Judgments

Decision Information

Decision Content

T-1640-09

2012 FC 1162

Canadian Human Rights Commission (Applicant)

v.

Richard Warman, the Attorney General of Canada and Marc Lemire (Respondents)

and

British Columbia Civil Liberties Association, Canadian Civil Liberties Association, Canadian Association for Free Expression Inc., Canadian Free Speech League, African Canadian Legal Clinic, League for Human Rights of B’nai Brith Canada, Canadian Jewish Congress and Friends of Simon Wiesenthal Centre For Holocaust Studies (Interveners)

Indexed as: Canada (Canadian Human Rights Commission) v. Warman

Federal Court, Mosley J.—Toronto, December 13, 2011; Ottawa, October 2, 2012.

Editor’s Note: This decision has been affirmed in part on appeal (A-456-12, 2014 FCA 18). The reasons for judgment, handed down January 31, 2014, will be published in the Federal Courts Reports.

Human Rights — Judicial review of Canadian Human Rights Tribunal decision determining that respondent Lemire contravening Canadian Human Rights Act (CHRA), s. 13 by communicating hate messages over Internet, but declining to issue remedial order — Tribunal finding that restrictions imposed by CHRA, ss. 13(1), 54(1), 54(1.1) inconsistent with Canadian Charter of Rights and Freedoms, s. 2(b), not saved under section 1 thereof — Tribunal herein erring in focusing its attention on Canadian Human Rights Commission’s administration of statute — Tribunal having no jurisdiction over Commission’s exercise of discretion — Proper way of challenging Commission’s decision in respect of such matters is through judicial review — Constitutionality of CHRA, s. 13 confirmed by Supreme Court of Canada in Canada (Human Rights Commission) v. Taylor — That decision still binding — Findings therein as to objective, rational connection still applicable — As to minimal impairment, while penalty provisions in CHRA, ss. 54(1)(c), 54(1.1) fundamentally altering nature of CHRA, s. 13 process, this conclusion not applying to regime as a whole — CHRA, s. 13 minimally impairing freedom of expression — Appropriate remedy herein severance of offending provisions (i.e. CHRA, ss. 54(1)(c), 54(1.1)) from CHRA, s. 13 — Application allowed.

Constitutional Law — Charter of Rights— Fundamental Freedoms —Limitation clause — Whether Canadian Human Rights Act, ss. 13(1), 54(1), (1.1) violating Charter, s. 2(b) — If so, whether saved by Charter, s. 1 — Constitutionality of CHRA, s. 13(1) confirmed by Supreme Court of Canada in Canada (Human Rights Commission) v. Taylor — That decision still binding — Findings therein as to objective, rational connection still applicable — As to minimal impairment, while penalty provisions in CHRA, ss. 54(1)(c), 54(1.1) fundamentally altering nature of CHRA, s. 13 process, this conclusion not applying to regime as a whole — CHRA, s. 13 minimally impairing freedom of expression — Provisions thus justifiable under Charter, s. 1 –– Appropriate remedy herein severance of offending provisions (i.e. CHRA, ss. 54(1)(c), 54(1.1)) from CHRA, s. 13.

This was an application for judicial review of a decision of the Canadian Human Rights Tribunal (Tribunal) brought by the Canadian Human Rights Commission (Commission).

The respondent Warman filed a complaint with the Commission alleging that the respondent Lemire had communicated or caused to be communicated hate messages over the Internet in breach of section 13 of the Canadian Human Rights Act (CHRA). He alleged that these messages discriminated against persons or groups of persons on the basis of their religion, race, color, national or ethnic origin and sexual orientation, because the matter exposed them to hatred or contempt. Lemire brought a motion to have section 13 and the related remedial provisions in subsections 54(1) and (1.1) of the Act found to be in breach of paragraphs 2(a) and (b) and section 7 of the Canadian Charter of Rights and Freedom (Charter).

The Tribunal determined that the respondent Lemire contravened s. 13 of the CHRA. However, it declined to issue any remedial order on the ground that the restrictions imposed by subsections 13(1), 54(1) and 54(1.1) were inconsistent with paragraph 2(b) of the Charter and did not constitute a reasonable limit within the meaning of section 1 of the Charter.

The Commission sought declarations that the Tribunal erred in law in refusing to apply subsection 13(1) and in declining to exercise its discretion under paragraphs 54(1)(a) and/or (b) of the Act.

The principal issues were (1) whether it was appropriate for the Tribunal to consider the manner by which the Commission exercises its statutory mandate in determining whether to apply section 13 of the Act, (2) whether section 13 and subsections 54(1) and (1.1) of the Act violate paragraph 2(b) of the Charter and if so, whether they are saved by section 1 of the Charter; and (3) the appropriate remedy, if section 13, and subsections 54(1) and (1.1) of the Act, read together, were found to be unconstitutional.

Held, the application should be allowed.

The Tribunal erred in focusing its attention on the Commission’s administration of the statute in this case, a subject beyond its mandate and the scope of its authority.

The CHRA establishes two distinct institutions, each of which has a particular role as described by the statute. It sets out a complete mechanism for dealing with human rights complaints. Central to this mechanism is the Commission. Under the scheme of the Act, the Commission is the body empowered to accept, manage and process complaints of discriminatory practices. The Tribunal has no statutory mandate under the Act with respect to the administration of the Commission, except to inquire into the complaints when a request is made by the Commission to do so. The Tribunal has no jurisdiction over the exercise of the Commission’s discretion, inter alia, of rejecting or referring a complaint to the Tribunal. The proper way to challenge a Commission decision in respect of such matters is through judicial review by the Federal Court.

The hearing herein went beyond the scope of the Tribunal’s mandate to determine the factual and legal issues and became an inquiry into the manner in which the complainant and the Commission conducted themselves in relation to the complaint. The Tribunal stepped over the line of its proper role, the adjudication of the complaint, and assumed the role the Court would have upon an application for judicial review of the actions or decisions of the Commission.

As to the constitutionality of subsection 13(1) of the CHRA, it was confirmed by the Supreme Court of Canada in Canada (Human Rights Commission) v. Taylor. That decision remained binding unless it was no longer precedential authority due to changed factual and legal circumstances since it was decided. The objective of section 13, the suppression of hate speech and the promotion of equality, continues to be substantial and pressing. The conclusion in Taylor on rational connection to the legislative objective also still applies. With respect to minimal impairment, the addition of the penalty provisions under paragraph 54(1)(c) and subsection 54 (1.1) has fundamentally altered the nature of the section 13 process and brought it uncomfortably close to the state’s ultimate control measure, criminal prosecution. The penalty is inherently punitive. The factors set out in subsection 54(1.1) are similar to those which a criminal court would consider in determining the fine to be imposed on someone found guilty of an offence. The section 13 regime is no longer exclusively remedial. However, this does not apply to the regime as whole, which can be preserved by severance of the problematic aspects.

Section 13 minimally impairs freedom of expression. Considering the deference owed to Parliament, considering the minimal value hate speech possesses and considering the context and the objective of the Act, the minimal harm caused by section 13 to freedom of expression is far outweighed by the benefit it provides to vulnerable groups and to the promotion of equality. Sections 13 and 54 of the Act are justifiable in a free and democratic society and the Tribunal erred in declining to apply the legislation.

In light of the finding that the penalty provisions in paragraph 54(1)(c) and subsection 54(1.1) cannot withstand constitutional scrutiny, the appropriate remedy to apply was severance. Applying this doctrine required that the extent of the inconsistency between the statute in question and the requirements of the Constitution be defined. In this case, paragraph 54(1)(c) and subsection 54(1.1) could readily be severed from subsection 13(1). These provisions were not part of the statute when it was considered in Taylor. The offending parts are not inextricably bound up with that part of the legislation held to be valid in Taylor.

Since the Tribunal found the publication of the article to be in breach of section 13, the adjudicator should have issued a declaration to that effect and should have proceeded to consider ordering a remedy under paragraphs 54(1)(a) and/or (b). The adjudicator erred in adopting an all or nothing approach to the constitutional remedy. The balance of section 13 could stand without applying the later enacted punitive provisions.

STATUTES AND REGULATIONS CITED

An Act to amend the Canada Evidence Act and the Criminal Code in respect of persons with disabilities, to amend the Canadian Human Rights Act in respect of persons with disabilities and other matters and to make consequential amendments to other Acts, S.C. 1998, c. 9, ss. 27, 28.

Anti-terrorism Act, S.C. 2001, c. 41, s. 88.

Bill C-304, An Act to amend the Canadian Human Rights Act (protecting freedom), 1st Sess., 41st Parl., 2011 (3rd reading, June 6, 2012).

Canadian Bill of Rights, R.S.C., 1985, Appendix III.

Canadian Charter of Rights and Freedoms, being Part I of the Constitution Act, 1982, Schedule B, Canada Act 1982, 1982, c. 11 (U.K.) [R.S.C., 1985, Appendix II, No. 44], ss. 1, 2(a),(b), 7, 24(1).

Canadian Human Rights Act, R.S.C., 1985, c. H-6, ss. 2, 3, 13, 44(1),(2),(3), 47, 50–54.

Constitution Act, 1982, Schedule B, Canada Act 1982, 1982, c. 11 (U.K.) [R.S.C., 1985, Appendix II, No. 44], ss. 52(1), 101.

Customs Act, R.S.C., 1985 (2nd Supp.), c. 1.

Federal Courts Act, R.S.C., 1985, c. F-7, ss. 18.1, 57.

Saskatchewan Human Rights Code, S.S. 1979, c. S-24.1, s. 14(1)(b).

CASES CITED

followed:

Canada (Human Rights Commission) v. Taylor, [1990] 3 S.C.R. 892, (1990), 75 D.L.R. (4th) 577.

applied:

The Queen v. Oakes, [1986] 1 S.C.R. 103, (1986), 26 D.L.R. (4th) 200.

distinguished:

Martineau v. M.N.R., 2004 SCC 81, [2004] 3 S.C.R. 737, 247 D.L.R. (4th) 577.

considered:

Whatcott v. Saskatchewan (Human Rights Tribunal), 2010 SKCA 26 (CanLII), revd in part sub nom. Saskatchewan (Human Rights Commission) v. Whatcott, 2013 SCC 11, [2013] 1 S.C.R. 467; McAleer v. Canada (Human Rights Commission) 1999 CanLII 8202, 175 D.L.R. (4th) 766, 66 C.H.R.R. 225 (F.C.A.); Air Canada Pilots Association v. Kelly, 2011 FC 120, [2012] 4 F.C.R. 277, 88 C.C.E.L. (3d) 210; R. v. Conway, 2010 SCC 22, [2010] 1 S.C.R. 765, 320 D.L.R. (4th) 25; Dunsmuir v. New Brunswick, 2008 SCC 9, [2008] 1 S.C.R. 190, 329 N.B.R. (2d) 1; Mugesera v. Canada (Minister of Citizenship and Immigration), 2005 SCC 40, [2005] 2 S.C.R. 100, 254 D.L.R. (4th) 200; Mills v. The Queen, [1986] 1 S.C.R. 863, (1986), 29 D.L.R. (4th) 161; Cooper v. Canada (Human Rights Commission), [1996] 3 S.C.R. 854, (1996), 140 D.L.R. (4th) 193; Perka et al. v. The Queen, [1984] 2 S.C.R. 232, (1984), 13 D.L.R. (4th) 1; Canadian Egg Marketing Agency v. Richardson, [1998] 3 S.C.R. 157, (1998), 223 A.R. 201; R. v. Keegstra, [1990] 3 S.C.R. 697, (1990), 114 A.R. 81; Schnell v. Machiavelli and Associates Emprize Inc., 2002 CanLII 1887 (C.H.R.T.); R. v. Wigglesworth, [1987] 2 S.C.R. 541, (1987), 45 D.L.R. (4th) 235; Warman v. Kouba, 2006 CHRT 50; Schachter v. Canada, [1992] 2 S.C.R. 679, (1992), 93 D.L.R. (4th) 1; Alberta, Attorney-General for v. Attorney-General for Canada, [1947] A.C. 503 (P.C.).

referred to:

Canada v. Craig, 2012 SCC 43, [2012] 2 S.C.R. 489, 347 D.L.R. (4th) 385; Warman v. Harrison, 2006 CHRT 30; Blencoe v. British Columbia (Human Rights Commission), 2000 SCC 44, [2000] 2 S.C.R. 307, 190 D.L.R. (4th) 513; Cuddy Chicks Ltd. v. Ontario (Labour Relations Board), [1991] 2 S.C.R. 5, (1991), 81 D.L.R. (4th) 121; Nova Scotia (Workers’ Compensation Board) v. Martin; Nova Scotia (Workers’ Compensation Board) v. Laseur, 2003 SCC 54, [2003] 2 S.C.R. 504, 217 N.S.R. (2d) 301; Smith v. Alliance Pipeline Ltd., 2011 SCC 7, [2011] 1 S.C.R. 160, 328 D.L.R. (4th) 1; Celgene Corp. v. Canada (Attorney General), 2011 SCC 1, [2011] 1 S.C.R. 3, 327 D.L.R. (4th) 513; Canada (Canadian Human Rights Commission) v. Canada (Attorney General), 2011 SCC 53, [2011] 3 S.C.R. 471; Tranchemontagne v. Ontario (Director, Disability Support Program), 2006 SCC 14, [2006] 1 S.C.R. 513, 266 D.L.R. (4th) 287; Baker v. Canada (Minister of Citizenship and Immigration), [1999] 2 S.C.R. 817, (1999), 174 D.L.R. (4th) 193; Sam Lévy & Associés Inc. v. Mayrand, 2005 FC 702, [2006] 2 F.C.R. 543, 19 C.B.R. (5th) 99, affd 2006 FCA 205, 58 Admin. L.R. (4th) 255, leave to appeal to S.C.C. refused, [2006] 2 S.C.R. xi; Prentice v. Canada, 2005 FCA 395, [2006] 3 F.C.R. 135, 264 D.L.R. (4th) 742, leave to appeal to S.C.C. refused, [2006] 1 S.C.R. xiii; Eldridge v. British Columbia (Attorney General), [1997] 3 S.C.R. 624, (1997), 151 D.L.R. (4th) 577; Thomson v. Alberta (Transportation and Safety Board), 2003 ABCA 256, 330 A.R. 262, 232 D.L.R. (4th) 237, leave to appeal to S.C.C. refused, [2004] 1 S.C.R. xv; Little Sisters Book and Art Emporium v. Canada (Minister of Justice), 2000 SCC 69, [2000] 2 S.C.R. 1120, 193 D.L.R. (4th) 193; MacKay v. Manitoba, [1989] 2 S.C.R. 357, (1989), 61 D.L.R. (4th) 385; RJR-MacDonald Inc. v. Canada (Attorney General), [1995] 3 S.C.R. 199, (1995), 127 D.L.R. (4th) 1; Rocket v. Royal College of Dental Surgeons of Ontario, [1990] 2 S.C.R. 232, (1990), 71 D.L.R. (4th) 68; Reference re Upper Churchill Water Rights Reversion Act, [1984] 1 S.C.R. 297, 47 Nfld. & P.E.I.R. 125; Irwin Toy Ltd. v. Quebec (Attorney General), [1989] 1 S.C.R. 927, (1989), 58 D.L.R. (4th) 577; Citron v. Zundel, 2002 CanLII 23557 (C.H.R.T.); Ross v. New Brunswick School District No. 15, [1996] 1 S.C.R. 825, (1996), 133 D.L.R. (4th) 1; Canada (Human Rights Commission) v. Winnicki, 2005 FC 1493, [2006] 3 F.C.R. 446; Black v. Breeden, 2010 ONCA 547, 102 O.R. (3d) 748, 321 D.L.R. (4th) 659; Barrick Gold Corp. v. Lopehandia, 2004 CanLII 12938, 71 O.R. (3d) 416, 239 D.L.R. (4th) 577 (C.A.); Alberta v. Hutterian Brethren of Wilson Colony, 2009 SCC 37, [2009] 2 S.C.R. 567, 460 A.R. 1; Canada (Attorney General) v. JTI-Macdonald Corp., 2007 SCC 30, [2007] 2 S.C.R. 610, 281 D.L.R. (4th) 589; R. v. Edwards Books and Art Ltd., [1986] 2 S.C.R. 713, (1986), 35 D.L.R. (4th) 1; Elmasry v. Roger’s Publishing Ltd., 2008 BCHRT 378, 64 C.H.R.R. D/509; Owens v. Saskatchewan (Human Rights Commission), 2006 SKCA 41 (CanLII), [2006] 7 W.W.R. 433; Boissoin v. Lund, 2009 ABQB 592 (CanLII); Ontario Human Rights Commission and O’Malley v. Simpsons-Sears Ltd. et al., [1985] 2 S.C.R. 536, (1985), 52 O.R. (2d) 799; Haig v. Canada 1992 CanLII 2787, 9 O.R. (3d) 495, 94 D.L.R. (4th) 1.

AUTHORS CITED

Akdeniz, Yaman. “Governing Racist Content on the Internet: National and International Responses” (2007), 56 U.N.B.L.J. 103.

Beaudoin, Gérald A. and Pierre Thibault. La Constitution du Canada, 3rd ed. Montréal: Wilson & Lafleur, 2004.

Brun, Henri et al. Droit constitutionnel, 5th ed. Cowansville, Que.: Y. Blais, 2008.

Bryden, Philip and William Black, “Mediation as a Tool for Resolving Human Rights Disputes: An Evaluation of the B.C. Human Rights Commission’s Early Mediation Project” (2004), 37 U.B.C. L. Rev. 73.

Canadian Human Rights Commission. Annual Report 2006.Ottawa: Public Works and Government Services Canada, 2007.

Canadian Human Rights Commission. Report to the Canadian Human Rights Commission Concerning Section 13 of the Canadian Human Rights Act and the Regulation of Hate Speech on the Internet, prepared by Richard Moon, October 2008.

Canadian Human Rights Commission. Special Report to Parliament: Freedom of Expression and Freedom From Hate in the Internet Age. Ottawa: Public Works and Government Services Canada, 2009.

Gosnell, Chris. “Hate Speech on the Internet: A Question of Context” (1998), 23 Queen’s L.J. 369.

Hogg, Peter W. Constitutional Law of Canada, 5th ed. loose-leaf. Toronto: Carswell, 2007.

McNamara, Lawrence. “Tackling Racial Hatred: Conciliation, Reconciliation and Football” (2000), 6(2) Austl. J. H. R. 5.

Sharpe, Robert J. and Kent Roach. The Charter of Rights and Freedoms, 4th ed. Toronto: Irwin Law, 2009.

APPLICATION for judicial review of a decision of the Canadian Human Rights Tribunal (2009 CHRT 26) finding that the respondent Marc Levine contravened section 13 of the Canadian Human Rights Act, but declining to issue any remedial order. Application allowed.

APPEARANCES

S. Margot Blight for applicant.

Richard Warman on his own behalf.

Barbara Kulaszka for respondent Marc Lemire.

No one appearing for respondent Attorney General of Canada.

Jason Gratl for intervener British Columbia Civil Liberties Association.

Andrew K. Lokan and Jodi Martin for intervener Canadian Civil Liberties Association.

Gerald E. Langlois for intervener Canadian Association for Free Expression Inc.

Douglas H. Christie for intervener Canadian Free Speech League.

Moya Teklu and Ed Morgan for intervener African Canadian Legal Clinic.

Marvin Kurz for intervener League for Human Rights of B’Nai Brith Canada.

No one appearing for intervener Canadian Jewish Congress.

Steven Skurka for intervener Friends of Simon Wiesenthal Centre for Holocaust Studies.

SOLICITORS OF RECORD

Borden Ladner Gervais LLP, Toronto, for applicant.

Barbara Kulaszka, Brighton, Ontario, for respondent Marc Lemire.

Gratl & Company, Vancouver, for intervener British Columbia Civil Liberties Association.

Paliare Roland Rosenberg Rothstein LLP, Toronto, for intervener Canada Civil Liberties Association.

Charron Langlois LLP, Hawkesbury, Ontario, for intervener Canadian Association for Free Expression Inc.

Douglas H. Christie, Victoria, for intervener Canadian Free Speech League.

African Legal Clinic, Toronto, for intervener African Canadian Legal Clinic.

Dale, Streiman & Kurz LLP, Brampton, Ontario for intervener League for Human Rights B’Nai Brith Canada.

Steven Skurka, Toronto, for intervener Friends of Simon Wiesenthal Centre for Holocaust Studies.

The following are the reasons for judgment and judgment rendered in English by

Mosley J.:

OVERVIEW

[1]        This is an application for judicial review of a decision of the Canadian Human Rights Tribunal [Tribunal] [Warman v. Lemire, 2009 CHRT 26] brought by the Canadian Human Rights Commission [Commission] under section 18.1 of the Federal Courts Act, R.S.C., 1985, c. F-7.

[2]        In the September 2, 2009 decision, the Tribunal determined that the respondent Marc Lemire contravened section 13 of the Canadian Human Rights Act, R.S.C., 1985, c. H-6 (hereinafter the CHRA or the Act) by posting an article on a website. The Tribunal declined to issue any remedial order against Mr. Lemire on the ground that the restrictions imposed by subsection 13(1) and subsections 54(1) and (1.1) of the Act are inconsistent with paragraph 2(b) of the Canadian Charter of Rights and Freedoms, being Part I of the Constitution Act, 1982, Schedule B, Canada Act 1982, 1982, c. 11 (U.K.) [R.S.C., 1985, Appendix II, No. 44] (Charter) and do not constitute a reasonable limit within the meaning of section 1 of the Charter.

[3]        The Commission seeks declarations that the Tribunal erred in law in refusing to apply subsection 13(1) and in declining to exercise its discretion under paragraphs 54(1)(a) and/or (b) of the Act; and seeks orders to set aside the Tribunal’s conclusions to the extent that they are inconsistent with the declarations sought and to refer the matter back to the Tribunal for a determination with respect to the remedy.

[4]        In these proceedings, Mr. Lemire served a notice of constitutional question on the Attorney General of Canada and the attorneys general of each province in accordance with section 57 of the Federal Courts Act. The notice requests a declaration that subsections 13(1), 54(1) and 54(1.1) of the CHRA are of no force or effect pursuant to subsection 24(1) (sic) [of the Charter] and subsection 52(1) of the Constitution Act, 1982, Schedule B, Canada Act 1982, 1982, c. 11 (U.K.) [R.S.C., 1985, Appendix II, No. 44] (Constitution Act).

[5]        The constitutionality of subsection 13(1) of the CHRA was confirmed by a majority of the Supreme Court of Canada in Canada (Human Rights Commission) v. Taylor, [1990] 3 S.C.R. 892 (Taylor). This Court is bound by that decision unless there are grounds to distinguish the present case from the precedential authority of that decision. Barring such grounds, the Court must follow Taylor. In doing so, the Court may set out such reasons that indicate that the precedent may be problematic in the present environment. It is for the Supreme Court itself to determine whether Taylor is to be overturned: Canada v. Craig, 2012 SCC 43, [2012] 2 S.C.R. 489, at paragraph 21. That question is presently before the Supreme Court in an appeal from the decision of the Saskatchewan Court of Appeal in Whatcott v. Saskatchewan (Human Rights Tribunal), 2010 SKCA 26 (CanLII) [Whatcott], leave to appeal granted October 28, 2010, [2010] 2 S.C.R. viii [decision now rendered in 2013 SCC 11, [2013] 1 S.C.R. 467]. In Whatcott, the constitutional questions stated address whether paragraph 14(1)(b) of the Saskatchewan Human Rights Code, S.S. 1979, c. S-24.1, infringes paragraph 2(a) of the Charter and, if so, whether it is saved under section 1 of the Canadian Charter of Rights and Freedoms. While the issues in that matter concern provincial legislation, they are analogous to the matters raised in this case and the Saskatchewan Court of Appeal considered itself bound by Taylor.

[6]        I take notice of the legislative fact that Bill C-304, entitled An Act to amend the Canadian Human Rights Act (protecting freedom) [1st Sess., 41st Parl., 2011], received third reading in the House of Commons on June 6, 2012. Among other things, the effect of the Bill would be to repeal section 13. Under the terms of the Bill’s coming into force clause, the Act would be effective one year after receiving royal assent. At the time of writing, the Bill remained under consideration in the Senate [the Bill received royal assent on June 26, 2013 (S.C. 2013, c. 37)]. This is of relevance in these proceedings only to a limited extent that I will discuss below.

[7]        For the reasons that follow, I find that the Tribunal was correct to decline to apply paragraph 54(1)(c) and subsection 54(1.1) of the Act and declare that they are of no force or effect. However, I find that the Tribunal erred in failing to apply section 13 and paragraphs 54(1)(a) and (b) of the Act. Consequently, the application by the Commission is granted and the matter is remitted to the Tribunal to issue a declaration that the article posted by Mr. Lemire was in contravention of section 13 and to exercise its jurisdiction under paragraph 54(1)(a) or (b) of the Act to consider the issuance of a remedial order against Mr. Lemire.

BACKGROUND

[8]        On November 24, 2003, the respondent Richard Warman filed a complaint with the Commission alleging that Mr. Lemire had communicated or caused to be communicated hate messages over the Internet in breach of section 13 of the CHRA. He alleged that these messages discriminated against persons or groups of persons on the basis of their religion, race, color, national or ethnic origin and sexual orientation, because the matter exposed them to hatred or contempt.

[9]        Initially the complaint cited the content of messages posted on the website Freedomsite.org and alleged that Mr. Lemire was the owner and webmaster of that site. The complaint also named one Craig Harrison as a respondent. Mr. Harrison was alleged to have posted a large number of messages on the site in 2002 and 2003. The allegations against Mr. Harrison were referred to the Tribunal separately and a decision was issued by the Tribunal on August 15, 2006 finding that his messages were in breach of section 13: Warman v. Harrison, 2006 CHRT 30.

[10]      Mr. Lemire received notice of Mr. Warman’s November 24, 2003 complaint from the Commission in late March 2004. In responding to the Commission, through his counsel, on April 23, 2004, Mr. Lemire acknowledged that he was the webmaster and owner of the Freedomsite.org website and stated that he had removed the message board from the site prior to receiving notification of Mr. Warman’s complaint. The message board, operated from 1999–2003, was a forum for discussions at the website. Visitors could access the content as “guests”. Only registered users were allowed to post messages on the board. An article on the Freedomsite.org website referred to in the complaint was removed after the complaint had been filed.

[11]      Subsequent to the filing of the complaint, additional allegedly offending material was also found by Mr. Warman on the websites JRBooksonline.com and Stormfront.org and referred to the Commission investigator in September 2004. This material was included in the investigation report recommending referral to the Tribunal in April 2005 as being linked to Mr. Lemire. In a joint statement of particulars dated December 7, 2005, Mr. Warman and the Commission alleged that Mr. Lemire communicated, or caused to be communicated, material observed on these websites in October 2004.

[12]      At the hearing, Mr. Lemire denied the allegations in part on the ground that he had not communicated or caused to be communicated most of the impugned messages. In particular, while he acknowledged, through counsel, having participated in the creation of JRBooksonline.com, he denied having knowledge of or being responsible for any of the content of that website. With regard to material on Stormfront.org, Mr. Lemire argued that the Commission had not established that he had posted the messages and, in the alternative, that it was not discriminatory.

[13]      Mr. Lemire brought a motion to have section 13 and the related remedial provisions in subsections 54(1) and (1.1) of the Act found to be in breach of paragraphs 2(a) and (b) and section 7 and not saved by section 1 of the Charter. He also cited the Canadian Bill of Rights, R.S.C., 1985, Appendix III. The Attorney General of Canada exercised his right under section 57 of the Federal Courts Act to participate and to adduce evidence at the hearing in respect of the constitutional questions. Several additional interested parties were granted status to participate.

[14]      Extensive evidentiary hearings were conducted by the Tribunal between January 29, 2007 and March 25, 2008. Submissions were presented in September 2008. The Tribunal rendered its decision on September 2, 2009: Warman v. Lemire, 2009 CHRT 26 (the decision).

[15]      On this application, motions for intervener status were granted for the African Canadian Legal Clinic (hereinafter the ACLC), League for Human Rights of the B’nai Brith (B’nai Brith), Canadian Jewish Congress (CJC), Friends of Simon Wiesenthal Centre for Holocaust Studies (SWC), Canadian Association for Free Expression (CAFE), Canadian Free Speech League (CFSL), Canadian Civil Liberties Association (CCLA), and British Columbia Civil Liberties Association (BCCLA). The respondent Attorney General of Canada and the intervener CJC took no part in the argument of this application. The position of B’nai Brith and SWC was jointly presented.

