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JISCBAILII_CASE_IMMIGRATION
FC3
1999/6323/4
and
QBCOF
1999/0082/4
IN
THE SUPREME COURT OF JUDICATURE
IN
THE COURT OF APPEAL (CIVIL DIVISION)
ON
APPEAL FROM THE QUEEN'S BENCH (CROWN OFFICE DIVISION)
(MR
JUSTICE LAWS AND MR JUSTICE SULLIVAN
)
Royal
Courts of Justice
Strand
London
WC2
Friday
23 July 1999
B
e f o r e:
THE
MASTER OF THE ROLLS
(LORD
WOOLF)
LORD
JUSTICE LAWS
LORD
JUSTICE MANCE
-
- - - - -
T
H E Q U E E N
-
v -
THE
SECRETARY OF STATE FOR THE DEPARTMENT
Respondent
(EX
PARTE LULOMAR
ADAN)
Appellant
and
QBCOF
1999/6078/4
T
H E Q U E E N
-v-
THE
SECRETARY OF STATE FOR THE HOME DEPARTMENT
Respondent
(EX
PARTE SITTAMPALAN SUBASKARAN)
Applicant
and
QBCOF
1999/0040/4
T
H E Q U E E N
-v-
THE
SECRETARY OF STATE FOR THE HOME DEPARTMENT
Appellant
-
- - - - -
(Transcript
of the Handed Down Judgment of
Smith
Bernal Reporting Limited, 180 Fleet Street,
London
EC4A 2HD
Tel:
0171 421 4040
Official
Shorthand Writers to the Court)
-
- - - - -
MR
N BLAKE QC
and
MS
S HARRISON
(Instructed by Messrs E Edwards Son & Noice, East Ham, London, E6 1DQ)
appeared on behalf of
Adan.
MR
D PANNICK QC
and
MR
S KOVATS
(Instructed by The Treasury Solicitor, London, SW1H 9JS) appeared on behalf of
the Secretary of State for the Home Department as respondent in cases
1999/6323/4, 1999/0082/4 and appellant in case 1999/0040/4.
MR
A NICOL QC
and
MR
M HENDERSON
(Instructed by Messrs Howe & Co, Ealing, London, W5 2BS) appeared on behalf
of the
Aitseguer.
MR
M GILL
and
MR
C WILLIAMS
(Instructed by Messrs Genga & Co, Wembley, Middx, HAO 2AJ) appeared on
behalf of
Aitseguer.
-
- - - - -
J
U D G M E N T
(As
approved by the Court
)
-
- - - - -
©Crown
Copyright
Friday
23 July 1999
JUDGMENT
This
is the judgment of the court, prepared by Laws LJ.
INTRODUCTORY
These
three cases raise an important question concerning the functions of the
Secretary of State under the
Asylum and Immigration Act 1996. They involve
three asylum seekers. Each claims that he/she will be persecuted if returned
to his country of origin: not by authorities of the State, but by others -
“non-State agents”. Two of the three arrived in the United Kingdom
having first passed through Germany. The other had first passed through
France. They claimed asylum here, but the Secretary of State decided (under
statutory powers which we will set out) to return them respectively to France
and Germany for substantive consideration of their claims. They assert that
the laws of those countries are such that their applications for asylum will
not be properly dealt with there, and accordingly that France and Germany are
not safe third countries to which they may lawfully be returned. They say that
France and Germany do not recognise persecution by non-State agents as
qualifying for protection under the 1951 Geneva Convention on the Status of
Refugees, at least if the State itself is not in any sense complicit in the
persecution; and so, if they were returned to France and Germany, even if their
cases were established on the facts, they would be liable to be returned to
their countries of origin to face the very persecution they fear.
However
on 23 June 1999 the Secretary of State notified the legal representatives of
all three asylum seekers that he now intended to consider their asylum claims
on their substantive merits, and thus not to return them to Germany or France.
The asylum seekers were, perhaps unsurprisingly, content that this course be
adopted. At the outset of the hearing the court indicated that it was prepared
to consider and decide the substance of the appeals notwithstanding that from
the individuals’ point of view they had become academic. We shall give
our reasons below for doing so.
Lul
Adan is a citizen of Somalia. On 8 August 1997 she sought asylum in Germany.
That application was refused on 25 August 1997 and she was required to leave
Germany voluntarily or be forcibly deported to Somalia. On 5 October 1997 she
arrived in the United Kingdom and claimed asylum here. Her case was that she
was a member of a minority clan in Somalia, and feared persecution by the USC,
who had killed members of her clan, and she herself had been abducted. The USC
was an armed camp which had overthrown President Barre in January 1991.
Mogadishu had been divided between the USC and another armed camp, the SNF.
All forms of legitimate government in Somalia had broken down. On 3 February
1998 the Secretary of State issued a request to Germany, under the material
provisions of the Dublin Convention, to accept responsibility for considering
Lul
Adan’s asylum claim, and Germany did so on 13 February 1998. On 19
February 1998 the Secretary of State refused her asylum application and
certified that she was returnable to Germany as a safe third country.
Hamid
Aitseguer is a citizen of Algeria. He travelled to France in January 1998, and
thence to the United Kingdom where he arrived on 9 February 1998. He claimed
asylum on arrival. His case was that terrorists opposed to the Algerian
government had exacted protection money from his father, having threatened to
bomb the family cafe and kill the staff. He had been threatened by Islamic
fundamentalist groups when he was working as a teacher in a technical college.
Later he found that his name had been placed on a “hit list” by
Islamic terrorists. Other people on the list were later killed. Later still
he witnessed a bomb explosion at a pumping station where he was working. He
gave other details. In short he would be at risk of his life in the hands of
the terrorists if returned to Algeria, and there was no possibility of seeking
effective protection from the State authorities there. On 12 February 1998 the
Secretary of State requested the French authorities to accept responsibility
for determining his claim, and they did so on 20 April 1998. On 21 April 1998
the Secretary of State refused his asylum claim and certified that he was
returnable to France as safe third country.
Sittampalan
Subaskaran is a Sri Lankan Tamil asylum-seeker. On 11 August 1997 he claimed
asylum in Germany. That was refused on 22 October 1997. A notice of appeal to
the Dresden Administrative Court was issued on his behalf but he left Germany
before the appeal was heard. He arrived in the United Kingdom on 19 February
1998 and applied for asylum here. In June 1998 the Dresden Administrative
Court dismissed his appeal in his absence, holding that “the action is
unfounded since the plaintiff does not have a right to be recognised as a
person entitled to political asylum”. His case for asylum here was that
he feared persecution by the LTTE (the “Tamil Tigers”) if he were
returned to Sri Lanka. They had earlier demanded money of him, required him to
dig bunkers for them, extorted 100,000 rupees from his father, and pressurised
him to join them at a time when the Sri Lankan army was approaching Madukulam.
He was also detained by the army and forced to identify LTTE members. Later he
was detained again, in Colombo, where he was hung upside down and subjected to
other violent ill-treatment. On 14 August 1998 the Secretary of State refused
his asylum claim and certified that he was returnable to Germany (which had
accepted responsibility for the examination of his claim under the Dublin
Convention).
On
29 April 1998 Turner J granted leave to move for judicial review to Lul
Adan,
but on 24 November 1998 the Divisional Court (Rose LJ and Mitchell J, reported
at [1999] IAR 114) dismissed her application and refused leave to appeal. Leave
was subsequently granted by this court on 22 January 1999. On 18 December 1998
Sullivan J allowed Aitsegeur’s motion for judicial review, quashed the
Secretary of State’s certificate, and granted leave to appeal (reported
at [1999] INLR 176). In Subaskaran’s case Laws J refused judicial review
leave at first instance on 4 November 1998, after hearing argument
inter
partes
in
court. He did so without taking any view as to the merits in principle of the
“non-State agents” point
vis-a-vis
Germany,
but because he considered on the material before him that the applicant’s
case barely raised a “non-State agents” argument on the facts. On 9
February 1999 this court granted Subaskaran’s renewed application for
judicial review leave and directed that the substantive proceedings be heard in
the Court of Appeal. This direction has given rise to an issue touching this
court’s jurisdiction, which it is convenient to address at once.
