Respondents)
and
Attorney General of Canada (Intervener)
Court of Appeal, Heald, Marceau and Stone JJ.— Toronto, September 13, 14; Ottawa, October 29, 1984.
Judicial review — Prerogative writs — Energy — Certiorari — Atomic Energy Control Board licensing decision attacked
for pecuniary bias of Board member Latter president of company doing business with licence applicant — Trial Judge not in error in finding no direct pecuniary bias — Too late to raise issue of reasonable apprehension of bias as issue not
raised at trial No requirement on Trial Judge to put matter in issue if parties did not — Administrative Tribunal not necessarily losing jurisdiction where ground of challenge reasonable apprehension of bias.
Judicial review — Equitable remedies — Declarations — Trial Judge erred in dismissing action for declaration as proceeding before Court only motion for preliminary determi nation of question of law — Federal Court Rules, C.R.C., c. 663, R. 474.
Energy — Validity of licensing decision of Atomic Energy Control Board where Board member president of company supplying radiation-resistant cables for nuclear reactors to licence applicant — Allegation of pecuniary bias — Remote ness of interest — Belated raising of issue of reasonable apprehension of bias — Atomic Energy Control Regulations, C.R.C., c. 365, ss. 8, 9, 10.
Practice — Parties — Attorney General of Canada entitled to intervene where Atomic Energy Control Board licensing decision attacked for pecuniary bias of Board member as president of company doing business with licence applicant —
Issue one of general public importance Case relating to executive acts authorized by Parliament as matter in issue way in which executive utilized powers conferred on it by Parliament.
On September 20, 1983, the Atomic Energy Control Board confirmed its June 27 decision to issue licences for two units of
Ontario Hydro's Pickering "B" Nuclear Generating Station. Mr. Olsen, a part-time member of the Board who participated in the licensing decision was also, at that time, president of a company selling radiation-resistant cables to Ontario Hydro. The appellant attacked that decision by means of a motion for writ of certiorari and a motion for preliminary determination of a question of law, specifically whether the Board erred in law in permitting Mr. Olsen to participate in its licensing decision. The motions were based on an allegation of pecuniary bias on the part of Mr. Olsen. The Attorney General of Canada then brought a motion to be added as an intervener in the action.
The Trial Judge granted the Attorney General's application but dismissed the application for certiorari on the ground that Mr. Olsen did not have a pecuniary interest sufficient to constitute bias. While the Trial Judge did mention that there might have been a reasonable apprehension of bias, she abstained from making a finding on that question because the parties did not put it in issue. On the motion for a preliminary determination of a question of law, the Trial Judge dismissed "the action for a declaratory judgment".
These are two appeals, one (A-562-84) from the order adding the Attorney General as intervener, the other (A-561-84) from the order dismissing the appellant's motion for a writ of certiorari and its action, in the alternative, for a declaratory judgment.
With respect to appeal A-561-84, the appellant now argues that the Trial Judge erred in law in finding that there was no pecuniary bias. In the alternative, it argues that the Trial Judge erred in law in concluding that reasonable apprehension of bias was the real issue and in not calling for argument on the issue before making her decision.
Held, appeal A-561-84 should be allowed in part and appeal A-562-84 should be dismissed.
Per Heald J. (Stone J. concurring): Appeal A-561-84: The Trial Judge correctly dismissed the motion for a writ of certio- rari. There was no direct pecuniary bias. Mr. Olsen's interest was indirect and uncertain and too remote to constitute either direct pecuniary interest or bias. And while it is possible that this was a case of reasonable apprehension of bias, the question was not in issue before the Trial Judge. On this basis, there was no requirement for the Trial Judge to put the matter in issue where the parties had not done so. Since the validity of administrative proceedings depends on the circumstances of each case, it cannot be said that an administrative tribunal loses jurisdiction where the ground of challenge is merely reasonable apprehension of bias. The argument that the Trial Judge should have examined the issue of reasonable apprehen sion of bias therefore fails. With respect to the alternative remedy sought in the same appeal, the judge should not have dismissed the action for a declaration upon a motion to deter mine a question of law. The order is therefore amended to provide that the preliminary question of law is answered in the negative.
Appeal A-562-84: Since the matter in issue is the way in which the executive has utilized the powers conferred on it by Parliament, the facts of this case relate to "executive acts authorized by Parliament" and the Attorney General of Canada is entitled to intervene.
Per Marceau J.: The appeals should be disposed of as suggested by Heald and Stone JJ. but for different reasons.
There is no reason to draw a strict distinction between direct and indirect or certain and uncertain as regards the monetary benefit the adjudicator could expect from his determination. The only rational requirements are that the benefit come from the decision itself and that it is likely enough to "colour" the case in his eyes. In any event, the mere possibility that a profit could be realized in the future out of other contracts awarded in the course of construction of other units was no doubt too alien, contingent and remote to constitute pecuniary bias with respect to the decision to be made at that time.
There was no reasonable apprehension of bias "since it applies only to non-pecuniary interests and since no interest other than pecuniary was alleged or even alluded to". But if the evidence had revealed a non-pecuniary interest capable of being influential and sufficient to raise a real likelihood of bias, even if counsel had inadequately presented his case, the Trial Judge would not have been precluded from dealing with it.
There seems to be so far no authority for the proposition that the law of bias has to be applied to a purely administrative forum like the Board which does not deal with private rights, has no adjudicative powers in the proper sense and bears no resemblance whatever to a court of justice. It is obvious that there is a requirement for an unbiased decision-maker, but according to the rules of fairness, not those of natural justice. And while the rules of fairness do establish safeguards against bias and are applicable to the Board, the standard to be achieved does not have to be as high as that required of an adjudicative tribunal and the rules applicable should therefore be less strict.
