cluster: ANALYSIS: Jalota v. Canada (Citizenship and Immigration) Court (s) Database Federal Court Decisions Date 2013-11-19 Neutral citation 2013 FC 1176 File numbers IMM-3349-13 Decision Content Date: 20131119 Docket: IMM-3349-13 Citation: 2013 FC 1176 Ottawa, Ontario, November 19, 2013 PRESENT: The Honourable Mr. Justice Phelan BETWEEN: MANAV JALOTA Applicant and THE MINISTER OF CITIZENSHIP AND IMMIGRATION Respondent REASONS FOR JUDGMENT AND JUDGMENT I. INTRODUCTION [1] This is the judicial review of a decision refusing Mr. Jalota’s application to restore his temporary resident status as a student. The restoration application was denied because the Officer was not satisfied that (a) the Applicant was a genuine temporary resident and student; (b) the Applicant had sufficient funds; (c) he would leave Canada at the end of the authorized study; and (d) the co-op component of his studies met some specified criteria. II. BACKGROUND [2] The Applicant is from India and obtained a study permit valid until December 31, 2012. [3] Having arrived in Canada in January 2011, the Applicant started at one college, transferred to another and finally to a third. All of these transfers are permitted under his permit. [4] In September 2012 the Applicant applied for an extension of his permit which was refused. The reason for refusal was the officer’s belief that he was not a genuine student, which was stated in the following strong terms: You have submitted documentation which lacks credibility as part of your application. This has diminished the overall credibility of your submission. [5] This is a critical aspect of this whole matter because the refusal does not say in what manner the documents lack credibility; however, the credibility finding is part of the overall restoration file (it was contained in the Tribunal Record as part of the material before the Officer on the restoration matter). [6] In January 2013 the Applicant made an application to restore status. In so doing, the Applicant followed the Document Checklist – Student issued by Citizenship and Immigration Canada [CIC]. That document is divided into three parts: the first part applies to “All Applicants”, the second applies to a “Study Permit” and the third applies to “Restoration of Temporary Status”. [7] Under the Restoration part of the Checklist, CIC asks for: 1. photocopies of passport pages (also requested under Study Permit); 2. copy of current immigration document; and 3. documents related to loss of status. [8] In the covering letter for the application to restore, the Applicant enclosed transcripts and attendance records. He went on to note that he had funds to carry him through the school semester and offered to supply evidence if required. [9] The application for restoration was denied for the reasons earlier described. [10] The Global Case Management System [GCMS] identified the Officer’s concerns: • failure to submit proof of funds; • failure to submit transcripts from previous studies; • absence of studies from August 2011 to January 2012; and • failure in a college letter of acceptance to give certain details of co-op program’s importance. There is nothing in those Notes concerning the failure to leave Canada at the end of the study permit. [11] The Respondent concedes that there was a breach of procedural fairness when the Officer failed to request prior transcripts but based the decision on the failure to produce those transcripts. [12] The Respondent contends that despite the breach of procedural fairness, the decision is reasonable based on the absence of financial information. The Respondent seeks to carve out financial information as a discrete ground for the decision which can breathe life into an otherwise infirm decision. III. ANALYSIS [13] It is well accepted that a breach of natural justice in decision making is an error of law and jurisdiction which results in the whole decision being quashed. There are very limited and exceptional circumstances where a breach will not have that result – such as where the breach could not have affected the result (Lahocsinszky v Canada (Minister of Citizenship and Immigration), 2004 FC 275, 129 ACWS (3d) 769). [14] In the present instance the breach is the grounds for one of the findings against the Applicant. It cannot be said that the breach did not affect the result. This is not a case where it is futile to send the matter back for redetermination because the result is inevitable (Mobil Oil Canada Ltd v Canada-Newfoundland Offshore Petroleum Board, [1994] 1 SCR 202). [15] Therefore, on that ground alone, this judicial review will be granted. [16] However, it is important to address the Respondent’s claim that the absence of financial information was fatal to the restoration application and therefore the decision should be sustained. [17] The Respondent’s own checklist does not ask for any financial information per se as part of a restoration application, although it is listed as a requirement for study permit applications. For restoration applications, the key requirement is production of the documents related to loss of status. If the Respondent wished to have financial or other documents, it should have asked for them either in the Checklist or by additional request. Any confusion in the Checklist lies at the feet of the Respondent and it is a further breach of procedural fairness to have a misleading document supplied to the public (Lim v Canada (Minister of Citizenship and Immigration), 2005 FC 657, 272 FTR 293). [18] This breach is particularly so where the Applicant confirmed his financial situation and informed the Respondent that he was prepared to provide evidence if asked. It is no answer to say that section 182 of the Immigration and Refugee Regulations, SOR/2002-227, requires, on a restoration application, that an applicant meet the initial requirements for their stay. The Applicant met the initial requirements at the time of his first application, the evidence was in the file and there was nothing to suggest that anything had changed. [19] The core problem with this matter is the requirement to produce documents related to the loss of status – as specified in the Checklist. It requires one to determine the cause of the loss of status. [20] It is not clear from the decision denying the extension of the permit – the cause of the loss of status – what the real problem was with the Applicant’s documents. It is unfair to leave a party with questions as to what was incredulous about his documents. Unfortunately, in this case, the Applicant never asked. [21] However, since the stated reason for refusal was concern about the Applicant being a genuine student, not that he lacked sufficient funds, it is reasonable to conclude that the loss of status related to academic matters not financial. It was therefore reasonable for the Applicant to address those issues in his restoration application – which he did. [22] It is incumbent on the Respondent to state the reasons for loss of status in sufficient terms that an applicant can address those reasons in any further relief he may claim. [23] The Respondent acknowledges that on this issue, it breached procedural fairness in respect to not requesting earlier transcripts. The problem is deeper than that. The core unfairness lay in the reasons for denying the extension which then led to the problems in addressing the restoration application. [24] The Respondent’s reliance on financial issues is a new-found basis; not the basis for the original loss of status. [25] It is a breach of procedural fairness to rely on a grounds not cited in the original decision without giving the Applicant notice that this ground of financial sustainability is now at issue – just as it was a breach of procedural fairness to not give notice that earlier transcripts were required (a point the Respondent properly concedes). [26] These breaches of procedural fairness are further grounds for quashing the decision denying restoration. [27] Lastly, the Respondent has put forward no basis for concluding that the Applicant would not