THE
JURISDICTION OF THE COURT OF APPEAL
At
an interlocutory hearing in this court on 11 June 1999 a submission was made,
by Mr Nicol QC for Aitsegeur, that the Court of Appeal lacked the jurisdiction
to entertain the substantive judicial review in Subaskaran’s case, and
that after granting leave it was accordingly obliged to remit the matter for
hearing in the Crown Office List. Mr Nicol had understandable tactical reasons
for raising this issue at the time, but they have fallen away since the
Secretary of State’s decision not to remove the appellants to France and
Germany. However it seemed to this court that the matter was of some
considerable importance, and we invited argument upon it from Mr Nicol and from
Mr Gill for Subaskaran. We are grateful to both counsel for their assistance on
the point, and also to Mr Pannick QC for the Secretary of State.
It
is uncontested that an applicant who has been refused leave (now permission) to
apply for judicial review after a hearing at first instance, other than in a
criminal cause or matter, may renew his application to the Court of Appeal.
Order 59 Rule 14(3) provides:
“Where
an ex parte application has been refused by the Court below, an application for
a similar purpose may be made to the Court of Appeal ex parte within 7 days
after the date of the refusal.”
Mr
Nicol submitted that the jurisdiction to issue the prerogative orders is
conferred by s.29 of the Supreme Court Act 1981 upon the High Court, to which
by s.31 applications for judicial review are to be made. No such jurisdiction
is conferred on the Court of Appeal. The Court of Appeal, which (unlike the
High Court) is a creature of statute, exercises only an appellate jurisdiction.
By persuasive authority of the Privy Council in
Kemper
[1998]
3 WLR 630 the grant of permission upon a renewed application under Order 59
Rule 14(3) constitutes the exercise of such an appellate jurisdiction; but,
said Mr Nicol, if the Court of Appeal then proceeds to entertain the
substantive judicial review proceedings, its doing so cannot be characterised
as anything other than the exercise of an original jurisdiction which it does
not possess.
With
great deference we see no reason to doubt the conclusion expressed by Lord
Hoffman for the Privy Council in
Kemper
at 641G that “a renewed application to the Court of Appeal under RSC Ord.
59, r.14(3) is a true appeal with a procedure adapted to its ex parte
nature”. We express no view as to the implications, if any, for the
status of a renewed application for leave to their Lordships’ House. In
Re
Poh
[1983]
1 WLR 2 the House held that it lacked the jurisdiction to entertain such an
application in light of the principle laid down in
Lane
v Esdaile
[1891] AC 210.
Lane
v Esdaile
was
fully analysed in
Kemper,
and it is fair to say that the Privy Council had difficulties with the decision
in
Re
Poh
.
Whatever
the position as regards
Re
Poh
,
in
our judgment Mr Nicol’s argument as to this court’s consideration
of substantive judicial review proceedings after it has granted permission is
mistaken. In
R
v Industrial Injuries Commissioner ex p. AEU
[1966]
2 QB 21 the Court of Appeal had given leave to a trade union to apply for an
order of certiorari to quash a decision of the Commissioner, after refusal by
the Divisional Court. The substantive application was listed to be heard by the
Court of Appeal, in accordance with what was then the established practice. But
when the case came on counsel for the Commissioner took a preliminary
objection. He submitted that only the Divisional Court could entertain the
motion for a certiorari and that since there was no order from which the
applicant could appeal, the Court of Appeal was being invited to exercise an
original jurisdiction which it did not possess. Reliance was placed on the then
Order 59 Rule 5(1):
“When
leave has been granted to apply for an order of mandamus, prohibition or
certiorari, the application shall be made by notice of motion to a Divisional
Court of the Queen’s Bench Division...”
This
argument was rejected. It was held that Order 59 Rule 5(1) applied only to
cases where the Divisional Court had itself granted leave. There was no rule of
court dealing with the position where leave was granted by the Court of Appeal.
Accordingly recourse should be had to s.32 of the Supreme Court of Judicature
(Consolidation) Act 1925:
“The
jurisdiction vested in the High Court and the Court of Appeal respectively...
shall be exercised in the manner provided... by rules of court, and where no
special provision is contained... in rules of court with reference thereto, any
such jurisdiction shall be exercised as nearly as may be in the same manner as
that in which it might have been exercised by the court to which it formerly
appertained.”
That
section (as Mr Nicol pointed out in his written note on the point) did not
confer jurisdiction on the Court of Appeal, but presupposed it. However it is
plain from the judgments in
Ex
p. AEU
that
there was a pre-existing jurisdiction in the Court of Appeal to entertain
applications for the prerogative orders where it had itself granted leave.
Before the coming into force of the Administration of Justice (Miscellaneous
Provisions) Act 1938, where the Divisional Court refused a rule
nisi,
appeal lay to the Court of Appeal; and if on appeal the rule was granted, the
practice was for the Court of Appeal to proceed to hear argument on the rule,
as was illustrated by
R
v Drinkwater ex p. Conway
(1906)
JP 1; 22 TLR 12. The Act of 1938 abolished the prerogative writs (s.7) and
substituted procedures for applications to be made for prerogative orders, with
a requirement of leave (s.10). The relevant provisions refer to the High Court,
and make no reference to the jurisdiction of the Court of Appeal. But it was
held in
Ex
p. AEU
that
the earlier undoubted jurisdiction to hear the substantive case survived: see
per
Lord
Denning MR at 28E-G, Davies LJ at 29E-G.
Accordingly
Mr Nicol’s argument could only succeed if he were able to show that the
decision in
Ex
p. AEU
has been overruled by statute. He submitted, correctly, that s.32 of the Act of
1925 was repealed by the Supreme Court Act 1981 (Schedule 7) and not replaced.
However s.15(2) of the 1981 Act provides:
“
Subject to the provisions of this Act, there shall be exercisable by the Court
of Appeal -
(a)
all such jurisdiction (whether civil or criminal) as is conferred on it by this
or any other Act; and
(b)
all such other jurisdiction (whether civil or criminal) as was exercisable by
it immediately before the commencement of this Act.”
Mr
Nicol pointed to the subsection’s opening words, “Subject to the
provisions of this Act”. But there is nothing elsewhere in the statute to
curtail the pre-existing jurisdiction of the Court of Appeal vouchsafed by
Ex
p. AEU.
Ss.29
and 31 do not purport to confine the judicial review jurisdiction to the High
Court to the exclusion of the Court of Appeal, any more than it was so confined
by s.7 of the Act of 1938.
We
would add that their Lordships’ reasoning in
Kemper
demonstrates
the continuing parallel between this court’s jurisdiction before 1938 and
today. In the earlier period, there was a “true” appeal against the
Divisional Court’s refusal of a rule
nisi;
now, following
Kemper,
a renewed application for permission under Order 59 Rule 14(3) constitutes a
“true” appeal against the High Court’s refusal.
For
all these reasons this court in our judgment possesses the jurisdiction to
entertain Subaskaran’s substantive judicial review.
ADJUDICATION
UPON AN “ACADEMIC” ISSUE
We
turn next to give our reasons for our preparedness to entertain these cases,
notwithstanding the Secretary of State’s decision not to remove the
appellants to France or Germany. In
R
v Secretary of State ex p. Salem
[1999] AC 450 the outcome of an appeal to the House of Lords, which concerned the time
at which a claim for asylum was “determined” by the Secretary of
State within the meaning of certain regulations,
had
become academic
vis-a-vis
the
appellant because he had been granted refugee status by an adjudicator between
the hearing of the case in the Court of Appeal and its being listed in their
Lordships’ House. However it was contended before their Lordships that
the point in question was one of general importance. Lord Slynn of Hadley (with
whom their other Lordships agreed) cited at p.46 two earlier cases in which the
House had declined on principle to hear appeals which involved no live issue
between the parties:
Sun
Life Assurance v Jervis
[1944]
AC 111 and
Ainsbury
v Millington
[1987]
1 WLR 379. He continued:
“These
cases, however, concern disputes between parties as to private rights - in the
Sun
Life
case
as to the terms of an insurance policy, in
Ainsbury
v Millington
as
to the parties’ rights to the occupation of property initially held under
a joint tenancy.” (456A-B)
Lord
Slynn then referred to two cases in the public law field,
R
v Dartmoor Prison Board of Visitors ex p. Smith
[1987]
QB 106 and
Abdi
v Secretary of State
[1996] 1 WLR 298. In both the proceedings were moot so far as the appellant was
concerned by the time they came to be heard, respectively in the Court of
Appeal and the House of Lords. But in each the court consented to deal with the
legal merits of the issue raised in the appeal because they raised points of
importance which in the public interest ought to be decided. Lord Slynn
continued at 456G - 457B:-
“My
Lords, I accept, as both counsel agree, that in a cause where there is an issue
involving a public authority as to a question of public law, your Lordships
have a discretion to hear the appeal, even if by the time the appeal reaches
the House there is no longer a lis to be decided which will directly affect the
rights and obligations of the parties inter se. The decisions in the
Sun Life
case and
Ainsbury v Millington
(and the reference to the latter in r 42 of the Practice Directions Applicable
to Civil Appeals (January 1996) of your Lordships’ House) must be read
accordingly as limited to disputes concerning private law rights between the
parties to the case.
