The
Victorian
Charter
of
Rights
and
Responsibilities
so
far:
 a
lawyer’s
perspective
 
 Alistair
Pound


advertisement
The
Victorian
Charter
of
Rights
and
Responsibilities
so
far:
a
lawyer’s
perspective
Alistair
Pound
Barrister,
Victorian
Bar
Paper
presented
to
the
2009
Annual
Castan
Centre
Conference,
The
Changing
Human
Rights
Landscape,
State
Library
of
Victoria
17
July
2009
1.
The
impact
of
the
Charter
in
the
first
18
months
of
it
being
fully
in
force1
has
not
been
felt
most
prominently
in
the
published
decisions
of
the
courts
and
tribunals
of
the
State.
In
the
broader
scheme
of
things,
with
the
National
Human
Rights
Consultation
looming,
and
now
in
full
swing,
this
ought
to
have
been
a
good
thing.
It
would
at
least
give
the
lie
to
the
apocalyptic
claims
of
those
who
oppose
a
national
Charter
that
the
inevitable
result
of
such
legislation
would
be
the
transfer
of
political
power
to
“unelected
judges”
and
the
demise
of
Parliamentary
sovereignty.
But
those
claims
are
still
being
made.2
2.
In
fact,
it
has
been
suggested
that
one
of
the
first
indications
of
how
a
Charter
will
fatally
undermine
the
sovereignty
of
the
Parliament
can
be
found
in
the
judgment
of
Nettle
JA
in
RJE
v
Secretary
to
the
Department
of
Justice.3
The
author
of
this
particular
article4
does
not
seem
to
have
considered
that
his
argument
was
somewhat
undermined
by
the
fact
that
Maxwell
P
and
Weinberg
JA
reached
the
same
conclusion
as
Nettle
JA
on
ordinary
principles
of
interpretation.
Even
more
significantly,
for
those
who
claim
that
statutory
bills
of
rights
are
in
practice
no
different
from
constitutional
bills,
because
Parliament
will
not
be
able
to
counteract
the
courts’
interpretation
of
what
1
2
3
4
Divisions
3
and
4
of
Part
3
of
the
Charter
came
into
operation
on
1
January
2008.
The
remainder
of
the
Charter
had
already
come
into
operation
one
year
earlier
on
1
January
2007.
As
just
one
example,
see
The
Hon
K
Handley
AO
QC,
“Human
Rights:
The
Question
is
–
Who
is
the
Master?”
in
J
Leeser
and
R
Haddrick
(eds),
Don’t
Leave
Us
With
the
Bill
(2009,
Menzies
Research
Centre),
111
at
115,
who
suggested
that
an
apt
title
for
a
national
Human
Rights
Act
would
be
the
Parliament
(Transfer
of
Powers
to
the
Courts)
and
Lawyers
(Augmentation
of
Incomes)
Act.
[2008]
VSCA
265.
B
Jellis,
“Look
But
Don’t
Leap:
Lessons
from
the
Victorian
Statutory
Bill
of
Rights”,
in
Leeser
and
Haddrick,
op
cit
n
2,
319
at
322‐323.
human
rights
require,
the
Victorian
Parliament
promptly
reversed
the
effect
of
the
Court
of
Appeal’s
decision
in
RJE.5
3.
This
paper
will
consider
some
reasons
why
there
has
been
such
little
consideration
of
the
Charter
by
courts
and
tribunals
so
far
and
then
analyse
the
ways
in
which
what
little
case
law
there
has
been
can
be
utilised
by
practitioners.
4.
I
should
say
at
the
outset
that
the
“lawyer’s
perspective”
that
I
am
able
to
give
is
a
fairly
narrow
one.
As
a
barrister,
I
generally
only
become
involved
in
any
dispute,
including
now
disputes
raising
human
rights
issues,
when
things
have
reached
such
a
stage
that
the
parties
involved
are
contemplating
commencing
litigation
or
have
already
done
so.
No
doubt
the
impact
of
the
Charter
goes
much
wider
than
that.
I
expect
that
lawyers
working
in
and
for
government,
and
in
the
community
sector,
will
have
had
occasion
to
consider
and
apply
the
Charter
on
a
much
more
regular
basis
as
part
of
the
cultural
and
procedural
change
at
the
executive
and
parliamentary
levels
of
government
that
the
Charter
was
intended
to
achieve.6
Having
acknowledged
the
limited
base
from
which
I
can
speak,
I
think
it
is
also
fair
to
say
that
practitioners
in
England
18
months
after
the
Human
Rights
Act
1998
(UK)
(the
UK
HRA)
came
into
force
would
have
seen
a
very
different
picture.
Why
has
the
Charter
not
yet
taken
hold
in
Victoria
in
quite
the
same
way?
I
will
suggest
four
factors
that
have
occurred
to
me.
No
doubt
there
are
others.
5.
The
first
and
most
obvious
reason
is
time:
the
provisions
of
the
Charter
that
enable
it
to
be
raised
in
legal
proceedings
have
been
in
force
for
only
18
months,
since
1
January
2008.
It
takes
time
for
appropriate
cases
to
arise,
for
5
Serious
Sex
Offenders
Monitoring
Amendment
Act
2009
(Vic).