leave Canada. It is not sufficient to just run through the various grounds for denial of the application, as if checking off a list, without giving reasons for the conclusion. [28] As an overall conclusion, the allegation of lack of credibility of the Applicant because of problems with his documents seems to have permeated this file. If the Respondent had problems with the documents, it was obliged to state what those problems were. Conclusionary statements are not “reasons”. IV. CONCLUSION [29] This judicial review will be granted, the decision will be quashed, and the matter referred back to a different officer for a fresh determination. [30] There are no questions for certification. JUDGMENT THIS COURT’S JUDGMENT is that the application for judicial review is granted, the decision is quashed and the matter is to be referred back to a different officer for a fresh determination. "Michael L. Phelan" Judge FEDERAL COURT SOLICITORS OF RECORD DOCKET: IMM-3349-13 STYLE OF CAUSE: MANAV JALOTA v THE MINISTER OF CITIZENSHIP AND IMMIGRATION PLACE OF HEARING: Vancouver, British Columbia DATE OF HEARING: November 14, 2013 REASONS FOR JUDGMENT AND JUDGMENT: PHELAN J. DATED: november 19, 2013 APPEARANCES: Laura Best For The Applicant Adam Taylor For The Respondent SOLICITORS OF RECORD: Embarkation Law Group Barristers and Solicitors Vancouver, British Columbia For The Applicant William F. Pentney Deputy Attorney General of Canada Vancouver, British Columbia For The Respondent
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cluster: ANALYSIS: The court analyzed the case by considering the principles of natural justice and procedural fairness. The court held that a breach of natural justice in decision-making is an error of law and jurisdiction that results in the whole decision being quashed, unless there are exceptional circumstances where the breach could not have affected the result. In this case, the breach of procedural fairness was not limited to the failure to request prior transcripts but was also evident in the unclear decision-making process and the officer's reliance on new-found grounds.The court also examined the Document Checklist – Student issued by Citizenship and Immigration Canada and found that it did not ask for financial information per se as part of a restoration application. The key requirement for restoration applications was the production of documents related to the loss of status. The court concluded that the officer's failure to request financial information was a breach of procedural fairness, particularly since the person concerned had confirmed his financial situation and offered to provide evidence if required. |
cluster: SUMMARY: (1) Facts
The person concerned, a student from India, initially obtained a study permit valid until December 31, 2012. He started his studies at one college, transferred to another, and then to a third, all of which were permitted under his study permit. In September 2012, the person concerned applied for an extension of his permit, but it was refused because the officer believed he was not a genuine student. This decision was based on the officer's finding that the documentation submitted lacked credibility. However, the officer did not specify what was lacking in credibility.
The person concerned then made an application to restore his temporary resident status as a student in January 2013. He followed the Document Checklist – Student issued by Citizenship and Immigration Canada, which included providing photocopies of passport pages, a copy of his current immigration document, and documents related to the loss of status. The application was denied for reasons similar to the initial extension refusal, including the lack of proof of funds, failure to submit transcripts from previous studies, absence of studies from August 2011 to January 2012, and failure in a college letter of acceptance to give certain details of the co-op program's importance.
(2) Issue
The issue before the court was whether the decision to deny the person concerned's application to restore his temporary resident status as a student was reasonable and whether the officer's failure to request prior transcripts and the lack of clarity in the decision-making process breached procedural fairness.
(3) Rule
The court ruled that the decision to deny the person concerned's application to restore his temporary resident status as a student was unreasonable due to the breach of procedural fairness. The officer failed to request prior transcripts, which was a critical piece of information, and the decision-making process was unclear. The court also found that the officer's reliance on financial issues as a basis for denying the restoration application was a new-found ground that was not cited in the original decision, which was a further breach of procedural fairness.
(4) Analysis
The court analyzed the case by considering the principles of natural justice and procedural fairness. The court held that a breach of natural justice in decision-making is an error of law and jurisdiction that results in the whole decision being quashed, unless there are exceptional circumstances where the breach could not have affected the result. In this case, the breach of procedural fairness was not limited to the failure to request prior transcripts but was also evident in the unclear decision-making process and the officer's reliance on new-found grounds.
The court also examined the Document Checklist – Student issued by Citizenship and Immigration Canada and found that it did not ask for financial information per se as part of a restoration application. The key requirement for restoration applications was the production of documents related to the loss of status. The court concluded that the officer's failure to request financial information was a breach of procedural fairness, particularly since the person concerned had confirmed his financial situation and offered to provide evidence if required.
(5) Conclusion
The court concluded that the decision to deny the person concerned's application to restore his temporary resident status as a student was unreasonable due to the breach of procedural fairness. The court granted the judicial review, quashed the decision, and referred the matter back to a different officer for a fresh determination. |
cluster: ISSUES: Melo Castrillon v. Canada (Citizenship and Immigration) Court (s) Database Federal Court Decisions Date 2018-05-01 Neutral citation 2018 FC 470 File numbers IMM-1617-17 Decision Content Date: 20180501 Docket: IMM-1617-17 Citation: 2018 FC 470 [ENGLISH TRANSLATION] Ottawa, Ontario, May 1, 2018 PRESENT: The Honourable Mr. Justice Roy BETWEEN: RUBY AMPARO MELO CASTRILLON Applicant and THE MINISTER OF CITIZENSHIP AND IMMIGRATION Respondent JUDGMENT AND REASONS [1] Ruby Amparo Melo Castrillon seeks judicial review (under section 72 of the Immigration and Refugee Protection Act (S.C. 2001, c. 27) [IRPA]) of the decision of the Refugee Protection Division (RPD) finding that Ms. Melo Castrillon is not a Convention refugee or a person in need of protection. I. Preliminary Issue [2] The RPD’s decision was made under more nuanced circumstances. Its decision on March 13, 2017, related to Ms. Melo Castrillon and four members of her immediate family. Ms. Melo Castrillon is excluded under section 98 of the IRPA. With regard to the other four claimants, the RPD found that there was no serious possibility of them being considered Convention refugees or persons in need of protection given the lack of credibility of their claim. The RPD also seems to have found that this is the case for Ms. Melo Castrillon. Ms. Melo Castrillon is the sole applicant in this judicial review. She seeks judicial review of only the aspect of the decision regarding her exclusion under section 98. [3] It is paradoxical for the applicant to seek judicial review of only one part of the RPD’s decision. As counsel for the respondent observed, it seems that the RPD not only declared Ms. Melo Castrillon to be excluded, but also found that she was not a