The
discretion to hear disputes, even in the area of public law, must, however, be
exercised with caution and appeals which are academic between the parties
should not be heard unless there is a good reason in the public interest for
doing so, as for example (but only by way of example) when a discrete point of
statutory construction arises which does not involve detailed consideration of
facts and where a large number of similar cases exist or are anticipated so
that the issue will most likely need to be resolved in the near future.”
We
were told by Mr Pannick on instructions that there are no less than 218 other
cases in which applications for judicial review have been filed in the Crown
Office, 194 relating to Germany and 24 to France, in which it is sought to be
asserted that the Secretary of State is not entitled to treat those
jurisdictions as safe third countries by reason of their approach to
persecution by non-State agents. In some permission to apply has been granted;
others are awaiting a decision on the application for permission. It is likely
that there are yet further cases pending in the Home Office in which the
Secretary of State has not yet made his own decision, and perhaps others where
the administrative decision has been made but no judicial review papers have
yet been lodged.
It is quite plain to us that these appeals raise a question of general
importance, namely whether the Secretary of State is entitled to treat France
and Germany as “safe third countries” in relation to asylum seekers
who assert a fear of persecution by non-State agents in their country of
origin, where the State is not complicit in the persecution alleged. This is an
issue which may be considered and decided irrespective of the facts of these
particular cases. The material which the court must examine in order to do so
consists in our domestic legislation and case law, the Geneva Convention
together with other materials which throw or are said to throw significant
light on the Convention’s true interpretation, and documentation showing
the legal position in France and Germany
vis-a-vis
persecution
by non-State agents. All this is available to us. Given the number of cases in
the pipeline in which, we understand, the issue is raised, it is in our
judgment in the public interest that we should determine it in these
proceedings. We conceive that our doing so well conforms to the approach
outlined by Lord Slynn in the passage from his speech in
Salem
which
we have set out. We should however note that there is one dimension of the
issue upon which, in our judgment, the court can only enter upon a narrow and
partial basis in the absence of a concrete
lis
between
an asylum seeker and the Secretary of State. It concerns Mr Pannick’s
argument that even if we were to conclude that the Secretary of State may not
lawfully be satisfied that Germany and France are safe third countries in light
of their approach to the Convention, nevertheless he is entitled to be so
satisfied on the footing that those countries offer alternative forms of
protection in non-State agent cases which are in fact adequate when measured
against the Convention’s requirements. We shall explain the limits of our
approach to this question and the reasons for it in due course.
As
a footnote it is perhaps worth noticing that in another third country case,
Ex
p. Canbolat
[1997] 1 WLR 1569, to which we shall refer below in dealing with the substantive
arguments on these appeals, the Secretary of State had accepted that the
applicant should not be removed from the United Kingdom without her application
for asylum being determined here on its merits; but this court dealt with the
appeal as a matter of principle: see 1572D-E.
***
In
order to appreciate precisely the nature of the issues which fall for decision,
it is first convenient to set out the relevant legal materials.
THE
DOMESTIC LEGISLATION
S.1
of the
Asylum and Immigration Appeals Act 1993 defines a "claim for asylum" as
meaning "a claim made by a person... that it would be contrary to the United
Kingdom's obligations under the Convention for him to be removed from, or
required to leave, the United Kingdom", and “the Convention” as the
1951 Geneva Convention and its Protocol.
S.2 provides that nothing in the
Immigration Rules shall lay down any practice which would be contrary to the
Convention.
S.6 provides:
"During
the period beginning when a person makes a claim for asylum and ending when the
Secretary of State gives him notice of the decision on the claim, he may not be
removed from, or required to leave, the United Kingdom."
relevant:
“(1)
Nothing in
section 6 of the 1993 Act... shall prevent a person who has made a
claim for asylum being removed from the United Kingdom if -
(a)
the Secretary of State has certified that, in his opinion, the conditions
mentioned in subsection (2) below are fulfilled;
(b)
the certificate has not been set aside on an appeal under
section 3 below; and
(c)
except in the case of a person who is to be sent to a country or territory to
which subsection (3) below applies, the time for giving notice of such an
appeal has expired and no such appeal is pending.
(2)
The conditions are -
(a)
that the person is not a national or citizen of the country or territory to
which he is to be sent;
(b)
that his life and liberty would not be threatened in that country or territory
by reason of his race, religion, nationality, membership of a particular social
group, or political opinion; and
(c)
that the government of that country or territory would not send him to another
country or territory otherwise than in accordance with the Convention.
(3)
This subsection applies to any country or territory which is or forms part of a
member State [sc. of the European Union], or is designated for the purposes of
this subsection in an order made by the Secretary of State by statutory
instrument.
...
(7)
In this section "claim for asylum" and "the Convention" have the same meanings
as in the 1993 Act.”
S.3
gives a right of appeal against a certificate issued under
s.2(1), but by
s.3(2):
“A
person who has been, or is to be, sent to a country or territory to which
section 2(3) above applies shall not be entitled to bring or pursue an appeal
under this section so long as he is in the United Kingdom.”
THE
1951 GENEVA CONVENTION ON THE STATUS OF REFUGEES AND THE 1967 PROTOCOL
Article
1A of the Convention provides:
"For
the purposes of the present Convention, the term 'refugee' shall apply to any
person who . . . (2) [As a result of events occurring before 1 January 1951
and] owing to well founded fear of being persecuted for reasons of race,
religion, nationality, membership of a particular social group or political
opinion, is outside the country of his nationality and is unable or, owing to
such fear, is unwilling to avail himself of the protection of that country; or
who, not having a nationality and being outside the country of his former
habitual residence [as a result of such events], is unable or, owing to such
fear, is unwilling to return to it."
The
words in square brackets in Art.1A(2) were repealed by the 1967 Protocol, thus
removing the end-date of 1 January 1951 before which events had to be shown to
have happened which caused the asylum applicant to leave his country of
nationality. The Protocol’s preambles recite:
“Considering
that the Convention... covers only those persons who have become refugees as a
result of events occurring before 1 January 1951,
Considering
that new refugee situations have arisen since the Convention was adopted and
that the refugees concerned may therefore not fall within the scope of the
Convention,
Considering
that it is desirable that equal status should be enjoyed by all refugees
covered by the definition in the Convention irrespective of the dateline 1
January 1951”.
Article
1F of the Convention provides in part:
“The
provisions of this Convention shall not apply to any person with respect to
whom there are serious reasons for considering that:
...
(b)
he has committed a serious non-political crime outside the country of refuge
prior to his admission to that country as a refugee...”
Chapters
II (“JURIDICAL STATUS”), III (“GAINFUL EMPLOYMENT”),
and IV (“WELFARE”) confer a series of what may very broadly be
called social rights upon refugees in the country of refuge. These rights are
undoubtedly substantial; by way of example, Art.22 requires the same treatment
to be accorded to refugees with respect to elementary education as is accorded
to the State’s nationals, and Art.23 requires the same access to be given
to refugees to “public relief and assistance” as the State’s
nationals receive. In addition provisions contained in Chapter V
(“ADMINISTRATIVE MEASURES”) confer rights relating to such matters
as freedom of movement (Art.26), identity papers (Art.27), travel documents
(Art.28) and the expedition of naturalisation procedures (Art.34). It is
unnecessary to set out all these provisions. Their relevance is to a general
point made by the appellants to the effect that other means of protection
offered by France and Germany are no lawful substitute for Convention rights
because they deny all the advantages of status within the country of refuge
which the Convention itself confers.