The
Minister
responsible
for
the
Bill,
the
Hon
Bob
Cameron
MLA,
Minister
for
Corrections,
made
a
statement
of
compatibility
when
the
Bill
was
introduced
into
Parliament
on
3
February
2009.
The
Bill
was
passed
and
received
the
Royal
Assent
within
a
week
of
its
introduction,
on
10
February
2009,
before
the
Parliament’s
Scrutiny
of
Acts
and
Regulations
Committee’s
report
on
the
Bill
was
received.
6
See,
for
example,
the
Second
Reading
Speech
for
the
Bill
for
the
Victorian
Charter,
where
the
Attorney‐General
said
that
the
Charter
that
it
should
promote
the
protection
of
human
rights
in
Victoria
as
far
as
it
was
possible
to
do
so
by
ensuring
that
“human
rights
are
observed
in
administrative
practice
and
the
development
of
policy
within
the
public
sector
without
the
need
for
recourse
to
the
courts”:
Victoria,
Legislative
Assembly,
Debates
(4
May
2006),
Vol
470,
page
1293,
Mr
Hulls.
2
lawyers
to
take
a
Charter
point
as
part
of
those
cases,
and
for
those
cases
to
work
their
way
through
the
system.
There
have
also
been
a
few
cases
in
which
attempts
to
raise
the
Charter
have
failed
on
the
basis
that
the
relevant
events
occurred
before
the
Charter
came
into
force
and
the
Charter
has
not
been
applied
retrospectively.7
6.
A
second
obvious
reason
is
that
some
cases
in
which
Charter
points
have
been
raised
will
have
been
settled
before
hearing
or
judgment.
The
Charter
can
play
a
not
insignificant
role
in
helping
parties
to
resolve
a
matter
out
of
court.
7.
Thirdly,
certain
provisions
of
the
Charter,
namely
ss
35
and
39,
can
have
an
inhibiting
effect
on
the
Charter
being
raised
in
litigation.
8.
In
R
v
Benbrika
(No
2),8
Bongiorno
J
drew
attention
to
the
potential
for
delay
created
by
the
requirement
in
s
35
of
the
Charter
to
give
notice
where
a
question
of
law
arises
relating
to
the
Charter.
In
that
case,
the
accused
persons
had
applied
for
a
stay
of
the
proceedings
against
them
on
the
ground
that
the
trial
was
unfair
because
of
the
conditions
in
which
they
were
being
held
on
remand
and
transported
to
and
from
the
Court.
They
had
sought
to
rely
upon
provisions
of
the
Charter
in
support
of
that
argument,
but
ultimately
abandoned
the
Charter
grounds.
His
Honour
observed
that
“[t]he
section
needs
to
preserve
a
residual
discretion
in
the
judge
to
relieve
a
party
from
giving
notice
where
to
do
so
would
unduly
disrupt
or
delay
a
proceeding
or
for
other
good
reason”.
9.
In
addition
to
the
effects
of
any
delay,
the
giving
of
notice
can
result
in
a
relatively
small
dispute
between
two
parties
taking
on
much
larger
proportions.
Not
many
clients,
I
suspect,
would
relish
the
prospect
of
their
case
becoming
a
Charter
test
case
with
a
phalanx
of
lawyers
lined
up
along
the
Bar
table.
That
prospect,
too,
can
have
an
inhibiting
effect.
7
8
See,
for
example,
R
v
Williams
(2007)
16
VR
168;
Guneser
v
Magistrates’
Court
of
Victoria
[2008]
VSC
57;
State
of
Victoria
v
Turner
[2009]
VSC
66;
Nolan
v
MBF
Investments
Pty
Ltd
[2009]
VSC
244.
See
also
Kracke
v
Mental
Health
Review
Board
[2009]
VCAT
646
at
[334]‐[357].
[2008]
VSC
80
at
[17]‐[18].
3
10.
Nevertheless,
on
the
whole,
s
35
is
a
useful
provision.
The
Attorney‐General
should,
at
least
in
these
early
years
of
the
Charter’s
operation,
receive
notice
of
Charter
cases.
The
knowledge
and
resources
that
the
Attorney
(and
other
interveners
or
amici
curiae,
such
as
the
Victorian
Human
Rights
and
Equal
Opportunity
Commission
or
the
Human
Rights
Law
Resource
Centre)
can
bring
to
the
proceedings
can
ensure
that
proper
consideration
is
given
to
the
application
of
the
Charter
in
particular
cases
and
in
some
cases
alleviate
the
burden
on
the
parties
of
doing
so.
11.
Then
there
is
section
39.
It
has
not
yet
received
any
detailed
judicial
consideration,
but
the
intention
behind
it
is
clear
enough
–
the
Charter
is
not
to
give
rise
to
any
new
or
free‐standing
cause
of
action.9
There
is
at
least
one
VCAT
decision
where
the
intent
behind
s
39
has
been
relied
on,
somewhat
questionably
in
my
opinion,
to
hold
that
the
compliance
by
a
public
authority
with
its
obligations
under
s
38
of
the
Charter
were
not
reviewable
by
the
Tribunal.10
Section
40C
of
the
ACT
Human
Rights
Act
2004
(the
ACT
HRA),
which
provides
for
a
free‐standing
right
of
action
and
makes
clear,
too,
that
the
Charter
can
be
relied
upon
in
any
legal
proceedings,
is
to
be
preferred.