Convention refugee or a person in need of protection. The applicant is contesting the first finding that she is excluded, but not the finding that none of the claimants could qualify under sections 96 and 97 of the IRPA. If that is true, even if the applicant were successful in her case before the Court, that would not set aside the finding that she is not a Convention refugee or a person in need of protection because she is not contesting that aspect of the decision. This makes the application for judicial review moot since, either way, the applicant cannot succeed in her effort to benefit from sections 96 and 97 of the IRPA (Borowski v. Canada (Attorney General), [1989] 1 SCR 342 [Borowski] at page 353). [4] Nevertheless, the Court heard the parties because leave was given by this Court, and it decided to review the application for judicial review on merit even though it is moot (Borowski, at pages 358-363). The Court is convinced that the applicant could reasonably be excluded pursuant to section 98 of the IRPA. II. Issue [5] Ms. Melo Castrillon, who is the mother of the principal claimant before the RPD, is subject to a particular refusal because, according to the RPD, she is excluded under Article 1E of the Convention relating to the Status of Refugees. Article 1E reads as follows: 1E. This Convention shall not apply to a person who is recognized by the competent authorities of the country in which he has taken residence as having the rights and obligations which are attached to the possession of the nationality of that country. 1E. Cette Convention ne sera pas applicable à une personne considérée par les autorités compétentes du pays dans lequel cette personne a établi sa résidence comme ayant les droits et les obligations attachés à la possession de la nationalité de ce pays. Section 98 of the IRPA incorporates the consequences of being subject to Article 1E into Canadian law. Section 98 reads as follows: Exclusion — Refugee Convention Exclusion par application de la Convention sur les réfugiés 98 A person referred to in section E or F of Article 1 of the Refugee Convention is not a Convention refugee or a person in need of protection. 98 La personne visée aux sections E ou F de l’article premier de la Convention sur les réfugiés ne peut avoir la qualité de réfugié ni de personne à protéger. [6] The only decision the RPD made on the basis of section 98 was the one regarding Ms. Melo Castrillon’s exclusion. III. Facts [7] The applicant obtained permanent resident status in Italy on March 12, 2013. She had been living in Italy since August 2007. She decided to leave Italy on May 29, 2015, and return to her home country of Colombia, where her family was living. However, she did not remain there for long. After travelling to the United States in January 2016, she and her immediate family arrived at the Canadian border on January 22, 2016. They then filed a refugee claim. They were arriving from Colombia. [8] Ms. Melo Castrillon reported that she had left Italy on May 29, 2015, to return to Colombia. There were two hearings before the RPD, on May 4, 2016, and on June 23, 2016. This is of some importance, since a claim was made that permanent resident status may be lost in Italy if a person does not reside there for a period of 12 consecutive months. Indeed, the applicant claims that her absence from Italy resulted in her losing her permanent resident status and, therefore, that section 98 of the IRPA did not apply after May 29, 2016. Since the RPD hearing did not end until June 23, 2016, this would indicate that the RPD erred in excluding the applicant under section 98 because she had been absent for more than 12 consecutive months. [9] Therefore, the question is as to whether Ms. Melo Castrillon had lost her permanent resident status in Italy, meaning that Article 1E of the Convention could no longer be validly applied to her and that she could therefore claim refugee or person in need of protection status in Canada. IV. The RPD’s decision [10] The Minister of Public Safety and Emergency Preparedness intervened before the RPD under subsection 170(e) of the IRPA. It has been established that the applicant was a resident of Italy between August 2007 and May 29, 2015. The Minister made allegations about Ms. Melo Castrillon’s legal situation. The Minister alleges that she claimed to have permanent resident status in Italy during her point-of-entry interview on January 23, 2016. In addition, the Minister said that he had received confirmation from the Italian authorities that Ms. Melo Castrillon holds a permanent residence permit issued on March 12, 2013. The Minister stated that there are conditions that could result in the loss of permanent resident status in Italy. However, the applicant did not file any such evidence. That is why the Minister is arguing that there is a prima facie case that the applicant was still a permanent resident in Italy on the day of the RPD hearing. According to the Minister, this would mean that section 98 of the IRPA provides that Ms. Melo Castrillon is simply excluded by the application of Article 1E of the Convention and cannot be considered a Convention refugee or a person in need of protection in Canada. [11] The RPD placed little importance on the fact that the applicant apparently claimed on two different forms that she had begun living in Italy in November 2004 and had resided in Italy since August 2007. Furthermore, it is established that she stated during her interview on January 23, 2016, that she had permanent resident status in Italy. [12] Therefore, the following issues were before the RPD: a) Ms. Melo Castrillon was a permanent resident of Italy until her departure on May 29, 2015; b) The period of 12 consecutive months is being considered for the purposes of Canadian law from the date of departure until the hearing before the RPD; c) Therefore, the one-year period had not elapsed on the day the applicant made a refugee claim in Canada or on May 4, 2016, the day the hearing began, but it had elapsed on June 23, 2016, the day of the second hearing; d) A person may lose permanent resident status in Italy if they are outside the European Union for a period of 12 consecutive months; e) The RPD was satisfied that permanent resident status in Italy entitles the holder to return there. Furthermore, the RPD found that a permanent resident in Italy has the same rights and obligations as Italian citizens within the meaning of section 98. The RPD based this finding in particular on the index of the National Documentation Package on Italy (May 31, 2016), a national package made available to the public by the Immigration and Refugee Board of Canada. In particular, the RPD seems to have based its conclusion on the following paragraph: 7. Rights of Individuals Holding an EC Long-Term Residence Permit The State Police website indicates that individuals holding an EC Long-Term Residence Permit are entitled to enter Italy without a visa, to work, to have access to social benefits and services provided by the Italian government, and to “participate in local public life” (Italy 29 Mar. 2010). The Ministry of Interior’s Staying in Italy Legally indicates that foreign nationals with a valid residence permit are granted the same education rights as Italian citizens (ibid. n.d., 21). The same source indicates that foreign nationals with a “regular residence permit” are required to register with the National Health Service (Servizio Sanitario Nazionale, SSN), and are entitled by law to receive health care and have “equal treatment as Italian citizens regarding compulsory contributions, health care given in Italy by the SSN and its time limit” (ibid., 23). f) The burden was on the applicant to demonstrate to the RPD’s satisfaction that she had lost permanent resident status. The RPD stated the following in this regard: [47] [translation] That being said, according to recent evidence from Italian authorities regarding the claimant, there is simply the possibility of losing status; they did not indicate that she was going to lose her status in Italy, nor