Art.33.1
is of prime importance:
“No
Contracting State shall expel or return (
“refouler”)
a refugee in any manner whatsoever to the frontiers of territories where his
life or freedom would be threatened on account of his race, religion,
nationality, membership of a particular social group or political opinion.”
Art.38
provides:
“Any
dispute between parties to this Convention relating to its interpretation or
application, which cannot be settled by other means, shall be referred to the
International Court of Justice at the request of any one of the parties to the
dispute.”
THE
VIENNA CONVENTION ON THE LAW OF TREATIES
Art.31
of the Vienna Convention is headed
General
rule of interpretation.
It
provides in part:
“1.
A treaty shall be interpreted in good faith in accordance with the ordinary
meaning to be given to the terms of the treaty in their context and in the
light of its object and purpose.
2.
The context for the purpose of the interpretation of a treaty shall comprise,
in addition to the text, including its preamble and annexes:
(a)
any agreement relating to the treaty which was made between all the parties in
connexion with the conclusion of the treaty;
(b)
any instrument which was made by one or more parties in connexion with the
conclusion of the treaty and accepted by the other parties as an instrument
related to the treaty.
3.
There shall be taken into account, together with the context:
(a)
any subsequent agreement between the parties regarding the interpretation of
the treaty or the application of its provisions;
(b)
any subsequent practice in the application of the treaty which establishes the
agreement of the parties regarding its interpretation;
(c)
any relevant rules of international law applicable in the relations between the
parties.”
Art.32
is headed
Supplementary
means of interpretation
:
“Recourse
may be had to supplementary means of interpretation, including the preparatory
work of the treaty and the circumstances of its conclusion, in order to confirm
the meaning resulting from the application of article 31, or to determine the
meaning when the interpretation according to article 31:
(a)
leaves the meaning ambiguous or obscure; or
(b)
leads to a result which is manifestly absurd or unreasonable.”
THE
UNHCR HANDBOOK ON PROCEDURES AND CRITERIA FOR DETERMINING REFUGEE STATUS
The
Preamble to the Convention notes “that the United Nations High
Commissioner for Refugees is charged with the task of supervising international
conventions providing for the protection of Refugees, and [recognizing] that
the effective co-ordination of measures taken to deal with this problem will
depend upon the co-operation of States with the High Commissioner”. The
UNHCR Handbook was published in 1979 upon the request (as its Preface shows) of
the Executive Committee of the High Commissioner’s Programme “to
consider the possibility of issuing - for the guidance of Governments - a
handbook relating to procedures and criteria for determining refugee
status”. Paragraph 65, headed
“Agents
of persecution”
,
reads:
“Persecution
is normally related to action by the authorities of a country. It may also
emanate from sections of the population that do not respect the standards
established by the laws of the country concerned. A case in point may be
religious intolerance, amounting to persecution, in a country otherwise
secular, but where sizeable fractions of the population do not respect the
religious beliefs of their neighbours. Where serious discriminatory or other
offensive acts are committed by the local populace, they can be considered as
persecution if they are knowingly tolerated by the authorities, or if the
authorities refuse, or prove unable, to offer effective protection.”
THE
JOINT POSITION OF THE EUROPEAN UNION ADOPTED ON 4 MARCH 1996
This
document, upon which Mr Pannick for the Secretary of State placed considerable
reliance, was entered into by the Member States under Art.K.3(2)(a) read with
Art.K.1(1) of the Treaty on European Union (the Maastricht Treaty). By
Art.K.1(1) Member States are to regard asylum policy as a matter of common
interest. Art K.3(2)(a) provides:
“The
Council may -
-
on the initiative of any Member State or of the Commission, in the areas
referred to in Article K.1...
(a)
adopt joint positions...”
The
Joint Position contains these recitals:
“Having
established that the Handbook of the... UNHCR is a valuable aid to Member
States in determining refugee status;
Whereas
harmonised application of the criteria for determining refugee status is
essential for the harmonisation asylum policies in the Member States”.
Then
the Joint Position proceeds to state:
“The
guidelines set out below for the application of criteria for recognition and
admission as a refugee are hereby approved.
These
guidelines shall be notified to the administrative bodies responsible for
recognition of refugee status, which are hereby requested to take them as a
basis without prejudice to Member States’ caselaw on asylum matters and
their relevant constitutional positions.
This
joint position is adopted within the limits of the constitutional powers of the
Governments of the Member States; it shall not bind the legislative authorities
or affect decisions of the judicial authorities of the Member States.”
The
guidelines are then set out. Para. 5.1 states:
“Persecution
is generally the act of a State organ...”
Para.
5.2, which is headed
Persecution
by third parties
,
figured large in the course of argument. It reads:
“Persecution
by third parties will be considered to fall within the scope of the Geneva
Convention where it is based on one of the grounds in Article 1A of that
Convention, is individual in nature and is encouraged or permitted by the
authorities. Where the official authorities fail to act, such persecution
should give rise to individual examination of each application for refugee
status, in accordance with national judicial practice, in the light in
particular of whether or not the failure to act was deliberate. The persons
concerned may be eligible in any event for appropriate forms of protection
under national law.”
Para.
6, headed
Civil
war and other internal or generalized armed
conflicts,
states in part:
“Reference
to a civil war or internal or generalized armed conflict and the dangers which
it entails is not in itself sufficient to warrant the grant of refugee status...
In
such situations, persecution may stem either from the legal authorities or
third parties encouraged or tolerated by them, or from
de
facto
authorities
in control of part of the territory within which the State cannot afford its
nationals protection.”
THE
RESPECTIVE APPROACHES OF THE FRENCH, GERMAN AND ENGLISH COURTS TO PERSECUTION
BY NON-STATE AGENTS
On
the material before us the position in France and Germany as regards
persecution by non-State agents is as follows. Both subscribe to what has been
called the “accountability” theory of interpretation of the Geneva
Convention. The United Kingdom and, we understand, a majority of the other
contracting States (including a majority of those in Europe, together with the
United States, Canada, and Australia) subscribe to the “protection”
theory, which is also supported and advocated by the UNHCR, as para. 65 of the
Handbook shows. Put shortly, the “accountability” theory limits the
classes of case in which a claimant might obtain refugee status under the
Geneva Convention to situations where the persecution alleged can be attributed
to the State. German law requires an asylum seeker to show that he fears
persecution (on a Convention ground) by the State, or by a quasi-State
authority. If he relies on persecution by non-State agents, it must be shown to
be tolerated or encouraged by the State, or at least that the State is
unwilling to offer protection against it. The German courts hold that the
Convention has no application in cases where there is no effective State
authority, as in a situation of civil war. At p.2 of his recent advice given on
17 May 1999, Professor Hailbronner states:
“Attribution
requires that a state either supports, encourages or tolerates persecution
emanating from non-state actors, or that the state is not willing or
“able” to provide adequate protection. The “inability”
to provide necessary protection, however, cannot be interpreted in the sense of
a factual inability of a state having lost control in parts of its
territory...”
The
position in France is similar but not identical. In
Aitsegeur
[1999]
INLR 176, 187, Sullivan J at first instance summarised the position in this way:
“In
German law an applicant for asylum falls outside the Convention if there is no
de jure or de facto state authority and thus no possibility of protection. In
French law an applicant for asylum falls outside the Convention if the de jure
or de facto state authority is unable to provide protection.”
Thus
the distinct approach in France is to deny refugee status in cases where there
is a functioning State authority in the country of feared persecution, but it
is unwilling to afford protection.