CONSTITUTIONAL AND LEGISLATIVE FRAMEWORK

[16]      Subsections 24(1) [of the Charter] and 52(1) of the Constitution Act read as follows:

[Charter]

Enforcement of guaranteed rights and freedoms

24. (1) Anyone whose rights or freedoms, as guaranteed by this Charter, have been infringed or denied may apply to a court of competent jurisdiction to obtain such remedy as the court considers appropriate and just in the circumstances.

[Constitution Act]

Primacy of Constitution of Canada

52. (1) The Constitution of Canada is the supreme law of Canada, and any law that is inconsistent with the provisions of the Constitution is, to the extent of the inconsistency, of no force or effect.

[17]      The wording of subsection 13(1) of the CHRA has remained unchanged since the Supreme Court upheld the constitutionality of the predecessor enactment in Taylor:

Hate messages

13. (1) It is a discriminatory practice for a person or a group of persons acting in concert to communicate telephonically or to cause to be so communicated, repeatedly, in whole or in part by means of the facilities of a telecommunication undertaking within the legislative authority of Parliament, any matter that is likely to expose a person or persons to hatred or contempt by reason of the fact that that person or those persons are identifiable on the basis of a prohibited ground of discrimination.

[18]      When Taylor was decided, the remedial powers of the Tribunal were set out in sections 53 and 54 of the CHRA. Section 53 authorized the Tribunal to order that a person cease a discriminatory practice and take measures to prevent its recurrence (at paragraph 53(2)(a)), make available to the victim the rights that had been denied (at paragraph 53(2)(b)), compensate the victim for wages lost and expenses (at paragraph 53(2)(c)), and compensate the victim for the costs and expenses of obtaining alternatives (at paragraph 53(2)(d)). In addition, subsection 53(3) permitted the Tribunal, if the person had engaged in the discriminatory practice willfully or recklessly, or the victim had suffered, to order compensation not exceeding $5 000 to be paid. Subsection 53(4) authorized the Tribunal to order that premises and facilities be adapted to accommodate disabilities if reasonable. Section 54 allowed the Tribunal to make only the orders listed in section 53 and prohibited orders firing or evicting employees or tenants in good faith.

[19]      In 1998, Parliament enacted amendments to the Act, which, with the prior legislation, had the effect of conferring additional remedial powers on the Tribunal: S.C. 1998, c. 9, sections 27 and 28. A new paragraph 53(2)(e) allowed the Tribunal to order compensation to victims in an amount not exceeding $20 000 for their pain and suffering. The amount which could be ordered paid under subsection 53(3) was raised from $5 000 to $20 000 and subsection 53(4) was added, permitting the compensation order to include interest. As well, a new paragraph 54(1)(b) empowered the Tribunal to order, in addition to the remedial measures which were in place at the time Taylor was decided, compensation not exceeding $10 000 for a victim specifically identified in the communication that constituted a discriminatory practice; and a new paragraph 54(1)(c) provided for a penalty of not more than $10 000.

[20]      Subsection 54(1.1), also added in 1998, set out the factors that the member or panel must take into account in deciding whether to order the person to pay the penalty at paragraph 54(1)(c), such as the nature of the discriminatory practice, the intent of the person who engaged in the practice, any prior history, and ability to pay.

[21]      In 2001, Parliament further enacted, at subsection 13(2), that for greater certainty, discriminatory practices included communications via computers or the Internet: Anti-terrorism Act, S.C. 2001, c. 41, section 88 (Anti-terrorism Act).

[22]      The relevant provisions of the CHRA as they read now are as follows:

Purpose

2. The purpose of this Act is to extend the laws in Canada to give effect, within the purview of matters coming within the legislative authority of Parliament, to the principle that all individuals should have an opportunity equal with other individuals to make for themselves the lives that they are able and wish to have and to have their needs accommodated, consistent with their duties and obligations as members of society, without being hindered in or prevented from doing so by discriminatory practices based on race, national or ethnic origin, colour, religion, age, sex, sexual orientation, marital status, family status, disability or conviction for an offence for which a pardon has been granted or in respect of which a record suspension has been ordered.

Prohibited grounds of discrimination

3. (1) For all purposes of this Act, the prohibited grounds of discrimination are race, national or ethnic origin, colour, religion, age, sex, sexual orientation, marital status, family status, disability and conviction for an offence for which a pardon has been granted or in respect of which a record suspension has been ordered.

Idem

(2) Where the ground of discrimination is pregnancy or child-birth, the discrimination shall be deemed to be on the ground of sex.

Hate messages

13. (1) It is a discriminatory practice for a person or a group of persons acting in concert to communicate telephonically or to cause to be so communicated, repeatedly, in whole or in part by means of the facilities of a telecommunication undertaking within the legislative authority of Parliament, any matter that is likely to expose a person or persons to hatred or contempt by reason of the fact that that person or those persons are identifiable on the basis of a prohibited ground of discrimination.

Interpretation

(2) For greater certainty, subsection (1) applies in respect of a matter that is communicated by means of a computer or a group of interconnected or related computers, including the Internet, or any similar means of communication, but does not apply in respect of a matter that is communicated in whole or in part by means of the facilities of a broadcasting undertaking.

Interpretation

(3) For the purposes of this section, no owner or operator of a telecommunication undertaking communicates or causes to be communicated any matter described in subsection (1) by reason only that the facilities of a telecommunication undertaking owned or operated by that person are used by other persons for the transmission of that matter.

Report

44. (1) An investigator shall, as soon as possible after the conclusion of an investigation, submit to the Commission a report of the findings of the investigation.

Action on receipt of report

(2) If, on receipt of a report referred to in subsection (1), the Commission is satisfied

(a) that the complainant ought to exhaust grievance or review procedures otherwise reasonably available, or

(b) that the complaint could more appropriately be dealt with, initially or completely, by means of a procedure provided for under an Act of Parliament other than this Act,

it shall refer the complainant to the appropriate authority.

Idem

(3) On receipt of a report referred to in subsection (1), the Commission

(a) may request the Chairperson of the Tribunal to institute an inquiry under section 49 into the complaint to which the report relates if the Commission is satisfied

(i) that, having regard to all the circumstances of the complaint, an inquiry into the complaint is warranted, and

(ii) that the complaint to which the report relates should not be referred pursuant to subsection (2) or dismissed on any ground mentioned in paragraphs 41(c) to (e); or

b) shall dismiss the complaint to which the report relates if it is satisfied

(i) that, having regard to all the circumstances of the complaint, an inquiry into the complaint is not warranted, or

(ii) that the complaint should be dismissed on any ground mentioned in paragraphs 41(c) to (e).

Appointment of conciliator

47. (1) Subject to subsection (2), the Commission may, on the filing of a complaint, or if the complaint has not been

(a) settled in the course of investigation by an investigator,

(b) referred or dismissed under subsection 44(2) or (3) or paragraph 45(2)(a) or 46(2)(a), or

(c) settled after receipt by the parties of the notice referred to in subsection 44(4),

Conduct of inquiry

50. (1) After due notice to the Commission, the complainant, the person against whom the complaint was made and, at the discretion of the member or panel conducting the inquiry, any other interested party, the member or panel shall inquire into the complaint and shall give all parties to whom notice has been given a full and ample opportunity, in person or through counsel, to appear at the inquiry, present evidence and make representations.

Power to determine questions of law or fact

(2) In the course of hearing and determining any matter under inquiry, the member or panel may decide all questions of law or fact necessary to determining the matter.

Additional powers

(3) In relation to a hearing of the inquiry, the member or panel may

(a) in the same manner and to the same extent as a superior court of record, summon and enforce the attendance of witnesses and compel them to give oral or written evidence on oath and to produce any documents and things that the member or panel considers necessary for the full hearing and consideration of the complaint;

(b) administer oaths;

(c) subject to subsections (4) and (5), receive and accept any evidence and other information, whether on oath or by affidavit or otherwise, that the member or panel sees fit, whether or not that evidence or information is or would be admissible in a court of law;

(d) lengthen or shorten any time limit established by the rules of procedure; and

(e) decide any procedural or evidentiary question arising during the hearing.

Limitation in relation to evidence

(4) The member or panel may not admit or accept as evidence anything that would be inadmissible in a court by reason of any privilege under the law of evidence.

Conciliators as witnesses

(5) A conciliator appointed to settle the complaint is not a competent or compellable witness at the hearing.

Witness fees

(6) Any person summoned to attend the hearing is entitled in the discretion of the member or panel to receive the same fees and allowances as those paid to persons summoned to attend before the Federal Court.

Duty of Commission on appearing

51. In appearing at a hearing, presenting evidence and making representations, the Commission shall adopt such position as, in its opinion, is in the public interest having regard to the nature of the complaint.

Hearing in public subject to confidentiality order

52. (1) An inquiry shall be conducted in public, but the member or panel conducting the inquiry may, on application, take any measures and make any order that the member or panel considers necessary to ensure the confidentiality of the inquiry if the member or panel is satisfied, during the inquiry or as a result of the inquiry being conducted in public, that

(a) there is a real and substantial risk that matters involving public security will be disclosed;

(b) there is a real and substantial risk to the fairness of the inquiry such that the need to prevent disclosure outweighs the societal interest that the inquiry be conducted in public;

(c) there is a real and substantial risk that the disclosure of personal or other matters will cause undue hardship to the persons involved such that the need to prevent disclosure outweighs the societal interest that the inquiry be conducted in public; or

(d) there is a serious possibility that the life, liberty or security of a person will be endangered.

Confidentiality of application

(2) If the member or panel considers it appropriate, the member or panel may take any measures and make any order that the member or panel considers necessary to ensure the confidentiality of a hearing held in respect of an application under subsection (1).

Complaint dismissed

53. (1) At the conclusion of an inquiry, the member or panel conducting the inquiry shall dismiss the complaint if the member or panel finds that the complaint is not substantiated.

Complaint substantiated

(2) If at the conclusion of the inquiry the member or panel finds that the complaint is substantiated, the member or panel may, subject to section 54, make an order against the person found to be engaging or to have engaged in the discriminatory practice and include in the order any of the following terms that the member or panel considers appropriate:

(a) that the person cease the discriminatory practice and take measures, in consultation with the Commission on the general purposes of the measures, to redress the practice or to prevent the same or a similar practice from occurring in future, including

(i) the adoption of a special program, plan or arrangement referred to in subsection 16(1), or

(ii) making an application for approval and implementing a plan under section 17;

(b) that the person make available to the victim of the discriminatory practice, on the first reasonable occasion, the rights, opportunities or privileges that are being or were denied the victim as a result of the practice;

(c) that the person compensate the victim for any or all of the wages that the victim was deprived of and for any expenses incurred by the victim as a result of the discriminatory practice;

(d) that the person compensate the victim for any or all additional costs of obtaining alternative goods, services, facilities or accommodation and for any expenses incurred by the victim as a result of the discriminatory practice; and

(e) that the person compensate the victim, by an amount not exceeding twenty thousand dollars, for any pain and suffering that the victim experienced as a result of the discriminatory practice.

Special compensation

(3) In addition to any order under subsection (2), the member or panel may order the person to pay such compensation not exceeding twenty thousand dollars to the victim as the member or panel may determine if the member or panel finds that the person is engaging or has engaged in the discriminatory practice wilfully or recklessly.

Interest

(4) Subject to the rules made under section 48.9, an order to pay compensation under this section may include an award of interest at a rate and for a period that the member or panel considers appropriate.

Orders relating to hate messages

54. (1) If a member or panel finds that a complaint related to a discriminatory practice described in section 13 is substantiated, the member or panel may make only one or more of the following orders:

(a) an order containing terms referred to in paragraph 53(2)(a);

(b) an order under subsection 53(3) to compensate a victim specifically identified in the communication that constituted the discriminatory practice; and

(c) an order to pay a penalty of not more than ten thousand dollars.

Factors

(1.1) In deciding whether to order the person to pay the penalty, the member or panel shall take into account the following factors:

(a) the nature, circumstances, extent and gravity of the discriminatory practice; and

(b) the wilfulness or intent of the person who engaged in the discriminatory practice, any prior discriminatory practices that the person has engaged in and the person’s ability to pay the penalty.

Idem

(2) No order under subsection 53(2) may contain a term

(a) requiring the removal of an individual from a position if that individual accepted employment in that position in good faith; or

(b) requiring the expulsion of an occupant from any premises or accommodation, if that occupant obtained such premises or accommodation in good faith.

DECISION UNDER REVIEW

[23]      In the decision, the Tribunal found that the evidence did not establish that Mr. Lemire had actual or constructive knowledge of the content of Mr. Harrison’s posts on the Freedomsite.org message board notwithstanding Lemire’s role as administrator of the host website. Similarly, there was no evidence to establish a prima facie case that Mr. Lemire was aware of posts submitted by persons other than Mr. Harrison that could constitute hate messages. These were posted on “threads” or strings of messages that Lemire did not directly control or regularly visit. Mr. Lemire thus did not “communicate or cause to communicate” these messages within the meaning of section 13 of the Act.

[24]      With regards to JRBooksonline.com, the Tribunal found that there was “insufficient evidence to establish, even on a prima facie basis, that Mr. Lemire or a group of persons that includes him, communicated or caused to be communicated, the material found on JRBooksonline.com, within the meaning of s. 13” (at paragraph 47 of the decision). Mr. Warman had alleged that the website was controlled by Mr. Lemire. The Tribunal found that the evidence showed that while Mr. Lemire had assisted with the registration of the domain at the outset, a third party was the webmaster and the owner of that website and that there was no evidence that Mr. Lemire visited the site or controlled its content.

[25]      Regarding a poem Mr. Lemire had posted on the website Stormfront.org, the Tribunal found that the content did not amount to hate speech as defined by the Supreme Court in Taylor. A number of other articles posted by Mr. Lemire or of which he evidently had actual or constructive knowledge, which were posted on his site, Freedomsite.org, were also found to not amount to hate speech as they fell short of expressing the required level of detestation, calumny and vilification to meet the test.