12.
Fourthly,
prior
to
the
enactment
of
the
UK
HRA
in
1998,
the
United
Kingdom
had
for
just
over
30
years
been
subject
to
the
right
of
individual
petition
to
the
European
Court
of
Human
Rights
under
the
European
Convention
for
the
Protection
of
Human
Rights
and
Fundamental
Freedoms.
That
Court
had,
over
the
years,
issued
numerous
adverse
judgments
in
cases
brought
against
the
United
Kingdom
government,
which
provided
some
of
the
impetus
for
the
enactment
of
the
UK
HRA
and
also
helped
to
ensure
that
many
practitioners
and
judges
were
very
familiar
with
the
European
Convention
and
how
it
could
be
used
to
challenge
domestic
laws
and
practices.
By
contrast,
it
is
fair
to
say
that
many
Victorian
practitioners
are
as
yet
unfamiliar
with
the
Charter
–
what
it
does
and
how
it
operates
and
whether
in
fact
it
would
make
9
See,
eg,
page
28
of
the
Explanatory
Memorandum
to
the
Charter;
and
Sabet
v
Medical
Practitioners
Board
of
Victoria
[2008]
VCA
346
at
[104].
10
See
Director
of
Housing
v
IF
(Residential
Tenancies)
[2008]
VCAT
2413
at
[49]‐[50].
But
cf
Kracke
v
Mental
Health
Review
Board
[2009]
VCAT
646
at
[856]‐[857]
and
Homeground
Services
v
Mohamed
(Residential
Tenancies)
[2009]
VCAT
1131.
I
am
grateful
to
Maya
Narayan
of
the
Tenants
Union
of
Victoria
for
bringing
the
Homeground
case
to
my
attention.
4
any
practical
difference
in
particular
cases.
That
uncertainty
can
then
be
coupled
with
the
daunting
prospect
of
researching
a
Charter
argument.
There
is
a
vast
body
of
authority
from
several
jurisdictions
on
the
rights
themselves
and
the
overseas
equivalents
to
the
“mechanical”
provisions
of
the
Charter,
such
as
the
interpretative
power
and
the
obligations
on
“public
authorities”.
Trying
to
marshal
all
of
the
relevant
authority
in
order
to
run
a
Charter
argument
can
be
a
time‐consuming
and
potentially
costly
exercise,
and
where
the
practical
benefits
of
doing
so
are
unclear
or
uncertain,
some
practitioners
may,
quite
justifiably,
choose
not
to
go
down
that
path.
13.
It
can
be
expected,
however,
that
these
difficulties
will
diminish
with
time
as
the
body
of
domestic
precedent
grows.
The
overseas
jurisprudence
will
remain
relevant
and
that
is
undoubtedly
a
good
thing.
But
it
will
become
more
intelligible;
the
leading
cases
more
familiar.
Victorian
and
ACT
lawyers
(and
if
a
national
charter
is
enacted,
all
Australian
lawyers)
will
slowly
bridge
the
gap
that
Spigelman
CJ
spoke
of
a
few
years
ago
between
domestic
jurisprudence
and
the
developing
human
rights
jurisprudence
of
other
jurisdictions.11
There
are
already
signs
of
this
occurring,
for
example
in
the
areas
of
public
housing,
mental
health
and
the
criminal
law.
14.
But
what
is
needed
is
some
guidance
about
a
clear
and
simple
way
to
approach
the
application
of
the
Charter
to
particular
cases.
So
I
would
like
to
turn
now
to
what
can
be
gleaned
in
this
respect
from
the
cases
decided
to
date.
The
leading
case
is
Kracke
v
Mental
Health
Review
Board,12
but
there
are
others
worth
close
reading,
including
Sabet
v
Medical
Practitioners’
Board
of
Victoria13
and
RJE14
and
some
decisions
from
the
ACT.
This
paper
will
not
analyse
the
cases
themselves,
but
will
instead
attempt
to
summarise
what
they
suggest
about
how
to
approach
a
Charter
argument.
11
12
13
14
Hon
JJ
Spigelman
AC,
‘Rule
of
Law
–
Human
Rights
Protection’
(1999)
18
Australian
Bar
Review
29
at
32‐33;
and
‘The
truth
can
cost
too
much:
the
principle
of
a
fair
trial’
(2004)
78
ALJ
29
at
47;
and
Hon
JJ
Spigelman
AC,
‘Principle
of
legality
and
the
clear
statement
principle’
(2005)
79
ALJ
769
at
782.
Kracke
v
Mental
Health
Review
Board
[2009]
VCAT
646.
Sabet
v
Medical
Practitioners
Board
of
Victoria
[2008]
VCA
346.
RJE
v
Secretary
to
the
Department
of
Justice
[2008]
VSCA
265.
5
How
to
approach
a
Charter
argument
15.
There
are
essentially
two
ways
that
a
Charter
argument
can
be
raised
in
proceedings
in
a
court
or
tribunal:
15.1.
one,
by
challenging
the
interpretation
of
a
relevant
statutory
provision
under
s
32
of
the
Charter;
and
15.2.
two,
by
challenging
an
act
or
decision
of
a
public
authority
as
incompatible
with
s
38
of
the
Charter.
