Judgments

Decision Information

Decision Content

A-2-86
The Queen in right of Canada as represented by the Treasury Board (Applicant)
v.
Peter Wilson, as represented by the Public Ser vice Alliance of Canada (Respondent)
and
Public Service Staff Relations Board (Mis -en- cause)
INDEXED AS: CANADA (TREASURY BOARD) V. WILSON
Court of Appeal, Pratte, Mahoney and Stone JJ.—Ottawa, September 18 and October 23, 1986.
Public service — Labour relations — Tobacco smoking in workplace — Grievance — Dangerous Substances Safety Standard incorporated in collective agreement — Applying interpretation rule true intent of contractual term to be gath ered by reading it in light of agreement as whole, apparent passive tobacco smoke not dangerous substance within Stand ard as latter applicable only to dangerous substances manu factured, handled, stored, processed or used in workplace — Financial Administration Act, R.S.C. 1970, c. F-10, s. 7(1)(g) — Federal Court Act, R.S.C. 1970 (2nd Supp.), c. 10, s. 28 — Atomic Energy Control Act, R.S.C. 1970, c. A-19 — Con struction Industry Labour Relations Act, S.Q. 1968, c. 45 — Public Service Staff Relations Act, R.S.C. 1970, c. P-35, s. 91, Part I, Schedule I.
In January 1984, the respondent, a clerical employee in the Ontario Regional Office of the Department of National Health and Welfare in Toronto, filed a grievance that his employer had violated the Dangerous Substances Safety Standard, which had been incorporated in the applicable collective agreement, by allowing tobacco smoking in the workplace. The respondent also asked that the smoke be restricted to an adequately ventilated area separate from the workplace. In upholding the grievance, the Adjudicator found that the "passive", "ambi- ent", "second hand" or "sidestream" tobacco smoke was a dangerous substance within the meaning of the Standard, that the employer was in breach of the Standard provision (para- graph 12) providing that dangerous substances should be con fined as closely as possible to their source and that the employ er was in breach of his obligation (Standard paragraph 15) to sample and test the atmosphere in the workplace to ensure that it did not exceed the prescribed safe limits of contamination.
This is a section 28 application to review and set aside the Adjudicator's decision on the ground that he erred in law in concluding that passive tobacco smoke was a dangerous sub stance within the meaning of the Standard. In essence, it was argued that the Adjudicator had erred in applying paragraphs
12 and 15 of the Standard because he ignored many other parts of the Standard that point to a contrary conclusion.
Held (Mahoney J. dissenting), the application should be allowed.
Per Stone J. (Pratte J. concurring): The issue is not whether passive cigarette smoke in the workplace is dangerous to the health of the respondent nor whether it is desirable to protect him from it. The issue is whether an error in law was commit ted in construing paragraph 12 of the Standard.
The true intent of a contractual term is to be gathered by reading it in the light of all the different parts of the document. The Adjudicator erred in not examining paragraph 12 in the light of the Standard as a whole.
While it cannot be said that the Standard was intended to apply only to dangerous substances in the context of industrial usage of these substances, a reading of the Standard as a whole leads to the conclusion that paragraph 12 refers to dangerous substances whose sources are identified in the Standard, and not to passive tobacco smoke.
Per Mahoney J. (dissenting): The issue is whether, on a fair reading of the entire Standard, a dangerous substance is one which is required to be worked with or is produced in the course of operations and not one which is otherwise introduced into the workplace. Many provisions are cast, either expressly or by necessary implication, in terms of exposure to dangerous sub stances either required to be used or necessarily present in the workplace. Other provisions, however, would not be fully effec tive if subject to such qualification. Secondhand smoke is obviously not a dangerous substance to which all provisions of the Standard apply, but that is not a persuasive reason to exclude it from the application of those provisions that do appropriately apply. The Standard is intended to reduce the danger to employees' health from conditions extant in the workplace. That object will not be served by constraining the Standard in a way that excludes a dangerous substance intro duced into the workplace by fellow employees simply because it is introduced gratuitously rather than for the account and benefit of the employer. The Standard therefore applies to any dangerous substance carried by air in the workplace regardless of source. It is neither unreasonable nor unjust to require the employer to observe the requirements of the Standard with respect to ambient tobacco smoke in the workplace.
CASES JUDICIALLY CONSIDERED
APPLIED:
Maunsell v. Olins, [1975] A.C. 373 (H.L.); Hillis Oil and Sales Ltd. v. Wynn's Canada, Ltd., [1986] 1 S.C.R. 57.