With respect to appeal A-562-84, while there is no basis for the proposition that the Attorney General of Canada has a general right of intervention in a legal proceeding between third parties wherever a question of public policy arises, the Court has the power to permit such intervention: Alberta Government Telephones v. Canadian Radio-television and Telecommuni cations Commission, [1983] 2 F.C. 443 (T.D.), affirmed [1983] 2 F.C. 839 (C.A.). And the Trial Judge did not err in relying on the principles in Adams v Adams, [1970] 3 All E.R. 572 (P.D.A.).
CASES JUDICIALLY CONSIDERED
APPLIED:
Metropolitan Properties Co. (F.G.C.) Ltd. v. Lannon, [1969] 1 Q.B. 577 (Eng. C.A.); Adams v Adams, [1970] 3 All E.R. 572 (P.D.A.).
CONSIDERED:
British Airways Board v Laker Airways Ltd, [1983] 3 All E.R. 375 (Eng. C.A.).
REFERRED TO:
Rex v. Sussex Justices, Ex parte McCarthy, [ 1924] 1 K.B. 256; Nicholson v. Haldimand-Norfolk Regional Board of Commissioners of Police, [1979] 1 S.C.R. 311; Re Gooliah and Minister of Citizenship and Immigration (1967), 63 D.L.R. (2d) 224 (Man. C.A.); Alberta Gov ernment Telephones v. Canadian Radio-television and Telecommunications Commission, [1983] 2 F.C. 443 (T.D.), affirmed [1983] 2 F.C. 839 (C.A.).
COUNSEL:
A. J. Roman and D. Poch for appellant.
I. A. Blue and J. S. de Pencier for respondent, Ontario Hydro.
J. E. Thompson for respondent, Atomic Energy Control Board and for intervener Attorney General of Canada.
SOLICITORS:
The Public Interest Advocacy Centre, Toronto, for appellant.
Cassels, Brock & Blackwell, Toronto, for respondent Ontario Hydro.
Deputy Attorney General of Canada for respondent Atomic Energy Control Board and on his own behalf.
The following are the reasons for judgment rendered in English by
HEALD J.: These two appeals were heard to gether pursuant to the agreement of counsel and are appeals from two orders of the Trial Division, both dated April 9, 1984. Appeal A-561-84 appeals the order [[1984] 2 F.C. 227] dismissing the appellant's motion for a writ of certiorari, and its action, in the alternative, for a declaratory judgment. Appeal A-562-84 appeals the order [[1984] 2 F.C. 138] adding the Attorney General of Canada as an intervener in the action.
Pursuant to the provisions of the Atomic Energy Control Act, R.S.C. 1970, c. A-19 and the regula tions promulgated thereunder (see Atomic Energy Control Regulations, C.R.C., c. 365, sections 8, 9 and 10), the operator of a nuclear facility in Canada must either have a licence issued by the respondent, Atomic Energy Control Board (A.E.C.B.) or an exemption from the licence requirement, also to be issued by the A.E.C.B.
The respondent, Ontario Hydro, is the owner and operator of the Pickering Nuclear Generating Station, located at Pickering, Ontario, and has made a practice of seeking and obtaining licences for its reactors rather than exemptions. The Pick- ering nuclear complex consists of two stations known as Pickering "A" and "B". Each station consists of four reactor units. Units 1 to 4 consti tute Pickering "A" while Units 5 to 8 constitute Pickering "B".
On June 27, 1983, the A.E.C.B. approved in principle, subject to ratification at its meeting to be held in September, 1983, the renewal of the operating licence for Pickering "B", Unit 5 and the issuance of a new licence to start Unit 6. The appellant requested an appearance before the A.E.C.B. at its scheduled September meeting, stat ing that it was concerned about the recent tube ruptures at Pickering "A" station. It also asked the A.E.C.B. to suspend its previous decision approv ing in principle the licensing of Units 5 and 6 on the basis that a part-time member of the A.E.C.B., Mr. J. L. Olsen, who was present at the meeting where the decision in principle was made, had a conflict of interest. The A.E.C.B. refused the appellant's suspension request, concluding that there was no substance to the charge and con firmed its decision to license Pickering Units 5 and 6 on September 20, 1983.
All of the parties agreed that Mr. Olsen is, and has been for eight years, a part-time member of the A.E.C.B. He is President of Phillips Cables Ltd. (Phillips Cables), a Canadian company doing some 200 million dollars worth of business annual ly. He is also currently Chairman of the Electrical and Electronic Manufacturers Association of
Canada (E.E.M.A.C.). From May of 1981 until March of 1983, Phillips Cables sold quantities of radiation-resistant cables for nuclear reactors to Ontario Hydro including substantial amounts of cables for Units 5 and 6 of Pickering "B". This business was obtained by Phillips Cables through the competitive tender process. There was uncon- tradicted evidence to the effect that as of March 19, 1981, Mr. Olsen was, in addition to being President of Phillips Cables, also a director and beneficial owner of 2,000 shares of the corpora tion. There is no direct evidence as to Mr. Olsen's shareholdings or whether he was still a director as of June 27, 1983 when the A.E.C.B. made its decision to approve in principle Ontario Hydro's licensing applications in respect of Units 5 and 6.
