Federal Court
Cour fédérale
Date: 20111207
Docket: T-1057-11
Docket: T-1735-11
Citation : 2011 FC 1432
Winnipeg, Manitoba, December 7, 2011
PRESENT: The Honourable Mr. Justice Campbell
Docket: T-1057-11
BETWEEN:
FRIENDS OF THE CANADIAN WHEAT
BOARD, HAROLD BELL, DANIEL
GAUTHIER, KEN ESHPETER, TERRY
BOEHM, LYLE SIMONSON, LYNN
JACOBSON, ROBERT HORNE, WILF
HARDER, LAURENCE NICHOLSON,
LARRY BOHDANOVICH, KEITH RYAN,
ANDY BAKER, NORBERT VAN DEYNZE,
WILLIAM ACHESON, LUC LABOSSIERE,
WILLIAM NICHOLSON AND RENE SAQUET
Applicants
and
ATTORNEY-GENERAL OF CANADA,
THE MINISTER OF AGRICULTURE AND
AGRIFOOD IN HIS CAPACITY AS MINISTER
RESPONSIBLE FOR THE CANADIAN
WHEAT BOARD AND THE CANADIAN
WHEAT BOARD
and
COUNCIL OF CANADIANS, ETC GROUP
(ACTION GROUP ON EROSION,
TECHNOLOGY AND CONCENTRATION),
PUBLIC SERVICE ALLIANCE OF CANADA
AND FOOD SECURE CANADA
Respondents
Interveners
Page: 2
Docket: T-1735-11
AND BETWEEN:
THE CANADIAN WHEAT BOARD, ALLEN
OBERG, ROD FLAMAN, CAM GOFF, KYLE
KORNEYCHUK, JOHN SANDBORN, BILL
TOEWS, STEWART WELLS
AND BILLWOODS
Applicants
and
THE MINISTER OF AGRICULTURE AND
AGRIFOOD IN HIS CAPACITY AS MINISTER
RESPONSIBLE FOR THE CANADIAN
WHEAT BOARD
Respondent
and
PCSC – PRODUCER CAR SHIPPERS OF
CANADA INC., LOGAN CONNOR, LEONARD
GLUSKA, BILL WOODS, MYRON FINLAY,
HOWARD VINCENT, GLEN HARRIS,
AND TIM COULTER
Interveners
REASONS FOR ORDERS
[1] The present Applications concern the rule of law and the disregard for it by the
Respondent Minister of Agriculture (the Minister).
[2] The law concerned is s. 47.1 of the Canadian Wheat Board Act, RSC 1985, c C-24 (the
Act) which requires the Minister to engage in a consultative process with the Canadian Wheat Board
(CWB) and to gain the consent of Western Canadian wheat and barley producers with respect to
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proposed changes to the currently well-established process of marketing the grains in Canada. At
the present time, contrary to the requirements of s. 47.1, the Minister is unilaterally proceeding to
revolutionize the process by securing the imminent passage of legislation.
[3] A most recent reminder of the rule of law as a fundamental constitutional imperative is
expressed by Chief Justice Fraser in Reece v Edmonton (City), 2011 ABCA 238 at paragraphs 159
and 160:
The starting point is this. The greatest achievement through the
centuries in the evolution of democratic governance has been
constitutionalism and the rule of law. The rule of law is not the rule
by laws where citizens are bound to comply with the laws but
government is not. Or where one level of government chooses not to
enforce laws binding another. Under the rule of law, citizens have
the right to come to the courts to enforce the law as against the
executive branch. And courts have the right to review actions by the
executive branch to determine whether they are in compliance with
the law and, where warranted, to declare government action
unlawful. This right in the hands of the people is not a threat to
democratic governance but its very assertion. Accordingly, the
executive branch of government is not its own exclusive arbiter on
whether it or its delegatee is acting within the limits of the law. The
detrimental consequences of the executive branch of government
defining for itself – and by itself – the scope of its lawful power have
been revealed, often bloodily, in the tumult of history.
When government does not comply with the law, this is not merely
non-compliance with a particular law, it is an affront to the rule of
law itself […].
[Emphasis added]
[4] The Applicants each request a Declaration that the Minister’s conduct is an affront to the
rule of law. For the reasons that follow, I have no hesitation in granting this request.