REFERRED TO:
Quebec (Construction Industry Commission) v. M.U.C.T.C., [1986] 2 S.C.R. 327, reversing (1983), D.T.E. 83T-685 (Que. C.A.) and judgment dated Febru- ary 12, 1979, Quebec Superior Court, Montréal, Nos. 500-05-006212-755, 500-05-012615-744, 500-05-018290- 740, not reported; The King v. Dubois, [1935] S.C.R. 378.
COUNSEL:
Robert Cousineau, Q. C., for applicant. Andrew J. Raven and Derek Dagger for respondent.
No one on behalf of mis -en-cause. SOLICITORS:
Deputy Attorney General of Canada for applicant.
Soloway, Wright, Houston, Greenberg,
O'Grady, Morin, Ottawa, for respondent.
Public Service Staff Relations Board, Ottawa, for mis -en-cause.
The following are the reasons for judgment rendered in English by
MAHONEY J. (dissenting): This application under section 28 of the Federal Court Act [R.S.C. 1970 (2nd Supp.), c. 10] is based entirely on the premise that the learned Deputy Chairman of the Public Service Staff Relations Board erred in law in concluding that "ambient", "passive" or "second hand" tobacco smoke is a dangerous sub stance within the contemplation of the Occupa tional Health and Safety Standards—Dangerous Substances Safety Standard, hereinafter "the Standard". The finding that it is, in fact, a danger ous substance within the textual definition of the Standard is not challenged.
The Standard was prescribed by Treasury Board, September 1, 1982, under authority of paragraph 7(1)(g) of the Financial Administra tion Act, R.S.C. 1970, c. F-10.
7. (1) ... the Treasury Board may, in the exercise of its responsibilities in relation to personnel management ....
(g) establish and provide for the application of standards governing physical working conditions of, and for the health and safety of, persons employed in the public service;
A collective agreement governing the respondent's employment was concluded February 9, 1982. It provided, in Article 43, that it could be amended by mutual consent. The following amendment was adopted:
The parties hereunder endorse the occupational health and safety standards listed below, effective April 1, 1983, and recognize the standards as part of the collective agreements reached between them.
TB STD 3-2 Dangerous Substances
The Standard was one of 17 so recognized by the same document which was subscribed to, on behalf of all their bargaining units, by five bargaining agents, including the respondent's, as well as by Treasury Board.
The provisions of the Standard invoked by the respondent in his grievance are:
Application
1. This Standard applies to all Public Service Departments and Agencies, as defined in Part I of Schedule I of the Public Service Staff Relations Act.
Definitions (In alphabetical order) 5. In this Standard
(I) "dangerous substance" means any substance, that because of a property it possesses, is dangerous to the safety or health of any person who is exposed to it;
Control of Airborne Contaminants
12. Any dangerous substance that may be carried by the air is to be confined as closely as is reasonably practicable to its source.
13. Subject to paragraph 14, each department shall ensure that the concentration of any dangerous substance that may be carried by the air in any area where an employee is working
(I) does not exceed the threshold limit value recommended by the American Conference of Governmental Industrial Hygienists in its pamphlet "Threshold Limit Values for Air Borne Contaminants 1976", as amended from time to time; or
(2) conforms with any standard that follows good industrial safety practice, and is recommended by Labour Canada or Health and Welfare Canada.
14. Except in respect of any dangerous substance that is assigned a Ceiling "C" value by the American Conference of Governmental Industrial Hygienists, it is permissible for the concentration of a dangerous substance that may be carried by the air in the area where an employee is working to exceed the threshold limit value described in paragraph 13 for a period of time calculated according to a formula that
(1) is prescribed by the American Conference of Governmen tal Industrial Hygienists; or
(2) is recommended by Labour Canada or Health and Welfare Canada.
15. Where the atmosphere of any area in which an employee is working is subject to contamination by a dangerous sub stance, the atmosphere is to be sampled and tested by a qualified person as frequently
(1) as may be necessary to ensure that the level of contami nation does not at any time exceed the safe limits prescribed by paragraphs 13 and 14; or
(2) as may be recommended by Labour Canada or Health and Welfare Canada.
Paragraphs 16, 17, 18 and 19 complete the section entitled "Control of Airborne Contaminants". They deal with the manner the testing required by paragraph 15 is to be conducted, the records there of to be made and kept and protective equipment. Paragraph 34 is the only provision of the Standard that refers specifically to smoking.
Restricted Areas
34. Measures and precautions concerning smoking, or any procedure or equipment the use of which in a restricted area may cause ignition or explosion of a dangerous substance, shall be in compliance with the requirements of the Dominion Fire Commissioner.