The
English courts have looked at the matter quite differently. In
Adan
v Secretary of State
[1999] AC 293 their Lordships’ House had to consider the case of a Somali
national. The House held that killing and torture incidental to a clan and
sub-clan based civil war did not give rise to a well founded fear of being
persecuted within the meaning of article 1A(2) where the asylum-seeker was at
no greater risk of such ill-treatment by reason of his clan or sub-clan
membership than others at risk in the war; a “differential impact”
had to be shown. However Lord Lloyd of Berwick went on to state:
“It
was also common ground that article 1A(2) covers four categories of refugee:
(1) nationals who are outside their country owing to a well founded fear of
persecution for a Convention reason, and are unable to avail themselves of the
protection of their country... (304C)
If
category (1) were confined to refugees who are subject to state persecution,
then I can well see that such persons would, ex hypothesi, be unable to avail
themselves of state protection. On that view the words would indeed serve no
purpose. But category (1) is not so confined. It also includes the important
class of those who are sometimes called "third party refugees," i.e. those who
are subject to persecution by factions within the state. If the state in
question can make protection available to such persons, there is no reason why
they should qualify for refugee status. They would have satisfied the fear
test, but not the protection test. Why should another country offer asylum to
such persons when they can avail themselves of the protection of their own
country? But if,
for
whatever reason
,
the state in question is unable to afford protection against factions within
the state, then the qualifications for refugee status are complete. Both tests
would be satisfied. ” (305H - 306C) (emphasis added)
This
accords with other jurisprudence in the English jurisdiction. Our courts
recognise persecution by non-State agents for the purposes of the Convention in
any case where the State is unwilling or unable to provide protection against
it, and indeed whether or not there exist competent or effective governmental
or State authorities in the country in question. This is what has been called
the “protection” theory. It is, as we have said, shared by a
majority of the States signatory to the Convention and the UNHCR.
We
should say at this stage that a great deal of distinguished academic and other
material was placed before us as to the respective positions taken by France
and Germany in relation to persecution by non-State agents. It includes a
series of opinions provided for the Secretary of State by Professor Kay
Hailbronner of the University of Konstanz, an opinion of Dr Goodwill-Gill,
Professor of International Refugee Law at Oxford, a paper from Dr Reinhard Marx
of Frankfurt, and other academic writings including a detailed paper by
Professor Vermeulen and others of the University of Nijmegen Centre for
Migration Law. There are also guidelines issued by the French Judicial Affairs
Department, and some reports of case-law. We have read all these materials.
They include much information as to the background of Germany’s
interpretation of the Convention, and its association with the notion of
political persecution in that country’s constitution. There are also
documents containing some exposition of the French position. All these
materials command our respect, which we certainly acknowledge. However for
reasons which we will explain below it is neither necessary nor appropriate to
set them out
in
extenso
or
to discuss their merits.
***
THE
ISSUES IN THE CASE
We
may now turn to determine the issues arising for decision.
S.2(2)(c) of the
1996 Act is in contention in these cases. The asylum seekers contend that the
Secretary of State has in each case given an unlawful certificate because he
has misunderstood what is meant by the words in the subsection “in
accordance with the Convention”. They submit that
s.2(2)(c) requires the
Secretary of State, if he is to issue a lawful certificate, to interpret the
Convention correctly; if he gives a certificate under a false apprehension of
the meaning of any relevant Convention provision, he is subject to judicial
review on the ordinary ground of illegality. Within this broad submission,
however, there are two different strands of argument. Mr Pannick QC for the
Secretary of State takes a third and quite different position.
The
first argument
The
first argument with which we shall deal was espoused in terms by Mr Gill for
Subaskaran. It is to the effect that the Secretary of State may only lawfully
certify that
s.2(2)(c) is fulfilled if he is satisfied that the third country
in question will apply the same interpretation of the Convention as has been
vouchsafed by the English courts. As we have shown, it is plain that the
English courts have recognised that persecution by non-State agents may qualify
under the Convention, as much in cases where there is no effective State
authority as where there is. The approach by the French and German courts is,
equally plainly, at variance with the English jurisprudence.
As
it seems to us, this submission as formulated by Mr Gill puts the matter too
narrowly and is inconsistent with earlier authority of this court. (In
fairness, we should say that Mr Gill took his cue on this part of the case from
a suggestion put by a member of the court in the course of argument.) In
Kerrouche
v The Secretary of State for the Home Department
[1997] Imm AR 610 the objection taken to the Secretary of State’s
decision to return the appellant to France was that France took a narrower view
of what constituted a political crime than the courts of this country, for the
purposes of Art.1F(b), which we have set out. In that case it was submitted
that France’s interpretation would result in Art.1F(b) being given
greater scope in France than in this country, thus widening the class of
persons from whom under Art.1F Convention protection would be withdrawn. The
appeal was dismissed. Lord Woolf MR said at 615:
“The
difference in approach to the interpretation of the Convention and Protocol has
to be of such significance that it can be said that in making a decision
affecting the position of a particular asylum seeker for asylum, the third
country would not be applying the principles of the Convention. For this to be
the position, the third country's approach would have to be outside the range
of tolerance which one signatory country, as a matter of comity, is expected to
extend to another. While it is highly desirable that there should be a
harmonised approach to the interpretation of an international document such as
the Convention, until that harmonisation is achieved, one signatory must allow
another signatory a margin of appreciation before treating that other country
as being one which did not fulfil its obligations to adhere to the principles
of the Convention...
Unless
the interpretation adopted by the ´safe country’ was sufficiently
different from that in English law to be outside the range of possible
interpretations the difference need not concern the authorities in this
country.”
In
Iyadurai
[1998] INLR 472 Lord Woolf MR accepted that the reference to “margin of
appreciation” was not happily chosen given the expression’s
association with the ECHR jurisprudence.
Iyadurai
was
also concerned with the Secretary of State’s power to return an asylum
applicant to a putative safe third country, in this case Germany. The objection
was that the German courts applied a higher standard of proof to the
establishment of an asylum claim than is required here. In this jurisdiction it
was settled by the House of Lords in
Sivakumaran
[1988] AC 958 that the claimant had to show no more than “a reasonable degree of
likelihood” (per Lord Keith of Kinkel at 994) that he would be persecuted
for a Convention reason if returned to his country of origin. Though others of
their Lordships put the test somewhat differently, it is clear (certainly it
has always been accepted) that the standard of proof in question is lower than
the conventional balance of probabilities applicable in civil litigation. A
common formulation, distilled from
Sivakumaran,
is that the applicant must show a real, as opposed to a merely fanciful risk. In
Iyadurai
the
evidence was that the German courts required a “clear probability”
to be established, although there too there were differing formulations.
Dismissing the renewed application for judicial review of the Secretary of
State’s decision, Lord Woolf MR said at 479:
“It
is only if the meaning placed on the Convention by the other municipal court is
clearly inconsistent with its international meaning, that the courts in this
country are entitled to conclude that the approach of the other municipal court
involves a contravention of the Convention. It is when the approach of the
other municipal court departs from the Convention to this extent that any
difference in language between that which is adopted in the other country and
that which would be adopted in this country becomes significant. Whether the
differences are significant to this extent is in the first place under
section
2 for the Secretary of State, but if the court here comes to the conclusion
that the approach of the other municipal court is clearly inconsistent with the
Convention then this will strongly suggest that the opinion of the Secretary of
State is flawed.”
On
these authorities, the Secretary of State in the execution of his functions
under the statutes of 1993 and 1996 is not concerned merely to ascertain
whether the third country in question interprets the Convention consistently
with the English jurisprudence. That is, with respect, by no means surprising.
Quite aside from any general question of comity between the courts of signatory
States, the Convention is not an instrument whose every particular may be
expected to possess a tight, unitary interpretation. In
Adan
[1999] AC 293, Lord Lloyd said at 305C-D:
“Inevitably
the final text will have been the product of a long period of negotiation and
compromise. One cannot expect to find the same precision of language as one
does in an Act of Parliament drafted by parliamentary counsel... It follows
that one is more likely to arrive at the true construction of article 1A(2) by
seeking a meaning which makes sense in the light of the Convention as a whole,
and the purposes which the framers of the Convention were seeking to achieve,
rather than by concentrating exclusively on the language. A broad approach is
what is needed, rather than a narrow linguistic approach. But having said that,
the starting-point must be the language itself.”