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I. The Scheme of the Act
[5] The CWB is a corporation without share capital that is charged by s. 5 of the Act with the
statutory objective to “market in an orderly manner, in interprovincial and export trade, grain grown
in Canada.” The scheme of the Act is as follows: by Part III, the CWB is required to buy all wheat
and barley produced in Manitoba, Saskatchewan, Alberta, and the Peace River District of British
Columbia; Part IV prohibits any person other than the CWB from exporting, transporting from one
province to another, selling or buying wheat or barley, subject to limited exceptions established by
the Act or its regulations; and Part V establishes the mechanisms by which the CWB’s marketing
authority may be altered, and contains s. 47.1, the interpretation of which is at the centre of the
present Applications:
47.1 The Minister shall not
cause to be introduced in
Parliament a bill that would
exclude any kind, type, class
or grade of wheat or barley, or
wheat or barley produced in
any area in Canada, from the
provisions of Part IV, either in
whole or in part, or generally,
or for any period, or that
would extend the application
of Part III or Part IV or both
Parts III and IV to any other
grain, unless
(a) the Minister has consulted
with the board about the
exclusion or extension; and
47.1 Il ne peut être déposé au
Parlement, à l’initiative du
ministre, aucun projet de loi
ayant pour effet, soit de
soustraire quelque type,
catégorie ou grade de blé ou
d’orge, ou le blé ou l’orge
produit dans telle région du
Canada, à l’application de la
partie IV, que ce soit
totalement ou partiellement, de
façon générale ou pour une
période déterminée, soit
d’étendre l’application des
parties III et IV, ou de l’une
d’elles, à un autre grain, à
moins que les conditions
suivantes soient réunies :
a) il a consulté le conseil au
sujet de la mesure;
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(b) the producers of the grain
have voted in favour of the
exclusion or extension, the
voting process having been
determined by the Minister.
b) les producteurs de ce grain
ont voté — suivant les
modalités fixées par le ministre
— en faveur de la mesure.
[Emphasis added]
The “board” referred to in s. 47.1 (a) is that of the CWB charged under the Act to direct and manage
the business and affairs of the Corporation (the Board). The “producers” referred to in s. 47.1 (b) are
those persons that farm grain in the area named in Part III (the Producers).
II. The Introduction of Bill C-18
[6] On October 18, 2011, the Minister introduced in Parliament Bill C-18: An Act to reorganize
the Canadian Wheat Board and to make consequential and related amendments to certain Acts
(Marketing freedom for grain farmers Act). The name of the legislation proposed in Bill C-18
accurately states the nature of the changes to the governance structure of the CWB, and, indeed, the
whole system of the marketing of grain in Canada; what is considered to be marketing freedom for
grain farmers will replace the present centralized marketing system.
[7] At the present time, Bill C-18 has passed second reading at the Senate and is before the
Standing Senate Committee.
III. Issues
[8] The present Applications are simple in nature; they are directed at an examination of the
Minister’s conduct with respect the requirements of s. 47.1. The Applicants confirm that the
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validity of Bill C-18, and the validity and effects of any legislation which might become law as a
result of Bill C-18 are not in issue in the present Applications.
[9] The Applicants make it clear that their Applications are no threat to the Sovereignty of
Parliament to pass legislation. The controversy in the present case arises from the Act, legislation
that Parliament has already passed. Section 47.1 contains conditions which are known in law as
“manner and form” procedural requirements. This form of limitation on the exercise of legislative
power is well recognized in law. At paragraph 34 of the Producer Car Shippers argument, attention
is directed to the following passages from Professor Hogg’s text, Constitutional Law of Canada,
(Carswell, Toronto, 5th ed, 2007):
Would the Parliament or a Legislature be bound by self-imposed
rules as to the “manner and form” in which statutes were to be
enacted? The answer, in my view, is yes.
[…]
Thus, while the federal Parliament or a provincial Legislature cannot
bind itself as to the substance of future legislation, it can bind itself as
to the manner and form of future legislation.
[…]
It seems implausible that a legislative body should be disabled from
making changes to its present structure and procedures. Moreover,
the case-law, while not conclusive, tends to support the validity of
self-imposed manner and form requirements.
[Footnotes omitted]
(Motion Record of Producer Car Shippers, Tab 10)
[10] The Minister has attempted to argue that s. 47.1 does not meet the requirements of a
“manner and form” provision. I dismiss this argument and find any debate on “manner and form” is
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not properly before the Court for determination. Section 47.1 is presumed to be constitutionally
valid, and no argument challenging this presumption has been properly presented in the present
Applications; to do so would require notice of a Constitutional Question which has not been given.
Thus, as the judicial review Applications are framed, the sole question for determination is: did the
Minister breach the process requirements of s. 47.1, and if so, what relief, if any, should be granted?
The answer to this question requires a statutory interpretation analysis.
IV. The Applications
[11] Both the CWB and the Producers place heavy reliance on the democratic process
instrumental in the marketing of grain under the Act. The present Applications have been launched
to protect the process and the separate, but conforming interests, of the Producers under T-1075-11
and the CWB under T-1735-11.