The finding, by the learned Deputy Chairman, that second hand smoke is, in fact, a dangerous substance as defined is, as stated, not challenged. That the Standard applied to the respondent's place of work is likewise undisputed.
The Deputy Chairman did not in his decision deal with the argument presented to the Court, namely, that on a fair reading of the entire Stand ard, a dangerous substance is one which is required to be worked with or is produced in the course of operations and that the Standard does not, in law, apply to a dangerous substance which is otherwise introduced into the workplace. If that is so, it is certainly not expressed in the Standard nor does paragraph 7(1)(g) of the Financial
Administration Act so limit the ambit of a stand ard authorized to be established. It is, I think, possible to deal fairly with the applicant's argu ment without setting out the entire text of the Standard.
Paragraphs 2, 3 and 4 of the Standard do limit its application in specified cases. It does not apply to the transportation of dangerous substances over public highways. Applicable regulations made under the Atomic Energy Control Act, R.S.C. 1970, c. A-19, take precedence over the Standard and the preemptive responsibility of the Dominion Fire Commissioner as to the fire and explosive hazards of dangerous substances is acknowledged. The latter limitation is reiterated by paragraph 34. None of those limitations assist the applicant. The respondent argued that paragraphs 2, 3 and 4 were intended to be exhaustive of the exclusions but I do not think that a very fair view of the matter since the exclusions are expressed in terms of hazards otherwise regulated and not in terms of the exclu sion of particular dangerous substances. I likewise reject the applicant's argument that paragraph 34 is exhaustive of the Standard's application to smoking. The maxim, expressio unius personae vel rei, est exclusio alterius, does not comfortably fit either circumstance.
Paragraphs 6 and 7 require that, where there is a choice, the least dangerous or a non-dangerous substance shall be used. Paragraphs 8 to 11 deal with the isolation and confinement of dangerous substances. Paragraphs 12 to 19 deal with airborne contaminants and have already been set out or discussed. Paragraphs 20 to 23 deal with the warn ing and training of personnel who may be exposed to or use or handle a dangerous substance. Para graph 24 requires signs to warn persons entering any area where a dangerous substance is handled, stored or used. Paragraphs 25 and 26 deal with containers and their labelling; paragraphs 27 and 28 with ventilation, paragraph 29 with housekeep ing; paragraphs 30 and 31 with emergency equip ment; paragraphs 32 and 33 with combustible dusts; paragraphs 35 and 36 with the use of com pressed air; paragraphs 37 to 41 and 43 with the general design of work places and their piping and
electrical systems; paragraph 42 with radiation emitting devices; paragraph 44 with static elec tricity and paragraphs 45 to 47 with the use of explosives. Finally, paragraphs 48 and 49 deal with medical examinations for employees exposed to dangerous substances and the maintenance of medical records.
Most of these provisions are cast, either express ly or by necessary implication in terms of exposure to dangerous substances either required to be used or necessarily present in the workplace. That is a natural result of their subject matter. For example, it would make little sense to speak of the design of a workplace, its plumbing and electrical facilities, in the context of the exposure of employees to dangerous substances, unless it were expected that the design would reduce the hazards of the danger ous substances to be used or produced there. A like observation would be apt as to isolation, training, warning signs and so on.
On the other hand, other provisions, by the nature of their subject matter, would not be fully effective if subject to such qualification. For example:
28. Exhaust and inlet ducts for ventilation systems are to be located and arranged so as to ensure that air contaminated with dangerous substances does not enter areas occupied by employees.
It is not uncommon to find the workplace of government employees located in rented premises. They commonly share buildings with other, non governmental tenants. Such was, in fact, the situa tion of the respondent's workplace. I think it would be unreasonable to so construe the Standard as to exclude from the application of paragraph 28 dan gerous substances which might reach the govern ment office from another tenant's premises through the ventilating system.
The purpose of the Standard, as defined by paragraph 7(1)(g) of the Financial Administra-
Lion Act, is "for the health and safety" of employees as well as to govern their physical work ing conditions. Secondhand tobacco smoke is a substance dangerous to human health. Treasury Board could have expressly excluded it from the application of the Standard but it did not. Second hand smoke is obviously not a dangerous substance to which all provisions of the Standard apply but that is not a persuasive reason to exclude it from the application of those provisions that do appro priately apply. The provisions as to air borne con taminants apply both literally and on a purposive construction of the Standard. A clear object of the Standard is to reduce, by reasonable means, the danger to employees' health from conditions extant in their workplaces. That object will not be served by constraining the Standard in a way that excludes a dangerous substance introduced into the workplace by fellow employees simply because it is introduced gratuitously rather than for the account and benefit of the employer.