[26]      Lemire had control over the posting of articles in a section of the Freedomsite.org site which published the work of authors described as “Controversial Columnists”. Any member of the public could access that section of the website. One of the articles posted there by Lemire was entitled “AIDS Secrets”. The Tribunal found that the article contained material that is likely to expose homosexuals and blacks to hatred or contempt (at paragraph 198 of the decision), and that Mr. Lemire repeatedly communicated the matter within the meaning of section 13 (at paragraph 212 of the decision). The complaint was thus substantiated in respect of that one item. Mr. Lemire has not sought judicial review of that finding.

[27]      Turning to the issue of the constitutionality of section 13 of the Act, the Tribunal noted that the question had been determined by the Supreme Court in Taylor. While the Supreme Court had found that subsection 13(1) infringed Charter paragraph 2(b), it was satisfied that the enactment satisfied both aspects of the test for justification under Charter section 1: The Queen v. Oakes, [1986] 1 S.C.R. 103 [Oakes] (a sufficiently important objective and a proportional measure to achieve it).

[28]      The Tribunal considered that it could revisit the question of section 1 justification since the section 13 regime had been modified by Parliament since Taylor. As such, the Tribunal found that Taylor was distinguishable from the case at hand. The scheme of the Act had been changed from “an exclusively remedial, preventive and conciliatory” regime (at paragraph 279 of the decision) at the time of Taylor to one that was quasi-penal. In the Tribunal’s view, this stemmed largely from the amendments to the Act in 1998 mentioned at paragraph19 above, which authorized the Tribunal, in addition to issuing a cease and desist order and ordering that the victim be compensated up to the amount of now $20 000, to order the defendant to pay a penalty of up to $10 000 dollars having considered certain specified factors (the new paragraph 54(1)(c) of 1998).

[29]      The Tribunal found that the Commission’s practice of referring section 13 complaints contributed to its finding that the nature of the scheme had changed since it was considered in Taylor (at paragraph 283 of the decision). The Tribunal expressed five concerns: first, that the Commission referred this complaint to the Tribunal even though most of the impugned material had already been removed from the Internet; second, that the Commission had referred other complaints to the Tribunal under section 13 in similar circumstances; third, that it had declined the respondent’s request that a mediator or conciliator be appointed; fourth, that the Commission showed a low settlement rate for section 13 complaints; and fifth, that the Commission did not generally offer to mediate section 13 complaints.

[30]      Based on the legislative changes and concerns about the Commission’s practices, the Tribunal concluded that it was not bound by Taylor as it considered that the majority decision in that case had been premised on the assumption that the Commission’s procedures functioned in a conciliatory manner as intended by the statute. At paragraph 290 of the decision, the Tribunal stated:

In my view, it is clear that Taylor’s confidence that the human rights process under the Act merely serves to prevent discrimination and compensate victims hinged on the absence of any penal provision akin to the one now found at s. 54(1)(c), as well as on the belief that the process itself was not only structured, but actually functioned in as conciliatory manner as possible. The evidence before me demonstrates that the situation is not as the Court contemplated in both respects. Thus, following the reasoning of Justice Dickson, at 933, one can no longer say that the absence of intent in s. 13(1) “raises no problem of minimal impairment” and “does not impinge so deleteriously upon the s. 2(b) freedom of expression so as to make intolerable” the provision’s existence in a free and democratic society. On this basis, I find that the Oakes minimum impairment test has not been satisfied, and that s. 13(1) goes beyond what can be defended as a reasonable limit on free expression under s. 1 of the Charter.

[31]      The combined effect of the legislative changes and of the Commission’s practices in administering the revised statute compelled the conclusion, in the Tribunal’s view, that section 13 in conjunction with paragraph 54(1)(c) and subsection 54(1.1), no longer minimally impaired the right to freedom of speech and could not be saved under section 1 of the Charter. In arriving at this conclusion the Tribunal did not find that the compensation provisions in subsection 53(3) and paragraph 54(1)(b), the cease and desist order power in paragraph 54(1)(a), or the other remedial measures in section 53, were constitutionally unsound but focused exclusively on paragraph 54(1)(c) and subsection 54(1.1).

[32]      As noted at paragraph 21 above, section 13 had been further amended in 2001 to insert the current version of subsection 13(2) which provides, for greater certainty, that the definition of discriminatory practices set out in subsection 13(1) applies to communications by means of a computer or group of interconnected or related computers, including the Internet. The impact of the Internet on communications contributed to the Tribunal’s Charter section 1 analysis, but it did not rely on this amendment to reach its invalidity finding.

[33]      Mr. Lemire had also alleged that section 13 infringed on his freedom of conscience or religion, as guaranteed under paragraph 2(a) of the Charter. The Tribunal found that there was no evidence that the messages in question had been made as a matter of conscience or religious practice. Arguments that sections 13 and 54 of the Act violated Mr. Lemire’s section 7 Charter rights were held to be inadequate to support a constitutional remedy. The Tribunal found that the incidents cited by Mr. Lemire in support of these arguments did not bring his life, liberty or security of the person into question as required by the Supreme Court in Blencoe v. British Columbia (Human Rights Commission), 2000 SCC 44, [2000] 2 S.C.R. 307, at paragraph 47. Evidence that the Commission cooperated with law enforcement agencies on some occasions was found to have no bearing on the circumstances of Mr. Lemire’s case.

[34]      Mr. Lemire argued in addition that the Supreme Court’s findings in Taylor were based on fundamental factual and evidentiary errors. The Tribunal did not find it appropriate to revisit every aspect of the Supreme Court’s Charter analysis, noting at paragraph 221 of the decision that it remained bound by most of the findings in Taylor and by McAleer v. Canada (Human Rights Commission) 1999 CanLII 8202, 175 D.L.R. (4th) 766 (F.C.A.) (McAleer). In McAleer, the Federal Court of Appeal had applied the Taylor findings to matters exposing persons to hatred or contempt on grounds other than those raised in Taylor (race and religion) such as sexual orientation, as in the case of the “AIDS Secrets” article.

[35]      Mr. Lemire contended that the manner in which the 2001 amendment to subsection 13(2), specifying that it applied to computers and the Internet, was adopted, as part of the Anti-terrorism Act, demonstrated that section 13 is not a remedial statute to prevent discrimination but rather has as its objective to control opposition to government policies such as multiculturalism. The Tribunal, citing the legislative history of the amendment, found that this did not represent a change in circumstances that would justify revisiting the Supreme Court’s findings in Taylor regarding subsection 13(1)’s objective (at paragraph 231 of the decision). The amendment was adopted to clarify what was already the interpretation of the section, that it applied to the communication of hate messages using new technology.

[36]      The Tribunal acknowledged that a formal declaration of invalidity was not a remedy available to it: Cuddy Chicks Ltd. v. Ontario (Labour Relations Board), [1991] 2 S.C.R. 5. Citing Nova Scotia (Workers’ Compensation Board) v. Martin; Nova Scotia (Workers’ Compensation Board) v. Laseur, 2003 SCC 54, [2003] 2 S.C.R. 504 (Martin), at paragraphs 26–27, the Tribunal refused to apply section 13 and subsections 54(1) and (1.1) to issue a remedial order against Mr. Lemire for his breach of the Act.

[37]      While not expressly stated in the Tribunal’s decision, the authority to decline to apply the statute was exercised under subsection 52 (1) of the Constitution Act, 1982 (see Martin, at paragraph 28). Mr. Lemire had also sought a remedy under subsection 24(1) of the Charter before the Tribunal, as he does before this Court, but has not articulated how subsection 24(1) might apply or what remedy the Tribunal or the Court might fashion under that section for the alleged breach of his Charter rights.

ISSUES

[38]      The Commission, supported by the respondent Richard Warman and the interveners the ACLC, B’nai Brith and the SWC, frames the issues on the present application in the following terms:

a. whether the Tribunal erred in law when it found that the manner by which the Commission exercises its statutory mandate could render sections 13 and 54(1)(a) & (b) of the CHRA unconstitutional; and

b. whether the Tribunal erred when it refused to apply section 13 and section 54(1) and (1.1) of the CHRA in their entirety when the constitutional concern could be remedied by refusing to apply sections 54(1)(c) and (1.1) of the CHRA.

[39]      The Commission submits that it seeks to preserve the core of the scheme established in 1977 and applied in the modern context to Internet based communications. The Commission does not contest the Tribunal’s ruling with respect to the penalty provisions and, in its oral submissions, indicated that it has not taken the position since the Tribunal’s decision in this matter that the penalty provisions should be applied in other proceedings. It argues that the only constitutional remedy that should have flowed from the Tribunal’s findings is that the penalty provisions ought to be read out of the statute, applying the doctrine of severance.

[40]      The Commission contends that the Tribunal erred in not issuing a declaration that the publication of the article “AIDS Secrets” constituted a breach of section 13 and in failing to exercise the Tribunal’s jurisdiction to consider whether a remedy ought to be granted under paragraph 54(1)(a)—the authority to issue a cease and desist order—or paragraph 54(1)(b)—the compensation provision. The Commission does not contend that the Tribunal was obliged to make an order under either of these provisions but argues that the Tribunal was bound to make the subsection 13(1) declaration and consider these remedies. It seeks to have the matter remitted to the Tribunal for these purposes.

[41]      In oral argument, the Commission pointed out that there is no formal application before the Court for judicial review of the Tribunal’s finding that Mr. Lemire contravened subsection 13(1). A request for a declaration of constitutional invalidity is contained in the notice of constitutional question which was served in May 2011. The Commission takes the position that the only issues properly before me in this proceeding are those set out in its notice of application. If the respondent Lemire is successful in defending the application, the Commission argues, the only remedy available to the Court under section 18.1 of the Federal Courts Act is to dismiss the application.

[42]      Mr. Lemire, supported by the interveners CFSL, CAFE, the CCLA and the BCCLA, calls for a broader consideration of the constitutionality of the hate speech regime governed by section 13 of the Act. They strenuously object to the scope of this application being restricted to the issues framed in the Commission’s notice of application. As the Tribunal found in Mr. Lemire’s favour on his constitutional motion, they argue, he had no basis in law to seek judicial review of that decision. Since this Court has the authority to make a general declaration of constitutional invalidity he should not be restrained from seeking such relief through the vehicle of the application brought by the Commission.

[43]      As noted by Justice Anne Mactavish in Air Canada Pilots Association v. Kelly, 2011 FC 120, [2012] 4 F.C.R. 277, at paragraphs 481–489, the power of this Court to grant declaratory relief is predicated upon a finding that the Tribunal in question erred in one of the ways identified in subsection 18.1(4) of the Federal Courts Act. In that case, Justice Mactavish found that the Tribunal had not erred in its determination of Charter invalidity. Consequently, she held, the remedial powers conferred on the Court by subsection 18.1(3) of the Federal Courts Act were not engaged. The proper remedy in those circumstances was to dismiss the applications for judicial review insofar as they related to the Charter issue. Assuming, without deciding, that a general declaration of invalidity could ever be granted to a responding party on an application for judicial review, she declined to grant such a remedy. The responding parties had not given notice to the attorneys general that they would be seeking such a remedy and the request, in that case, was found to be a collateral attack on the Tribunal’s remedial decision.

[44]      Here it has been clear from the outset that the respondent Lemire and the interveners who support his position have been seeking a general declaration of invalidity and they have given proper notice of the question to the attorneys general. While the matter is not without some doubt, I am satisfied that if I were to dismiss the application for judicial review and uphold the Tribunal’s decision I could exercise the jurisdiction to issue a general declaration of invalidity with respect to section 13 and subsections 54(1) and (1.1). Similarly, I am confident that I can uphold the Tribunal’s decision in part and remit that portion where I conclude the Tribunal fell into error.

[45]      I see no reason to address the other arguments by Mr. Lemire and the CFSL respecting paragraph 2(a) and section 7 of the Charter, which the Tribunal did not accept. Those arguments and the Tribunal’s findings are secondary to the main controversy between the parties in respect of section 13 of the Act and paragraph 2(b) of the Charter. They were not supported by the evidence received by the Tribunal and are not properly before the Court on this application. In general, I agree with the Tribunal’s disposition of those arguments.

[46]      In my view, the issues raised by the parties and interveners in these proceedings that the Court must address are as follows:

1. Was it appropriate for the Tribunal to consider the manner by which the Commission exercises its statutory mandate in determining whether to apply section13 of the Act?

2. Do section 13, subsections 54(1) and (1.1) of the Act violate paragraph 2(b) of the Charter and if so, are they saved by section 1 of the Charter?

3. What is the appropriate remedy, if section 13, subsections 54(1) and (1.1) of the Act, read together, are found to be unconstitutional? Is severance available?

ANALYSIS

Standard of Review

[47]      As a result of R. v. Conway, 2010 SCC 22, [2010] 1 S.C.R. 765 [Conway], at paragraph 81, the tests for determining the constitutional issues that may be decided by administrative tribunals have been merged. What is to be determined post-Conway is whether the Tribunal has the authority to decide questions of law. The Tribunal is a specialized body that has the statutory authority to determine questions of law (subsection 50(2) of the Act) and is therefore competent to consider and apply the Charter and Charter remedies when resolving the matters properly before it.

[48]      Insofar as the issues before the Court relate to constitutional matters, the Tribunal’s findings are reviewable on a standard of correctness: Dunsmuir v. New Brunswick, 2008 SCC 9, [2008] 1 S.C.R. 190, at paragraph 58. “Such questions, as well as other constitutional issues, are necessarily subject to a correctness review because of the unique role of s. 96 courts as interpreters of the Constitution: Nova Scotia (Workers’ Compensation Board) v. Martin, [2003] 2 S.C.R. 504, 2003 SCC 54.” This applies equally to courts established under section 101 of the Constitution [Constitution Act] in respect of matters falling within their jurisdiction. This Court, therefore, owes no deference to the Tribunal with respect to its determination of the constitutional questions.

[49]      Questions which require the Tribunal to interpret a provision in its own enabling legislation in relation to an issue falling within its core function and expertise will presumptively attract a reasonableness standard of review, and will only attract a correctness standard in limited circumstances: see Smith v. Alliance Pipeline Ltd., 2011 SCC 7, [2011] 1 S.C.R. 160, at paragraph 28; Celgene Corp. v. Canada (Attorney General), 2011 SCC 1, [2011] 1 S.C.R. 3, at paragraph 34; and Canada (Canadian Human Rights Commission) v. Canada (Attorney General), 2011 SCC 53, [2011] 3 S.C.R. 471, at paragraph 24.