APPEAL A-561-84
This appeal is from the order [[1984] 2 F.C. 227] of the Trial Division which dismissed the appellant's motion for a writ of certiorari and purported, as well, to dismiss the appellant's action for a declaratory judgment. The motion for certio- rari was to quash the licensing decision of the A.E.C.B. referred to supra on the basis "... that the decision was biased in that the Board permit ted J. L. (Roy) Olsen to participate in the making of the decision when he had a pecuniary interest in the outcome of the licence applications." (A.B., p. 6.) However, the motion in respect of the action for declaratory relief was not a motion to dismiss the action but was rather for an order pursuant to Rule 474 [Federal Court Rules, C.R.C., c. 663] that a preliminary question of law be heard and determined, namely, that the A.E.C.B. erred in law in permitting Mr. Olsen to participate in its licensing decision of September 20, 1983 supra. In his argument before us, counsel for the appellant made the point that the learned Trial Judge should not have dismissed the appellant's action for a declaration since the motion before her was only a motion to determine a question of law. I think appellant's counsel is technically correct and the portion of the order which relates to the declarato- ry action requires amendment.
The appellant attacks the decision of the Trial Division on a twofold basis. Initially, counsel sub mits that the learned Trial Judge erred in law in holding that there was no pecuniary bias. In the alternative, the appellant submits that the Trial Judge erred in law in concluding that reasonable apprehension of bias was the real issue and that, in those circumstances, she should have disclosed her conclusion and called for argument on the issue before making her decision. I will consider, firstly, counsel's submissions of error by the Trial Judge in failing to find pecuniary bias. The matter of pecuniary bias is considered by the Trial Judge at pages 235 and 236 where she stated:
In this case the pecuniary interest of Mr. Olsen was alleged to arise because of his course of business dealings with Ontario Hydro. He had in the past sold radioactive-resistant cables to Ontario Hydro. It is clear he could expect to do so again in the future. But, I can find no direct pecuniary interest, as that concept has been defined in the jurisprudence, held by Mr. Olsen at the date of the hearings in question: June 27, 1983 and September 12, 1983. There was no contract conditionally in effect pending the outcome of the new licences to Ontario Hydro. There was no certainty that Mr. Olsen would sell additional cables to Ontario Hydro for the Pickering units, during the life of the new licence. Also, it was admitted by counsel for the applicant that the purchase of such cables by Ontario Hydro was through a tendering process. The most that could be said of Mr. Olsen as of the date of the hearing was that he could entertain a reasonable expectation of pecuniary gain as a result of approval of the licences.
1 was not referred to any case, nor was I able to find any, which has held that this kind of contingent expectation consti tutes direct pecuniary bias. All of the jurisprudence respecting pecuniary bias that I have seen involves individuals who at the date of the hearing held some sort of direct relationship with the beneficiary of the decision such that pecuniary benefit might with certainty arise even though that benefit might be miniscule, eg.: as a rate payer, as an estate agent for the transaction in question, as a shareholder. The classic decisions in this regard are: In the Matter of Hopkins (1858), El. B1. & El. 100, 120 E.R. 445 (K.B. Div.) and Reg. v. Hammond et al. (1863), 9 L.T. Rep. N.S. 423 (Bail Ct.), where magistrates who were shareholders in a railway company were disqualified from hearing charges against persons charged with travelling on the railway without tickets; and The Queen v. Gaisford, [1892] 1 Q.B. 381 where a justice was disqualified because he was a ratepayer in the municipality which would benefit from the decision. See also The King v. Hendon Rural District Council, [1933] 2 K.B. 696; Beer v. Rural Municipality of Fort Garry (1958), 66 Man. R. 385 (C.A.); Regina v. Barnsley
Licensing Justices, [1960] 2 Q.B. 167; Ladies of the Sacred Heart of Jesus (Convent of the Sacred Heart) v. Armstrong's Point Association et al. (1961), 29 D.L.R. (2d) 373 (Man. C.A.); Reg. v. Hain and others, Licensing Justices (1896), 12 T.L.R. 323 (Q.B. Div.).
Mr. Olsen, however, did not stand in a direct and certain relationship with Ontario Hydro at the date of the licensing decisions. The interest of Mr. Olsen would clearly seem to be of the kind which falls within the jurisprudence dealing with "reasonable apprehension of bias." Yet Mr. Roman, counsel for the applicant, in both written and oral argument, asserted "reasonable apprehension of bias ... is not issue here."
From the above passage, it seems that the Trial Judge made the following findings of fact:
1. Mr. Olsen had in the past sold radioactive resistant cables to Ontario Hydro and could expect to do so again in the future;
2. There was no contract conditionally in effect, as of June 27, 1983 and September, 1983, pending the outcome of the new licences to Ontario Hydro nor was there any certainty that Mr. Olsen would sell additional cables to Ontario Hydro for the Pickering units during the life of the new licence;
3. As of the date of the hearing when Mr. Olsen was present, he could entertain a reasonable expec tation of pecuniary gain as a result of approval of the licences; and
4. Mr. Olsen did not stand in a direct and certain relationship with Ontario Hydro at the date of the licensing decisions.
Based on these facts and her appreciation of the relevant jurisprudence which she reviewed in some detail, her conclusion was that the "contingent expectation" accruing to Mr. Olsen on these facts did not constitute direct pecuniary bias. I agree with that view of the matter. In considering this issue the decision of the Court of Appeal in Eng- land in the case of Metropolitan Properties Co. (F.G.C.) Ltd. v. Lannon, [1969] 1 Q.B. 577 is relevant. In that case, a Rent Assessment Commit tee was required to rule on a landlord's application for rent increases in a block of flats. The Chair man of that Committee was a solicitor living with his father who was a tenant in another apartment
building owned by the same group of landlords. The Chairman's law firm had acted for other tenants in similar rental dispute matters and the Chairman himself had made representations on behalf of his father with respect to rentals. At page
598 of the report, Lord Denning M.R. said:
A man may be disqualified from sitting in a judicial capacity on one of two grounds. First, a "direct pecuniary interest" in the subject-matter. Second, "bias" in favour of one side or against the other.