The Supreme Court of Canada, in Quebec (Construction Industry Commission) v. M.U.C.T.C., [1986] 2 S.C.R. 327 delivered Octo- ber 9, 1986, reversed decisions of the courts below and held that the Construction Decree adopted under the Construction Industry Labour Relations Act, S.Q. 1968, c. 45, as amended, applied to construction work done for the respondent by its own forces. That was so notwithstanding that nei ther the respondent nor its employees were ordi narily engaged in the construction industry and that the collective agreement between them pro vided the employees with a superior package of benefits than the decree. The Superior Court [judgment dated February 12, 1979, Quebec Supe rior Court, Montréal, Nos. 500-05-006212-755, 500-05-012615-744, 500-05-018290-740, not reported] and a majority of the Quebec Court of Appeal [(1983), D.T.E. 83T-685] had construed the decree in light of their perception that its purpose was to remedy abuses extant in the con struction industry. The Supreme Court cited a number of authorities as to the basic rule of inter pretation which are epitomized in the words of Duff C.J., speaking for the Court, in The King v. Dubois, [1935] S.C.R. 378, at page 381:
The duty of the court in every case is loyally to endeavour to ascertain the intention of the legislature; and to ascertain that intention by reading and interpreting the language which the legislature itself has selected for the purpose of expressing it.
To start with presumptions as to policy is, as Lord Haldane said in Vacher & Sons Ltd. v. London Society of Compositors ([1913] A.C. 107, at 113), to enter upon a labyrinth for the exploration of which the judge is provided with no clue.
That is, mutatis mutandus, also the basic rule for the interpretation of a contract. Whether one ap proaches the Standard in the present case as dele gated legislation made in September, 1982, or as a contractual provision adopted in April, 1983, the basic rule for its interpretation is the same.
In its decision just summarized, the Supreme Court adopted the following conclusion of McCarthy J.A., who dissented in the Quebec Court of Appeal:
[TRANSLATION] In my opinion, the position taken by appel lant is supported by the legislation and is neither unreasonable nor manifestly unjust. We should therefore apply the legislation as it stands.
I find nothing in the Standard that excludes its application to airborne contaminants emanating from a particular source. Rather, in my respectful opinion, it applies to any dangerous substance carried by the air in the workplace regardless of source. I see no rational basis whatever for excus ing the employer from the testing requirements of paragraphs 13 ff. of the Standard by reason of the source of an airborne contaminant and the qualifi cation that it be confined as close to the source as reasonably practicable obviates any legitimate objection that might be raised as to the application of paragraph 12 to a dangerous substance by reason of its source. It is neither unreasonable nor unjust to require the employer to observe the requirements of the Standard vis-à-vis ambient tobacco smoke in the workplace.
In my opinion, the learned Deputy Chairman did not err in law in his conclusion. I would dismiss this section 28 application.
* * *
The following are the reasons for judgment rendered in English by
STONE J.: This application under section 28 of the Federal Court Act flows from the respondent's grievance of January, 1984 that his employer had violated the Dangerous Substances Safety Stand ard ("the Standard") "by allowing tobacco smok ing in the work place" and asking that the smoke be restricted "to an adequately ventilated area separate from the work place". On December 20, 1985 an Adjudicator acting under section 91 of the Public Service Staff Relations Act, R.S.C. 1970, c. P-35 as amended upheld the grievance. The applicant seeks to set aside the Adjudicator's deci sion on the ground that he erred in law. I have had the advantage of reading in draft the reasons for judgment prepared by Mr. Justice Mahoney proposing dismissal of this application. As I have reached the opposite conclusion, it is desirable that I set forth the reasons which impel me to differ with my colleague.
The statutory mandate' under which the Stand ard was established is very broad. It is not limited to establishing standards on the subject of danger ous substances, for standards may deal with "physical working conditions" or with "the health and safety" of public servants. We have here before us but one such standard. It is on the subject of dangerous substances but we must not thereby infer that it is intended to be exhaustive of that subject. There appears to me ample room
' The statutory basis for the Standard is found in paragraph 7(1)(g) of the Financial Administration Act, R.S.C. 1970, c. F-10 as amended which reads:
7. (1) Subject to the provisions of any enactment respect ing the powers and functions of a separate employer but notwithstanding any other provision contained in any enact ment, the Treasury Board may, in the exercise of its respon sibilities in relation to personnel management including its responsibilities in relation to employer and employee rela tions in the public service, and without limiting the generality of sections 5 and 6,
(g) establish and provide for the application of standards governing physical working conditions of, and for the health and safety of, persons employed in the public service;
within the mandate to establish as many different standards dealing with different dangerous sub stances as may be thought necessary or desirable. Article 42 of the relevant collective agreement provided for incorporation therein of this Standard and when that was done its protections were extended to the Clerical and Regulatory group of employees. The Standard thus became part of the collective agreement between the parties and must be construed as such rather than as a statutory instrument.