[50]      The Tribunal’s findings of fact as to the subject-matter of the complaint referred to it for determination are to be accorded deference and are reviewable on a standard of reasonableness. Paragraph 18.1(4)(d) of the Federal Courts Act provides that the Court can intervene only if it considers that the board “based its decision or order on an erroneous finding of fact that it made in a perverse or capricious manner or without regard for the material before it”: see Mugesera v. Canada (Minister of Citizenship and Immigration), 2005 SCC 40, [2005] 2 S.C.R. 100, at paragraph 38. There was no serious attempt made in these proceedings to challenge the Tribunal’s finding that the article “AIDS Secrets” contravened subsection 13(1) and it will not be necessary for me to review the evidence in support of that finding.

In determining whether to apply section 13 of the Act, was it appropriate for the Tribunal to consider the manner in which the Commission exercises its statutory mandate?

[51]      The constitutional basis for allowing Canadians to assert their Charter rights in the most accessible form available and without the need for bifurcated proceedings between superior courts and administrative tribunals is beyond dispute. The denial of early access to remedies when early or immediate access is clearly needed or when delay itself is a perpetuation of a Charter violation is in effect a denial of an appropriate and just remedy, as Lamer J. [as he then was] pointed out in his dissent to Mills v. The Queen, [1986] 1 S.C.R. 863, at page 890. And as stated by the Supreme Court in Conway, at paragraph 79:

Over two decades of jurisprudence has confirmed the practical advantages and constitutional basis for allowing Canadians to assert their Charter rights in the most accessible forum available, without the need for bifurcated proceedings between superior courts and administrative tribunals (Douglas College, at pp. 603–4; Weber, at para. 60; Cooper, at para. 70; Martin, at para. 29). The denial of early access to remedies is a denial of an appropriate and just remedy, as Lamer J. pointed out in Mills, at p. 891. And a scheme that favours bifurcating claims is inconsistent with the well-established principle that an administrative tribunal is to decide all matters, including constitutional questions, whose essential factual character falls within the tribunal’s specialized statutory jurisdiction (Weber; Regina Police Assn.; Quebec (Commission des droits de la personne et des droits de la jeunesse); Quebec (Human Rights Tribunal); Vaughan; Okwuobi. See also Dunsmuir v. New Brunswick, 2008 SCC 9, [2008] 1 S.C.R. 190, at para. 49.).

[52]      In the present case, the Tribunal has the authority to receive systemic evidence as to how section 13 is administered and the effects of the legislation but it has no jurisdiction to review the actions of the Commission. There is nothing in sections 50 to 54 of the Act, which define the Tribunal’s powers in conducting an inquiry, to give it such authority. See, in this respect, Cooper v. Canada (Human Rights Commission), [1996] 3 S.C.R. 854 [Cooper], at paragraph 50. The controversy between the parties is over the nature and extent of the Tribunal’s review of the Commission’s actions in this case.

[53]      It is, therefore, clear that the Tribunal had the authority and duty to receive systemic evidence as to how section 13 is administered and the effects of the legislation in determining the constitutional motion brought before it. The Tribunal’s view of this responsibility is set out at paragraphs 286–290 of its decision. While it acknowledged that the position advanced by the Attorney General that it had no jurisdiction to sit in review of the decisions taken by the Commission was correct, it considered that the real and factual context in which the enactment exists and is applied could not be ignored.

[54]      However, the Tribunal can only consider Charter issues that arise in the course of a matter within the jurisdiction of the Tribunal: Martin, at paragraph 45; Tranchemontagne v. Ontario (Director, Disability Support Program), 2006 SCC 14, [2006] 1 S.C.R. 513, at paragraph 24. The question is whether the remedy in question is one that the legislature intended would fit within the statutory framework of the particular tribunal; Conway, at paragraph 82.

[55]      The CHRA establishes two distinct institutions, each of which has a particular role as described by the statute. It sets out a complete mechanism for dealing with human rights complaints. Central to this mechanism is the Commission. Under the scheme of the Act, the Commission is the body empowered to accept, manage and process complaints of discriminatory practices. The Tribunal has no statutory mandate under the Act with respect to its administration, except as set out in section 50 which provides that “it shall inquire into the complaint” when a request is made by the Commission that it do so. These factors suggest that the legislature did not intend that the Tribunal would have the authority to find the Act inoperative based on the manner in which the statute was administered.

[56]      In particular, the Tribunal has no jurisdiction over the exercise of the Commission’s discretion under CHRA subsection 44(3) (rejecting or referring a complaint) and section 47 (appointing a conciliator). The proper way to challenge a Commission decision in respect of such matters is through judicial review by the Federal Court.

[57]      In exercising its authority, the Tribunal cannot collaterally question a Commission decision that is within the statutory authority of that body. This is properly left to judicial review: Baker v. Canada (Minister of Citizenship and Immigration), [1999] 2 S.C.R. 817, at paragraph 53; Sam Lévy & Associés Inc. v. Mayrand, 2005 FC 702, [2006] 2 F.C.R. 543 [Sam Lévy & Associés Inc.], at paragraph 169, affirmed by 2006 FCA 205, 58 Admin. L.R. (4th) 255, leave to appeal to the S.C.C. refused, [2006] 2 S.C.R. xi; and Canada v. Prentice, 2005 FCA 395, [2006] 3 F.C.R. 135, at paragraphs 32–33, leave to appeal to S.C.C. refused, [2006] 1 S.C.R. xiii.

[58]      The concern that the Commission referred this complaint to the Tribunal even though most of the impugned material had been moved from the Internet is, in effect a comment on the Commission’s decision to request that the Tribunal hold an inquiry. That is outside the Tribunal’s mandate. The Tribunal compounded the error when it commented on other complaints that had been referred to it in similar circumstances and remarked on the low settlement rate for section 13 complaints and on the fact that the Commission did not generally offer to mediate such matters Those questions were not before the Tribunal for inquiry.

[59]      The member took a critical view of the manner in which the Commission’s investigation was conducted and factored that into his conclusion that the scheme was constitutionally flawed. The member considered that the Commission should have made additional efforts to communicate with Mr. Lemire and questioned that the Commission proceeded with the complaint when Mr. Lemire had taken down the message board and deleted the post found to constitute a hate message from his website prior to the proceedings.

[60]      In this instance, the member accepted Mr. Lemire’s contention that the complainant and the Commission declined to mediate or conciliate a settlement to the complaint. This is not borne out by the record of the Tribunal proceedings. Repeated efforts were made to engage Mr. Lemire in mediating or negotiating a settlement of the complaint. However, they were conditional on Lemire’s acceptance of a cease and desist order, which he refused to accept.

[61]      The member’s analysis that this complaint had not been handled in a sufficiently conciliatory and remedial fashion does not reflect the record. The member declined to receive information pertaining to the settlement efforts on the ground that such information was privileged. However, he allowed Mr. Lemire to repeatedly question Mr. Warman and Commission staff as to why the complaint had not been withdrawn following removal of the “AIDS Secrets” article. The proceedings were adjourned on at least one occasion, February 1, 2007, to allow such discussions to take place.

[62]      Absent a cease and desist order there was nothing to prevent the strategic removal of material in violation of the Act and reposting of it as soon as the complaint had been withdrawn. Mr. Lemire argued on this application that had he done so the complaint could be filed again. “Relaying a one page complaint doesn’t seem to be too much of a hassle” as his counsel put it in oral argument. I disagree. Bad faith of this nature would render the process essentially meaningless and ineffective and is hardly consistent with the objectives of the legislation.

[63]      As was noted by counsel for the Attorney General of Canada before the Tribunal, the hearing went beyond the scope of the Tribunal’s mandate to determine the factual and legal issues and became an inquiry into the manner in which the complainant and the Commission conducted themselves in relation to the complaint. The Tribunal stepped over the line of its proper role—adjudication of the complaint—and assumed the role the Court would have upon an application for judicial review of the actions or decisions of the Commission.

[64]      Section 13 cases, while few in number, tend to be among the most intractable handled by the Commission due to the nature of hate speech. They do not lend themselves easily to mediation or conciliation. See for example Richard Moon, Report to the Canadian Human Rights Commission Concerning Section 13 of the Canadian Human Rights Act and the Regulation of Hate Speech on the Internet (October 2008) (Moon Report), at page 10: “In contrast to other discrimination complaints, conciliation tends to play only a minor role in section 13 cases because the expression that is the subject of the complaint is often extreme in character, and because the parties ordinarily have no relationship prior to the complaint.” See also Lawrence McNamara, “Tackling Racial Hatred: Conciliation, Reconciliation and Football” (2000), 6(2) Austl. J. H. R. 5, at pages 24–25; and Philip Bryden and William Black, “Mediation as a Tool for Resolving Human Rights Disputes: An Evaluation of the B.C. Human Rights Commission’s Early Mediation Project” (2004), 37 U.B.C. L. Rev. 73. These cases represent a small part of the workload for both the Commission and the Tribunal. The Commission’s Annual Report 2006 (Ottawa: Public Works and Government Services Canada, 2007 [2006 Report]), at pages 7 and 24 shows that between 2002 and 2006 the Commission received 57 section 13 allegations of which 55 were complaints of hate messages on the Internet. Twenty-nine of the 55 complaints were sent to the Tribunal. In all, the Commission dealt with 6 003 allegations of all types during the years 2002-2006 (2006 Report, at page 7), 591 of which were referred to the Tribunal (2006 Report, at page 21). Section 13 complaints represented only 1 percent to 2 percent of the total number of complaints dealt with by the Commission.

[65]      While the Tribunal member clearly understood the difficulties presented by such proceedings, it was unreasonable of him to expect that this matter could have been resolved by conciliation or that the Commission and Mr. Warman would abandon the complaint when Lemire removed the one article found to communicate hate for which Lemire was found to be directly responsible. Decisions were required from the Tribunal on the nature of the content found on Lemire’s site and on the extent of his involvement with the other websites.

[66]      The member directly linked his finding that Mr. Lemire had “amended his conduct by removing the impugned material as soon as he learned of the complaint against him” to his conclusion that the process Lemire experienced was not what the Supreme Court understood in Taylor. However, the fundamental structure of the human rights process under the Act has not changed since Taylor. Referring a complaint to conciliation is and was but one of the many routes that the Commission may pursue to resolve a complaint. The structure on which the Supreme Court based its decision and upon which the Tribunal sought to distinguish Taylor has not changed. What changed, as the Tribunal properly found, were the remedies.

[67]      As counsel for the Commission pointed out in argument, the practical difficulties that may arise when the Tribunal strays outside of its mandate, as experienced in this case, were foreshadowed by the following comment of Justice La Forest in Cooper, above, at paragraph 65:

I would add a practical note of caution with respect to a tribunal’s jurisdiction to consider Charter arguments. First, as already noted, a tribunal does not have any special expertise except in the area of factual determinations in the human rights context. Second, any efficiencies that are prima facie gained by avoiding the court system will be lost when the inevitable judicial review proceeding is brought in the Federal Court. Third, the unfettered ability of a tribunal to accept any evidence it sees fit is well suited to a human rights complaint determination but is inappropriate when addressing the constitutionality of a legislative provision. Finally, and perhaps most decisively, the added complexity, cost, and time that would be involved when a tribunal is to hear a constitutional question would erode to a large degree the primary goal sought in creating the tribunals, i.e., the efficient and timely adjudication of human rights complaints.

[68]      The hearings before the Tribunal in this matter took more than 18 months to complete. Many of the hearing days were expended on evidence relating to the Commission’s investigation and treatment of section 13 cases despite repeated objections. Another year was required to produce the decision. The “inevitable judicial review proceeding” followed. As forecast by Justice La Forest in Cooper, the added complexity, cost and time involved in hearing this matter eroded any pretence of an efficient and timely adjudication of the complaint.

[69]      The Tribunal erred in focusing its attention on the Commission’s administration of the statute in this case, a subject beyond its mandate and the scope of its authority.

[70]      I will turn now to the constitutional question. As the Commission submits, section 13 of the Act may be found to be unconstitutional only if the legislation itself is the source of the Charter violation. Administration of the statute by the Commission cannot, in itself, render the statute unconstitutional: Eldridge v. British Columbia (Attorney General), [1997] 3 S.C.R. 624 (Eldridge), at paragraph 20; and Thomson v. Alberta (Transportation and Safety Board), 2003 ABCA 256, 330 A.R. 262 (Thomson), at paragraph 44; leave to appeal to S.C.C. refused, [2004] 1 S.C.R. xv.

[71]      If the Commission has performed its statutory mandate in a manner inconsistent with the Charter, subsection 24(1) is the appropriate provision of the Charter upon which to grant a remedy, not subsection 52(1) [of the Constitution Act]: Eldridge, at paragraph 20; Thomson, at paragraph 44; and Little Sisters Book and Art Emporium v. Canada (Minister of Justice), 2000 SCC 69, [2000] 2 S.C.R. 1120 [Little Sisters], at paragraph 133. Section 24 remedies which do not involve striking down the legislation would include such things as a stay of proceedings, the exclusion of evidence in the particular matter or the referral back to the administrative decision maker with appropriate directions as to how the matter ought to be decided. Those are all remedies which the Court could grant on judicial review.

Do section 13, subsections 54(1) and (1.1) of the CHRA violate paragraph 2(b) of the Charter and, if so, are they saved by section 1 of the Charter?

[72]      I start from the proposition, as did the Tribunal, that Taylor remains binding unless persuaded that it is no longer precedential authority due to changed factual and legal circumstances since it was decided. Mr. Lemire, the CCLA, the BCCLA and the CFSL argue that the inclusion of a penalty provision in the section 13 regime is sufficient to distinguish this case from Taylor. Alternatively, they contend that the extension of the regime to the Internet is an alternate ground on which to uphold the Tribunal’s decision, notwithstanding that the Tribunal did not rely on that ground: Perka et al. v. The Queen, [1984] 2 S.C.R. 232, at page 240:

In both civil and criminal matters it is open to a respondent to advance any argument to sustain the judgment below, and he is not limited to appellants’ points of law. A party cannot, however, raise an entirely new argument which has not been raised below and in relation to which it might have been necessary to adduce evidence at trial.