that she had lost her status at the time of the hearing. Moreover, in the documents the applicant submitted regarding her communications with Italian authorities, there is no confirmation that she had lost her permanent resident status. V. Standard of review and analysis [13] It has been well established that the role of a reviewing judge is solely to ensure that the decision made is legal. Therefore, for certain issues, the reviewing judge must decide whether a given issue is reviewable on the standard of correctness. As the law stands, these issues are rare. In the vast majority of cases, the applicable standard of review is reasonableness (see the recent Williams Lake Indian Band v. Canada (Aboriginal Affairs and Northern Development), 2018 SCC 4, at para. 26 et seq., for an illustration of the changes in the law on the appropriate standard). That is the case here, where Article 1E of the Convention must be interpreted. In Majebi v. Canada (Citizenship and Immigration), 2016 FCA 274 [Majebi], the Federal Court of Appeal stated the following: [5] First, we disagree that the Federal Court incorrectly reviewed the decision of the Appeal Division on the reasonableness standard of review. As the Federal Court correctly noted, this Court has expressed different opinions on the standard of review that applies to decisions interpreting international instruments. However, authorities that pre-date the articulation of the presumption of reasonableness review set out in cases such as Alberta (Information and Privacy Commissioner) v. Alberta Teachers’ Association, 2011 SCC 61 (CanLII), [2011] 3 S.C.R 654 must be approached with caution. In the present case we agree with the Federal Court that nothing in the legislative context reveals Parliament’s intent “not to protect the tribunal’s jurisdiction” (Mouvement laïque québécois v. Saguenay (City), 2015 SCC 16 (CanLII), [2015] 2 S.C.R. 3, at paragraph 46). Nor does the interpretation of the Convention fall into one of the categories of questions to which the correctness standard continues to apply as explained in Alberta Teachers’ at paragraph 30. This conclusion is consistent with the more recent decision of this Court in B010 v. Canada (Citizenship and Immigration), 2013 FCA 87 (CanLII), [2014] 4 F.C.R. 326, at paragraphs 58-72. [6] It follows that the Appeal Division’s interpretation of the Convention was correctly reviewed on the reasonableness standard of review. [14] In applying that standard, the Court is seeking what makes a decision reasonable. Does the decision fall within a range of possible, acceptable outcomes which are defensible in respect of the facts and law? Was there justification, transparency and intelligibility within the decision-making process? (Dunsmuir v. New Brunswick, 2008 SCC 9; 2008 1 SCR 190 at para. 47). [15] No one disputes that the review of the application of Article 1E must be done at a certain point. The parties and the Court agree that the review of the application of Article 1E of the Convention is performed on the last day of the hearing before the RPD. In Majebi, the Court wrote: [7] The Appeal Division applied the decision of this Court in Canada (Citizenship and Immigration) v. Zeng, 2010 FCA 118 (CanLII), [2011] 4 F.C.R. 3 to conclude that the appellants’ status should be considered as of the last day of the hearing before the Refugee Protection Division. We agree with the Federal Court that this was a reasonable conclusion for the Appeal Division to reach. [16] As James C. Hathaway and Michelle Foster explain in The Law of Refugee Status, 2nd ed. (Cambridge University Press, 2014), Article 1E of the Convention relating to the Status of Refugees provides that protection is no longer available to a certain category of persons (the other being in Article 1D). These persons benefit from the protection of another state, meaning that the protection of a substitute state, in this case, Canada, is not required. In short, if Ms. Melo Castrillon was able to benefit from the protection of another state at the time of her refugee claim hearing, the claim had to be made to that state. [17] Of course, there are conditions that result in the loss of Convention benefits. Essentially, these are cases of “de facto nationals,” those who have the rights and obligations attached to the possession of the nationality of that country. [18] In this case, the issue is to determine whether the applicant was still a “de facto national” of Italy because of her permanent resident status, which entitled her to enter Italy without a visa, among other things. The applicant limited her dispute to her claim that she had lost her permanent resident status 12 months after she left Italy. She is arguing that the loss of status would be automatic. VI. Analysis [19] The applicant says that she did research to confirm whether or not she had lost her status. Neither on the day of the hearing before the RPD, nor since, including on the day of the Court hearing, was she able to determine whether she is a permanent resident of Italy. This, in itself, indicates that the status is not automatically lost. At most, the status can be revoked from those who are absent from the country for 12 months. [20] Therefore, the sole issue before the Court is to determine whether the RPD’s decision that the applicant had permanent resident status on June 23, 2016, is reasonable. It is not disputed that a person who has been absent from Italy for more than 12 consecutive months could lose their permanent resident status. The question is to determine whether the loss of status is automatic. [21] To succeed in her claim, the applicant was required to convince the RPD that as of May 30, 2016, she had lost her permanent resident status in Italy. That loss would have to be automatic, or practically so. [22] As previously noted, the applicant attempted to determine her status in Italy. What is relevant for our purposes is her status on the day of the hearing, June 23, 2016. Despite her attempts, she was unable to confirm her status. If the status was automatically lost on May 30, 2016, i.e. 12 months after she left Italy, it would have been simple for the Italian authorities to confirm the loss of status. That was not the case. This seems to confirm the documentary evidence indicating that refugee status may be revoked if the permanent resident is not on European Community (EC) territory for 12 consecutive months. [23] The reality is that the applicant has not even established that she was absent from Italy and the EC for 12 consecutive months. All we know is that she apparently left Italy on May 29, 2015. Regardless, what is relevant in this case is that the RPD concluded on the documentary evidence only that the possibility of status revocation exists; it is not lost automatically. It appears that there needs to be an act of revocation. As the RPD observed, if revocation was automatic, there should have been a simple and direct response from the Italian authorities, which suggests that the interpretation of the documentary evidence is correct. Therefore, it must be reasonable. [24] I consulted the documentary evidence on file and do not doubt the reasonableness of the RPD finding that revocation of permanent residence is possible, but not automatic. [25] Referencing Canada (Citizenship and Immigration) v. Zeng, 2010 FCA 118 [Zeng], the RPD concluded that Ms. Melo Castrillon had essentially a similar status to that of Italian citizens. Therefore, she is excluded if she was a permanent resident on the day of the RPD hearing, in other words, if she had not lost her permanent resident status on the day of the hearing. Paragraphs 28 and 29 of Zeng speak for themselves: [28] Considering all relevant factors to the date of the hearing, does the claimant have status, substantially similar to that of its nationals, in the third country? If the answer is yes, the claimant is excluded. If the answer is no, the next question is whether the claimant previously had such status and lost it, or had access to such status and failed to acquire it. If the