16.
In
Kracke,15
Bell
J
identified
a
third
way,
based
on
s
6(2)(b)
of
the
Charter,
where
courts
and
tribunals
are
directly
bound
(even
when
they
are
not
acting
“in
an
administrative
capacity”
for
the
purposes
of
s
4(1)(j))
to
apply
and
enforce
those
human
rights
in
Part
2
of
the
Charter
that
“relate
to”
court
or
tribunal
proceedings,
which
his
Honour
identified
as
ss
10(b)
(in
its
reference
to
punishment),
21(5)(c),
21(6),
21(7),
21(8),
23(2),
23(3),
24(1),
24(2),
24(3),
25,
26
and
27.
Such
cases
will
be
relatively
rare
(at
least
where
either
s
32
or
s
38
is
not
also
engaged)
and
it
is
not
necessary
to
go
into
them
in
this
paper.
17.
Several
cases
have
suggested
a
step‐by‐step
approach
to
the
application
of
s
32
and
s
38,
or
their
equivalents
in
the
ACT
HRA,
each
of
which
seems
to
vary
slightly
from
the
others.
18.
In
Sabet,16
Hollingworth
J
accepted
a
three
step
approach
suggested
by
the
Solicitor‐General
for
analyzing
whether
a
public
authority
had
complied
with
s
38
of
the
Charter.
In
Hakimi
v
Legal
Aid
Commissioner,17
Refshauge
J
in
the
ACT
Supreme
Court
came
up
with
no
less
then
a
seven
step
test.
19.
In
Kracke,18
Bell
J
proposed
a
four
step
approach
to
the
application
of
ss32
and
36
of
the
Charter.
And
in
R
v
Fearnside,19
Besanko
J
applied
the
three‐
step
test
proposed
by
the
ACT
Attorney‐General
in
that
case.
15
16
17
18
[2009]
VCAT
646
at
[236]‐[254].
[2008]
VSC
346
at
[108].
[2009]
ACTSC
48
at
[51]‐[53].
See
[2009]
VCAT
646
at
[65]
for
his
Honour’s
summary
of
the
four
steps.
6
20.
There
are
of
course
some
differences
depending
on
whether
one
is
seeking
to
challenge
a
statutory
provision
or
an
act
or
decision
of
a
public
authority,
but
it
is
possible
to
identify
a
common
approach
to
the
core
issues
that
have
to
be
addressed
in
either
case.
In
my
view,
they
are
as
follows:
20.1.
step
one,
define
the
issue:
what
is
the
statutory
provision
or
the
act
or
decision
of
the
public
authority
that
is
being
challenged
as
incompatible
with
a
human
right?
20.2.
step
two,
define
the
right:
this
step
is
what
has
been
called
the
“engagement”
question
in
the
cases,
but
what
it
really
involves,
I
think,
is
the
identification
of
the
scope
and
content
of
the
right
or
rights
in
question;
20.3.
step
three,
limitation,
which
essentially
involves
a
comparison
of
the
first
two
steps:
does
the
statutory
provision
or
the
act
or
decision
in
question
limit
or
restrict
the
exercise
of
a
human
right
in
any
way?
If
it
does
not,
that
is
the
end
of
the
matter.
If
it
does,
one
proceeds
to
step
four.
20.4.
step
four,
justification:
was
any
such
limitation
or
restriction
reasonable
and
justified
within
the
circumstances
set
out
in
s
7(2)?
Or
as
Refshauge
J
said
in
Hakimi,
“[t]o
put
it
another
way,
is
the
limitation
proportionate?”20
21.
These
four
steps
are
the
central
issues
in
any
case
in
which
it
is
alleged
that
a
person’s
human
rights
have
been
interfered
with.
22.
In
a
public
authority
case,
that
will
ordinarily
be
the
end
of
the
Charter
analysis.
The
act
or
decision
in
question
will
either
be
compatible
with
relevant
human
rights
or
it
will
not
and
orders
should
follow
accordingly.
There
will
be
cases
where
s
38(2)
might
be
called
in
aid
by
a
public
authority
which
says
that
having
regard
to
a
statutory
provision
it
could
not
reasonably
have
acted
differently,
but
then
the
real
issue
in
such
cases
might
19
20
[2009]
ACTCA
3
at
[93]‐[104].
[2009]
ACTSC
48
at
[51]
point
3.
7
be
whether
the
provision
in
question
is
incompatible
with
human
rights
and
whether
it
can
be
re‐interpreted
under
s
32.
23.
In
cases
involving
the
interpretation
of
a
statutory
provision,
there
will
be
a
further
two
steps,
identified
by
Bell
J
in
Kracke
as
follows:
23.1.
step
five,
re­interpretation:
if
the
limitation
or
restriction
imposed
by
the
provision
cannot
be
justified
under
s
7(2),
is
it
possible
to
interpret
it
compatibly
with
human
rights
by
the
application
of
s
32?21
and
23.2.
step
six,
in
the
Supreme
Court
only,
is
the
possibility
of
a
declaration
of
inconsistent
interpretation:
if
it
is
not
possible
to
interpret
the
provision
compatibly
with
human
rights,
should
the
Supreme
Court
exercise
its
power
under
s
36
to
make
a
declaration
of
inconsistent
interpretation?22
24.