[12] It is an undisputed fact that the Minister tendered Bill C-18 without conducting the
consultation and gaining the consent expressed in s. 47.1 of the Act. As expressed by Chief Justice
Fraser in the quote above: “courts have the right to review actions of the executive branch to
determine if they are in compliance with the law and, where warranted, to declare government
action unlawful.” Thus, I find that the Minister’s decision to not comply with the conditions
expressed in s. 47.1, prior to tabling Bill C-18, is judicially reviewable pursuant to section 18.1 (3)
(b) of the Federal Courts Act, RSC 1985, c F-7.
[13] As a result, the issue is whether the factual and legal basis has been established for making
Declarations that state fault on the part of the Minister. Each Application supports the making of a
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fault finding. The CWB supports the Producers’ argument in T-1057-11 and makes its own
argument on similar lines in T-1735-11. The CWB confirms this point as follows:
Although the Applications are framed somewhat differently, there is
significant overlap between the parties to, and the relief sought in, the
Applications. At their core, the Applications are each premised on
the failure of the Minister to comply with his statutory duty under
section 47.1 of the Act.
(Written Representations of the Canadian Wheat Board in T-1735-
11, para. 9)
[14] However, each Applicant frames the request for Declaratory relief in a slightly different
way. The Applicants in T-1057-11 express the claim for relief as follows:
(a) a declaration that the Minister breached his statutory duty to
consult with the Board and conduct a vote of wheat and barley
producers as to whether they agree with the removal of wheat and
barley from the application of Part IV of the Act and with the
elimination of the CWB’s exclusive statutory marketing mandate
(Breach Declaration);
and
(b) a declaration that the Minister breached the duty of fairness and
acted contrary to the legitimate expectations of producers in causing
the Bill to be introduced in Parliament without first consulting with
the Board and with producers through a producer vote (Legitimate
Expectation Declaration).
(Amended Notice of Application dated November 8, 2011)
And in T-1735-11 the Applicants express the request this way:
(a) a declaration that the Minister failed to comply with his statutory
duty pursuant to section 47.1 of the Act, to consult with the Board
and to hold a producer vote, prior to the causing to be introduced in
Parliament Bill C-18, An Act to reorganize the Canadian Wheat
Board and to make consequential and related amendments to certain
Acts ( “Bill”) (Breach Declaration);
and
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(b) a declaration that the Minister has acted in breach of the
legitimate expectations of the CWB, the Board and producers, and
contrary to the duty of fairness, in causing to be introduced in
Parliament the Bill without first consulting with the Board and
holding a producer vote (Legitimate Expectation Declaration);
(Notice of Application dated October 26, 2011)
[15] By consent, given the conjunction of both Applications, and the consolidated argument filed
by the Minister in response, it is appropriate to determine each Application with a separate order,
but on the basis of the present single set of consolidated reasons which addresses the core arguments
which have equal application to both.
[16] Two interventions have been permitted: that of the Council of Canadians, and ETC
Group, the Public Service Alliance of Canada and Food Secure Canada (the “Council”); and that
of the Producer Car Shippers of Canada Inc. et al (“Producer Car Shippers”). The Council
maintains an interest in food sovereignty, food safety, food security, and the important role that
the CWB plays in maintaining and protecting those interests, and has permission to address how
s. 47.1 is to be interpreted in accord with NAFTA and the Charter. The Producer Car Shippers
maintain an interest in protecting the rights and investments of grain producers who ship their
own grain, and have permission to address the application of the “manner and form” doctrine
with respect to s. 47.1 of the Act.
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V. Breach of the Law Challenge
A. The Test for Statutory Interpretation
[17] Whether the Minister breached the law is a matter of statutory interpretation and
consideration of the Minister’s conduct against that interpretation. I agree with the Applicants that
an appropriate test to be applied in the present Applications is as follows:
Today there is only one principle or approach, namely, the words of
an Act are to be read in their entire context and in the grammatical
and ordinary sense harmoniously with the scheme of the Act, the
object of the Act, and the intention of Parliament (Canada 3000 Inc,
Re: Inter-Canadian (1991) Inc (Trustee of), 2006 SCC 24 at para.
36; Bell ExpressVu Ltd Partnership v Rex, 2002 SCC 42 at para. 26).
(Applicants’ Memorandum of Fact and Law in T-1735-11, para. 44)
B. The Applicants’ Argument
[18] The Applicants argue that:
Properly interpreted in the context in which s. 47.1 and the 1998
amendments were adopted and the object underlying their enactment,
as well as the intention of Parliament, the ordinary sense of the broad
wording employed in s. 47.1 demonstrates that the Minister is
obligated to consult with the CWB and to hold a producer vote prior
to causing to be introduced in Parliament a bill that alters the CWB’s
exclusive marketing mandate; by causing the Bill to be introduced,
the Minister breached his statutory duty.
(Applicants’ Memorandum of Fact and Law in T-1735-11, para. 45)
[19] Thus, to the Applicants, history is important. The Act was first introduced in 1935, and in
1943 the CWB became a “Single Desk” which means the CWB became the sole marketing agency
for western Canadian wheat. This authority was extended to oats and barley in 1949, though the
marketing of oats was subsequently removed from the CWB’s exclusive jurisdiction in 1989.