This
reasoning is of a piece with a further passage from the judgment of the Master
of the Rolls in
Iyadurai
at 473, citing
Kerrouche:
“In
Kerrouche
v The Secretary of State for the Home Department
[1997] Imm AR 610 the objection which was taken in relation to France (which
failed) was that France took a narrower view of what constituted a political
crime than the courts of this country. This Court did not regard that factor as
being decisive in determining whether France was a safe third country in the
terms of the Convention. It said:
"Although
it is desirable that the approach to the interpretation of the Convention and
Protocol should be the same in all countries which are signatories, this is not
a realistic expectation in the absence of some supranational court which is
capable of giving authoritative interpretations to the provisions of the
Convention and Protocol which are binding on the signatory countries. ...the
fact that a particular country adopts an approach to the Convention which
involves a difference in emphasis in the interpretation of one or more
provisions from that which would be adopted under English law does not
necessarily involve that country being regarded as one which does not adhere to
the principles of the Convention and Protocol when, as in the case of France,
it contends that it does do so...””
We
should note also this further passage at 475:
“[T]he
Secretary of State is not required to become deeply involved in a comparative
analysis of the law of different signatories to the Convention and the third
country can be complying with the Convention even though it expresses its
approach in different language to that which would be used in this
country.”
This
latter statement affords one of the reasons why we do not think it right to
embark upon any detailed scrutiny of the scholarly materials before us relating
to the French and German positions. The Secretary of State’s duty to
direct himself correctly as to the municipal law which binds him does not
require that he undertake any deep comparative analysis of the jurisprudence of
other signatory States; accordingly, in determining whether he has or has not
applied the law correctly the court in the exercise of its supervisory
jurisdiction should not itself do so.
It
is in our judgment plain on the authorities that the question in a case such as
this is not whether the putative safe third country interprets or applies the
Convention precisely as the English courts do, and so far as Mr Gill sought to
submit the contrary we would reject his argument.
The
second argument
The
next strand in the asylum seekers’ submissions, however, possesses much
greater force. It was to the effect that the Secretary of State cannot lawfully
deploy
s.2(2)(c) unless he is satisfied that the third country in question will
apply the Convention’s “international meaning”, as it was put
by the Master of the Rolls in
Iyadurai.
Other expressions were used in the course of argument, such as the
Convention’s “core values”. The underlying notion is that the
essential classes of case covered by Art.1A(2) cannot be the subject of
legitimate disagreement.
On
the face of it, however, this is not a straightforward concept to apply. In the
Convention we are dealing with an objective legal text imposing compulsory
obligations upon its signatories. One might suppose that there is no aspect of
its interpretation which may properly be a matter of legitimate disagreement.
Yet this court has held in
Kerrouche
and
Iyadurai
that
differences in approach to the Convention’s application adopted by other
States, less favourable to the asylum seeker than the approach taken here, did
not on the facts of those cases suffice to condemn the Secretary of
State’s decisions to return the applicants to the countries in question.
Equally, those authorities demonstrate that there may exist a class of case in
which the third country’s approach to the Convention lies outside its
“international meaning” or “outside the range of tolerance
which one signatory country, as a matter of comity, is expected to extend to
another”. Where is the dividing line to be found between those instances
where the third country’s application or interpretation of the Convention
falls beyond this range of tolerance, or violates the treaty’s
international meaning, and those where it does not? The difficulty is perhaps
exemplified in a dictum of Buxton LJ in
Iyadurai
at
486D:
“It
is not possible for a national court to determine a single interpretation of
the Convention that binds all other countries. The question for the English
jurisdiction, in a case where the likely conduct of a court in a third country
is in issue, is whether the decision of that court will be contrary to the
terms of the Convention.”
This
with respect begs the question, what amounts to a decision which is contrary to
the terms of the Convention.
In
our judgment a distinction of principle falls to be drawn between the
interpretation
of
the Convention and its
application.
The duty of the Secretary of State, in performance of his function under
s.2(2)(c) of
the Act of 1996, is to examine the practice in the third country
in question in order to decide (a) whether it is consistent with the
Convention’s true interpretation, and (b) whether, even if so consistent,
it nevertheless imposes such practical obstacles in the way of the claimant as
to give rise to a real risk that he might be sent to another country otherwise
than in accordance with the Convention. (a) is a matter of law; and if the
Secretary of State mistakes the law, he is reviewable on illegality grounds as
surely as if he erred in the construction of a municipal statute. (b) is a
matter of fact; and the Secretary of State’s decision upon it therefore
falls to be reviewed only upon
Wednesbury
grounds,
although the test is modified by the need for “anxious scrutiny” in
asylum cases: see
Ex
p. Bugdaycay
[1987] AC 514, per Lord Bridge of Harwich at 531, and in the particular context of
s.2(2)(c)
Ex
p.
Canbolat
[1997] 1 WLR 1569 at 1579A-C, and
Iyadurai
at
484B-C per Buxton LJ.
The
case of
Canbolat,
decided in this court, is in this context instructive. The complaint was that
there was material to show that French officials, charged with the duty of
considering asylum claims, had persistently ignored such claims or failed to
deal with them properly. Lord Woolf MR giving the judgment of the court
referred to
s.2(2)(c) of
the Act of 1996 and said:
“The
language of the condition is unqualified. This is the statutory test. It is a
test imposed as a requirement of overriding the protection which would
otherwise be provided by
section 6 of
the Act of 1993. Clearly it is necessary
to treat the test as not being totally unqualified. It must be subject to the
implication that it is permissible to grant a certificate when there exists a
system which will, if it operates as it usually does, provide the required
standard of protection for the asylum seeker. No country can provide a system
which is 100 per cent effective. There are going to be aberrations. All that
can be expected and therefore all that Parliament could have intended should be
in place prior to the grant of a certificate was a system which can be expected
not to contravene the Convention. What is required is that there should be
´no real risk that the asylum seeker would be sent to another country
otherwise than in accordance with the Convention’”. (1577G-H).
The
court added at 1579H:
"It
is also important to bear in mind that it is for the Secretary of State to
evaluate the material. If the Secretary of State could properly come to the
decision which he did on that material, then this court cannot intervene".
Canbolat
was
an “application” case; the judicial review went to the Secretary of
State’s appreciation of the question whether on the facts French practice
gave rise to the “real risk” to which the court referred - (b)
above. There was no suggestion that on the relevant facts French domestic law
espoused an incorrect interpretation of the Convention; that would have engaged
(a) above.
Iyadurai
was
also an “application” case. The Convention does not prescribe the
standard of proof which an asylum seeker must meet in order to establish his
claim. It is for the signatory States to evolve and apply their own legal
procedures, including such matters as the standard of proof, for the
determination of asylum claims in accordance with the Convention’s true
or “international” interpretation. Consistently with the reasoning
in
Canbolat,
if the Secretary of State concluded that those procedures in any given case
were such as to breach the “real risk” test he would no doubt
decline to certify. Where he does certify and the certificate is impugned on
the footing that he ought to have concluded that the “real risk”
test was breached, the court by judicial review will supervise his decision on
what may be called the enhanced
Wednesbury
basis,
in line with
Bugdaycay
and
its application in the later cases.
Kerrouche
as we have said was concerned with the sense given by the French authorities to
the notion of a political crime for the purpose of Art.1F(b) which, where it
applies, deprives the refugee of the Convention’s protection.
“Political crime” is not defined in the Convention. It is an
expression which is capable of a range of meanings, as the jurisprudence in
extradition cases demonstrates. In our judgment here, too, it is for the
signatory States to conclude as a matter of fact what they will regard as
amounting to such a crime. The Secretary of State in deciding whether to grant
a certificate in a case where there is material to show that the third country
in question will or may treat the claimant as a political criminal, will of
course examine the factual material available and arrive at a pragmatic
judgment as to whether or not the approach taken by the third country lies
within a reasonable range, bearing in mind, no doubt, that local conditions may
promote a more, or less, restrictive sense of the expression “political
crime”. Again his decision would fall to be supervised on the enhanced
Wednesbury
basis.
Kerrouche,
then, also falls to be regarded as an “application” case.