answer is no, the claimant is not excluded under Article 1E. If the answer is yes, the RPD must consider and balance various factors. These include, but are not limited to, the reason for the loss of status (voluntary or involuntary), whether the claimant could return to the third country, the risk the claimant would face in the home country, Canada’s international obligations, and any other relevant facts. [29] It will be for the RPD to weigh the factors and arrive at a determination as to whether the exclusion will apply in the particular circumstances. [26] The RPD found that the applicant had permanent resident status on the day of the hearing and that this status is essentially similar to that of Italian citizens. Therefore, it was unnecessary to proceed with an analysis based on the decision tree proposed by the Federal Court of Appeal. [27] If the applicant cannot establish whether she was automatically excluded from permanent resident status, it was perfectly reasonable for the RPD to conclude that she had that status on the day of the hearing. VII. Conclusion [28] Two questions arise upon review of Article 1E of the Convention. Firstly, does a person’s status in the country where they resided entitle them to the same benefits that the country’s citizens receive? Secondly, does this person still have this status if that is the country where they are a “de facto national”? If so, that is the country where the person must seek refuge. [29] The RPD hearing took place more than 12 months after the applicant left Italy. I cannot find anything unreasonable in considering that the permanent resident status may be revoked after 12 months, but is not automatically revoked. It being established that the applicant had that status when she left Italy, which is not disputed, the burden was on the applicant to establish to the RPD’s satisfaction that the status was automatically or otherwise revoked. This was not done. Consequently, the RPD’s decision was reasonable on its face as to the maintenance of the status on the hearing date. The rights conferred by this status in Italy are similar to the rights and obligations attached to the possession of the nationality of that country, as required by Article 1E. As a result, the application for judicial review must be dismissed, because the RPD’s decision is reasonable. [30] The parties did not indicate that there is a question within the meaning of subsection 74(d) of the IRPA. There is no serious question of general importance to certify. JUDGMENT in file IMM-1617-17 THIS COURT’S JUDGMENT is that: The application for judicial review is dismissed; No questions of general importance are proposed or certified. “Yvan Roy” Judge FEDERAL COURT SOLICITORS OF RECORD DOCKET: IMM-1617-17 STYLE OF CAUSE: RUBY AMPARO MELO CASTRILLON v. THE MINISTER OF CITIZENSHIP AND IMMIGRATION PLACE OF HEARING: Ottawa, Ontario DATE OF HEARING: April 16, 2018 JUDGMENT AND REASONS: ROY J. DATED: May 1, 2018 APPEARANCES: Nancy Munoz Ramirez For the applicant Thi My Dung Tran For the respondent SOLICITORS OF RECORD: Nancy Cristina Munoz Ramirez ROA Services Juridiques Montréal, Quebec For the applicant Attorney General of Canada Montréal, Quebec For the respondent
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cluster: ISSUES: The person concerned sought judicial review of the RPD's decision, arguing that she had lost her permanent resident status in Italy after being absent for 12 consecutive months. The issue before the court was whether the RPD's decision that the person concerned had permanent resident status on June 23, 2016, was reasonable. |
cluster: SUMMARY: (1) Facts
The person concerned, Ruby Amparo Melo Castrillon, is a Colombian national who obtained permanent resident status in Italy on March 12, 2013. She had been living in Italy since August 2007. However, she left Italy on May 29, 2015, and returned to Colombia. She then traveled to the United States and eventually arrived at the Canadian border on January 22, 2016, with her immediate family. They filed a refugee claim, and the Refugee Protection Division (RPD) conducted two hearings, on May 4, 2016, and June 23, 2016. The RPD found that the person concerned was excluded under section 98 of the Immigration and Refugee Protection Act (IRPA) because she was a permanent resident of Italy until her departure on May 29, 2015, and had not lost her permanent resident status.
(2) Issue
The person concerned sought judicial review of the RPD's decision, arguing that she had lost her permanent resident status in Italy after being absent for 12 consecutive months. The issue before the court was whether the RPD's decision that the person concerned had permanent resident status on June 23, 2016, was reasonable.
(3) Rule
The court applied the reasonableness standard of review, as established in the case of Majebi v. Canada (Citizenship and Immigration). The court considered the documentary evidence and the RPD's findings, which indicated that the possibility of status revocation exists, but it is not automatic. The court also considered the case of Canada (Citizenship and Immigration) v. Zeng, which established that a person's status in the country where they resided entitles them to the same benefits that the country's citizens receive.
(4) Analysis
The court analyzed the RPD's decision and found that it was reasonable. The court noted that the person concerned had not established that she was automatically excluded from permanent resident status and that the RPD's conclusion that she had that status on the day of the hearing was reasonable. The court also considered the documentary evidence, which indicated that refugee status may be revoked if the permanent resident is not on European Community (EC) territory for 12 consecutive months. However, the court found that the RPD's interpretation of the documentary evidence was correct, and that revocation of permanent residence is possible, but not automatic.
(5) Conclusion
The court concluded that the RPD's decision was reasonable and dismissed the person concerned's application for judicial review. The court found that the person concerned had not established that she had lost her permanent resident status in Italy and that the RPD's decision was consistent with the requirements of Article 1E of the Convention relating to the Status of Refugees. The court also noted that the person concerned had not established that there was a serious question of general importance to certify. |
cluster: FACTS: Bell Canada v. Lackman Court (s) Database Federal Court Decisions Date 2017-06-30 Neutral citation 2017 FC 634 File numbers T-800-17 Decision Content Date: 20170629 Docket: T-800-17 Citation: 2017 FC 634 Ottawa, Ontario, June 29, 2017 PRESENT: The Honourable Mr. Justice Bell BETWEEN: BELL CANADA BELL EXPRESSVU LIMITED PARTNERSHIP BELL MEDIA INC. VIDEOTRON S.E.N.C. GROUPE TVA INC. ROGERS COMMUNICATIONS CANADA INC. ROGERS MEDIA INC. Plaintiffs and ADAM LACKMAN dba TVADDONS.AG Defendant ORDER WITH REASONS I. Introduction [1] On June 9, 2017, a Justice of this Court issued an Anton Piller Order and an Interim Injunction following motions made ex parte and in camera by the Plaintiffs. [2] Without a doubt, the consideration of ex parte orders – orders that are made without notice to or appearance by the defending party – constitute one of the most challenging issues facing judges in our adversarial system. When the ‘adversary’ is not present, the norms and very foundation of our justice system face serious challenges. For this reason, it is trite law that a party seeking an ex parte order must provide full and frank disclosure to the court. This full and frank disclosure extends not only to the factual underpinnings of the motion, but to the relevant jurisprudence and statutory provisions that might impact upon a judge tasked with rendering a decision in such circumstances. The relevant jurisprudence in this matter has been developed over the past 30 years and sets out the circumstances under which an Anton Piller order may be issued, and how such an order