The
remainder
of
this
paper
will
make
a
few
brief
comments
about
these
steps.
Simplicity
25.
The
first
is
a
point
about
the
need
for
simplicity.
There
is
obviously
a
risk
that
what
was
intended
to
provide
an
accessible
means
of
approaching
a
Charter
analysis
can
instead
become
formulaic
and
very
complex.
The
approach
that
has
been
suggested
is
no
more
than
a
guide;
it
may
not
be
suitable
in
all
cases.
In
cases
where
some
of
the
steps
identified
above
are
obvious
or
uncontroversial,
the
need
for
simplicity
in
the
application
of
the
Charter
suggests
that
practitioners
should
go
straight
to
the
heart
of
the
case,
much
in
the
way
Nettle
JA
did
in
RJE,
where
his
Honour
took
little
more
than
a
paragraph
to
conclude
that
the
prevailing
interpretation
of
the
statutory
provision
in
question
in
that
case
restricted
an
offender’s
freedom
of
21
22
[2009]
VCAT
646
at
[65],
[198]‐[230].
[2009]
VCAT
646
at
[65],
[232]‐[235].
8
movement
and
right
to
privacy
to
an
extent
that
was
not
capable
of
justification.23
Step
one:
Defining
the
issue
26.
As
to
the
first
step,
defining
the
issue,
both
Nettle
JA
in
RJE24
and
Bell
J
in
Kracke25
suggested
that
in
a
case
where
a
statutory
provision
is
being
challenged,
one
should
start
with
the
interpretation
of
the
relevant
provision
according
to
standard
principles
of
interpretation.
Step
two:
Defining
the
right
27.
The
second
step
requires
the
identification
of
the
scope
and
content
of
the
relevant
human
right
or
rights.
This
might
demonstrate
that
the
provision,
or
the
act
or
decision,
in
question
does
not
fall
within
the
scope
of
a
right
at
all.
28.
So,
for
example,
in
Hakimi,
the
applicant’s
case
fell
at
this
hurdle.
Refshauge
J
decided
that
the
right
to
legal
assistance
in
s
22
of
the
ACT
HRA
did
not
confer
a
right
for
a
legally
aided
person
to
choose
their
lawyer.
His
Honour
therefore
did
not
need
to
go
on
to
consider
whether
the
decision
of
the
respondent
Commission
to
appoint
a
Commission
lawyer
to
represent
Mr
Hakimi
in
criminal
proceedings,
rather
than
a
private
lawyer
of
his
choosing,
constituted
a
reasonable
limitation
on
any
such
right.26
Step
three:
Limitation
29.
It
is
important
to
identify
the
scope
and
content
of
the
right
or
rights
in
issue
at
the
outset,
because
once
that
is
done,
the
next
question
–
whether
and
how
the
relevant
statutory
provision
or
act
or
decision
limits
or
restricts
that
right
should
be
readily
apparent.
Indeed,
in
Kracke,
Bell
J
treated
these
first
two
steps
as
part
of
the
first
stage
in
his
four
stage
analysis.27
23
24
25
26
27
[2008]
VSCA
265
at
[113].
[2008]
VSCA
265
at
[115]‐[116].
[2009]
VCAT
646
at
[68].
See
also
Sabet
[2008]
VSC
346
at
[128]‐[129].
[2009]
VCAT
646
at
[67]‐[97].
9
Step
four:
Justifying
the
limitation
30.
It
may
be
expected
that
in
most
cases
the
issue
of
justification
will
form
the
crux
of
the
case.
Once
a
limitation
on
a
right
is
established,
the
question
of
whether
it
is
compatible
or
incompatible
with
the
right
depends
upon
the
application
of
s
7(2)
of
the
Charter
–
does
the
limitation
in
question
constitute
a
reasonable
limit
such
as
can
be
demonstrably
justified
in
a
free
and
democratic
society
based
on
human
dignity,
equality
and
freedom
and
taking
into
all
relevant
factors,
including
those
set
out
in
paragraphs
(a)‐(e)?
31.
In
Sabet,
Hollingworth
J
said
that
“the
Charter
requires
a
Victorian
court
to
have
regard
to
the
specific
factors
mentioned
in
s
7(2)”
and
not
to
“general
notions
of
proportionality”.28
However,
in
Kracke,
Bell
J
took
a
different
view.
His
Honour
said
that
s
7(2)
“reflects
the
concept
of
proportionality
as
articulated
in
the
international
jurisprudence”
and
that
the
specified
factors
in
s
7(2)(a)‐(e)
“fit
into
the
general
proportionality
analysis”.
Similarly,
in
Hakimi,
Refshauge
J
accepted
the
submission
of
the
ACT
Attorney‐General
that
the
equivalent
test
in
s
28
of
the
ACT
HRA
involved
asking
the
simple
question
“is
the
limitation
proportionate?”29
32.
It
is
submitted,
with
respect,
that
the
approach
taken
in
Kracke
and
Hakimi
is
to
be
preferred.