So far as "pecuniary interest" is concerned, I agree with the Divisional Court that there is no evidence that Mr. John Lannon had any direct pecuniary interest in the suit. He had no interest in any of the flats in Oakwood Court. The only possible interest was his father's interest in having the rent of 55 Regency Lodge reduced. It was put in this way: if the commit tee reduced the rents of Oakwood Court, those rents would be use as "comparable" for Regency Lodge, and might influence their being put lower than they otherwise would be. Even if we identify the son's interest with the father's, I think this is too remote. It is neither direct nor certain. It is indirect and uncertain.
So far as bias is concerned, it was acknowledged that there was no actual bias on the part of Mr. Lannon, and no want of good faith.
I think a similar conclusion should be drawn on the facts of this case. In my view, Mr. Olsen's interest was indirect and uncertain and too remote to constitute either direct pecuniary interest or bias. For these reasons, I conclude that the learned Trial Judge was not in error in finding an absence of direct pecuniary bias.
I come now to the appellant's alternative sub mission of error which relates to the expressed view of the learned Trial Judge [at page 236] that: "The interest of Mr. Olsen would clearly seem to be of the kind which falls within the jurisprudence dealing with `reasonable apprehension of bias'."
In the Lannon case supra Lord Denning, after disposing of the question of actual bias as quoted supra discussed the question of reasonable appre hension of bias in the following manner at pages
599 and 600 of the report:
There must be circumstances from which a reasonable man would think it likely or probable that the justice, or chairman,
as the case may be, would, or did, favour one side unfairly at the expense of the other. The court will not enquire whether he did, in fact, favour one side unfairly. Suffice it that reasonable people might think he did. The reason is plain enough. Justice must be rooted in confidence; and confidence is destroyed when right-minded people go away thinking: "The judge was biased."
Applying these principles, I ask myself: Ought Mr. John Lannon to have sat? I think not. If he was himself a tenant in difference with his landlord about the rent of his flat, he clearly ought not to sit on a case against the selfsame landlord, also about the rent of a flat, albeit another flat. In this case he was not a tenant, but the son of a tenant: But that makes no difference. No reasonable man would draw any distinction between him and his father, seeing he was living with him and assisting him with his case.
Test it quite simply: if Mr. John Lannon were to have asked any of his friends: "I have been asked to preside in a case about the rents charged by the Freshwater Group of Companies at Oakwood Court. But I am already assisting my father in his case against them, about the rent of his flat in Regency Lodge, where I am living with him. Do you think I can properly sit?" The answer of any of his good friends would surely have been: "No, you should not sit. You are already acting, or as good as acting against them. You should not, at the same time, sit in judgment on them."
No man can be an advocate for or against a party in one proceeding, and at the same time sit as a judge of that party in another proceeding. Everyone would agree that a judge, or a barrister or solicitor (when he sits ad hoc as a member of a tribunal) should not sit on a case to which a near relative or a close friend is a party. So also a barrister or solicitor should not sit on a case to which one of his clients is a party. Nor on a case where he is already acting against one of the parties. Inevitably people would think he would be biased.
I hold, therefore, that Mr. John Lannon ought not to have sat on this rent assessment committee. The decision is voidable on that account and should be avoided.
Although we are differing from the Divisional Court, I would like to say that we have had a good deal more information than that court had. In particular, we have seen a letter of January 13, 1967, and other things not before them when they gave their ruling. Otherwise I would not have thought it right to interfere.
I would allow the appeal and remit the case to another rent assessment committee. Let it be heard again as soon as may be.
The same principle was succinctly stated by Hewart C.J. in Rex v. Sussex Justices, Ex parte McCarthy, [1924] 1 K.B. 256 at page 259, as follows:
... it is not merely of some importance but is of fundamental importance that justice should not only be done, but should manifestly and undoubtedly be seen to be done.
L.J. Edmund Davies, also a member of the Court in the Lannon case said at pape 606:
... the circumstances already adverted to by my Lords are such that I regard it as most unfortunate that this particular chair man sat to try these appeals.
Because of the finding of the Trial Judge that, at the date of the hearing in question Mr. Olsen could entertain a reasonable expectation of pecuni ary gain as a result of the approval of subject licences, the factual situation in this case might well have established a case of reasonable appre hension of bias had that matter been in issue before the Trial Judge. However, as noted by the Trial Judge and, as conceded by appellant's coun sel in his memorandum of fact and law, his posi tion in the Trial Division was "that the facts of the case fitted the characteristics of pecuniary bias and that, therefore, reasonable apprehension of bias was not the issue." He now takes the position on appeal that if the Trial Judge had already concluded that counsel had incorrectly character ized the nature of the bias, she should have so advised him and invited submissions on the ques tion of reasonable apprehension of bias from coun sel for all the other parties either while the hearing was in progress or at a later date before judgment. I cannot accept this submission. It is clear and beyond dispute that the question of reasonable apprehension of bias was not in issue before the Trial Judge. On this basis, there was no require ment for the Trial Judge to put a matter in issue that had not been put in issue by any of the parties. Likewise, to deal with the matter on appeal, when it was not in issue in the Trial Division, would severely prejudice the other parties as was pointed out by counsel for the Attorney General of Canada and the A.E.C.B. He made the point that had the matter of reasonable apprehen sion of bias been in issue in the Trial Division, he might well have considered it advisable to introduce evidence directed toward that issue which, in his view, was a separate and distinct issue from the sole issue below, namely, pecuniary bias. It must be remembered that the finding of fact by the Trial Judge that Mr. Olsen could entertain a reasonable expectation of pecuniary gain, was a collateral finding in respect of a matter that was not in issue before her, and in respect of
which all of the parties were not given an opportu nity to adduce evidence.