should be executed. [3] Anton Piller orders are essentially civil search warrants that give a plaintiff access to the premises of the defendant, without notice, to search for and to seize property. While the plaintiff or the plaintiff’s representative cannot enter the premises without the permission of the occupant, that permission is normally obtained upon threat of contempt proceedings. [4] The leading case regarding Anton Piller orders is Celanese Canada Inc. v. Murray Demolition Corporation, 2006 SCC 36, [2006] 2 S.C.R. 189 (Celanese). In his opening paragraph in Celanese, Justice Binnie, speaking for the Court stated: An Anton Piller order bears an uncomfortable resemblance to a private search warrant. No notice is given to the party against whom it is issued. Indeed, defendants usually first learn of them when they are served and executed, without having had an opportunity to challenge them or the evidence on which they were granted. The defendant may have no idea a claim is even pending. The order is not placed in the hands of a public authority for execution, but authorizes a private party to insist on entrance to the premises of its opponent to conduct a surprise search, the purpose of which is to seize and preserve evidence to further its claim in a private dispute. The only justification for such an extraordinary remedy is that the plaintiff has a strong prima facie case and can demonstrate that on the facts, absent such an order, there is a real possibility relevant evidence will be destroyed or otherwise made to disappear. The protection of the party against whom an Anton Piller order is issued ought to be threefold: a carefully drawn order which identifies the material to be seized and sets out safeguards to deal, amongst other things, with privileged documents; a vigilant court-appointed supervising solicitor who is independent of the parties; and a sense of responsible self-restraint on the part of those executing the order. [5] Hence, the only justification for what amounts to a party’s right to execute a search warrant in a private dispute (an Anton Piller order) is a demonstrated need to preserve relevant evidence where there is a real possibility of destruction or disappearance of that evidence. [6] In Celanese at para 35, the Court sets out four essential conditions which must be established by the plaintiff before an Anton Piller order may issue. These conditions are reaffirmed in British Columbia (Attorney General) v. Malik, 2011 SCC 18 at para 29, [2011] 1 S.C.R. 657 (Malik), and state: There must be a strong prima facie case; The damage to the plaintiff of the defendant’s alleged misconduct, potential or actual, must be very serious; There must be convincing evidence that the defendant has in its possession incriminating documents or things; and There must be a real possibility that the defendant may destroy such material before the discovery process can do its work. [7] The four conditions were deemed to have been met by the justice at the June 9, 2017 hearing, and an Anton Piller Order was issued. Both the Anton Piller Order and the Interim Injunction were made for a period of 14 days only. [8] The Anton Piller Order was fully executed within the 14 days set out in the order. On June 21, 2017, the Interim Injunction was extended to June 30, 2017, on consent of the parties, in order to provide the Court the opportunity to more fully consider the Plaintiffs’ review motion, in which they seek: A declaration that the Anton Piller Order was lawfully issued and that the Order and accompanying Interim Injunction were lawfully carried out; An order authorizing the Plaintiffs to withdraw a deposit of $50,000 deposited on June 9, 2017 as security for damages; An order that paragraphs C-17 to C-20 of the Order made on June 9, 2017 remain valid until final determination of this proceeding; An interlocutory injunction pursuant to Rule 373 of the Federal Courts Rules, SOR/98-106 (the Rules), which would effectively result in the continuation of the interim injunction issued on June 9, 2017 until final determination of this proceeding. An order for a mandatory injunction that would require the Defendant to continue to provide login credentials, passwords and other necessary access to material that was targeted by the Anton Piller Order. The effect of this order, if granted, would be to provide a continuous search warrant to the Plaintiffs until this matter is finally determined. Costs to be awarded on a solicitor-client basis. II. The Parties and the Relevant Facts [9] The Plaintiffs are corporations, limited partnerships or general partnerships who are either broadcasters who operate television stations, or broadcasting distribution undertakings pursuant to the Broadcasting Act, S.C. 1991, c. 11 who receive broadcasts from several televisions stations. The broadcasters contend that they own the Canadian rights to communicate a variety of programs to the public by telecommunication via television and online broadcast. More precisely, the Plaintiffs Bell Media Inc., Rogers Media Inc. and Groupe TVA Inc. (the “Broadcasters”) contend that, among other things, they hold the Canadian rights to undertake the following actions pursuant to section 3 of the Copyright Act, R.S.C. 1985, c. C-42 (the Act): (a) Communicate the Plaintiffs programs to the public by telecommunication via television broadcast, including the right to (b) make the Plaintiffs programs available to the public by telecommunications via television broadcast in a way that allows a member of the public to have access to them from a place and at a time individually chosen by that member of the public; and (c) authorize such acts. [10] The broadcasting undertakings contend that they own the right to transmit television broadcasts to subscribers by various means of telecommunication, such as by satellite signal, co-axial cable, fibre optics, and hybrid fibre optics/co-axial cable. [11] The Defendant is a software developer who has developed add-ons to an open source media player application known as KODI. Some KODI add-ons permit users to gain access to a vast amount of video content allegedly owned and distributed by the Plaintiffs. The Defendant has developed add-ons that permit users to access material which is clearly “non-infringing content”, as well as material which the Plaintiffs claim to be “infringing content”. To the extent that the add-ons developed by the Defendant permit access to allegedly “infringing content”, the Plaintiffs contend that they suffer damages. While the Defendant has not yet filed a Statement of Defence in this matter, he claims there is no violation of the Act flowing from his operations. He contends his activities are protected by subparagraph 2.4(1)(b) of the Act, which provides as follows: […] a person whose only act in respect of the communication of a work or other subject-matter to the public consists of providing the means of telecommunication necessary for another person to so communicate the work or other subject-matter does not communicate that work or other subject-matter to the public; […]. [12] The Defendant says the jurisprudence arising from the Society of Composers, Authors and Music Publishers of Canada v. Canadian Association of Internet Providers, 2004 SCC 45, [2004] 2 S.C.R. 427 (SOCAN), supports his position that he is not “communicating” any content. He is merely making it accessible, much like Google and other search engines. In fact, he candidly refers to his operation as a “mini-Google”. [13] In addition to claiming that the products developed by him are compliant with the Act, the Defendant contends that the Act provides the Plaintiffs with a potential remedy should they conclude a violation exists. He says that remedy is found in paragraph 41.27(5) of the Act, whereby the Plaintiffs may provide him notice of the alleged infringement and afford him the opportunity to remedy the violation. The Defendant contends that, if there was any violation of the Act, which he denies, the Plaintiffs employed a “bombe atomique” by requesting an