It
is
supported
by
the
extrinsic
materials;30
it
recognizes
that
the
factors
in
s
7(2)(a)‐(e)
are
only
factors
relevant
to
the
overall
test;
it
makes
sense
of
those
factors;
and
it
has
the
benefit
of
connecting
the
Victorian
test,
which
is
expressed
in
very
similar
terms
to
those
in
the
Canadian,
New
Zealand
and
South
African
instruments,
with
the
proportionality
test
that
has
been
consistently
applied
in
other
jurisdictions.
As
Bell
J
said
in
Kracke,
the
proportionality
test
“is
a
foundational
concept
in
the
international
human
rights
jurisprudence.
It
is
applied
universally
across
28
29
30
[2008]
VSC
346
at
[187].
[2009]
ACTSC
48
at
[51]
point
3.
See,
for
example,
the
Second
Reading
Speech
for
the
Charter
Bill
in
which
the
Attorney‐
General
said
that
“[t]he
general
limitations
clause
embodies
what
is
known
as
the
‘proportionality
test’”:
Victoria,
Legislative
Assembly,
Debates
(4
May
2006),
Vol
470,
page
1291,
Mr
Hulls.
10
the
various
jurisdictions
in
determining
whether
limitations
on
human
rights
are
justified.”31
Step
five:
interpretation
under
s
32
33.
Finally,
the
cases
decided
to
date
have
given
some
consideration
to
the
extent
of
the
interpretative
power
in
s
32
of
the
Charter
and
its
equivalent
in
s
30
of
the
ACT
HRA.
Just
what
is
“possible”
under
s
32?
The
outer
limits
remain
open
to
argument.
But
there
are
at
least
two
areas
where
the
application
of
s
32
of
the
Charter
should
be
uncontroversial.
34.
The
first
concerns
statutory
provisions
conferring
discretionary
powers
in
general
terms.
The
second
concerns
statutory
provisions
which
use
a
word
or
phrase
whose
meaning
might
be
described
as
“malleable”
or
“sensitive
to
context”.
General
discretionary
powers
35.
In
the
first
case,
Bell
J
said
that
“provisions
which
confer
open‐ended
discretions”
must,
if
possible
consistently
with
their
purpose:
“be
interpreted
such
that
the
discretion
can
only
be
exercised
compatibly
with
human
rights.
Therefore,
unless
the
very
purpose
of
the
provision
is
incompatible
with
human
rights,
which
will
surely
be
an
exceptional
case,
the
solution
to
legal
problems
concerning
the
exercise
of
an
open‐ended
discretion
will
depend
upon
whether
it
has
been
exercised
compatibly
with
human
rights,
not
the
interpretation
of
the
provisions
which,
under
s
32(1),
is
set.”32
36.
This
seems
to
be
no
different
from
the
common
law
principle
that
the
courts
will
presume
that
the
legislature
did
not
intend
to
interfere
with
fundamental
common
law
rights
unless
the
intention
to
do
so
is
clearly
and
unambiguously
manifested
either
expressly
or
by
necessary
implication.
As
31
[2009]
VCAT
646
at
[111].
The
leading
cases
from
other
jurisdictions
concerning
the
concept
of
proportionality
set
out
in
Bell
J’s
reasons
in
Kracke
at
[111]‐[135].
32
[2009]
VCAT
646
at
[208],
[210]‐[211],
citing
Slaight
Communications
Inc
v
Davidson
[1989]
1
SCR
1038
at
1078;
and
Societe
des
Acadiens
et
Acadiennes
du
Nouveau­
Brunswick
Inc
v
Canada
[2008]
SCC
15
at
[20].
11
McHugh
J
said
in
Daniels
Corporation
International
Pty
Ltd
v
Australian
Competition
and
Consumer
Commission:33
“A
power
conferred
in
general
terms,
however,
is
unlikely
to
contain
the
necessary
implication
because
‘general
words
will
almost
always
be
able
to
be
given
some
operation,
even
if
that
operation
is
limited
in
scope’34.”
37.
It
may
be,
therefore,
as
Bell
J
recognized
in
Kracke,35
that
the
application
of
this
standard
common
law
principle
of
interpretation
will
in
some
obviate
the
need
for
reliance
on
s
32
of
the
Charter.
The
usefulness
of
the
Charter
in
such
a
case
may
be
found
in
the
facts
that
in
some
cases
it
expands
upon
the
common
law
canon
of
fundamental
rights
which
may
be
used
to
read
down
such
general
statutory
powers,
that
those
rights
are
made
express,
and
that
s
7(2)
of
the
Charter
provides
a
framework
for
assessing
whether
the
general
nature
of
the
power
is
or
is
not
compatible
with
human
rights.
Words
that
are
sensitive
to
context
38.
In
the
second
case,
s
32
is
capable
of
applying
so
as
to
enable
statutory
provisions
of
somewhat
indeterminate
meaning
to
be
interpreted
more
broadly
or
more
narrowly,
as
the
case
requires,
in
order
to
render
them
compatible
with
human
rights.
Again,
this
seems
no
different
to
standard
principles
of
interpretation.
39.
RJE
is
a
good
example.