The respondent is a clerical employee. At the time the grievance arose he was employed in the Ontario Regional Office of the Department of National Health and Welfare in Metropolitan Toronto. The essence of his complaint is that he was exposed to passive cigarette smoke at his place of work and that this was dangerous to his health. The Adjudicator made the following findings of fact concerning the presence of cigarette smoke in the respondent's working areas (Case Book, Vol. III, pages 719b-720):
4. At the Don Mills location 17 persons (including the grievor) were employed in the grievor's work area. The number of persons so employed remained constant during the period from April 1, 1983 to the date of the hearing of this case, although several employees came and went during that time. Between six and eight persons employed in the grievor's work place during this period smoked. Two smokers seated within six feet of the grievor's work location each smoked at a rate of half a pack of cigarettes per day while on the job. In addition there were two smokers located in the computer section, a separate section of the branch located a short distance away from the grievor. Most of the sixth floor at the Don Mills location was an open office. Some, but not all, employees were separated from others by baffles five feet in height. The grievor occupied an area separated from other employees by a baffle. The area occupied by the grievor's section at 789 Don Mills Road was approximately 1500 to 1700 square feet.
5. In November 1984 the grievor's workplace was moved to the north side of the eleventh floor at 200 Town Centre Court, Scarborough. The grievor did not measure the space at the Scarborough Location but he obtained a floor plan from the Department of Public Works on which he marked the limits of his work location (Exhibit G-5). It comprises an area of between 1400 and 1500 square feet. A corridor runs in a northerly direction from a reception area in the southwest corner of the building which opens into the grievor's workplace. This corridor is separated from the western wall of the building by a number of offices and it passes a large conference room. The precise number of smokers in this area is unknown.
6. In February 1985 the number of persons employed in the grievor's section increased to 19. Of these six smoked. Later the number of smokers dropped to four for a period of three months and then returned to six. The six smokers were not expected to remain. Two of them were term employees who were to cease working at the end of September and a third smoker was promoted to another position elsewhere.
Evidence led by the respondent at the hearing was directed towards the danger to his health from exposure to "passive" or "sidestream" cigarette smoke produced by fellow employees. The evi dence describes this sort of smoke as the fraction of the tobacco smoke that emanates from the burning end of a cigarette directly into the air. It is distinguished from "mainstream" cigarette smoke which is the smoke inhaled by the smoker directly into the lungs and from "exhaled mainstream" cigarette smoke which is the fraction of the main stream smoke that is not retained in the lungs of the smoker.
The hearing was a lengthy one, extending over eight days of hearing time. Much of the evidence led came from expert witnesses called by both parties. It is discussed in great detail by the Adjudicator. In the end he came to the following conclusions (Case Book, Vol. III, pages 805b-806):
137. I have conducted a careful analysis and review of all of the expert testimony and 1 have come to the conclusion that, on a balance of probabilities, the evidence presented on behalf of the grievor establishes the existence of a statistically significant co-relation between exposure to passive smoke and an increased incidence of lung cancer. As a consequence, I find that passive tobacco smoke is a "dangerous substance" within the meaning of the Standard.
138. Passive tobacco smoke may be carried by the air and is therefore to be confined as closely as is reasonably practicable to its source, pursuant to section 12 of the Standard. The employer was in breach of this provision as it made no attempt to confine the passive tobacco smoke present in the grievor's workplace as closely as was reasonably practicable to its source. The only practical means by which the employer may meet this obligation is to provide separately ventilated areas for smokers who are required to work in the same area as the grievor.
