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England and Wales High Court (Administrative Court) Decisions |
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You are here: BAILII >> Databases >> England and Wales High Court (Administrative Court) Decisions >> XY, R (On the Application Of) v The Crown Court sitting at Newcastle & Ors [2016] EWHC 1872 (Admin) (27 July 2016) URL: http://www.bailii.org/ew/cases/EWHC/Admin/2016/1872.html Cite as: [2016] EWHC 1872 (Admin) |
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QUEEN'S BENCH DIVISION
DIVISIONAL COURT
LEEDS DISTRICT REGISTRY
HHJ MORELAND SITTING AT NEWCASTLE CROWN COURT
Strand, London, WC2A 2LL |
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B e f o r e :
and
MRS JUSTICE NICOLA DAVIES
____________________
The Queen (on the application of XY) |
Claimant |
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- and - |
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(1) The Crown Court sitting at Newcastle (2) The Chief Constable of Northumbria (3) The Director of Public Prosecutions |
Defendants |
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- and – |
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26 Interested Parties |
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Mr Alan Payne (instructed by Legal Department of Northumbria Police) for the 2nd Defendant
Mr Tom Little (instructed by North East Area Complex Casework Unit of CPS) for the 3rd Defendant
Ms Arabella MacDonald (instructed by Shaw Graham Kersh) for the 6th and 21st Interested Parties
Mr David Hislop QC and Ms Sarah Mallett (instructed by Crowe Hamble Wesencraft Solicitors) for the 9th Interested Party
Ms Hannah Lynch (instructed by KK & Co Solicitors) for the 11th Interested Party
Mr Brian Hegarty (instructed by David Gray Solicitors LLP) for the 19th Interested Party
Hearing dates: 6th and 7th July 2016
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Crown Copyright ©
Lord Justice Treacy:
Introduction
"At the heart of the case (if the Administrative Court has jurisdiction to adjudicate on the merits of the claim) is whether it was lawful to permit the identity of the claimant to be disclosed to the defendants in the criminal trials. This issue is arguable."
The grounds
"Re-cast summary of grounds for Judicial Review
Relating to D1
1. The ruling of the Judge on 3/3/16 to refuse to grant PII in respect of C's identity was a ruling which the Judge did not have jurisdiction to make, and was therefore ultra vires, because in breach of impositions made by s.16 CPIA 1996 as properly interpreted or implicit thereto, she did not afford C an opportunity to make representations to her before making the ruling she did.
2. The ruling of the Judge of 30/3/16 to refuse to hear from C and to refuse to rule her ruling of 3/3/16 meant that the lack of jurisdiction she had to make the order of 3/3/16 was not corrected in a review, as it should have been. Her refusal was irrational and unlawful.
3. The Judge's refusal to hear from C on 30/3/16 breached C's legitimate expectation.
4. The application considered by the Judge at the hearings leading up to and culminating in the ruling of 3/3/16 was so defective as to independently make ruling the Judge thereby made ultra vires and quashable for want of jurisdiction.
5. The Judge erred in law in that she directed herself not to conduct a balancing exercise when the same is required by R. v. Turner and R (WV) v. CPS). This similarly made the Judge's rulings ultra vires and quashable for want of jurisdiction.
6. The Judge's rulings breached C's rights under Article 6(1) ECHR with the consequence that his rights under Articles 2, 3 and 8 ECHR will be infringed.
Relating to D3
7. In deciding on 3/3/16 to continue with the Trials, D3 did not take all relevant matters into account in that it gave no or no adequate consideration to the prospects of convictions therein given C's allegations and conduct.
8. In circumstances where C had been deprived of an opportunity to make representations to the Court, D3 was independently obliged to consult with C prior to making the said decision.
9. Further, in making the said decision, D3 failed to have due regard to C's rights under Articles 2, 3 and 8 ECHR."
The judge's rulings
a) She was not satisfied that Miss Smith had any standing in the current proceedings. She said that section 16 CPIA did not apply to applications made under Rule 15.3.
b) She was unaware as to whether the application had been served on XY as required under rule 15.3 but said it was plain that he knew about the hearing of the application and that she had considered representations made by him on 3rd March. Since there was no new material as to risk and since Miss Smith had said that Mr Lane was best placed to tell her about the risks to XY, she would not reopen the proceedings to permit XY to revisit the question of risk.
c) She rejected a submission that XY had a legitimate expectation that he would be permitted to give evidence on 30th March because the judge had indicated on 29th March that she would hear submissions.
d) The judge stated that she had assessed the risk to XY to be extremely high on the basis of material put before her at the hearing on 3rd March. She doubted that she could envisage any greater level of risk, but said that the level of risk was not determinative of the PII application. Accordingly she adhered to the ruling of 3rd March.