In
all these instances, and no doubt others could be multiplied, both the
Secretary of State and our courts will accord a proper respect to the system
and practice of the third country in question, subject in the case of the
Secretary of State to his duty to see that the “real risk” test is
not breached, and in the case of the courts to their duty to exercise a
secondary judgment upon the same issue. There is, if not a margin of
appreciation, at any rate a margin of discretion enjoyed by the signatory
States in their application of the Convention.
But
they must
apply
the
Convention. If a signatory State were to take a position which was as a matter
of law at variance with the Convention’s true interpretation, and act
upon it, it could not be regarded as a safe third country: not merely because
the “real risk” test was breached (though it certainly would be)
but because in the particular case the Convention was not being applied at all.
The essence of the Convention’s protective measures is to be found in
Art.1A(2), which defines “refugee” (and in the prohibition of
refoulement
in
Art.33). The scope of the definition, which did not fall to be considered in
Canbolat,
Kerrouche
or
Iyadurai,
must be a matter of law, not fact. Otherwise the protection offered by the
Convention would in effect be reduced to a discretionary exercise by the
signatory States. But the Convention’s very purpose is plainly to afford
international protection to persons falling within objectively defined classes.
And the Vienna Convention, whose relevant provisions we have cited, would be
set at nought. Its provisions imply that every treaty falling within its scope
has to be interpreted in accordance with objective canons of construction. The
jurisprudence in the highest courts of Canada, Australia, and England in
dealing with the meaning of “particular social group” within
Art.1A(2) has consistently treated the question as one of legal principle: see
Chan
v Canada
[1995]
3 RCS 593 (Supreme Court of Canada),
A
v Minister for Immigration and Ethnic Affairs
(1997)
142 ALR 331 (High Court of Australia), and
Shah
[1999] 2 WLR 1015 (House of Lords).
The
notion of a “range of possible interpretations”, an expression
deployed in
Kerrouche,
is apt to an “application” case. But where what is in question is
the scope of Art.1A(2), which as we have said is a matter of law, the
expression needs to be treated with care. There may be - indeed has been -
dispute as to the nature and gravity of ill-treatment required to be shown to
constitute “persecution” (as to which Professor Hathaway’s
writings have rightly been regarded by our courts as offering considerable
illumination). What may be regarded as persecution is likely to vary, to some
extent at least, from time to time and place to place. There may be dispute as
to whether a particular set of beliefs and practices constitute a
“religion” for the purposes of Art.1A(2). Here also there cannot be
a rule which is entirely set in stone. Even such disputes, though they touch
Art.1A(2), may be regarded as going to the application of the Convention. But
the identification of the essential classes of person entitled to the
Convention’s protection remains, categorically, a matter of law.
Because
the scope of the definition of “refugee” in Art.1A(2) is a matter
of law, it is in our judgment not appropriate to investigate the reasons of
history or culture why some States - here, Germany and France - adopt one
construction and the courts of the United Kingdom (and other signatory States)
adopt another. This involves no disrespect to the French and German
jurisdictions. In
Iyadurai
the
Master of the Rolls (in a passage we have already set out), citing
Kerrouche,
referred to “the absence of some supranational court which is capable of
giving authoritative interpretations to the provisions of the Convention and
Protocol which are binding on the signatory countries”. That being the
position, if the Secretary of State gives a certificate in any case where the
scope of Art.1A(2) is in question, the courts of this country have no choice
but to arrive at an authoritative interpretation themselves. If they did not do
so, they would abrogate their elementary responsibility to supervise the
Secretary of State’s decisions for error of law: their duty here is the
same as where the Secretary of State’s appreciation of purely municipal
provisions is in question. It is true that Art.38 of the Convention provides
for references to be made to the International Court of Justice at the Hague.
We understand that no such reference has ever been made. In any event it seems
clear that (in contrast to the position under Art.234, formerly 177, of the
Treaty of Rome in relation to the law of the European Union) the court has no
power itself to refer, whether at the request of a party or of its own motion.
In these circumstances our courts are bound to find the true interpretation of
Art.1A(2) for themselves, and to apply it in the exercise of their supervisory
jurisdiction of decisions arrived at by the Secretary of State touching
s.2(2)(c) of
the Act of 1996.
From
all these considerations it follows that the issue we must decide is whether or
not, as a matter of law, the scope of Art.1A(2) extends to persons who fear
persecution by non-State agents in circumstances where the State is not
complicit in the persecution, whether because it is unwilling or unable
(including instances where no effective State authority exists) to afford
protection. We entertain no doubt but that such persons, whose case is
established on the facts, are entitled to the Convention’s protection.
This seems to us to follow naturally from the words of Art.1A(2): “... is
unable or, owing to such fear, is unwilling to avail himself of the protection
of that country”; and this involves no technical or over-legalistic
reading of the provision. This interpretation is supported by the approach
taken in paragraph 65 of the UNHCR Handbook. We have described the
Handbook’s genesis, to which we attach some importance. While the
Handbook is not by any means itself a source of law, many signatory States have
accepted the guidance which on their behalf the UNHCR was asked to provide, and
in those circumstances it constitutes, in our judgment, good evidence of what
has come to be international practice within Art.31(3)(b) of the Vienna
Convention.
This
view of Art.1A(2) is sought to be contradicted by the proposition that the
historical
matrix
of
the Geneva Convention shows that the evil it was designed to confront was that
of persecution by the State. Certainly it is plain that in the years
immediately following the Second World War - the Convention was made in 1951 -
State persecution was perceived as a terrible vice which fell to be countered
by the civilised international community: witness not only the Geneva
Convention, but also the European Convention on Human Rights and Fundamental
Freedoms, the Universal Declaration of Human Rights, and the very institution
of the United Nations. But this argument as to the scope of Art.1A(2) is in our
judgment deprived of all its force by the 1967 Protocol to the Convention,
whose preambles we have set out. It is clear that the signatory States intended
that the Convention should afford continuing protection for refugees in the
changing circumstances of the present and future world. In our view the
Convention has to be regarded as a living instrument: just as, by the
Strasbourg jurisprudence, the European Convention on Human Rights is so
regarded. Looked at in this light, the Geneva Convention is apt unequivocally
to offer protect against non-State agent persecution, where for whatever cause
the State is unwilling or unable to offer protection itself.
The
argument for the Secretary of State
Mr
Pannick QC for the Secretary of State urges what is altogether a different
position. He submitted that where (as in these cases) the third country in
question is a Member State of the European Union, the Secretary of State cannot
be criticised for treating it as a safe destination for the purposes of
s.2(2)(c)
whatever
its
approach to persecution by non-State agents, provided that it is consistent
with the terms of the Joint Position of the Council of the European Union,
whose relevant terms we have set out. He was at pains to emphasise that his
case was not that the positions adopted by France and Germany were necessarily
correct, or in any way “preferable” to the stance of this
country’s courts. He submitted that so far as the court was concerned to
find an “irreducible core minimum” (as it was put in argument) of
the rights which the Convention guaranteed, such a minimum is recognised and
vouchsafed by the Joint Position, in particular by reference to para. 5(2)
which we have cited.
The
Joint Position, which was referred to in
Adan
in
the House of Lords, commands respect as an attempt by the Member States of the
European Union to agree, at least, a common base position for the
Convention’s application. But in our judgment it cannot bear the weight
placed upon it by Mr Pannick in the context of the Secretary of State’s
duty in relation to
s.2(2)(c) of
the Act of 1996. First, it is clear from the
terms of Art.K of the Maastricht Treaty that such joint positions are not taken
within any area of Community legal competence. There is thus no question of the
United Kingdom being bidden by Community law to apply or adopt the Joint
Position in relation to the Secretary of State’s discharge of his
responsibilities under
s.2 of
the Act of 1996. Nor, in fairness, did Mr Pannick
submit so much. Secondly, the Joint Position cannot in our judgment be treated
as an agreement or instrument for the purpose of Art.31(2)(a) or (b) of the
Vienna Convention, nor as a subsequent agreement within Art.31(3)(a), nor yet
as significant evidence of State practice for the purpose of Art.31(3)(b). In
truth, it constitutes an agreement to disagree. There is no consensus as to the
position relating to persecution by non-State agents. The extent of the Member
States’ agreement as to the substance of Convention rights is found in
para.5(1), “Persecution is generally the act of a State organ”, the
opening words of para.5(2), “Persecution by third parties will be
considered to fall within the scope of the Geneva Convention where it is based
on one of the grounds in Article 1A of that Convention, is individual in nature
and is encouraged or permitted by the authorities”, and para.6,
“Reference to a civil war or internal or generalized armed conflict and
the dangers which it entails is not in itself sufficient to warrant the grant
of refugee status”. The first two of these references represent positions
from which, with deference, no remotely reasonable interpretation of the
Convention could depart. The third, consistent as it is with the decision of
their Lordships’ House in
Adan,
takes matters no further forward for present purposes.