Anton Piller order instead of exercising the less draconian methods available under the Act. III. The Issues before me [14] The Court’s role at this early stage of the litigation is clearly not to decide the merits of the case (Celanese, above, para 1). My role is to apply a de novo evaluation of the Anton Piller Order after having heard the opposing point of view (John Stagliano Inc. v. Elmaleh, 2006 FC 585 at para 110, 292 FTR 208; Canadian Private Copying Collective v Amico Imaging Services Inc, 2004 FC 469 at paras 27-28, 249 FTR 312). This requires the Court to reconsider the four requirements necessary for the issuance of an Anton Piller order, namely: (i) that there is a strong prima facie case; (ii) that the damage to the plaintiff caused by the defendant’s alleged misconduct, potential or actual, is very serious; (iii) that there is convincing evidence that the defendant has in its possession incriminating documents or things; and (iv) that there is a real possibility that the defendant may destroy such material before the discovery process can do its work (Celanese, above, at para 35; Malik, above, at para 29). [15] With respect to the interlocutory injunction, I must determine whether the Plaintiffs have met the tripartite test set out in Manitoba (Attorney General) v. Metropolitan Stores (MTS) Ltd., [1987] 1 SCR 110, 38 DLR (4th) 321 (Metropolitan Stores), and RJR MacDonald Inc. v. Canada (Attorney General), [1994] 1 SCR 311, 111 DLR (4th) 385 (RJR MacDonald). That is: (i) is there a serious issue to be tried?; (ii) have the Plaintiffs demonstrated they will suffer irreparable harm if the injunction is not granted?; and; (iii) does the balance of convenience favour the granting of the injunction? The test is conjunctive. I also note that the “strong prima facie case” requirement for the issuance of an Anton Piller order is a higher standard than the “serious issue to be tried” standard applicable to the first criteria of the test for an interlocutory injunction (Indian Manufacturing Ltd. v. Lo, [1996] 2 FCR 647, 67 CPR (3d) 132; Havana House Cigar & Tobacco Merchants Ltd. v. Doe, [1999] FCJ No. 1225 at para 27, 1 CPR (4th) 521). IV. The Evidence [16] In the affidavit principally relied upon by the Plaintiffs, the affiant deposes, among other things, that the Defendant’s business, known as “TVAddons”, hosts over “1500 Add-ons in total”. He also deposes that, of these 1500 Add-ons, there is a curated list of 22 Add-ons, “almost all of which are infringing Add-ons”. It follows that, from the Plaintiffs’ own evidence, just over 1% of the Add-ons developed by the Defendant are alleged to be “infringing Add-ons”. This is consistent with the Defendant’s affidavit, wherein he deposes that there are 1400 Add-ons available on the TVAddons website, the majority of which are unrelated to alleged “illegitimate Hosting Sites”. [17] Both the Plaintiffs’ and the Defendant’s principal affiants describe the KODI software application as an “open source”, which means that it is available to the general public for use and/or modification of its original design. The Defendant deposes that the KODI application “without any add-on added to it, is used to search, execute, stream or download any type of digital files such as pictures, music, videogames, videos, interactive files, etc.”, and then goes on to say that, contrary to what is affirmed by the Plaintiffs’ affiant, “KODI is not limited to accessing content that is on the computer of the users. The KODI application includes a list of add-ons that are Web Search add-ons”. The Plaintiff’s affiant spent some time in his affidavit explaining how the Defendant would have accessed the work “Orphan Black” by using his Add-ons. The Defendant, in his affidavit, demonstrated the same search results using Google, hence his assertion that his site is a “mini-Google” and is therefore contemplated by the exceptions set out and discussed above in SOCAN. [18] On this Review Motion, the complete hearing before the justice who granted the Anton Piller Order is to be considered. Part of that record contains the following exchange: Justice: And on the next page, paragraph 5, so the experts would deactivate the TV Add-ons domains and sub-domains, so you really want to neutralize the Defendant’s operations? Lawyer for the Plaintiffs: Yeah, completely. Justice: Completely… Lawyer for the Plaintiffs: Yeah. Justice: So it’s more than saying you’re enjoined of not operating or communicating, you really want to neutralize the guy. Lawyer for the Plaintiffs: Yeah, completely, that’s for sure. Yeah. We use his passwords, we shut down everything, we change the password and we change everything and it cannot be reactivated by him or by someone else. That’s the goal. [19] According to the Anton Piller Order, the “search” was to be conducted between the hours of 8 a.m. and 8 p.m., unless it was reasonably necessary to depart from those hours. I conclude that this search includes any interview considered necessary by the independent solicitor and/or Plaintiffs’ counsel. In his affidavit, the independent solicitor deposed that on June 12, 2017, the questioning of the Defendant commenced at 2:40 p.m. and “lasted until approximately midnight”. The interrogation (my word) of the Defendant therefore lasted more than 9 hours. I acknowledge that the interrogation was interrupted, according to the independent solicitor, by dinner, and an opportunity for the Defendant to speak to his lawyer. However, it is important to note that the Defendant was not permitted to refuse to answer questions under fear of contempt proceedings, and his counsel was not permitted to clarify the answers to questions. I conclude unhesitatingly that the Defendant was subjected to an examination for discovery without any of the protections normally afforded to litigants in such circumstances (discovery). Here, I would add that the ‘questions’ were not really questions at all. They took the form of orders or directions. For example, the Defendant was told to “provide to the bailiff” or “disclose to the Plaintiffs’ solicitors”. [20] I find the most egregious part of the questioning to be in in the independent solicitor’s affidavit, wherein he deposes that counsel for the Plaintiffs “provided Defendant Lackman with some names” of other people who might be operating similar websites. It appears the Defendant was required to associate that list of 30 names with names, addresses and other data about individuals that might have some knowledge or relationship to those names. The list and the responses of the Defendant are found on three complete pages in the exhibits of the independent solicitor’s affidavit. I conclude that those questions, posed by Plaintiffs’ counsel, were solely made in furtherance of their investigation and constituted a hunt for further evidence, as opposed to the preservation of then existing evidence. V. Analysis A. Anton Piller Order [21] The Anton Pillar Order under review was purposely designed by counsel for the Plaintiffs, as admitted by them, to completely shut down the Defendant’s operations. To the Plaintiffs, it mattered not that, by their own estimate, just over 1% of the Add-ons developed by the Defendant were allegedly used to infringe copyright. I therefore conclude that the purpose of the Anton Piller Order under review was only partly designed to preserve evidence that might be destroyed or that could disappear. I am of the view that its true purpose was to destroy the livelihood of the Defendant, deny him the financial resources to finance a defence to the claim made against him, and to provide an opportunity for discovery of the Defendant in circumstances where none of the procedural safeguards of our civil justice system could be engaged. [22] With respect to the issue of whether there exists a “strong prima facie case”, I am not convinced. While I acknowledge the purpose of this review is not to try the case, I have nevertheless assessed the strength of the case made out by the Plaintiffs. In doing so, I have carefully considered the arguments made by