That
case
concerned
section
11(1)
of
the
Serious
Sex
Offenders
Monitoring
Act
2005,
which
enabled
a
court
to
make
an
extended
supervision
order
(ESO)
in
relation
to
a
convicted
sex
offender
where
it
was
satisfied,
“to
a
high
degree
of
probability,
that
the
offender
is
likely
to
commit
a
relevant
offence
if
released
in
the
community”
on
completion
of
his
or
her
sentence.
An
ESO
could
include
a
range
of
restrictions,
including
restrictions
on
an
offender’s
place
of
residence
and
freedom
of
movement
and
forms
of
monitoring.
33
(2002)
213
CLR
543
at
563
[43];
see
also
at
[32]
per
Gleeson
CJ,
Gaudron,
Gummow
and
Hayne
JJ.
34
Coco
v
The
Queen
(1994)
179
CLR
427
at
438.
[2009]
VCAT
646
at
[69].
35
12
40.
A
previous
decision
of
the
Court
of
Appeal,
TSL
v
Secretary
to
the
Department
of
Justice,36
had
interpreted
the
word
“likely”
to
mean
that
a
less
than
50%
chance
might
suffice.
Maxwell
P
and
Weinberg
JA
held
that
that
decision
should
not
be
followed
and
that
the
word
“likely”
in
s
11(1)
should
be
interpreted
to
mean
“more
likely
than
not”.37
Their
Honours
reached
that
conclusion
on
ordinary
principles
of
construction:
“likely”
was
a
word
whose
meaning
was
sensitive
to
context
and
their
Honours
considered
that
they
should
favour
the
interpretation
which
produced
the
least
infringement
on
the
individual’s
common
law
right
“to
be
at
liberty”.38
41.
Nettle
JA
reached
the
same
conclusion
by
application
of
s
32
of
the
Charter.
His
Honour
held
that:
“the
making
of
an
[ESO]
of
itself
so
restricts
an
offender’s
right
to
move
freely
within
Victoria
and
to
enter
and
leave
it
(s
12),
and
his
right
to
privacy
(s
13),
if
not
his
right
to
liberty
(s
21),
that
it
is
not
capable
of
demonstrable
justification
in
the
relevant
sense
unless
the
risk
of
the
offender
committing
a
relevant
offence
is
at
least
more
likely
than
not.”39
42.
To
depart
from
the
TSL
interpretation
of
“likely”
and
to
construe
it
as
meaning
“at
least
more
likely
than
not”
was,
said
his
Honour,
“within
the
permissible
ambit
of
interpretation,
well
short
of
the
forbidden
territory
of
legislation”.40
43.
One
practical
difference
between
the
two
approaches
was
that
in
order
to
depart
from
TSL,
Maxwell
P
and
Weinberg
JA
were
compelled
to
say
that
that
decision
was
wrong
and
was
wrong
when
it
had
been
decided.
Nettle
JA,
on
the
other
hand,
needed
only
to
say
that,
in
light
of
s
32
of
the
Charter,
the
TSL
interpretation
could
no
longer
stand.
Nettle
JA’s
approach
recognizes
that
s
32
can
have
the
effect
of
changing
the
law.
It
can
enable
a
single
judge
to
depart
from
a
previous
interpretation
of
a
statutory
provision,
prior
to
the
introduction
of
the
Charter,
which
would
otherwise
be
binding.
36
37
38
39
40
(2006)
14
VR
109.
[2008]
VSCA
265
at
[21]ff.
[2008]
VSCA
265
at
[27]‐[37].
[2008]
VSCA
265
at
[113]
(footnote
omitted).
[2008]
VSCA
265
at
[117].
13
Departing
from
the
unambiguous
meaning
of
a
statutory
provision
44.
What
is
still
open
to
argument
is
whether
s
32
goes
any
further
than
either
of
these
situations,
and
in
particular
whether
it
goes
as
far
as
the
House
of
Lords’
interpretation
of
s
3
of
the
UK
HRA
in
Ghaidan
v
Godin­Mendoza41
and
requires
a
court
to
depart
from
the
unambiguous
meaning
of
a
statutory
provision,
where
possible
to
do
so
consistently
with
the
purpose
of
the
provision,
in
order
to
render
it
compatible
with
human
rights.
45.
Nettle
JA
expressly
left
that
question
open
in
RJE.42
Other
judges
have,
however,
offered
their
views,
albeit
only
in
obiter.
46.
In
Kracke,
Bell
J
expressed
the
view
that
s
32
of
the
Charter
was
equally
as
powerful
as
s
3
of
the
UK
HRA.
His
Honour
considered
that
the
two
provisions
“express
the
same
special
interpretative
obligation
and
are
of
equal
force
and
effect”43
and
that
the
“purpose”
proviso
in
s
32
of
the
Charter
did
not
distinguish
it
from
s
3
of
the
UK
HRA,
but
rather
codified
the
boundaries
of
the
latter
provision
that
had
been
identified
by
the
House
of
Lords
in
Ghaidan.44
47.
However,
in
two
cases
decided
earlier
this
year
in
the
ACT
Court
of
Appeal,
prior
to
Kracke,
the
Court
expressed
the
contrary
view
in
relation
to
s
30
of
the
ACT
HRA,
which
is
relevantly
identical
to
s
32
of
the
Charter.