[73]      The Commission, Mr. Warman, B’nai Brith and the ACLC submit that Taylor is still applicable to the modified section 13 regime. They accept that paragraph 54(1)(c) and subsection 54(1.1) of the CHRA (the penalty provisions) can not be justified under section 1 of the Charter but contend that this constitutional infirmity is not sufficient to strike down the section 13 regime as a whole.

[74]      The arguments raised by the parties who urge the Court to distinguish Taylor are, in essence, that the regime has become too punitive—this is the argument adopted by the Tribunal—and that the Internet has considerably broadened the application of section 13—this argument was not accepted by the Tribunal. As a result, they contend, section 13 now fails the minimal impairment test and/or the proportionality of the effects test of section 1 of the Charter.

[75]      It is trite law that a court cannot assess the constitutionality of a provision in a factual vacuum: MacKay v. Manitoba, [1989] 2 S.C.R. 357, at pages 361–362; and Martin, at paragraph 30. The courts must look at the social context and the legislative facts that surround the impugned legislation: RJR-MacDonald Inc v. Canada (Attorney General), [1995] 3 S.C.R. 199 (RJR-MacDonald), at paragraphs 129 and 132–133; Rocket v. Royal College of Dental Surgeons of Ontario, [1990] 2 S.C.R. 232 [Rocket], at pages 246–247; and Reference re Upper Churchill Water Rights Reversion Act, [1984] 1 S.C.R. 297, at page 318. In this case, some of the legislative effects of section 13 can only be “measured” through the actions of the Commission to which the CHRA gives substantial discretionary power and important responsibilities.

[76]      As stated in Canadian Egg Marketing Agency v. Richardson, [1998] 3 S.C.R 157, at paragraph 97 the effects of the legislation have to be considered because: “It is possible that those effects might, over time, acquire such significance as to become the dominant feature of the legislation, thereby displacing the original purpose.” And at paragraph 98 the Court stated:

There are two types of effect which must be examined in order to properly categorize the dominant feature of the legislative scheme: legal effect, and practical effect (Morgentaler, supra, at pp. 482-88). The legal effect has been described as “how the legislation as a whole affects the rights and liabilities of those subject to its terms, and is determined from the terms of the legislation itself” (Morgentaler, at p. 482) …. the second type of effect mentioned in Morgentaler, supra, at p. 483, … is the “actual or predicted practical effect of the legislation in operation”.

[77]      The Oakes test requires an analysis of the factual and contextual background of the impugned legislation. Where the statute itself does not carry any infringing effects but the complaint is with administrative actions, as in Little Sisters, the legislation in question should be upheld. In this context, in determining whether the statute is unconstitutional, the actions of the CHRC are relevant to the extent that the Act authorizes the Commission to act unconstitutionally. Absent such a finding, the proper means to obtain a remedy would have been to seek judicial review of the Commission’s actions: Eldridge, at paragraph 20; Thomson, at paragrah 44; and Sam Lévy et Associés Inc., at paragraph 169.

(a) Freedom of Expression

[78]      It is important to recall at the outset of this analysis that even hate speech is protected under paragraph 2(b) of the Charter: Taylor, at page 914. As indicated in Irwin Toy Ltd. v. Quebec (Attorney General), [1989] 1 S.C.R. 927 (Irwin Toy), paragraph 2(b) covers nearly any form of expression except physical violence, which hate speech is not: Taylor, at page 915; and R. v. Keegstra, [1990] 3 S.C.R. 697 [Keegstra], at page 732. In determining if paragraph 2(b) applies we must not look at the content of the expression: Keegstra, at pages 729–730. The content and value of the expression are only relevant at the section 1 justification stage: Taylor, at pages 914–915.

(b) Objective and Context of Section 13

[79]      Most of the interested parties agree that the objectives of section 13, the suppression of hate speech and the promotion of equality, are pressing and substantial. Only Mr. Lemire and the CFSL appear to take issue with that proposition. Neither, in my view, have submitted any valid argument as to why the objective of section 13 is not pressing and substantial and why this Court should depart from Taylor on that point.

[80]      Lemire and the interveners in support of his position contend that the Internet has resulted in a radical change in communications and provides a means to instantly counter hate speech that was not available when Taylor was decided. Educating and counter-arguing through the Internet is a more effective means to counter hate speech than to prohibit and infringe freedom of expression, they argue, while the effect of section 13 is to censure legitimate debate in the search for truth. In their view, the meaning of the term “hate” is subjective and vague and inaccessible to the public who post messages on the Internet.

[81]      Lemire further questions the legitimacy of the finding in Taylor, that hate speech can cause substantial pyschological stress, arguing that the Supreme Court relied not on expert evidence, such as he presented to the Tribunal, but on extrinsic research, to reach that conclusion.

[82]      On the question of the objective, Chief Justice Dickson stated in Taylor, at page 919:

In seeking to prevent the harms caused by hate propaganda, the objective behind s. 13(1) is obviously one of pressing and substantial importance sufficient to warrant some limitation upon the freedom of expression. It is worth stressing, however, the heightened importance attached to this objective by reason of international human rights instruments to which Canada is a party and ss. 15 and 27 of the Charter.

[83]      In arriving at this conclusion, the Chief Justice looked at the purpose of the CHRA, found in section 2 of the CHRA, the legislative history and the evidence of harm caused by hate speech (Taylor, at pages 917–919). He also indicated that the objective was compatible with international law as well as other Charter values, equality and multiculturalism (at pages 919–921):

The stance taken by the international community in protecting human rights is relevant in reviewing legislation under s. 1, and especially in assessing the significance of a government objective (Slaight Communications Inc. v. Davidson, [1989] 1 S.C.R. 1038). Both Article 4 of the International Convention on the Elimination of All Forms of Racial Discrimination, Can. T.S. 1970 No. 28, and Article 20 of the International Covenant on Civil and Political Rights, 999 U.N.T.S. 171 (1966), as well as the jurisprudence of the European Convention for the Protection of Human Rights and Fundamental Freedoms, 213 U.N.T.S. 221 (1950) (see, e.g., Eur. Comm. H. R., Applications Nos. 8348/78 and 8406/78, Glimmerveen v. Netherlands, October 11, 1979, D.R. 18, p. 187) demonstrate that the commitment of the international community to eradicate discrimination extends to the prohibition of the dissemination of ideas based on racial or religious superiority.

Indeed, in 1983 a complaint to the United Nations Human Rights Committee by Mr. Taylor and the Western Guard Party alleging a violation of the freedom of expression guaranteed in the International Covenant on Civil and Political Rights was rejected on the ground that “the opinions which Mr. T. seeks to disseminate through the telephone system clearly constitute the advocacy of racial or religious hatred which Canada has an obligation under article 20(2) of the Covenant to prohibit”: Taylor and Western Guard Party v. Canada, Communication No. 104/1981, Report of the Human Rights Committee, 38 U.N. GAOR, Supp. No. 40 (A/38/40) 231 (1983), para. 8(b), decision reported in part at (1983), 5 C.H.R.R.D/2097. This conclusion is indicative of the approach taken in the realm of international human rights, and thus emphasizes the substantial weight which must be given the aim of preventing the harms caused by hate propaganda.

That the values of equality and multiculturalism are enshrined in ss. 15 and 27 of the Charter further magnify the weightiness of Parliament’s objective in enacting s. 13(1). These Charter provisions indicate that the guiding principles in undertaking the s. 1 inquiry include respect and concern for the dignity and equality of the individual and a recognition that one’s concept of self may in large part be a function of membership in a particular cultural group. As the harm flowing from hate propaganda works in opposition to these linchpin Charter principles, the importance of taking steps to limit its pernicious effects becomes manifest.

[84]      Chief Justice Dickson arrived at the same conclusion in Keegstra, at pages 744–758. He stated, at page 758:

In my opinion, it would be impossible to deny that Parliament’s objective in enacting s. 319(2) is of the utmost importance. Parliament has recognized the substantial harm that can flow from hate propaganda, and in trying to prevent the pain suffered by target group members and to reduce racial, ethnic and religious tension in Canada, has decided to suppress the willful promotion of hatred against identifiable groups. The nature of Parliament’s objective is supported not only by the work of numerous study groups, but also by our collective historical knowledge of the potentially catastrophic effects of the promotion of hatred (Jones, supra, per La Forest J., at pp. 299-300). Additionally, the international commitment to eradicate hate propaganda and the stress placed upon equality and multiculturalism in the Charter strongly buttress the importance of this objective. I consequently find that the first part of the test under s. 1 of the Charter is easily satisfied and that a powerfully convincing legislative objective exists such as to justify some limit on freedom of expression.

[85]      These international commitments have not changed and remain valid: Moon Report, at pages 17–19; and Canadian Human Rights Commission, Special Report to Parliament: Freedom of Expression and Freedom From Hate in the Internet Age (Ottawa: Canadian Human Rights Commission, 2009) (CHRC Special Report), at pages 9–10. The jurisprudence of the Tribunal on the topic is quite extensive: see Citron v. Zundel, 2002 CanLII 23557 (Citron), at paragraphs 174–180; and Schnell v. Machiavelli and Associates Emprize Inc., 2002 CanLII 1887 (C.H.R.T.) (Schnell), at paragraph 144. As B’nai Brith has submitted, a number of recent studies and reports confirm that the dangers of hate propaganda remain substantial today. This is supported by the CHRC Special Report, at Part I. The danger of hate speech was also recognized by the Supreme Court in Mugesera v. Canada (Minister of Citizenship and Immigration), 2005 SCC 40, [2005] 2 S.C.R. 100 [cited above], in the context of inciting crimes against humanity.

[86]      In this case, the Tribunal agreed that the suppression of hate speech remains a valid objective. The Tribunal heard the opinion evidence presented by Mr. Lemire and reached the conclusion that there was insufficient evidence to revisit the findings of Taylor on this point (see the decision, at paragraphs 226–240). On a question such as this, which involves a mixed question of fact and law, the Court owes deference to the Tribunal: RJR-MacDonald, at paragraph 151.

[87]      Until recently, it was clear that Parliament continued to support the objective of section 13 as evidenced by the amendments to give the regime stronger remedies. The mandate to promote equality and seek resolution of human rights conflicts through the administration of section 13 was given to the CHRC. As noted above, the House of Commons has recently supported a private member’s bill to repeal the section, the effect of which would be to leave the suppression of hate speech to criminal prosecution. This is part of the social and political context of the legislation that must be considered when applying the Oakes test: Ross v. New Brunswick School District No. 15, [1996] 1 S.C.R. 825 (Ross), at paragraph78; Rocket, at paragraph 28; RJR-MacDonald, at paragraphs 62-63.

[88]      Notwithstanding the recent legislative effort to repeal section 13, I have no difficulty concluding that the objective of the enactment continues to be substantial and pressing.

(c) Rational Connection

[89]      Mr. Lemire submits in support of his position that there is no rational connection between the objective and the means used to achieve the objective. The Tribunal was not persuaded that the extension of the scope of section 13 to the Internet demonstrated the absence of a rational connection between the provision and its objectives, as was argued, because the same material may be freely available in a library or bookstore.

[90]      On this application, Mr. Lemire and the interveners supporting his position make two points; the first concerning the lack of evidence of harm was dealt with above . The second is the lack of evidence that section 13 has had a positive effect on diminishing hate speech on the Internet. They argue that section 13 has no effect on hate speech originating in other countries and posted by their nationals (see the Moon Report, at pages 26–27) as it has no extraterritorial application.

[91]      The Tribunal found that there was no evidence with respect to the availability outside of the Internet of the message which Mr. Lemire was found to have communicated within the meaning of section 13. Dissemination of printed material likely to expose persons to hatred or contempt could constitute a discriminatory practice under provincial legislation. Communication through the Internet is also consistently been found to be repeated communications within section 13’s meaning. Such communications, the Tribunal wrote, are not necessarily comparable to messages conveyed in print form through traditional means.

[92]      In discussing the question of the rational connection between Parliament’s objective in enacting section 13 and the means chosen, Chief Justice Dickson had the following to say in Taylor, at pages 923–924:

In my view, once it is accepted that hate propaganda produces effects deleterious to the guiding principles of s. 2 of the Canadian Human Rights Act, there remains no question that s. 13(1) is rationally connected to the aim of restricting activities antithetical to the promotion of equality and tolerance in society. The section labels as discriminatory the transmission of messages likely to expose individuals to hatred or contempt by reason of their being identifiable on the basis of certain characteristics, including race and religion. Sections 41 and 42 of the Act [now s. 54] allow the Human Rights Tribunal to issue a cease and desist order against an individual found to be engaging in this discriminatory practice, and this order can be enforced upon application to the Federal Court of Canada by the Commission (s. 43). In sum, when conjoined with the remedial provisions of the Canadian Human Rights Act, s. 13(1) operates to suppress hate propaganda and its harmful consequences, and hence is rationally connected to furthering the object sought by Parliament.

In addition, although criminal law is not devoid of impact upon the rehabilitation of offenders, the conciliatory nature of the human rights procedure and the absence of criminal sanctions make
s. 13(1) especially well suited to encourage reform of the communicator of hate propaganda.

In combating discrimination legislative efforts to suppress hate propaganda are but one available form of response, and the fact that the international community considers such laws to be an important weapon against racial and religious intolerance strongly suggests that s. 13(1) cannot be viewed as ineffectual.

[93]      In comparison with the recorded telephone messages in Taylor, the websites in question here are very different mediums of communication. Where Mr. Taylor went out into the community and passed out pieces of paper urging people to call a number for a message, the website Lemire controlled is but one of many in the Internet universe that requires some effort to find and access the content. However, at most it would require either the entry of the site uniform resource locator (URL) in the browser address bar or a few key words in a web search engine. This is the modern equivalent of Mr. Taylor’s little pieces of paper bearing the telephone number. The communications are available to any member of the public who has access to a computer and an Internet service provider account. In this instance, the Tribunal found, Mr. Lemire advertised the Freedomsite.org website on Stormfront.org and invited visitors.

[94]      I acknowledge the force of the argument that callers to Taylor’s recorded message received just one perspective whereas today, multiple perspectives are available on the Internet . It is true that there are opportunities to contest and refute that were not available in listening to a recorded message. Is that reason enough to distinguish the Internet environment from that considered by the Supreme Court in Taylor? I don’t think so. While it may be possible in some instances to respond to information presented or offer counterarguments that is not always the case.