Defendant’s counsel in relation to his interpretation of the Act and the application of SOCAN to the facts. I have also carefully considered the affidavits offered by both the Defendant and the Plaintiffs’ affiants. I am impressed by the forthright manner in which the Defendant describes his knowledge and use of the open source KODI software and the similarities between TVAddons and Google. The actions performed by the Plaintiffs’ expert to access allegedly infringing material at TVAddons were replicated by the Defendant using Google. In my view, the jurisprudence from SOCAN becomes relevant to this issue. While the prima facie case may have appeared strong before the justice who heard the matter ex parte, the presence of the adversary in the courtroom and the arguments advanced have demonstrated there is nothing more than a serious issue to be tried. The higher threshold of a strong prima facie case is not met. [23] In the absence of a strong prima facie case, and in the presence of an overly broad order designed to do much more than preserve evidence that might be destroyed or that might disappear, there is little purpose in conducting any further analysis on the issuance and execution of the Anton Piller Order. I conclude that it must fall. I now turn to the issue of the Interlocutory Injunction. B. Interlocutory Injunction [24] While I accept that there exists a serious issue to be tried, and acknowledge that the Plaintiffs may well suffer irreparable harm if the interlocutory injunction is not issued, I am not satisfied that the balance of convenience favours the granting of an interlocutory injunction. [25] The Defendant has demonstrated he has an arguable case that he is not violating the Act. He has also deposed that TVAddons is his only source of income. If an injunction were granted by this Court, it would effectively bring this litigation to a close, as the Plaintiffs’ admittedly seek to neutralize the Defendant in such a way that it would be impossible for his add-ons to be reactivated “by him or someone else”. Furthermore, if the Defendant is “neutralized” in this way, he may lack the financial resources to mount his defence. In considering the balance of convenience, I also repeat that the Plaintiffs admit that the vast majority of add-ons are non-infringing. Whether the remaining approximately 1% are infringing is very much up for debate. For these reasons, I find the balance of convenience favours the Defendant, and no interlocutory injunction will be issued. C. Other [26] The Plaintiffs have requested a return of their $50,000 deposit paid as security for damages. Given that the Anton Piller Order is now declared unlawful, I leave it to the parties to negotiate the amount, if any, of that deposit that is to be forfeited to the Defendant. Failing agreement among the parties on that issue within 90 days from the issuance of this Order, they may return to this Court for argument and resolution of that issue. [27] Finally, the Plaintiffs have requested costs to be assessed on a solicitor-client basis. The Defendant indicated that whether he should win or lose on this Review Motion, he considers it appropriate that costs be awarded in the cause. As a result, this Court will order that costs be in the cause. THIS COURT ORDERS that: The Interim Injunction issued by this Court on June 9, 2017 is extended, on consent of the parties until June 30, 2017 or until further order of the Court, whichever occurs first. (see paragraph (e) below); The motion request by the Plaintiffs for a declaration that the execution of the Anton Piller Order and Interim Injunction were lawfully conducted is dismissed; The motion request by the Plaintiffs to authorize the withdrawal from the Court of $50,000 filed on June 9, 2017 as security for damages is dismissed; The motion request for an order that paragraphs C-17 to C-20 of the Anton Piller Order made on June 9, 2017 remain in effect until final determination of this proceeding is dismissed. For greater certainty, the Anton Piller Order is fully vacated and declared null and void; The motion for an Interlocutory Injunction is dismissed. Effective immediately, the Interim Injunction issued on June 9, 2017 and extended on June 21, 2017 is vacated; All remaining orders sought by the Plaintiffs in their amended Notice of Motion filed on June 16, 2017 and heard on June 21, 2017 are dismissed; All articles seized during the execution of the Anton Piller Order, including, but not limited to phones, computers, computer equipment, records, communications or evidence proving that communications were made between the Defendant and third parties, domain names, subdomain names, passwords, login credentials, banking information, corporate registry information, information regarding hosting accounts, server information, codes, programmer information, and all transcripts and recordings of the Defendant in response to any questions put to him by any person in the course of the execution of the Anton Piller Order are to be delivered to the Defendant, and no copies of any such materials are to be maintained by independent counsel, plaintiffs, or any person other than the Defendant; All affidavits filed by the Plaintiffs in support of the motion for an Anton Piller order are to be sealed and marked “Subject to an order of confidentiality” and placed in Court file T-800-17, and are to remain confidential and under seal until further order of the Court; Costs are in the cause; I will remain seized with jurisdiction over any motions or requests for directions with respect to the contents of this order. “B. Richard Bell” Judge FEDERAL COURT SOLICITORS OF RECORD DOCKET: T-800-17 STYLE OF CAUSE: BELL CANADA, BELL EXPRESS VU LIMITED PARTNERSHIP, BELL MEDIA INC., VIDEOTRON S.E.N.C., GROUPE TVA INC., ROGERS COMMUNICATIONS CANADA INC., ROGERS MEDIA INC., v ADAM LACKMAN DBA TV ADDONS.AG PLACE OF HEARING: Montréal, Quebec DATE OF HEARING: June 21, 2017 REASONS FOR ORDER: BELL J. DATED: June 30, 2017 APPEARANCES: Me François Guay Me Guillaume Lavoie St-Marie For The Plaintiff Me Éva Richard, Me Karim Renno Me Hilal El Ayoubi FOR THE DEFENDANT SOLICITORS OF RECORD: Me Karl Delwaide, Me Marie-Gabrielle Bélanger Fasken Martineau DuMoulin S.E.N.C.R.L., s.r.l. Tour de la Bourse, bureau 3700 800, rue Victoria Montréal, QC H4Z 1E9 For The Plaintiff Me Bernard Letarte, Me Ludovic Sirois - Attorney General of Canada - Justice Canada Bureau SAT-6060 284 Wellington Street Ottawa, ON K1A 0H8 for the defendant
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cluster: FACTS: This case involves a dispute between the plaintiffs, a group of Canadian broadcasters and broadcasting undertakings, and the defendant, a software developer, Adam Lackman. The plaintiffs alleged that the defendant's software, known as TVAddons, allowed users to access copyrighted content without permission. The defendant claimed that his software was compliant with the Copyright Act and that he was not communicating any content, but rather making it accessible like a search engine. The plaintiffs sought an Anton Piller order, which is a civil search warrant that allows a plaintiff to search the defendant's premises without notice, to seize evidence and preserve it. The order was granted by a justice of the Federal Court, but the defendant challenged it on a review motion. |
cluster: ANALYSIS: The court's analysis was based on the principles established in the leading case of Celanese Canada Inc. v. Murray Demolition Corporation, which sets out the conditions necessary for the issuance of an Anton Piller order. The court found that the plaintiffs had failed to meet these conditions, particularly with respect to the prima facie case and the scope of the order. The court also considered the defendant's argument that his software was compliant with the Copyright Act and that he was not communicating any content, but rather making it accessible like a search engine. The court found that this argument had merit and that the plaintiffs had not met the requirements for an interlocutory injunction. |