Throughout this period government-appointed Commissioners managed the CWB; however, in
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1998, legislative amendments were introduced to improve the CWB’s marketing mandate and
structure to introduce democratic governance and greater accountability. The amendments
transferred control of the CWB to the farmers by creating a board of directors. Since 1998, twothirds
of the members of the board are elected directly by the grain producers. Section 47.1 was also
implemented at that time.
[20] Based on the historical context, the Applicants make the following arguments with respect
to the purpose of s. 47.1 and the scheme and the object of the Act :
In this case, the 1998 Amendments and section 47.1 were adopted in
response to increasing calls for greater farmer control over the
CWB’s operations and marketing mandate, including the demands of
some for dual marketing.
The creation of the Board, the majority of which was farmer-elected,
and the adoption of section 47.1 were in response to “the reasonable
expectations of a majority of western grain producers” and were
aimed at empowering farmers. The purpose of section 47.1 was to
ensure that “producers should be in control of any future changes to
the [CWB’s] mandate”.
[…]
The bill creates a dual marketing system in which Part IV, containing
the prohibitions on the export or interprovincial sale of wheat and
barley, is repealed, but the CWB remains as a purchaser of grain.
Section 47.1 was enacted by Parliament to ensure that the Minister
consulted with the Board and with producers prior to introducing
legislation to implement this very system.
[…]
The purpose of the 1998 Amendments is clear. The consistent
themes underlying the amendments were democracy, accountability,
flexibility and empowerment for farmers. Similarly, the purpose of
section 47.1 was to ensure that “farmers, not government, would be
in control of any future change to the [CWB’s] marketing authority”,
including the implementation of dual marketing and the elimination
of the Single Desk.
Page: 12
(Applicants’ Memorandum of Fact and Law in T-1735-11, paras. 47-
48, 50, and 58)
[21] With respect to the intention of Parliament in introducing s. 47.1, from the body of evidence
presented by the Applicants, I find the following statements of the former Minister responsible for
the CWB to be particularly cogent:
House of Commons, October 7, 1997:
Virtually every marketing innovation which farmers have debated
over the past several years will be possible under this new law. In a
nutshell, that is what Bill C-4 is all about, empowering producers,
enshrining democratic authority which has never existed before,
providing new accountability, new flexibility and responsiveness,
and positioning farmers to shape the kind of wheat board they want
for the future (Affidavit of Allen Oberg, September 15, 2011, para.
38, Exhibit 7);
House of Commons, February 17, 1998:
Such a change would have eliminated the problematic clauses while
respecting and enshrining the fundamental principle of democratic
producer control;
[…]
Tonight, at long last, Bill C-4 will come to a vote at third reading. Its
passage will signal an era of change for the future. Its major themes
are democracy, accountability, flexibility and empowerment for
farmers.
Farmers will take control. They will have it within their authority to
shape their marketing agency as they see fit. I have complete
confidence in the judgment of producers to exercise their new
authority with strength, wisdom and prudence to the greater and
greater success of the prairie farm economy and prairie farmers most
especially (Affidavit of Allen Oberg, September 15, 2011, para. 40,
Exhibit 9);
Senate Committee, May 5, 1998:
Page: 13
The amendment would require that if any future minister responsible
for the [CWB] decides that it is appropriate public policy to change
the mandate of the [CWB], to make it either bigger or smaller, it
would be up to him to make that policy determination. But he would
be required to conduct a vote in advance to obtain the consent of
farmers (Affidavit of Allen Oberg, September 15, 2011, para. 42,
Exhibit 11).
[Emphasis in the original]
[22] In addition, the Former Minister repeatedly confirmed that s. 47.1 requires a Producer vote
if a proposed change is “significant or fundamental”:
Policy Statement, “Changes in Western Grain Marketing”, October
7, 1996:
The proposed legislation will provide for future mandate changes
contingent upon the formal considered advice of the CWB board of
directors and, if a quality control issue is involved, the formal
certification by the Canadian Grain Commission that a change can in
fact be made without jeopardizing the world-renowned Canada
reputation for high quality, consistency and dependability. If the
CWB directors consider any proposed change to be significant or
fundamental, a producer vote would be a prerequisite before
implementation [Emphasis added] (Record of the CWB, Tab 3, p.
112);
Standing Committee on Agriculture and Agri-Food, Meeting No. 57,
December 12, 1996:
In future the Wheat Board’s mandate may be adjusted, conditional
upon three things: first of all, a clear recommendation to that effect
by the directors of the Canadian Wheat Board; secondly, if a quality
control issue is involved, the unequivocal concurrence of the
Canadian Grain Commission that a change can be made safely
without damaging Canada’s reputation for quality and consistency;
and third, if the proposed change is significant or fundamental, then
an affirmative vote among farmers would need to be a prerequisite
[Emphasis added] (Record of the CWB, Tab 4, p. 125).