[95]      Apart from the technology, there is little to choose between Taylor’s callers and like-minded individuals looking for confirmation of their views on a white supremacist website. And the suggestion that they are open to countervailing views can not be taken seriously.

[96]      The Internet has made it considerably easier to access hate speech than the strategies employed by Mr. Taylor: Canada (Human Rights Commission) v. Winnicki, 2005 FC 1493, [2006] 3 F.C.R. 446, at paragraph 32. It has also made it more difficult to restrain such activities: Moon Report, at pages 26–27; Yaman Akdeniz, “Governing Racist Content on the Internet: National and International Responses” (2007), 56 U.N.B.L.J. 103. The Internet is an inexpensive means of mass distribution of ideas, recruitment of followers and promotion of intolerance. It also permits a degree of anonymity to people who might not publicly express hateful ideas if they were being held accountable for them.

[97]      As indicated by Chief Justice Dickson in Keegstra, at page 784, there are many ways to regulate hate speech, and Parliament is entitled to use more than one approach to reach its goal:

It is important, in my opinion, not to hold any illusions about the ability of this one provision [subsection 319(2) of the Criminal Code] to rid our society of hate propaganda and its associated harms. Indeed, to become overly complacent, forgetting that there are a great many ways in which to address the problem of racial and religious intolerance, could be dangerous. Obviously, a variety of measures need be employed in the quest to achieve such lofty and important goals.

[98]      The Tribunal has previously held that the Internet facilitates hate speech and thus section 13 should apply with greater force to that medium: Schnell, at paragraph 156; see also Chris Gosnell, “Hate Speech on the Internet: A Question of Context” (1998), 23 Queen’s L.J. 369. The Ontario Court of Appeal has expressed a similar view with regards to defamation on the Internet: Black v. Breeden, 2010 ONCA 547, 102 O.R. (3d) 748, at paragraph 65; and Barrick Gold Corp. v. Lopehandia, 2004 CanLII 12938, 71 O.R. (3d) 416 (C.A.), at paragraphs 29–35.

[99]      As found by the Tribunal at paragraph 231 of the decision, the conclusion in Taylor on rational connection to the legislative objective still applies. I am of the same view.

(d) Minimal Impairment

[100]   This is the stage of the analysis at which the Tribunal found that section 13 was no longer justified. The Tribunal held that the monetary penalty of paragraph 54(1)(c) of the CHRA no longer minimally impaired paragraph 2(b) of the Charter. The Tribunal based this finding on the ground that one of the reasons for minimal impairment in Taylor was the conciliatory nature of the Act. The member found that this was no longer true based on the administration of the Act by the Commission and based on what he considered to be the “now penal nature” of the Act.

[101]   The concept of minimal impairment requires that Parliament choose the least restrictive means that can actually create results to meet the objective of the legislation: Alberta v. Hutterian Brethren of Wilson Colony, 2009 SCC 37, [2009] 2 S.C.R. 567, at paragraph 53; Keegstra, at pages 784–785; and Peter Hogg, Constitutional Law of Canada, 5th ed. loose-leaf (Toronto: Carswell, 2007) (Hogg), at pages 38–36 to 38–43. The legislative history of section 13 indicates that Parliament concluded that cease and desist orders were no longer sufficient to meet the objective of the legislation. The Tribunal has commented on the inadequacy of such orders: Citron, at paragraph 298. Parliament has to choose between imperfect alternatives and courts owe some deference to the legislative choice: Ross, at paragraph 88; and Canada (Attorney General) v. JTI-Macdonald Corp, 2007 SCC 30, [2007] 2 S.C.R. 610 (JTI-Macdonald Corp), at paragraph 41. This is especially true when the impugned legislation, like the CHRA, seeks to protect vulnerable groups: Ross, at paragraph 86; Irwin Toy, at paragraph 79; R. v. Edwards Books and Art Ltd., [1986] 2 S.C.R. 713 (Edwards Books), at page 781; and Robert J. Sharpe and Kent Roach, The Charter of Rights and Freedoms, 4th ed. (Toronto: Irwin Law, 2009) (Sharpe and Roach), at pages 81–82.

[102]   In Citron, at paragraph 294 and in Schnell, at paragraph 160, the Tribunal upheld the constitutionality of section 13 with the penalty provision. In this matter, the Tribunal distinguished those rulings on the basis that at the time they were decided, data on the activities of the Commission was not available to be considered. Since, as I have earlier discussed, it was not open to the Tribunal to review the manner in which the Commission conducts its investigations, this can not justify arriving at a different conclusion than in the prior Tribunal decisions and in Taylor.

[103]   The Tribunal found, at paragraphs 287–290 of its decision, that the majority in Taylor:

… was clearly of the view, and relied upon its perception, that many, if not all, of the conciliatory measures provided for in the Act would find their way into all s. 13 proceedings.

As I have pointed out several times in this decision, Mr. Lemire had not only “amended” his conduct by removing the impugned material, but sought conciliation and mediation as soon as he learned of the complaint against him. The process understood by the Supreme Court was not what Mr. Lemire experienced.

In my view, it is clear that Taylor’s confidence that the human rights process under the Act merely serves to prevent discrimination and compensate victims hinged on the absence of any penal provision akin to the one now found at s. 54 (1) (c), as well as on the belief that the process itself was not only structured, but actually functioned in as conciliatory a manner as possible. The evidence before me demonstrates that the situation is not as the Court contemplated in both respects.

[104]   Unlike the Tribunal, I find no support in Taylor for the proposition that the majority was “clearly of the view … that many, if not all, of the conciliatory measures provided for in the Act would find their way into all s. 13 proceedings”, that “[t]he process understood by the Supreme Court was not what Mr. Lemire experienced” or that “the situation is not as the Court contemplated in both respects.” There is no evidence either in Taylor or in the Tribunal decision of what the Commission’s actual pre-referral practices were when Taylor was decided and how, or whether they have changed. The Tribunal’s view of the Supreme Court’s understanding of the process is based entirely upon comments in the dissenting decision of Justice McLachlin, as she then was.

[105]   Moreover, the Tribunal appears to have interpreted Taylor as meaning that the only justification for section 13 was that it was solely conciliatory and remedial. However, this is not the case. Chief Justice Dickson indicated that the minimal impairment test was met because section 13 was less penal and more conciliatory than criminal law.

[106]   The only non-remedial aspects of the regime are the penalty provisions adopted in 1998.

[107]   It is true that the majority recognized that human rights legislation generally operates in a less confrontational manner in contrast with criminal procedure and that the opportunities for a conciliatory settlement made section 13 especially well suited to encourage reform of the communicator of hate propaganda. But the majority’s description of its understanding of the human rights complaint process that was in place at the time, as set out at pages 909–910 of Taylor, was based on the discussion by the Federal Court of Appeal, in the decision appealed from, which focused on how the Commission process met the requirements of natural justice such as notice, disclosure, the opportunity to be heard and access to judicial review. The Tribunal read into the majority’s reasons an emphasis on conciliation that, in my respectful view, is not there.

[108]   Nonetheless, I agree with the Tribunal that the addition of the penalty provision has fundamentally altered the nature of the section 13 process and brought it uncomfortably close to the state’s ultimate control measure, criminal prosecution, with which it was favourably compared by the Court in Taylor.

[109]   I note here that the discussion of the penalty provision in this matter has been somewhat artificial. When it was clear that Mr. Lemire would not be held accountable for the JRBooksonline.com content, the Commission abandoned its request for a financial penalty. The greater concern for Lemire, as the record makes clear, was always the possibility of a “cease and desist” order.

[110]   As discussed by the Tribunal, the financial penalty which could be imposed under paragraph 54(1)(c) may have true penal consequences as described in R. v. Wigglesworth, [1987] 2 S.C.R. 541, at page 561—either imprisonment or a fine which by its magnitude would appear to be imposed for the purpose of “redressing the wrong done to society at large”. The maximum amount is not insignificant and failure to pay it could result in contempt proceedings in this Court with a possible sanction of imprisonment until the contempt was purged.

[111]   The penalty in this instance is distinguishable from that discussed in Martineau v. M.N.R., 2004 SCC 81, [2004] 3 S.C.R. 737, at paragraphs 36 and 45. In that case, the Court found that a demand for an “ascertained forfeiture” of $315 458 under the Customs Act, R.S.C., 1985 (2nd Supp.), c. 1, was not intended to punish an offender in order to produce a deterrent effect and redress a wrong to society but rather to be a mechanism to ensure compliance with the statute. The amount was determined through a mathematical calculation based on the value of the property involved that had been falsely declared.

[112]   I note that in its written submissions to the Tribunal, the Attorney General took the position that the penalty provisions were constitutionally valid because they were part of a broader regulatory scheme within federal jurisdiction; the conduct to which they were addressed is not criminal in nature; and the administrative penalty was not punitive but had other objects to ensure compliance with the preventative and remedial provisions of the Act. The Attorney General argued further that the penalties could be the subject of mediation and conciliation and must be tailored to the respondent’s ability to pay.

[113]   In my view, the penalty is inherently punitive. Like a fine, it goes into the general revenue fund and not towards any compensatory measure such as an education or victim’s fund. In Schnell, at paragraph 163, the Tribunal noted that paragraph 54(1)(c) was designed to express “society’s opprobrium for the discriminator’s conduct.” That view of the purpose of the penalty is enhanced by the factors set out in subsection 54(1.1) which are similar to those which a criminal court would consider in determining the fine to be imposed on someone found guilty of an offence. Included is the wilfulness or recklessness of the respondent’s discriminatory practice, his or her prior discriminatory practices and his or her ability to pay.

[114]   I agree with the Tribunal that these are all reasons to support a finding that the section 13 regime with these aspects can no longer be considered exclusively remedial. I part company with the Tribunal on its conclusion that this applies to the regime as a whole. As discussed below, I am satisfied that with severance of the problematic aspects, the regime can be preserved.

[115]   Mr. Lemire and certain of the interveners also contend that the concept of hate is too vague, that the application of section 13 to the Internet has made the scope of the provision too broad, and that the lack of a defence of truth and the lack of an intent requirement in section 13 makes the provision too harsh.

[116]   On the issue of intent, Chief Justice Dickson stated in Taylor, at pages 931–933:

An intent to discriminate is not a precondition of a finding of discrimination under human rights codes (Ontario Human Rights Commission and O’Malley v. Simpsons-Sears Ltd., [1985] 2 S.C.R. 536, at pp. 549-50; Bhinder v. Canadian National Railway Co., [1985] 2 S.C.R. 561, at p. 586). The preoccupation with effects, and not with intent, is readily explicable when one considers that systemic discrimination is much more widespread in our society than is intentional discrimination. To import a subjective intent requirement into human rights provisions, rather than allowing tribunals to focus solely upon effects, would thus defeat one of the primary goals of anti-discrimination statutes. At the same time, however, it cannot be denied that to ignore intent in determining whether a discriminatory practice has taken place according to s. 13(1) increases the degree of restriction upon the constitutionally protected freedom of expression. This result flows from the realization that an individual open to condemnation and censure because his or her words may have an unintended effect will be more likely to exercise caution via self-censorship.

The absence of an intent requirement in the Canadian Human Rights Act thus presents the Court with a conflict between the objective of eradicating the discriminatory effects of certain expressive activities and the need to keep to a minimum restrictions upon the freedom of expression. This conflict is perhaps best discussed under the “effects” segment of the Oakes proportionality test, for the question is not so much whether the objective of s. 13(1) can be accomplished in a less restrictive way as it is whether the sacrifice required in order to combat successfully discriminatory effects is so severe as to make the impact of s. 13(1) upon the freedom of expression unacceptable. Nevertheless, putting aside this categorizational point, it seems to me that the important Parliamentary objective behind s.13(1) can only be achieved by ignoring intent, and therefore the minimal impairment requirement of the Oakes proportionality test is not transgressed.

In sum, it is my opinion that the absence of an intent component in s. 13(1) raises no problem of minimal impairment when one considers that the objective of the section requires an emphasis upon discriminatory effects. Moreover, and this is where I am perhaps jumping ahead to the “effects” component of the proportionality test, the purpose and impact of human rights codes is to prevent discriminatory effects rather than to stigmatize and punish those who discriminate. Consequently, in this context the absence of intent in s. 13(1) does not impinge so deleteriously upon the s. 2(b) freedom of expression so as to make intolerable the challenged provision’s existence in a free and democratic society. [Emphasis in original.]

[117]   I see no reason to depart from the holding in Taylor that intent is not appropriate in non-criminal human rights schemes. Discrimination, even if committed unintentionally, remains discrimination. Adding an intent requirement would render section 13 ineffectual as it would make the provision nearly as difficult to establish as the criminal provision. Evidence of animus or the lack thereof may, however, assist the Tribunal to determine the appropriate remedy under section 54 of the CHRA.

[118]   With respect to the question of whether the lack of a defence of truth was fatal, Chief Justice Dickson had these comments in Taylor, at pages 934–935:

Although I have found the absence of an intent requirement in s. 13(1) to be constitutionally acceptable, the section evinces yet another feature which is said to give it a fatally broad scope. In contrast to s. 319(2) of the Criminal Code, s. 13(1) provides no defences to the discriminatory practice it describes, and most especially does not contain an exemption for truthful statements. Accepting that the value of truth in all facets of life, including the political, is central to the s. 2(b) guarantee, the question becomes whether a restriction upon freedom of expression is excessive where it operates to suppress statements which are either truthful or perceived to be truthful.

In Keegstra, I dealt in considerable detail with hate propaganda and the defence of truth, though in relation to the criminal offence of wilfully promoting hatred against an identifiable group. It was not strictly necessary in that appeal to decide whether or not this defence was essential to the constitutional validity of the impugned criminal provision, but I nevertheless offered an opinion on the matter, stating (at p. 781):

The way in which I have defined the s. 319(2) offence, in the context of the objective sought by society and the value of the prohibited expression, gives me some doubt as to whether the Charter mandates that truthful statements communicated with an intention to promote hatred need be excepted from criminal condemnation. Truth may be used for widely disparate ends, and I find it difficult to accept that circumstances exist where factually accurate statements can be used for no other purpose than to stir up hatred against a racial or religious group. It would seem to follow that there is no reason why the individual who intentionally employs such statements to achieve harmful ends must under the Charter be protected from criminal censure. [Emphasis in original.]