Appellant's counsel submits, however, that the normal legal consequence of a finding of bias because of interest sufficient to disqualify is that the decision will be quashed because a biased decision is made without jurisdiction. He submit ted that this is the case whether the bias was actual, pecuniary, or where there was a reasonable apprehension of bias. On this basis, it was his view that his failure initially to raise the issue of reason able apprehension of bias could not create jurisdic tion where the tribunal had lost or exceeded its jurisdiction. I do not agree that the jurisprudence goes so far as to hold that an administrative tribunal loses jurisdiction where the ground of challenge is not pecuniary interest but rather, reasonable apprehension of bias. In the Fourth Edition of de Smith's Judicial Review of Adminis trative Action, this matter is discussed at page 273 where it is stated:
EFFECT OF DECISION BY TRIBUNAL WHERE DISQUALIFYING INTEREST OR BIAS IS PRESENT
In magisterial law the courts have consistently held that the decision of the bench must be set aside if any individual justice has a pecuniary interest in the result. They have declined to "conduct a poll of the bench" [R. v. Cheltenham Commission ers (1841) 1 Q.B. 467, 480.] or to "enter into a discussion as to the extent of influence exercised by the interested party." [R. v. Herts JJ. (1845) 6 Q.B. 753, 758.] The same principle seems to prevail where the ground of challenge is not pecuniary interest but likelihood of bias. [R. v. Meyer (1876) 1 Q.B.D. 173; R. v. Huggins [1895] 1 Q.B. 563. And see R. v. Barnsley Licensing JJ. [1960] 2 Q.B. 167, 181, 186 (where the question of pecuniary interest overlapped the question of likelihood of bias).] The attitude towards the proceedings of administrative and local government bodies exercising judicial functions may conceivably differ according as the ground of challenge is pecuniary interest or likelihood of bias; the pecuniary interest of a single member will affect the validity of the proceedings, but perhaps the likelihood of bias on his part may not, [See R. v. Hendon R.D.C., ex p. Chorley [1933] 2 K.B. 696 (pecuniary interest); and cf. dicta in R. v. L.C.C., ex p. Empire Theatre (1894) 71 L.T. 638, 640 and R. v. Huggins [1895] 1 Q.B. 563, 565, 566-567; the size of the body concerned may be a material factor. See, however, R. v. L.C.C., ex p. Akkersdyk [1892] 1 Q.B. 190, and pp. 267, 272, ante.] unless he plays a prominent
part in the proceedings. [Cf. Taylor v. National Union of Seamen [1967] 1 W.L.R. 532 (a trade union case).]
From the above it seems clear that the validity of administrative proceedings will depend on the par ticular circumstances of each case. In any event, in the case at bar, since the matter of reasonable apprehension of bias was not in issue in the Trial Division, there was no such finding by the Trial Judge. The matter was not addressed and the parties were not given an opportunity to lead evidence on the question because it was not in issue. Accordingly, absent a finding of either actual or pecuniary bias or a finding of reasonable apprehension of bias, the Court did not lose jurisdiction.
For the above reasons I have concluded that the appellant cannot succeed in respect of Appeal A-561-84 except in respect of that portion of the order Which purported to dismiss the appellant's action for a declaration.
APPEAL A-562-84
This appeal is directed against the decision [[1984] 2 F.C. 138] of the Trial Judge to add the Attorney General of Canada as an intervener in the action. In support of her view that the Attor ney General was entitled to be added as an interv- ener, the learned Trial Judge said [at page 142]:
I have no doubt that this is an appropriate case in which the Attorney General should be given permission to be added as a party. The Attorney General has a direct interest in the out come of this case. It is alleged that one of the members of the A.E.C.B. has a pecuniary bias in the decisions of the Board because he is president and director of a company which sells significant quantities of radiation-resistant cables for nuclear reactors to Ontario Hydro. It is not a case of bias being alleged with respect to one isolated transaction but because of a continuing business activity. If bias exists in this case then the Board member will be an ineffective member for many deci sions which the Board makes. Thus the issue raised challenges the practice of the Governor in Council in appointing as part-time A.E.C.B. members persons having interests in the industry of the nature described above. The issue relates to the choosing of persons for appointment to the Board and to the requirements that would have to be placed upon them (e.g., divestiture of interests) to make them effective members of the Board.
I cannot accept Energy Probe's argument that the issue here is merely confined to Mr. Olsen's alleged bias and is a "one- shot affair". The ramifications are much broader. They do involve as noted above questions relating to the composition of the Board, and perhaps other boards similarly constituted; they do involve, as counsel for Energy Probe was bound to argue on the main motion, questions relating to the general public confidence in boards of this nature.
She concluded by observing [at page 146], inter alia, that the issue before the Court is one of general public importance and of such a nature "... that the Court deems it beneficial to hear argument of the Attorney General on the issue in order to ensure that all arguments are adequately canvassed." In support of this view, the Trial Judge relied on the case of Adams y Adams, [1970] 3 All E.R. 572 (P.D.A.), where Sir Jocelyn Simon P. said at page 577:
I think that the Attorney-General also has the right of intervention at the invitation or with the permission of the court where the suit raises any question of public policy on which the executive may have a view which it may desire to bring to the notice of the court.