[23] The Council submits that the intention of Parliament can be evidenced by the invocation of
international trade obligations as a rationale for the 1998 Amendments by the Former Minister. The
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democratic nature of s. 47.1, which mandates producer control, was considered necessary in order to
defend the CWB’s marketing practices in the face of the NAFTA. The Former Minister stated that
s. 47.1 was intended to prevent the Act from being “used as some thinly veiled excuse by our
competitors, perhaps the United States, to launch some form of trade harassment” (House of
Commons, February 17, 1998; Affidavit of Allen Oberg, September 15, 2011, Exhibit 9; Council
Memorandum of Fact and Law, paras. 8-14).
[24] The Council effectively argues that, when in doubt, statutory interpretation must have regard
to democratic and constitutional values. In the present case this is especially important because s.
47.1 speaks to the unique situation in which these democratic values are already implemented in the
structure of the CWB. This fact requires that, in proposing that a fundamental change be made to
the structure, the Minister must act democratically. This is what s. 47.1 says. Not adhering to these
values is not only disrespectful, it is contrary to law.
C. The Minister’s Response
[25] The Minster advances the following statutory interpretation argument:
The Applicants contend that section 47.1 should be read expansively
in such a way as to require the Minister to seek and to obtain a
favourable producer vote before being allowed to introduce any bill
“that alters the CWB’s exclusive marketing mandate.” In an
affidavit filed by the CWB in these proceedings, the Chair of its
board of directors states the CWB position as being “ […] simply
that farmers, not the government, should decide the future of the
Single Desk in a vote held in accordance with section 47.1 of the
Act.”
The clear wording of the section 47.1, however, refers only to the
addition or subtraction of particular grains or types of grain from the
marketing regime as it is established in Parts III and IV of the Act. It
does not refer to limiting the future repeal of the Act itself or to any
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other changes. It leaves the future of the “single desk” as a matter for
Parliament to decide.
Section 47.1 is found in Part V under the heading, “OTHER GRAINS
– APPLICATION OF PARTS III AND IV,” which means that, not
only in its wording but in its statutory context as well, it is clearly
directed only to the addition or subtraction of particular grains in
Parts III and IV. The future of the “single desk” is a policy and
legislative decision for Parliament, not for the Court.
[…]
Properly interpreted, the scope of section 47.1 addresses the
inclusion or exclusion of particular grains or types of grain. Given
the principle of Parliamentary sovereignty, section 42(1) of the
Interpretation Act, and the clear wording of section 47.1 found under
the statutory heading “OTHER GRAINS – APPLICATION OF
PARTS III AND IV”, this provision cannot be so broadly interpreted,
as urged by the Applicants, as to place a perpetual veto in the hands
of each category of grain producers over the continued existence of
the marketing regime, or on the repeal of the Act itself.
Understanding the crucial distinction between removing types of
wheat or barley from the application of Part IV of the Act and
repealing the entire Act itself is fundamental to the correct
interpretation of section 47.1. Bill C-18 does not remove a particular
type of prairie wheat or barley from the application of Part IV of the
Act. Rather, Bill C-18 repeals the Act, thereby terminating the
CWB’s marketing monopoly in order to replace it with a new regime
that allows all grain producers the freedom to market and sell their
grain as they choose, including through the CWB if they so decide.
[Emphasis in original]
[Footnote removed]
(Respondents’ Consolidated Memorandum of Fact and Law, paras.
31-33; 38-39)
[26] The Minister relies upon the following evidentiary statements in support of the interpretation
argument:
a. A government news release issued in September 1997 concerning the
then Bill C-4 (into which section 47.1 was eventually added in the
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course of Parliamentary deliberations) stated that the concept of
farmer control was directed to the potential exclusion or inclusion of
various types of grains into the system (Affidavit of Allen Oberg,
September 15, 2011, Exhibit 6);
b. The Minister, at second reading in the House of Commons of the
Bill containing section 47.1, stated that:
[t]his new law will also empower producers to
determine democratically what is and what is not
under the Canadian Wheat Board’s marketing
jurisdiction.