[119]   The parties have raised no new arguments with regards to those two points and I cannot see how this Court could depart from the above-cited reasoning of Chief Justice Dickson in Taylor. A statement, even if in essence technically true, may still constitute hate speech in certain contexts and cause harm. As I discuss below, controversial issues may be addressed without promoting hatred.

[120]   It is true that the application of section 13 to Internet communications has significantly broadened its scope. However, this has not necessarily resulted in greater impairment of the protected freedom. The reasoning in Taylor, in this respect, did not directly address the scope of the communication covered by section 13 but its effect on free speech. Apart from the penalty provision, which is addressed below, the effects remain the same.

[121]   I would note here that the application of section 13 to the Internet is not, in my view, dependent on the 2001 amendment which was, as it states, enacted “for greater certainty”. Section 13 as it read before the enactment of that amendment was broad enough to encompass Internet based telecommunications. This does not appear to have been questioned in these proceedings and the Tribunal did not rely on the 2001 amendment in reaching its conclusion. It did place great weight on the changing nature of the communications environment since Taylor, as did the parties supporting the Tribunal’s decision.

[122]   On the point of vagueness, raised by Mr. Lemire and the CFSL, the argument was rejected by the Supreme Court and the Tribunal. Taylor has created a very restrictive definition of what constitutes hate speech. This limits the application of section 13 and makes the infringement on freedom of expression minimal. Taylor, at pages 938–939:

As the preceding discussion shows, the freedom of expression is not unnecessarily impaired by s. 13(1) of the Canadian Human Rights Act. The terms of the section, in particular the phrase “hatred or contempt”, are sufficiently precise and narrow to limit its impact to those expressive activities which are repugnant to Parliament’s objective of promoting equality and tolerance in society. That no special provision exists to emphasize the importance of minimally impairing the freedom of expression does not create in s. 13(1) an overly wide or loose scope, for both its purpose and the common law’s traditional desire to protect expressive activity permit an interpretation solicitous of this important freedom.

[123]   Concerns about the possibility of an extension of section 13 to the traditional media, raised by the BCCLA, are diminished by the very narrow definition of what constitutes hate approved in Taylor. In Elmasry and Habib v. Roger’s Publishing and MacQueen (No. 4), 2008 BCHRT 378 (CanLII), 64 C.H.R.R. D/509 (Elmasry), for example, the complaint was dismissed on that ground.

[124]   The cases of Whatcott and Owens v. Saskatchewan (Human Rights Commission), 2006 SKCA 41 (CanLII), [2006] 7 W.W.R. 433 (Owens) in Saskatchewan; Boissoin v. Lund, 2009 ABQB 592 (CanLII) (Lund) in Alberta; and Elmasry in British Columbia, show that the restricted definition of hate does serve as an effective limit on the broadness of hate speech legislation. On this point, the Saskatchewan Court of Appeal had this to say in Whatcott, at paragraphs 73–74:

Some of the words and phrases taken in isolation are demeaning. It is not enough that particular words or phrases may be considered to meet the standard established in Taylor for “hatred” of calumny, detestation and vilification. It is doubtful if any of the words and phrases isolated by the Tribunal or the Queen’s Bench judge would, standing alone, meet the test set out in Taylor for hatred, i.e., detestation, calumny and vilification. Moreover, when examined in the context of a debate about the actions of the Saskatoon School Board, the entire flyer would not be seen by a reasonable person as communicating the level of emotion required to expose persons on the basis of their sexual orientation to a level of hatred within the meaning of that term as prescribed in Bell.

To use the derogatory form of a word is not by itself hatred. Many in Canadian society would find it offensive, may refrain from using such a word and not associate with persons who use the word. In balancing the right of freedom of expression against the limitation contained in s. 14(1)(b) of the Code, one must not seize on a word or phrase in isolation and censor persons who use the offensive form of a word or phrase in a publication. There, of course, will be circumstances in which a word or phrase in another context, or without any context, may well breach s. 14(1)(b) of the Code. This does not give a license to use such words or phrases, but neither is it obviously hatred within the meaning of s. 14(1)(b) of the Code.

[125]   The Tribunal has itself provided more precise guidelines as to what constitutes hate speech: see Warman v. Kouba, 2006 CHRT 50, at paragraphs 24–81. These are:

(a) The targeted group is portrayed as a powerful menace that is taking control of the major institutions in society and depriving others of their livelihoods, safety, freedom of speech and general well-being

(b) The messages use “true stories”, news reports, pictures and references from purportedly reputable sources to make negative generalizations about the targeted group.

(c) The targeted group is portrayed as preying upon children, the aged, the vulnerable, etc.

(d) The targeted group is blamed for the current problems in society and the world

(e) The targeted group is portrayed as dangerous or violent by nature

(f) The messages convey the idea that members of the targeted group are devoid of any redeeming qualities and are innately evil

(g) The messages communicate the idea that nothing but the banishment, segregation or eradication of this group of people will save others from the harm being done by this group

(h) The targeted group is de-humanized through comparisons to and associations with animals, vermin, excrement, and other noxious substances.

(i) Highly inflammatory and derogatory language is used in the messages to create a tone of extreme hatred and contempt

(j) The messages trivialize or celebrate past persecution or tragedy involving members of the targeted group [and]

(k) The messages contain calls to take violent action against the targeted group. [Boldface in original.]

[126]   These “hallmarks” of hate speech can not be characterized as vague and imprecise. They were applied in the present case to exclude many of the messages that formed part of the complaint. In the result, only one article met the stringent test: the “AIDS Secrets” article. It is thus possible to discuss controversial topics without infringing section 13 and causing harm to vulnerable groups. Simply put, there are ways to convey expression that is respectful of others and not hateful. This is in accord with the values of paragraph 2(b) of the Charter and the free exercise of democratic institutions.

            (e) Proportionality of Effects

[127]   Chief Justice Dickson discussed this element of the section 1 Charter analysis in Taylor, at pages 939–940:

It will be apparent from the preceding discussion that I do not view the effects of s. 13(1) upon the freedom of expression to be so deleterious as to make intolerable its existence in a free and democratic society. The section furthers a government objective of great significance and impinges upon expression exhibiting only tenuous links with the rationale underlying the freedom of expression guarantee. Moreover, operating in the context of the procedural and remedial provisions of the Canadian Human Rights Act, s. 13(1) plays a minimal role in the imposition of moral, financial or incarcerating sanctions, the primary goal being to act directly for the benefit of those likely to be exposed to the harms caused by hate propaganda. It is therefore my opinion that the degree of limitation imposed upon the freedom of expression by s. 13(1) is not unduly harsh, and that the third requirement of the Oakes proportionality approach is satisfied.

[128]   He also noted in Keegstra, at page 787, in relation to the criminal prohibition, that the expressive activity at which it was aimed is “only tenuously connected with the values underlying the guarantee of freedom of speech.” Further, few concerns he stated “can be as central to the concept of a free and democratic society as the dissipation of racism, and the especially strong value which Canadian society attaches to this goal must never be forgotten in assessing the effects of an impugned legislative measure”.

[129]   Hate speech has little value and section 13 minimally impairs freedom of expression. Considering the deference this Court owes to Parliament, considering the minimal value hate speech possesses and considering the context and the objective of the Act, I find that the minimal harm caused by section 13 to freedom of expression is far outweighed by the benefit it provides to vulnerable groups and to the promotion of equality.

[130]   I conclude, therefore, that section 13 and section 54 of the Act are justifiable in a free and democratic society and that the Tribunal erred in declining to apply the legislation .

What is the appropriate remedy if subsections 13(1), 54(1) and (1.1) of the CHRA, read together, are found to be unconstitutional?

[131]   As indicated above, and in light of my finding that the penalty provisions in paragraph 54(1)(c) and subsection 54(1.1) cannot withstand constitutional scrutiny, the appropriate remedy to apply is severance. Severance would minimally intrude in the legislative domain, respect the objective of the legislation, and respect the values of the Charter.

[132]   The doctrine of severance was explained by the Supreme Court in Schachter v. Canada, [1992] 2 S.C.R. 679 (Schachter), at pages 696–697:

The flexibility of the language of s. 52 is not a new development in Canadian constitutional law. The courts have always struck down laws only to the extent of the inconsistency using of the doctrine of severance or "reading down". Severance is used by the courts so as to interfere with the laws adopted by the legislature as little as possible. Generally speaking, when only a part of a statute or provision violates the Constitution, it is common sense that only the offending portion should be declared to be of no force or effect, and the rest should be spared.

Therefore, the doctrine of severance requires that a court define carefully the extent of the inconsistency between the statute in question and the requirements of the Constitution, and then declare inoperative (a) the inconsistent portion, and (b) such part of the remainder of which it cannot be safely assumed that the legislature would have enacted it without the inconsistent portion.

[133]   See also Gérald A. Beaudouin and Pierre Thibault, La Constitution du Canada, 3rd ed. (Montréal: Wilson & Lafleur, 2004), at pages 862–864; Henri Brun, Guy Tremblay and Eugénie Brouillet, Droit Constitutionnel, 5th ed. (Cowansville (Que.):
Y. Blais, 2008), at pages 1004–1005; Sharpe and Roach, at pages 390–391; and Hogg, at pages 40-12 to 40-15.

[134]   The classic test for severance was set out in Alberta, Attorney-General for v. Attorney-General for Canada, [1947] A.C. 503 (P.C.), at page 518:

The real question is whether what remains is so inextricably bound up with the part declared invalid that what remains cannot independently survive or, as it has sometimes been put, whether on a fair review of the whole matter it can be assumed that the legislature would have enacted what survives without enacting the part that is ultra vires at all.

[135]   At page 713 of Schachter, Chief Justice Lamer observed:

It is sensible to consider the significance of the remaining portion when asking whether the assumption that the legislature would have enacted the remaining portion is a safe one. If the remaining portion is very significant, or of a long standing nature, it strengthens the assumption that it would have been enacted without the impermissible portion.

The significance of the remaining portion may be enhanced where the Constitution specifically encourages that sort of provision.

[136]   Applying the doctrine of severance requires that the Court carefully define the extent of the inconsistency between the statute in question and the requirements of the Constitution. In this case, paragraph 54(1)(c) and subsection 54 (1.1) of the CHRA can readily be severed from subsection 13(1). These provisions were not part of the statute when it was considered in Taylor. The offending parts are not inextricably bound up with that part of the legislation held to be valid in Taylor. The remaining portion of the legislation is very significant and of a long-standing nature. It may safely be assumed that the legislator would have enacted section 13 without a penalty provision as it had done so at the time of its initial adoption in 1977.

[137]   This is not a case in which the Tribunal found that the section could not be administered in a way that is consistent with the Supreme Court’s findings in Taylor as the section read prior to the 1998 amendments. Although the Tribunal expressed concerns as to the evidence that it had heard with respect to the administration of the statute in this and other cases in recent years, its conclusion turned primarily on the penalty provisions. The Tribunal did not express any view on the question of severance.

[138]   For that reason, I do not accept the arguments advanced in these proceedings that the penalty provisions are so integrated with section 13 that they can no longer be severed. The Tribunal’s concerns with respect to the lack of a conciliatory approach by the Commission were not an inevitable consequence of the law or an effect of the law itself.

[139]   Severance of the problematic sections and preservation of the core of the section 13 regime would be in accord with the objective of the CHRA (see section 2 of the CHRA; Taylor, at pages 917–918; and Ontario Human Rights Commission and O’Malley v. Simpsons-Sears Ltd. et al., [1985] 2 S.C.R. 536, at pages 546–547). It is also compatible with the view of the Supreme Court and the Ontario Court of Appeal that a just remedy must take into consideration other Charter values and human rights conferred on vulnerable groups: Haig v. Canada, 1992 CanLII 2787, 9 O.R. (3d) 495 (C.A.), at paragraph 22; and Edwards Books, at pages 778–779.

CONCLUSION

[140]   I find that the Tribunal erred in refusing to apply section 13 and to exercise its discretion under paragraphs 54(1)(a) and/or (b) of the Act to determine a remedy. Since it found the publication of the article “AIDS Secrets” to be in breach of section 13, the adjudicator should have issued a declaration to that effect and should have proceeded to consider ordering a remedy under paragraphs 54(1)(a) and (b).

[141]   Having found that paragraph 54(1)(c) and subsection 54(1.1) did not survive constitutional scrutiny, the appropriate remedy for the Tribunal to have applied would have been to sever those provisions from section 13. The Tribunal erred in failing to consider whether section 13 remained constitutionally viable if it declined to apply the penalty provisions. The adjudicator erred in adopting an all or nothing approach to the constitutional remedy. The balance of section 13 could stand without applying the later enacted punitive provisions.

[142]   The application for judicial review is, therefore, granted and the matter is remitted to the Tribunal to determine a remedy for the breach of section 13 under paragraph 54(1)(a) or (b). The request for a declaration that section 13 is no longer of any force or effect is denied.

COSTS

[143]   The applicant made no request for costs in its notice of application and memorandum of fact and law. For that reason, despite its success on this application, none will be awarded.

[144]   Mr. Warman requested his costs during his oral submissions but not in his memorandum of fact and law. While his record was prepared by counsel, he represented himself on the hearing of this application. He shall have his costs for the preparation of his record and any out of pocket expenses incurred in preparing for the hearing.

JUDGMENT

THIS COURT’S JUDGMENT is that:

1. The application for judicial review is granted and the matter is remitted to the Tribunal to;

a. issue a declaration that the publication of the article “AIDS Secrets” by the respondent Marc Lemire constituted a breach of section 13 of the Canadian Human Rights Act; and

b. for determination of whether a remedy for the breach is to be imposed under section 13 and paragraphs 54(1)(a) and (b) of the Act;

2. It is declared that paragraph 54(1)(c) and subsection 54(1.1) of the Canadian Human Rights Act are of no force or effect pursuant to subsection 52(1) of the Constitution Act, 1982, Schedule B, Canada Act 1982, 1982, c. 11 (U.K.) [R.S.C., 1985, Appendix II, No. 44];

3. The respondent Richard Warman is awarded costs for the preparation of his record and his out of pocket disbursements for attendance at the hearing against the respondent Marc Lemire.

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