Counsel for the appellant submitted however that the decision in the Adams case has been consider ably narrowed by the English Court of Appeal in the case of British Airways Board y Laker Air ways Ltd, [1983] 3 All E.R. 375. I am not per suaded that the decision of the Court of Appeal in that case expresses any view that would disentitle the Attorney General of Canada to intervener status in this case. At page 403 of the report, Sir John Donaldson M. R. said:
It is a matter of considerable constitutional importance that the courts should be wholly independent of the executive, and they are. Thus, while the judges, as private citizens, will be aware of the "policy" of the government of the day, in the sense of its political purpose, aspirations and programme, these are not matters which are in any way relevant to the courts' decisions and are wholly ignored. In matters of home policy, the courts have regard only to the will of Parliament as expressed in the statutes, in subordinate legislation and in executive acts authorised by Parliament. [Emphasis added.]
In my view, the facts of this case relate to "executive acts authorised by Parliament" since the matter in issue here is the way in which the
executive has utilized the powers conferred on it by Parliament.
The learned Trial Judge gave other reasons for allowing the intervention of the Attorney General. In view of my conclusion supra, it is unnecessary to examine those additional reasons.
Accordingly, and for the reasons expressed supra I would dismiss Appeal A-562-84.
To summarize the disposition which I propose in these appeals: I would dismiss Appeal A-562-84 with costs. In respect of Appeal A-561-84, I would allow the appeal and amend the order of the Trial Division to read as follows: "THIS COURT DOTH ORDER AND ADJUDGE that the applicant's motion for a writ of certiorari be dismissed and it is determined that the preliminary question of law, namely whether the A.E.C.B. erred in law in permitting Mr. J. L. Olsen to participate in its licensing decision of September 20, 1983, be answered in the negative, all without costs." In so far as costs are concerned relating to Appeal A-561-84, since the respondents and the intervener have been substantially successful, I think they are also entitled to their costs in that appeal.
STONE J. concurred.
* * *
The following are the reasons for judgment rendered in English by
MARCEAU J.: I would dispose of the two appeals now before the Court as suggested by my brothers Heald and Stone JJ., i..e. by affirming the orders under attack, but my reasons for doing so would not be those of my colleagues, so I feel I should explain, with respect, my own view of the matter.
The nature of the proceedings and the facts that gave rise thereto are clearly set out in the reasons for judgment prepared by Mr. Justice Heald. It would serve no purpose to go through it again. As to the proceedings, it will be sufficient to recall that if they appear, at first glance, to be somewhat involved with no less than five different procedural
requests pending before the Motion Judge (an action for declaratory relief, a motion for disposi tion of the question of law raised by that action, an application for an order in the nature of certiorari, a motion to quash that application for lack of standing of the applicant, and finally, a motion to intervene), they in effect come to something rather simple. What they contain is: primarily an attack against the validity of a decision of the Atomic Energy Control Board, on the ground that one member of the panel called upon to make the decision was biased (Appeal A-561-84); and inci dentally a request by the Attorney General of Canada to be given the status of a party in the controversy (Appeal A-562-84). As to the facts, only those pértaining to the subject matter of the impugned decision and to the substance of the allegation of bias are really basic, and these can be recalled very quickly. The subject matter of the decision was the renewal of the existing licence covering the operation of Unit 5 of Ontario Hydro's Pickering "B" Nuclear Generating Sta tion, and the issuing of a new licence to start Unit 6. The licences had nothing to do with the con struction of the units; what was involved in effect was the establishment of conditions of operation with a view to achieving better security. The objec tion to the participation in the making of the decision of one J. L. (Roy) Olsen, a part-time member of the Board, was based on the fact that the company of which Mr. Olsen was president, Phillips Cables Limited, had business relations with Ontario Hydro. Indeed, Phillips Cables had in the past bid for and been awarded contracts for the supply of cables and related material required in the construction of reactors and it was no doubt interested in bidding again for new contracts when other units would be constructed. The interest was present, it was said, even if the granting of the licences in itself could in no way benefit immedi ately Mr. Olsen or his company or even be the source of new possibilities of contracts.
I don't see what more need be highlighted at this introductory stage and I, at once, come to the consideration of the issues raised in the order suggested by the judgment of first instance.
APPEAL A-561-84
This is the appeal directed against the conclu sion of the learned Motion Judge, Mme Justice Reed, rejecting the allegations of bias [in [1984] 2 F.C. 227] .
In dealing with the basic features of the common law rules against bias so as to apply them to the facts of the case, the learned Motion Judge, in her reasons, seems to be drawing a straight opposition between "pecuniary bias" and "reason- able apprehension of bias" and stands firm to the idea that only a "direct" and "certain"—as strictly opposed to an indirect or uncertain—pecuniary interest may constitute "pecuniary bias". In fact, her whole reasoning is supported by these two distinctions. It is indeed on the basis of the second one that Mme Justice Reed could form the opinion that even if "... Mr. Olsen as of the date of the hearing ... could entertain a reasonable expecta tion of pecuniary gain as a result of approval of the licences", such a gain would be coming to him indirectly, not directly, and therefore could not legally constitute "pecuniary bias"; and it is on the basis of the first opposition that she could decide that while the case made against Mr. Olsen could well be one of reasonable apprehension of bias (pages 236 and 245), the Court could not examine the situation in that perspective, counsel having limited his allegation to "pecuniary bias". These legal propositions upon which the learned Motion Judge built her reasoning and founded her findings do not appear to me in complete harmony with the teachings of the jurisprudence, as I read it, and I must, with respect, express my disagreement with them.