[Emphasis in original]
(Affidavit of Allen Oberg, September 15, 2011, Exhibit 7);
c. Clauses 23 and 26 of Bill C-4 show that the arrangements for
exclusion and inclusion of grains would take place by regulation. It is
clear that changes such as the abolition of the “single desk” or the
repeal of the Act in the future were not the type of changes to which
the new provisions were intended to apply (Affidavit of Allen Oberg,
September 15, 2011, Exhibit 8);
d. Commenting on an amendment to the bill that would become section
47.1, the Minister testified before the Standing Senate Committee on
Agriculture and Forestry on May 5, 1998. The Minister referred to
the inconsistency that had historically marked the methods by which
inclusions and exclusions of various grains, such as oats and barley,
had previously taken place – sometimes by Order in Council and
sometimes by statutory amendment. When the Minister stated, “…it
is unclear how one goes about amending the jurisdiction of the
Canadian Wheat Board”, he had in mind the problem of moving
various grains in or out of the regime that the CWB administered. He
was not referring to more fundamental changes to the nature or
existence of the marketing regime itself (Affidavit of Allen Oberg,
September 15, 2011, Exhibit 11);
e. When the Secretary of State moved second reading in the House of
Commons and concurrence in the amendments made in the Senate to
Bill C-4, including the clause that is now section 47.1, the Secretary
of State stated:
The second area of Bill C-4 where the Senate has
proposed amendments concerns the means by which
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the number of grains under the marketing regime of
the wheat board can be either expanded or reduced.
As originally, drafted, western Canadian producers
had a process for excluding any kind, type, class or
grade of wheat or barley from the marketing authority
of the board. Similarly, the bill also laid out an
inclusion process for adding crops to the mandate of
the wheat board.
The amendment filled a gap in the existing Wheat
Board Act. As it now stands under the Canadian
Wheat Board, the process for changing the Canadian
Wheat Board’s mandate is unclear, as every member
from prairie Canada I am sure knows.
There have been concerns expressed by producers
and producer groups about the mechanism for
inclusion and exclusion originally laid out in Bill C-4.
Plenty of concerns have been expressed.
I am sure my colleagues from the opposition party are
going to get up very shortly and tell me why the
matter has not been set right yet.
The amendment responds to those concerns. The
amendment would replace existing clauses related to
the inclusion-exclusion of grains with the provision
that would require the current and future ministers
responsible for the board to consult the board of
directors with its two-thirds majority of farmer
chosen members and conduct a vote among
producers before any grains are added or removed
from the mandate of the board.
(Affidavit of Allen Oberg, September 15, 2011, Exhibit 12)
[Emphasis in Original]
(Respondents’ Consolidated Memorandum of Fact and Law, para.
47)
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D. Conclusions
[27] I find that by applying the interpretation test as set out above, the Applicants’ argument
which relies upon a contextual historical approach with respect to the unique democratic nature of
the CWB, and its importance, is compelling. I accept the argument that the CWB’s democratic
marketing practices are “significant and fundamental” because they are long standing, and strongly
supported by a large number of the some 17,000 grain producers in Western Canada. This support is
worthy of respect; the following argument on the rule of law made by the Council makes this clear:
The rule of law is a multi-faceted concept, conveying “a sense of
orderliness, of subjection to known legal rules and of executive
accountability to legal authority.” The Courts have repeatedly
described the rule of law as embodying the principle that the law “is
supreme over officials of the government as well as private
individuals, and thereby preclusive of the influence of arbitrary
power.” In other words, for political action to be legitimate, decisionmaking
must operate within the constraints of the law. Governments
cannot flout the law and must respect legitimate legal processes
already in place. As the Supreme Court stated in the Secession
Reference, “[i]t is the law that creates the framework within which
the “sovereign will” is to be ascertained and implemented. To be
accorded legitimacy, democratic institutions must rest, ultimately, on
a legal foundation.”
Adhering to the rule of law ensures that the public can understand the
rules they are bound by, and the rights they have in participating in
the law-making process. As the Applicants note, western farmers
relied on the fact that the government would have to conduct a
plebiscite under s. 47.1 before introducing legislation to change the
marketing mandate of the CWB. Disregarding the requirements of s.
47.1 deprives farmers of the most important vehicle they have for
expressing their views on the fundamental question of the single
desk. Furthermore the opportunity to vote in a federal election is no
answer to the loss of this particular democratic franchise. Until the
sudden introduction of Bill C-I8, Canadian farmers would have
expected the requirements of s. 47.1 to be respected.
The rule of law must therefore inform the interpretation of s. 47.1,
which sets out a process that includes consultation and a democratic
vote prior to abolishing the single desk. An interpretation of s. 47.1
Page: 19
that is consistent with the rule of law would give effect to the plain
meaning of its words as ordinary citizens would understand and
interpret them, and not in a manner that defeats the consultative
purpose of s. 47.1 — particularly, given that citizens and
stakeholders understood s. 47.1 to provide them with particular rights
and acted in accordance with that understanding.
[Footnotes excluded]
(Memorandum of Fact and Law of the Council, paras. 26-28)
[28] I give weight to the Council’s argument that s. 47.1 applies to changing the structure of the
CWB because the democratic structure is important to Canada’s international trade obligations
under NAFTA. I find that this is an important consideration which supports the argument that
Parliament’s intention in s. 47.1 is not to alter this structure without consultation and consent.