139. The areas in which the grievor worked were subject to contamination by passive tobacco smoke. As a consequence, the employer pursuant to section 15 of the Standard had an obligation to sample and test the atmosphere in the workplace as frequently as might be necessary to ensure that the level of contamination did not at any time exceed the safe limits prescribed by sections 13 and 14, or as may be recommended by Labour Canada or Health and Welfare Canada. The evi-
dence is that the employer conducted only superficial tests of the air quality in the grievor's workplace and, in particular, failed to test for 4-aminobiphenyl and betanaphthylamine to
which exposure is not to be permitted " by any route— respiratory, skin, or oral, as detected by the most sensitive
methods ", according to the threshold limit values pub lished by the American Conference of Governmental Industrial Hygienists which are incorporated by reference into the Stand ard (Exhibit G-4, page 41). For these reasons I find that the employer was in breach of section 15 of the Standard.
As I understand it the learned Adjudicator's conclusions involved a two step process. He first decided that passive cigarette smoke is a "danger- ous substance" within the meaning of subpara- graph 5(1) of the Standard and, secondly, that paragraphs 12 and 15 had been violated. The definition of "dangerous substance" found in sub- paragraph 5(1) reads:
5. In this Standard
(1) "dangerous substance" means any substance, that because of a property it possesses, is dangerous to the safety or health of any person who is exposed to it;
Paragraphs 12 to 15 thereof read:
12. Any dangerous substance that may be carried by the air is to be confined as closely as is reasonably practicable to its source.
13. Subject to paragraph 14, each department shall ensure that the concentration of any dangerous substance that may be carried by the air in any area where an employee is working
(1) does not exceed the threshold limit value recommended by the American Conference of Governmental Industrial Hygienists in its pamphlet "Threshold Limit Values for Air Borne Contaminants 1976", as amended from time to time; or
(2) conforms with any standard that follows good insdustrial safety practice, and is recommended by Labour Canada or Health and Welfare Canada.
14. Except in respect of any dangerous substance that is assigned a Ceiling "C" value by the American Conference of Governmental Industrial Hygienists, it is permissible for the concentration of a dangerous substance that may be carried by the air in the area where an employee is working to exceed the threshold limit value described in paragraph 13 for a period of time calculated according to a formula that
(1) is prescribed by the American Conference of Governmen tal Industrial Hygienists; or
(2) is recommended by Labour Canada or Health and Welfare Canada.
15. Where the atmosphere of any area in which an employee is working is subject to contamination by a dangerous sub stance, the atmosphere is to be sampled and tested by a qualified person as frequently
(1) as may be necessary to ensure that the level of contami nation does not at any time exceed the safe limits prescribed by paragraphs 13 and 14; or
(2) as may be recommended by Labour Canada or Health and Welfare Canada.
The question we have to decide is not whether passive cigarette smoke in the workplace is danger ous to the health of the respondent. The learned Adjudicator was clearly of the view that it is and the correctness of that conclusion is not chal lenged. On the other hand, the applicant says that in applying paragraphs 12 and 15 the Adjudicator erred because he ignored many other parts of the Standard that point to a contrary conclusion. The desirability of protecting the respondent from pas sive cigarette smoke is not here in issue. Our mandate is limited to that set forth in paragraph 28(1)(b) of the Federal Court Act, namely, to deciding whether the Adjudicator "erred in law". 2 We can do neither any more nor any less. As a violation of paragraph 15 depends upon a finding that paragraph 12 applies, it is sufficient for us to decide whether an error of law was committed in construing this latter paragraph.
I wish first to set out what I consider the correct legal approach to the task of construing the Stand ard. It is part of a collective agreement to which the ordinary rules of interpretation apply. I take heed of Lord Reid's admonition that the rules of interpretation are not to be slavishly applied. They
2 28. (1) Notwithstanding section 18 or the provisions of any other Act, the Court of Appeal has jurisdiction to hear and determine an application to review and set aside a decision or order, other than a decision or order of an administrative nature not required by law to be made on a judicial or quasi-judicial basis, made by or in the course of proceedings before a federal board, commission or other tribunal, upon the ground that the board, commission or tribunal
(b) erred in law in making its decision or order, whether or not the error appears on the face of the record; or
are, he said, "aids to construction, presumptions or pointers"; they are "our servants, not our masters" (Maunsell v. Olins, [1975] A.C. 373 (H.L.), at page 382). The true intent of a contractual term is to be gathered by reading it in the light of all the different parts of the document. That, it seems to me, was the approach taken by the Supreme Court of Canada in construing a contract in Hillis Oil and Sales Ltd. v. Wynn's Canada, Ltd., [1986] 1 S.C.R. 57 where Le Dain J., speaking for the Court (at page 66), said:
If it stood alone as the only termination clause in the distributorship agreements clause 23 would have to be con strued, I think, as permitting termination with or without cause by either party with immediate effect. But clause 23 cannot be regarded as standing alone; it must be construed in the light of the agreement as a whole, and in particular in the light of the other termination provision in clause 20. The general principle was stated by Estey J. in Consolidated-Bathurst Export Ltd. v. Mutual Boiler and Machinery Insurance Co., [1980] 1 S.C.R. 888, at p. 901, where he said that "the normal rules of construction lead a court to search for an interpretation which, from the whole of the contract, would appear to promote or advance the true intent of the parties at the time of entry into the contract." Also particularly apposite are the words of Dickson J. (as he then was) in McClelland and Stewart Ltd. v. Mutual Life Assurance Co. of Canada, [1981] 2 S.C.R. 6, at p. 19, where he said:
Taken alone and read without consideration of the scheme of the policy the kindred language of the self-destruction clause and the Declaration undoubtedly create a formidable argument in support of the case of the assurance company. It is plain however these cannot be read in an isolated and disjunctive way. The question before us is not to be deter mined on a mechanical reading of two phrases set apart, but rather on a reading of the policy and the Declaration in entirety.