The principle of natural justice involved in all matters of bias is, of course, that a tribunal called upon to settle disputes between individuals ought to be independent, disinterested and impartial and it is trite to say that the most obvious and most easily perceived practical application of that prin ciple is that no one should be permitted to be judge in his own cause. It was soon "discovered",—it is taught in all the textbooks—that the common law,
like the Roman law and the Canon law long before it, did not permit a judge to determine a matter in which he had a pecuniary or proprietary interest (see de Smith's Judicial Review of Administrative Action, (4th Ed. 1980), page 248). From that early moment on, the law in that respect has evolved, as I understand it, on the strength of two ideas. One is that there are many interests other than pecuniary which may affect the impartiality of a decision-maker, emotional type interests one might say (see: Pépin and Ouellette, Principes de contentieux administratif (2nd Ed.) page 253), such as kinship, friendship, partisanship, particular professional or business relationship with one of the parties, animosity towards someone interested, predetermined mind as to the issue involved, etc. The other, which has since become a sort of legal axiom, is that it "is of fundamental importance that justice should not only be done but should manifestly and undoubtedly be seen to be done". The result of the evolution of the law on the basis of these two ideas is that a distinction is today well recognized and acknowledged between situations where the decision-maker has a pecuniary interest in the outcome of the decision, and situations where his interest is of another type. In the first case, since the maxim nemo judex in causa sua is readily applicable, the decision-maker is peremp torily disqualified from adjudicating regardless of the importance of the interest, provided however that it is an interest linked and tied to the decision itself and not too remote or too contingent to be devoid of any possible influence. In the second case, the decision-maker is disqualified from adjudicating if the interest is such that it would leave, in the mind of a reasonable man apprised of the facts, a reasonable apprehension of bias. (See on those propositions: de Smith's op. cit. at page 250; 1 Halsbury's Laws of England (4th Ed. 1973) page 67 et seq.; Pépin and Ouellette, op. cit. page 252 et seq.)
It is clear that this view I take of the law of bias as it is now applied by the common law courts does not permit me to subscribe to the learned Trial Judge's reasoning, and if on the two essential
points I have just referred to I agree with her conclusions, it is for completely different reasons.
a) I do not think that the word "direct", when used by the judges and the textbooks to qualify the interest required to constitute the peremptorily disqualifying pecuniary bias, should be given such a strict and narrow interpretation that any indirect or uncertain advantage would not have to be con sidered; the word, in my view, is used in the sense of not too remote or too contingent or too specula tive. Having regard to the purpose of the rule, i.e. that no one charged with the power and the duty to adjudicate upon the rights of opposing parties should be allowed to exercise his jurisdiction for his own profit and material interest, there is no reason to draw a strict distinction between direct and indirect or certain and uncertain as regards the monetary benefit the adjudicator could expect from his determination. The only rational require ments are that the benefit come from the decision itself and that it be a likely enough effect to "colour" the case in his eyes. It would appear to me that the presence of an immediate possibility, not to say probability, of gain to be coming to him directly or indirectly as a result of his decision would be enough to render someone unfit to make it.
If I were to accept literally the statement of the learned Judge referred to above, to the effect that
.. Mr. Olsen ... could entertain a reasonable expectation of pecuniary gain as a result of approval of the licences", I would definitely be inclined to conclude that pecuniary bias was here present. I don't think however that the statement was meant to express a clear finding of fact and, in any event, it is not supported by the evidence. As recalled above, the licences were only operating licences and Mr. Olsen's company could expect no extra business and obviously no gain as a result of their approval. The mere possibility that a profit could be realized in the future out of other con tracts awarded in the course of construction of other units was no doubt too alien, contingent and remote to constitute pecuniary bias with respect to the decision to be made at that time.
b) I do not see "pecuniary bias" and "reason- able apprehension of bias" as being two sub- categories of bias. Such a distinction would appear to me somewhat difficult to defend logically since it would present no basis for comparison, one group being identified by the nature of the inter est, the other by the possible reaction the presence thereof may inspire in the mind of the public. The distinction to me, as I said earlier, is between pecuniary and non-pecuniary interests, and if I agree with the learned Judge that reasonable apprehension of bias was not an issue here, it is not because of the presentation of counsel, but simply because no interest other than a pecuniary one was alleged and even alluded to. If the evidence had revealed a non-pecuniary interest capable of being influential and sufficient to raise a real likelihood of bias, I would have thought that even if counsel had improperly presented his case, the learned Judge would not have been precluded from dealing with it. There is no question, of course, that, in a system of accusatory justice like ours, a court of law must take the facts as disclosed by the sole evidence submitted by the parties and it cannot substitute a new cause of action for the one on the basis of which the plaintiff or applicant has required its intervention. But it seems to me that a court of law must fully apply the law to the facts established before it, regardless of the ignorance or the failures of the counsel who come as officers of the court (subsection 11(3) of the Federal Court Act [R.S.C. 1970 (2nd Supp.), c. 10]) to represent the parties, although it is clear that in so doing, the Court must always respect the right of all the litigants to be heard completely. This appears to me particularly true in a case like the one at bar where the very validity of a decision of an adjudicative body is involved. It is indeed difficult to accept that a superior court called upon to exercise its supervisory power over a tribunal would uphold a decision which, on the basis of the evidence, was legally biased on the sole ground that counsel charged with the case would have failed to properly define the situation in law. But again, this, in my opinion, is not the situation here. No "non-pecuniary interest" (interest "of an emo tional type" as referred to above) was involved. The only interest alleged and the only one alluded
to in the evidence, let it be repeated, was of a pecuniary nature. An interest of that nature, in my view, does not raise a question of apprehension of bias.