[29] However, the Applicants’ statutory interpretation, which I accept, should not be considered
to the exclusion of the Minister’s interpretation which focuses on the words used in s. 47.1 itself. In
my opinion, the correct interpretation of the provision includes both perspectives. In my opinion, to
accept the Minister’s interpretation to the exclusion of the Applicants’ would results in an absurdity,
a condition which is to be avoided.
[30] By construing the liberal interpretation of the Act which best ensures the attainment of its
objects, I find that the Act was intended to require the Minister to consult and gain consent where an
addition or subtraction of particular grains or types of grain from the marketing regime is
contemplated, and also in respect of a change to the democratic structure of the CWB. As the
Applicants argue, it is unreasonable to interpret the Act to conclude that while the Minister must
Page: 20
consult and gain consent when extracting or extending a grain, she or he is not required to consult or
gain consent when dismantling the CWB; the point is made as follows:
… Under the Minister’s interpretation of section 47.1, farmers would
be denied a vote “when it is most needed”, namely, in circumstances
where the CWB’s exclusive marketing mandate is to be eliminated.
That interpretation is not only inconsistent with the principle that the
words of a statute must be placed in context, but is contrary to
common sense.
(Applicants’ Memorandum of Fact and Law in T-1735-11, para. 52)
[31] Section 39 of Bill C-18 proposes to replace the whole marketing scheme of wheat in Canada
by repealing the Act after a transition period. I find that it was Parliament’s intention in introducing
s. 47.1 to stop this event from occurring without the required consultation and consent.
VI. Legitimate Expectations
[32] As an alternative argument, the Applicants maintain that the Minister has failed to meet
legitimate expectations. The Supreme Court of Canada describes a legitimate expectation as
follows:
It affords a party affected by the decision of a public official an
opportunity to make representations in circumstances in which there
would be no such opportunity. The court supplies the omission
where, based on the conduct of the public official, a party has been
led to believe that his or her rights would not be affected without
consultation.
(Old St Boniface Residents Association Inc v Winnipeg (City), [1990]
3 SCR 1170, at para. 110)
During the course of oral argument, the Applicants confirmed that, should they be successful on the
s. 47.1 breach argument, they would be content with that as the single result of the Applications.
Therefore, I exercise my discretion not to grant the Legitimate Expectation Declaration requests.
Page: 21
VII. Conclusion
[33] The Minister argues that the declarations should not be granted because their effect would
be meaningless. In response, I say that there are two meaningful effects of granting the Breach
Declarations.
[34] The first effect is that a lesson can be learned from what has just occurred. Section 47.1
speaks, it says: “engage in a consultative process and work together to find a solution.” The change
process is threatening and should be approached with caution. Generally speaking, when advancing
a significant change to an established management scheme, the failure to provide a meaningful
opportunity for dissenting voices to be heard and accommodated forces resort to legal means to
have them heard. In the present piece, simply pushing ahead without engaging such a process has
resulted in the present Applications being launched. Had a meaningful consultative process been
engaged to find a solution which meets the concerns of the majority, the present legal action might
not have been necessary. Judicial review serves an important function; in the present Applications
the voices have been heard, which, in my opinion, is fundamentally importantly because it is the
message that s. 47.1 conveys.
[35] The second and most important effect is that the Minister will be held accountable for his
disregard for the rule of law.
[36] I find it is fair and just to issue the Breach Declaration on each Application.
“Douglas R. Campbell”
Judge
FEDERAL COURT
SOLICITORS OF RECORD
DOCKETS: T-1057-11 and T-1735-11
STYLE OF CAUSE: T-1057-11
FRIENDS OF THE CANADIAN WHEAT BOARD, ET
AL. v. ATTORNEY GENERAL OF CANADA, ET AL.
and COUNCIL OF CANADIANS, ET AL. (Interveners)
T-1735-11
THE CANADIAN WHEAT BOARD, ET AL. v. THE
MINISTER OF AGRICULTURE AND AGRIFOOD IN
HIS CAPACITY AS MINISTER RESPONSIBLE FOR
THE CANADIAN WHEAT BOARD and PCSC –
PRODUCER CAR SHIPPERS OF CANADA INC.
(PRODUCER CAR SHIPPERS), ET AL. (Interveners)
PLACE OF HEARING: Winnipeg, Manitoba
DATE OF HEARING: December 6, 2011
REASONS FOR ORDER: CAMPBELL J.