With this guidance in mind, I turn next to examine the Adjudicator's approach to the con struction of paragraph 12. As I understand it, he saw no need to examine that paragraph in the light of the Standard as a whole. Subparagraph 5(1) and paragraphs 12-16, 20, 27, 28, 29, 34 and 49, he thought, were the only ones "relevant to the grievance" (Case Book, Vol. III, page 800). Did he err in law in taking that approach? I would agree that he committed no error if a reading of the document as a whole would not have assisted him in construing paragraph 12.
The applicant argues that the Standard was intended to protect the health and safety of employees only if they are called upon to work, or come in contact, with dangerous substances "in the context of industrial usage of these substances". With respect, I consider that submission ill-found ed for I can find no valid reason for so limiting its scope. The definition of "dangerous substance" is broadly stated. True, the record and particularly the pamphlet (Ex. G-4) mentioned in subpara- graph 13(1) of the Standard, contains many refer ences to "industrial experience", "industrial use", "industrial processes" and even to "industrial sub stances". Besides, subparagraphs 11(1), 13(2), 16(2) and 22(2) of the Standard speak of "good industrial safety practice". But these do not neces sarily disclose an intention to limit the protection to dangerous substances that are in industrial usage by the employer. The Standard was drafted with many groups of employees and a host of different employer operations in mind. By para graph 1 it applies to "all Public Service Depart ments and Agencies" listed in Part 1 Schedule 1 of the Public Service Staff Relations Act. There are sixty-eight of them on that list. I have no doubt it was intended to protect the health of employees from industrial usage of dangerous substances if, indeed, any such usage is present in a particular workplace. But the protection is wider in my view. The intention was to protect the health of employees from the presence in the workplace of any dangerous substances to which the Standard otherwise applies. The real and only question is whether the Standard regards passive cigarette smoke as a dangerous substance.
In answering this question I look first at the language in which paragraph 12 is cast. It requires any dangerous substances that may be carried by the air to "be confined as closely as is reasonably practicable to its source" (my emphasis). The obligation rests with the employer. What then is its scope? Does it oblige him to confine to their
sources all dangerous substances that may be car ried by the air into the workplace? Must he, for example, keep from the air of the workplace dan gerous substances produced by his neighbour? I hardly think so. In my view, the document contem plates that the employer will have it within his own power and control to do whatever is expected of him. When a dangerous substance needed in the workplace may be carried by the air, the employer must confine it as closely as is reasonably practi cable to the place where it is needed or kept.
Application of the Standard to a dangerous substance that is not needed in the workplace is not nearly so clear cut. That is certainly so in the case of passive cigarette smoke. Was paragraph 12 intended to cover it as well? The employer cannot deal with it in quite the same way as he can a substance that is his own, for the concerns of all employees affected—smokers and non-smokers alike—would have to be taken into account. A number of questions suggest themselves here. Should he, for example, prohibit smoking in the workplace? If not, should it be permitted only in a separate smoking area? At what times during working hours should it be permitted there and for what duration? Should the smoker suffer loss of remuneration for time so lost? Then again, if the work premises are provided with common areas for employees (e.g. lunchrooms, washrooms etc.), are they to be out of bounds to smokers? In the context of collective bargaining these questions would normally be regarded as the stuff of negotiations. Yet, I can find not a single word said about them in the collective agreement. Was the omission accidental? I doubt it. The respondent argues (and the Adjudicator agreed) that the employer can do no less than apply to passive cigarette smoke the rather vague language of para graph 12 in the light of the somewhat circular language of the "dangerous substance" definition. I ask myself if that can safely be done without first having regard to the wider context in which this one of some forty-nine paragraphs appears in order to discover, if we can, whether the parties
had passive cigarette smoke in mind. I do not think we can do so.