48.
In
R
v
Fearnside,45
Besanko
J,
with
whom
Gray
P46
and
Penfold
J47
agreed,
said
he
did
not
think
“s
30
authorises
and
requires
the
Court
to
take
the
type
of
approach
taken
by
the
House
of
Lords
in
Ghaidan.”
In
coming
to
this
view,
his
Honour
noted
that
the
“purpose”
proviso
in
s
30
of
the
ACT
HRA
was
absent
from
s
3
of
the
UK
HRA.
41
42
43
44
45
46
47
[2004]
2
AC
557.
[2008]
VSCA
265
at
[118]‐[119].
[2009]
VCAT
646
at
[215].
[2009]
VCAT
646
at
[214].
[2009]
ACTCA
3
at
[85]‐[90].
[2009]
ACTCA
3
at
[1].
[2009]
ACTCA
3
at
[20].
14
49.
Besanko
J
made
the
same
observations
in
Casey
v
Alcock,48
on
this
occasion
with
the
agreement
of
Refshauge
J.49
50.
This
conclusion
is
a
little
difficult
to
square
with
the
Explanatory
Memorandum
for
the
Human
Rights
Amendment
Bill
2007,
which
amended
s
30,
and
which
said
that
in
its
present
form,
the
section
“draws
on
jurisprudence
from
the
United
Kingdom
such
as
the
case
of
Ghaidan
v
Godin­
Mendoza”.
51.
It
is
submitted,
with
respect,
that
Bell
J’s
view
is
to
be
preferred.
Again,
it
is
consistent
with
the
extrinsic
materials50
and,
most
importantly,
it
is
consistent
with
the
purpose
behind
interpretative
provisions
of
this
nature
in
a
“dialogue
model”
of
human
rights
legislation.
They
represent
a
compromise
of
sorts.
Courts
are
not
given
the
power
to
strike
down
Acts
of
Parliament,
but
in
order
to
ensure
an
appropriate
level
of
protection
of
human
rights,
they
are
given
a
powerful
interpretative
tool.
To
water
down
that
power,
so
that
in
effect
it
is
no
stronger
than
the
purposive
rule
or
the
common
law
rule
of
interpretation
in
favour
of
fundamental
rights,
risks
blunting
a
significant
and
essential
feature
of
these
Acts.
As
Bell
J
said
in
Kracke:51
“The
boundaries
identified
in
Ghaidan
v
Godin­Mendoza,
on
which
the
purpose
requirement
is
based,
provide
an
adequate
balance
between
giving
the
special
interpretative
obligation
full
force
and
proper
scope
on
the
one
hand
and
safeguarding
against
its
impermissible
use
on
the
other.
Adopting
narrower
boundaries
would
weaken
the
operation
of
s
32(1)
in
a
way
that
was
not
intended.
Narrower
boundaries
would
reduce
the
special
interpretative
obligation
to
a
restatement
of
the
standard
principles
of
interpretation
or
the
rules
already
expressed
in
s
35(a)
of
the
Interpretation
of
Legislation
Act
1984.”
48
49
50
51
[2009]
ACTCA
1
at
[108].
[2009]
ACTCA
1
at
[12]‐[13].
In
the
course
of
these
observations,
their
Honours
expressed
doubt
that
observations
made
by
the
Court
of
Appeal
in
Kingsley’s
Chicken
Pty
Ltd
v
Queensland
Investment
Corp
[2006]
ACTCA
9
intended
to
equate
s
30
of
the
ACT
HRA
(in
its
previous
form)
with
s
3
of
the
UK
HRA.
Higgins
CJ,
who
was
a
member
of
the
Court
in
both
Kingsley’s
Chicken
and
Casey
v
Alcock,
made
no
comment
on
the
issue
in
the
latter
case.)=
See
Human
Rights
Consultation
Committee,
Rights,
Responsibilities
and
Respect
(Department
of
Justice,
Victoria,
2005),
at
pp
82‐83.
[2009]
VCAT
646
at
[216].
15
52.
His
Honour
expressly
disagreed
with
Raytheon
Australia
Pty
Ltd
v
ACT
Human
Rights
Commission,52
in
which
Peedom
P
in
the
ACT
AAT
had
expressed
a
view
similar
to
that
subsequently
expressed
by
Besanko
J
in
the
cases
referred
to
above.
53.
In
any
event,
the
issue
may
soon
be
the
subject
of
consideration
in
the
case
of
Momcilovic
v
R,
to
be
heard
by
the
Victorian
Court
of
Appeal
in
late
July
2009,
concerning
a
reverse
onus
provision
in
drug
possession
offence.
The
Court
will
be
asked
to
consider
the
application
of
s
32
of
the
Charter
to
the
provision
is
question
and
may
therefore
address
the
difference
of
approach
between
the
House
of
Lords
in
R
v
Lambert
[2002]
2
AC
545
and
the
New
Zealand
Supreme
Court
in
R
v
Hansen
[2007]
3
NZLR
1
as
to
the
strength
of
the
s
32
equivalents
in
the
human
rights
legislation
in
those
countries.
52
[2008]
ACT
AAT
19
at
[78].
16

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