Submissions relating to the judge's ruling
"In relation to the jurisdiction of the Crown Court, other than its jurisdiction in matters relating to trial on indictment, the High Court shall have all such jurisdiction to make mandatory, prohibiting or quashing orders as the High Court possesses in relation to the jurisdiction of an inferior court."
No counsel on behalf of the claimant or the interested parties sought to contradict the defendants' position that ordinarily the decisions of HHJ Moreland of 3rd and 30th March 2016 would not come within the High Court's supervisory jurisdiction. Such a concession was correctly made in the light of decisions such as R v Smalley [1985] AC 622, R v Manchester Crown Court, ex parte Director of Public Prosecutions [1993] 1 WLR 1524, and Re: Ashton & ors [1993] 97 Cr App R 203. We agree that on the face of it the decision to be made by HHJ Moreland was of a type which is not amenable to judicial review.
"Where –
(a) an application is made under section 3(6), 7A(8), 8(5), 14(2) or 15(4),
(b) a person claiming to have an interest in the material applies to be heard by the court and,
(c) he shows that he was involved (whether alone or with others and whether directly or indirectly) in the prosecutor's attention being brought to the material, the court must not make an order … unless the person applying under paragraph (b) has been given an opportunity to be heard."
He submitted that sub-section (c) should be given a broad meaning and that in the circumstances the claimant fell within section 16. On this basis the failure by the judge to hear the claimant was a fundamental defect which invalidated the judge's order. It enabled the matter to be challenged by judicial review.
"In the determination of his civil rights and obligations or of any criminal charge against him, everyone is entitled to a fair and public hearing within a reasonable time by an independent and impartial tribunal established by law."
Interested parties' submissions
The third defendant's submissions
"There is expressly excluded from the jurisdiction of this Court the Crown Court's jurisdiction in matters relating to trial on indictment. It is to be noted that the section does not say "The way in which the jurisdiction is exercised" or any formula to similar effect. Indeed, had it been Parliament's intention that a Crown Court purporting to exercise a jurisdiction which it did not have should be subject to judicial review by this Court, one would have expected Parliament to say so."
He submitted that the present case related to a decision as to the admissibility of evidence since it concerned the defendants' ability to obtain and rely on evidence at their trial. It was a decision of a type akin to that pertaining in Chester Crown Court since that too was a decision on the admissibility or non-admissibility of evidence. Accordingly, this Court should follow Chester and hold that section 29(3) precluded a challenge to the judge's decision.
Conclusions in relation to the first defendant
"Even when the informant has participated, the judge will need to consider whether his role so impinges on an issue of interest to the defence, present or potential, as to make disclosure necessary."
The claimant's case against the third defendant
The Law
"Article 2
Everyone's right to life shall be protected by law. No one shall be deprived of his life intentionally save in the execution of a sentence of a court following his conviction of a crime for which this penalty is provided by law.
Deprivation of life shall not be regarded as inflicted in contravention of this Article when it results from the use of force which is no more than absolutely necessary:
(a) in defence of any person from unlawful violence;
(b) in order to effect a lawful arrest or to prevent the escape of a person lawfully detained;
(c) in action lawfully taken for the purpose of quelling a riot or insurrection.
Article 3
No one shall be subjected to torture or to inhuman or degrading treatment or punishment.
…
Article 8
Everyone has the right to respect for his private and family life, his home and his correspondence.
There shall be no interference by a public authority with the exercise of this right except such as it is in accordance with the law and is necessary in a democratic society in the interests of national security, public safety or the economic well being of the country, for the prevention of disorder or crime, for the protection of health or morals, or for the protection of the rights and freedom of others."
Authorities
"19. The prosecutor has a continuing duty to keep the future of the prosecution under review. It is possible, albeit, perhaps unlikely, that circumstances could change so that adequate protection could for some reason not be provided. The prosecutor would then have to reconsider the position. The issue in this case has been as to the extent of the prosecutor's obligation to take the risk to the claimant and his family into account …
20. Both Articles 2 and 3 of the European Convention of Human Rights and Fundamental Freedoms are in play … Both Articles are relevant because the claimant and his family are at risk of death, or of reprisals involving serious injury short of death.
21. It was common ground that Articles 2 and 3 each placed both positive and negative obligations upon the State. Thus, for example, in a positive obligation case, the citizen need only show that the State has not done all that could reasonably be expected of it to avoid a real and imminent threat to life: Osman v. United Kingdom [1999] 29 EHRR 245. But the present case is one in which the State's negative obligations arise as well. By continuing with the prosecution it is said that the claimant will be exposed to a real risk of harm, and it is said that whatever his conduct may have been that gives rise to this risk is irrelevant (see Chahal, to which I shall refer in more detail in a moment).