It is here I think that the Adjudicator went wrong in law for, in my view, in construing para graph 12 he would have gained considerable assist ance from examining other parts of the Standard clearly and unmistakably pointing to sources of dangerous substances in the workplace. None of these were considered relevant by the Adjudicator. I have in mind the sources identified in the follow ing paragraphs:
6. A dangerous substance or radiation emitting device shall not be used if it is reasonably practicable to use a substance or device that is not dangerous.
7. Where it is necessary to use a dangerous substance or a radiation emitting device and more than one kind of such substance or device is available, to the extent that it is reason ably practicable, the one that is least dangerous is to be used.
8. Where operations involve the use of a dangerous substance or a radiation emitting device in any area, the use of that substance or device and any hazard resulting from that use are to be confined within that area, to the extent that is reasonably practicable.
9. Where operations require the storing of dangerous sub stances in any area, they are to be stored, to the extent that is reasonably practicable, in a manner that will prevent the transmission of the effect of an explosion, fire or other accident in that area to any adjacent area.
10. A dangerous substance shall not be stored near another substance if the potential danger of the dangerous substance is likely to be increased thereby.
11. To the extent that is reasonably practicable, the quantity of a dangerous substance in any area where it is being used, processed or manufactured should not exceed
(1) the quantity that is consistent with good industrial safety practice; or
(2) the amount required for that area for one work day, whichever is the lesser.
21. An employee shall not use or handle, or be permitted to use or handle, a dangerous substance or radiation emitting device where such use or handling would expose the employee to danger unless the employee has been instructed and trained
24. Where a dangerous substance or radiation emitting device is handled, stored or used in any area in any manner that is dangerous to the safety or health of an employee who might
be in that area, signs are to be posted to warn persons entering the area of that danger.
25. Departments shall ensure that
(1) every portable container for a dangerous substance that is used on its premises complies with a portable container specification prescribed for that dangerous substance in the Canadian Transport Commission Regulations for the Trans portation of Dangerous Commodities by Rail, or with a portable container specification recommended by Labour Canada or Health and Welfare Canada;
(2) every stationary storage container for a dangerous sub stance that is used on its premises complies with a stationary storage container specification prescribed for that dangerous substance pursuant to a law of the province or territory in which the container is located, or with a stationary storage container specification recommended by Labour Canada or Health and Welfare Canada;
(3) every container for a radiation emitting device that is used on its premises complies with a container specification prescribed for that radiation emitting device by the Radia tion Protection Bureau of Health and Welfare Canada.
26. Every container of a dangerous substance that is used is, with respect to its contents, to be labelled, marked or tagged in accordance with
(1) the Canadian Transport Commission Regulations for the Transportation of Dangerous Commodities by Rail;
(2) the Manufacturing Chemists Association Guide to Pre cautionary Labelling of Hazardous Chemicals;
(3) the requirements of the Hazardous Products (Hazardous Substances) Regulations of Canada, or any other labelling standard that identifies the dangerous substance in the con tainer by its common name, and lists the principal danger or dangers of that substance. [My emphasis.]
The opening words of paragraph 37 refer to all of these various sources:
37. To the extent that is reasonably practicable, the design and construction of every place in which a dangerous substance is manufactured, handled, stored, processed or used, shall be such that .... [My emphasis.]
I have concluded that paragraph 12 refers to dangerous substances whose sources are identified in these paragraphs and not to passive cigarette smoke. That is to say, it requires the employer to confine any dangerous substances that may be carried by the air as closely as is reasonably practicable to the places where they are being used, stored or handled and, in appropriate cases, to the places where they are being manufactured or processed by him. The respondent, while argu ing for a broader interpretation, conceded in argu ment before us that paragraph 12 applies to an
airborne dangerous substance originating in any such source. In the present case, danger to the respondent's health derives not from a dangerous substance originating in any of these sources but rather from the personal habits of fellow employees. That danger, as I see it, is not addressed by the Standard and the Adjudicator erred in law in deciding that paragraphs 12 and 15 apply.
I would allow this application, set aside the decision of the Adjudicator dated December 20, 1985 and refer the matter back to him on the basis that passive cigarette smoke is not a dangerous substance to which the Standard applies.
PRATTE J.: I agree.
 You are being directed to the most recent version of the statute which may not be the version considered at the time of the judgment.