In
reply Mr Blake QC cited
Antonissen
[1991] 2 CMLR 373, a decision of the European Court of Justice, to support the
proposition that “political agreements” between Member States are
strictly irrelevant to the proper interpretation of subordinate Community
instruments. In a helpful letter submitted to the court after the close of
argument Mr Pannick countered this with other authority. In our judgment it is
unnecessary to enter into this secondary debate. Leaving aside the obvious
point that the Convention is not a measure of Community legislation, we are
clear that the Joint Position cannot in any event assist Mr Pannick. It states
no more than a minimum necessary stance. The error in Mr Pannick’s
argument is that it treats what is
necessary
as if it were
sufficient
for the purpose of ascertaining the true interpretation of Art.1A(2) of the
Convention. The argument might be right if the Joint Position possessed such a
status, whether by virtue of Community law or the Vienna Convention, that the
courts of the signatory States (at least within the European Union: though that
would be problematic - the Member States of the European Union are a minority
of the States signatory to the Convention) were obliged to treat it as an
authoritative text as to what Art.1A(2) requires. But the very terms of the
Joint Position themselves disavow any such status: the guidelines are
“without prejudice to Member States’ caselaw on asylum
matters” and the Joint Position “shall not... affect decisions of
the judicial authorities of the Member States”.
So
far as Mr Pannick sought to uphold the Secretary of State’s certificates
on wider grounds, his argument falls foul of the distinction between
interpretation and application which we have explained. Mr Pannick sought to
rely on the passage in
Canbolat
at
1579H which we have set out: “If the Secretary of State could properly
come to the decision which he did on that material, then this court cannot
intervene". But once it is clear that the question is as to the scope of the
Art.1A(2) definition of “refugee”, no appeal to the
Wednesbury
principle
is in point; the court is dealing with law, not fact. Mr Pannick’s
argument, elegant as it was, confuses the two.
The
judgments below
In
the Divisional Court in
Lul
Adan
.
Rose LJ said (transcript, p.15B-H):
“The
Secretary of State’s certificate was... one which he was entitled to
issue because he was entitled to take the view that the German approach is a
permissible interpretation of the Convention. He was entitled to rely on
Professor Hailbronner’s views...
In
my view... it is not shown that the meaning placed on the Convention by the
German court is ´clearly inconsistent with its international
meaning’ (per Lord Woolf in
Iyadurai
479A & C). There is, to put it no higher, an international division of view
with Germany and other European States in an apparent minority position. Canada
probably represents a majority. England is in neither of these camps. This, as
it seems to me, provides no basis for concluding that the German approach is
´clearly inconsistent with the Convention’.”
With
respect the first part of this reasoning, like Mr Pannick’s argument,
treats the case as if it fell to be decided by reference to the
Wednesbury
principle.
The second part proceeds upon the premise that there may be a range of
permissible views as to the scope of the classes of persons who by Art.1A(2)
are in principle to be treated as refugees. But this in our judgment is
erroneous for the reasons we have given.
In
Aitsegeur
Sullivan
J was bound to dismiss the application unless he was able to distinguish the
Divisional Court’s decision in
Lul
Adan
or was prepared to depart from it. In fact he distinguished it:
“While
there cannot be persecution on the ´accountability’ view if there is
no state authority to be held accountable because of civil war, where there is
a state authority, but it is unable to provide effective protection, it may
nevertheless be held accountable even by adherents to the
´accountability’ view, as shown by the German Federal Administrative
Court decision decisions cited by Vermeulen and Professor Hailbronner.”
(transcript, 30B-D)
While
in our judgment
Aitsegeur
was
in truth indistinguishable from
Lul
Adan
,
Sullivan J arrived in the event at the right result. However he did so by a
route which in part at least deployed a
Wednesbury
approach:
“In
the present case there is no equivalent to Professor Hailbronner’s report
to explain, or to justify, the approach to third party persecution adopted
under French law...
Having
considered the material before the Secretary of State, I have been unable... to
find any justification for the proposition that in the absence of a civil war
where there is still an ´official authority’ or a
´state’, the inability of that authority or state to provide
protection from persecution by third parties cannot found a claim to refugee
status under the Convention...
On
the material before me I am satisfied that the French approach to third party
persecution in circumstances where there is still a state, but it is unable to
offer protection, is clearly inconsistent with the international meaning of the
Convention; or to use the phraseology in
Kerrouche,
it is ´outside the range of possible interpretations’.”
(31E-33G)
Given
the use of the expression “range of possible interpretations” in
Kerrouche,
it is in fairness unsurprising that Sullivan J reasoned in the way he did. We
have already made observations about the notion of such a possible
“range” in a case touching Art.1A(2). There is, on the
Convention’s proper “international” interpretation, no space
for differing views as to the entitlement to protection of persons who can
demonstrate a well-founded fear of persecution by non-State agents and who have
no access to State protection.
Other
means of protection
We
have already referred to Mr Pannick’s argument that even if we were to
conclude that the Secretary of State may not lawfully be satisfied that Germany
and France are safe third countries in light of their approach to the
Convention, nevertheless he is entitled to be so satisfied on the footing that
those countries offer alternative forms of protection in non-State agent cases
which are in fact adequate when measured against the Convention’s
requirements. We propose to deal with this aspect of the appeals very shortly,
since (as we indicated in the course of argument) it seems to us clear that the
efficacy of these other measures cannot sensibly be judged otherwise than in
the setting of a concrete case.
It
is clear that there exist procedures, both in France and Germany, to which an
unsuccessful asylum seeker may potentially have access, whereby he may avoid
removal to the country where he asserts a fear of persecution if he is able to
satisfy various conditions. Mr Pannick submitted that these procedures
themselves sufficed, or at least might suffice, to show that France and Germany
would not send an asylum claimant to another country “otherwise than in
accordance with the Convention” within the meaning of
s.2(2)(c). One of
the arguments advanced by the asylum seekers to refute Mr Pannick’s
contention (and there were several) was that even if all else were equal, these
other procedures do not afford anything like the basket of social rights within
the country of refuge which are guaranteed to a refugee by the Convention in
those measures contained in Chapters II, III, IV and V which we have
summarised: indeed some of the alternative procedures in question would appear
to deny access to the most basic social provision to the claimant who brings
his case within them.
In
our judgment the Secretary of State, in administering
s.2(2)(c) of
the Act of
1996, is only concerned with the question whether there exists a real risk that
the third country will
refoule
the
putative refugee in breach of the Convention: that is, in breach of Art.33.
This follows, in our judgment, from the words of the subsection. The Secretary
of State is not concerned to see that the claimant will or may enjoy the social
rights to which we have referred if he is permitted to stay in the third
country. We would not, however, exclude the possibility that such a claimant
might in the third country be faced with so destitute an existence, if he were
wholly excluded both from the right to work and from any access to social
provision, and possessed no other resources upon which he might call, that he
would be driven to return to the country of feared persecution even though he
had successfully claimed such rights of residence in the third country as are
offered by these other forms of protection.
Any
deeper judgment as to the efficacy of the other forms of protection can only be
arrived at, as we have said, where it arises as a live issue in a concrete case.
CONCLUSION
For
the reasons we have given, the Secretary of State was in our judgment not
entitled to give the certifcates which he did in these cases.
We
apprehend that no formal order is required by way of relief, but if (in order
to preserve the position in relation to any possible appeal) it is desired that
an order be made we would be prepared to grant a declaration in the terms of
the foregoing paragraph.
Order:
Appeal allowed with costs in case of Adan.
Appeal
dismissed with costs in cases of Subaskaran and Aitseguer. Declaration on
terms stated in judgment. Legal Aid Assessment.
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