If I have chosen to approach the matter and set forth my view thereof on the assumed basis that the common law rules against bias, as they have evolved in the jurisprudence, were fully applicable to an administrative body like the respondent, it is because of the position to that effect adopted by my brother judges in their reasons for judgment. But, in fact, I think that a difficult problem lies behind such an assumption and the learned Judge of first instance was, in my opinion, perfectly right in considering that the first issue she had to deter mine was whether or not it was justified. The law of bias was developed with regard to the excercise of all sorts of judicial or quasi-judicial functions, so that, in the process, it was easily extended from courts to tribunals and to all other bodies called upon to determine questions affecting the civil rights of individuals. But there seems to be so far no authority for the proposition that it has to be applied to a purely administrative forum like the Board which does not deal with private rights, has no adjudicative powers in the proper sense and has no resemblance whatever with a court of justice.
To determine that the law of bias was indeed governing, the learned Judge of first instance start ed with the proposition that the doctrine of fair ness as enunciated by the Supreme Court in Nicholson v. Haldimand-Norfolk Regional Board of Commissioners of Police, [1979] 1 S.C.R. 311, was clearly applicable to the Board's licensing decisions, and from there, she went on to say (at pages 234-235):
I have no doubt that the duty to act fairly as enunciated by the Supreme Court in the Nicholson case must include a require ment for an unbiased decision maker. Any other conclusion would undercut the whole concept of the requirement of a duty of fairness.
It would indeed be anomalous that there exist a requirement that rules of procedural fairness be followed in making an administrative decision but not a requirement for an unbiased decision-maker. A biased tribunal would be a much more
serious lack of fairness than non-compliance with procedural requirements.
Of course, no one would ever think of taking exception to those propositions. The point is, how ever, that I think, with respect, that they do not settle the issue. It is obvious that there is indeed "a requirement for an unbiased decision-maker". It cannot be doubted that the law imposes a duty on anyone called upon to decide anything under a statute to act in good faith and with an open mind (see: David J. Mullan, Administrative Law, Title 3, Vol. 1 C.E.D. (Ontario), 3rd Ed., 1979, para. 50 and the cases referred to therein); actual bias in a decision, if demonstrated, will always give rise to some remedy (see for instance, Re Gooliah and Minister of Citizenship and Immigration (1967), 63 D.L.R. (2d) 224 (Man. C.A.)). But the rules referred to in the so-called law of bias go much further since, having been developed with a view to preventing all possibilities of bias and making sure that even reasonable apprehension thereof will be eliminated, they never require that actual bias be established. The issue is therefore not resolved by remarks to the effect that fairness would be incom patible with bias.
In a preceding paragraph of her reasons, after having quoted long passages of the reasons for judgment given by Chief Justice Laskin (as he then was) in the Nicholson case, Mme Justice Reed had observed that it was clear from the remarks of the Chief Justice that ". .. the require ments of fairness may be different from and less than those required by the rules of natural jus tice." There, I think, lies the solution. It seems to me quite normal that the rules of fairness cover the two aspects of those of natural justice from which they derive so as to establish safeguards not only against arbitrariness and despotism but also against bias. I am even quite prepared to concede that, in order to assure the complete confidence of the public in the decisions of those advisory and regulatory bodies, it is necessary that there be rules aimed at protecting their objectivity. But I would be of the view that the standard to be achieved does not have to be as high as that required of an adjudicative tribunal and the rules applicable should therefore be less strict. As I see it in practice, to operate disqualification, the
pecuniary interest ought to be more immediate and certain and the non-pecuniary interest must give rise to very substantial grounds for apprehending lack of objectivity. All this may give rise to difficult problems of application in real life but the idea is of course valid. As stated by Reid, Administrative Law and Practice, 1971, at page 220:
... "tribunals" is a basket word embracing many kinds and sorts. It is quickly obvious that a standard appropriate to one may be inappropriate to another. Hence, facts which may constitute bias in one may not amount to bias in another.
This view that the rules of the law of bias cannot be applied with all their rigidity to a board like the respondent reinforces (if need be) my conviction in this case that the pecuniary interest Mr. Olsen is said to have had in the decision was far too remote and uncertain to have been a cause for his disqualification.
I do not hesitate therefore to conclude with my brother judges that Appeal A-561-84 must be dismissed.
APPEAL A-562-84
This is the appeal directed against the order [[1984] 2 F.C. 138] of the learned Motion Judge to add the Attorney General of Canada as an Intervener. My reasons for denying it can be stated very briefly.
While I see no basis for the proposition that the Attorney General of Canada has a general right of intervention in a legal proceeding between third parties wherever a question of public policy arises, I am of the view that the Court has the power to permit such intervention (see Alberta Government Telephones v. Canadian Radio-television and Telecommunications Commission, [1983] 2 F.C. 443 (T.D.) May 2, 1983, affirmed [1983] 2 F.C. 839 (C.A.) November 10, 1983) and the learned Judge of first instance, in making her discretionary decision to exercise that power, was right in rely ing on the principles enunciated in the case of Adams v Adams, [1970] 3 All E.R. 572 (P.D.A.). I see no reason to interfere with the order.
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