22. Thus the negative obligation is of a more absolute nature than the positive obligation. But, in my judgment, it is necessary to define accurately the nature of the negative obligation in this case. It is not simply not to prosecute the claimant because of the risk to life et cetera, rather it is not to prosecute unless the prosecutor is satisfied that the risk can be adequately met. Of this, the prosecutor was satisfied …
25. There are two imponderables about the level of risk in this case: (1) what it is at the moment; and (2) the extent to which it will be increased if the trial proceeds. However, it cannot be doubted that whatever the answer to these imponderables, the claimant and his family will be under very serious risk if the defence statement is disclosed.
26. What is the obligation of the prosecutor? In my judgment, it is to be aware that proceeding with the trial is going to create a significant risk, or increased risk to life or limb of the defendant and his family. E should then ask himself, what measures can be taken to minimise that risk. In this case that involved obtaining the necessary information from NCIS and the Prison Service. That he has done. Once satisfied that an adequate level of protection could be provided, his obligation is met. It is not the prosecutor's duty but the duty of others to implement the appropriate measures. Mr McGill, in my judgment, did what was required of him in the present case.
27. What are the appropriate measures cannot be ascertained until NCIS has been able to conduct a full risk assessment. This involves discussion with, and the cooperation of the claimant in the first place, and then any other members of the family whom it is felt necessary to bring under the umbrella of protection. There are a number of different types of protection that NCIS can be put in place depending on the nature and the gravity of the perceived threat. Some are more extreme than others, ranging from a completely new identity to the authorities simply keeping an alert eye on the situation.
28. The decision-maker in the position of Mr McGill can do no more than rely on information form responsible authorities. In this case, he got it from NCIS and the Prison Service. For the decision to be impugned it would, in my judgment, be necessary to show either that the inquiries he made were inadequate or that there would not be adequate protection. The decision-maker pointed out that the problem in this case was not unfamiliar to those engaged in law enforcement. He will have been aware of the range of available possibilities, such as safe houses and so forth.
29. The issue in the end comes down to whether the decision-maker has acted lawfully. In my judgment, he has because he was aware of the risk and satisfied himself that steps should be taken by others to meet it. Should the appropriate steps not be taken, then those who fail to take them might themselves be open to judicial review; but that is, if ever, for another day …
33. In R v Director of Public Prosecutions ex parte Kebilene [1999] 3 WLR 972, at 975, Lord Steyn referred to the undesirability of satellite litigation in the conduct of criminal proceedings. He said that absent dishonesty or exceptional circumstances, a decision of the Director of Public Prosecutions to consent to a prosecution is not amenable to judicial review. I respectfully agree that it is only in the most exceptional circumstances, a decision to prosecute or continue a prosecution should be open to review by the courts. I would certainly not regard it as appropriate to use review of a decision of the prosecutor as a device to circumvent the prohibition in section 29(3) of the Supreme Court Act 1981, when the factual issue is effectively the same. I do, however, regard the circumstances prescribed by the present case as exceptional, a least to the point of providing the court with jurisdiction to entertain the application."
" … In any event there will have been expert assessments of weight and balance which are so conspicuously within the professional judgment of the statutory decision-maker that there will very rarely be legal space for a reviewing court to interfere."
Evidence
"I think the important thing from the police viewpoint is that XY be told that the prosecution have/are getting the material from the IPCC that is being assessed for disclosure. He/she needs to be told that it is likely that the material will be revealed to the defence solicitors and that it is likely to be edited.
Nevertheless, the disclosure may lead to defendants being able to identify who XY is even if his/her name etc is edited out.
He also needs to understand that the Prosecution will apply to the court to conceal XY's identity but that the trial judge may decide that the defence need to be told this. If we are ordered to disclose his identity XY will be told of this.
Once the defence have XY's details they may wish to speak with him/her as a potential witness. Any contact could be arranged through the police to avoid XY being contacted directly but if XY did not co-operate his/her contact details would have to be given directly to the defence solicitors. In the event he/she was identified as a potential witness by the defence, his attendance at court may be required and facilitated by a summons or witness warrant in the event he failed or refused to attend at trial voluntarily."
The case of the claimant and the interested parties
Ground Seven
Ground Eight
Ground Nine
The case of the third defendant
Ground Seven
Ground Eight
Ground Nine
Conclusion
i) Did Miss Spence properly identify the risk to XY and his family?
ii) Did Miss Spence satisfy herself that steps could be taken by others to meet the risk?
The responsible authorities provided relevant information to the decision maker which permitted her to properly identify the risk. She was aware of the risk and took steps over a period of time and since to ensure that a system existed whereby the risk could be minimised and/or managed. In our view the steps taken by the prosecutor were appropriate, reliance was placed upon relevant information. A system of adequate protection to cover events from low to high risk existed sufficient to satisfy the Article 2 and 3 obligations of the State.
Decision