DATED: December 7, 2011
APPEARANCES:
Anders Bruun
FOR THE APPLICANTS
FRIENDS OF THE CANADIAN WHEAT BOARD,
HAROLD BELL, DANIEL GAUTHIER, KEN
ESHPETER, TERRY BOEHM, LYLE SIMONSON,
LYNN JACOBSON, ROBERT HORNE, WILF
HARDER, LAURENCE NICHOLSON, LARRY
BOHDANOVICH, KEITH RYAN, ANDY BAKER,
NORBERT VAN DEYNZE, WILLIAM ACHESON,
LUC LABOSSIERE, WILLIAM NICHOLSON AND
RENE SAQUET
(IN T-1057-11)
Page: 2
Joel Katz FOR THE RESPONDENTS
ATTORNEY GENERAL OF CANADA, THE
MINISTER OF AGRICULTURE AND AGRIFOOD
IN HIS CAPACITY AS MINISTER RESPONSIBLE
FOR THE CANADIAN WHEAT BOARD
(IN T-1057-11)
John Lorn McDougall, Q.C. and
Matthew Fleming
Stephen Shrybman
John Lorn McDougall, Q.C. and
Matthew Fleming
James E. McLandress
Joel Katz
John B. Martens and
Colin R. MacArthur, Q.C.
FOR THE RESPONDENT
THE CANADIAN WHEAT BOARD
(IN T-1057-11)
FOR THE INTERVENERS
COUNCIL OF CANADIANS, ETC GROUP
(ACTION GROUP ON EROSION, TECHNOLOGY
AND CONCENTRATION), PUBLIC SERVICE
ALLIANCE OF CANADA AND FOOD SECURE
CANADA
(IN T-1057-11)
FOR THE APPLICANTS
THE CANADIAN WHEAT BOARD, ALLEN
OBERG, ROD FLAMAN, CAM GOFF, KYLE
KORNEYCHUK, JOHN SANDBORN, BILL
TOEWS, STEWART WELLS AND BILL WOODS
(IN T-1735-11)
FOR THE APPLICANTS
(IN T-1735-11)
FOR THE RESPONDENTS
THE MINISTER OF AGRICULTURE AND
AGRIFOOD IN HIS CAPACITY AS MINISTER
RESPONSIBLE FOR THE CANADIAN WHEAT
BOARD
(IN T-1735-11)
FOR THE INTERVENERS
PCSC – PRODUCER CAR SHIPPERS OF
CANADA INC. (PRODUCER CAR SHIPPERS),
LOGAN CONNOR, LEONARD GLUSKA, BILL
WOODS, MYRON FINLAY, HOWARD VINCENT,
GLEN HARRIS, AND TIM COULTER, ON THEIR
OWN BEHALF AND ON BEHALF OF THE
MEMBERS OF PRODUCER CAR SHIPPERS
(IN T-1735-11)
Page: 3
SOLICITORS OF RECORD:
Anders Bruun
Barrister & Solicitor
Winnipeg, Manitoba
FOR THE APPLICANTS
FRIENDS OF THE CANADIAN WHEAT BOARD,
HAROLD BELL, DANIEL GAUTHIER, KEN
ESHPETER, TERRY BOEHM, LYLE SIMONSON,
LYNN JACOBSON, ROBERT HORNE, WILF
HARDER, LAURENCE NICHOLSON, LARRY
BOHDANOVICH, KEITH RYAN, ANDY BAKER,
NORBERT VAN DEYNZE, WILLIAM ACHESON,
LUC LABOSSIERE, WILLIAM NICHOLSON AND
RENE SAQUET
(IN T-1057-11)
Myles J. Kirvan, Q.C.
Deputy Attorney General of Canada
FOR THE RESPONDENTS
ATTORNEY GENERAL OF CANADA, THE
MINISTER OF AGRICULTURE AND AGRIFOOD
IN HIS CAPACITY AS MINISTER RESPONSIBLE
FOR THE CANADIAN WHEAT BOARD
(IN T-1057-11)
FOR THE RESPONDENTS
THE MINISTER OF AGRICULTURE AND
AGRIFOOD IN HIS CAPACITY AS MINISTER
RESPONSIBLE FOR THE CANADIAN WHEAT
BOARD
(IN T-1735-11)
Fraser Milner Casgrain LLP
Barristers & Solicitors
Toronto, Ontario
James E. McLandress
Barrister & Solicitor
Winnipeg, Manitoba
FOR THE RESPONDENT
THE CANADIAN WHEAT BOARD
(IN T-1057-11)
FOR THE APPLICANTS
THE CANADIAN WHEAT BOARD, ALLEN
OBERG, ROD FLAMAN, CAM GOFF, KYLE
KORNEYCHUK, JOHN SANDBORN, BILL
TOEWS, STEWART WELLS AND BILL WOODS
(IN T-1735-11)
FOR THE APPLICANTS
THE CANADIAN WHEAT BOARD, ALLEN
OBERG, ROD FLAMAN, CAM GOFF, KYLE
KORNEYCHUK, JOHN SANDBORN, BILL
TOEWS, STEWART WELLS AND BILL WOODS
(IN T-1735-11)
Page: 4
Sack Goldbatt Mitchell LLP
Barristers & Solicitors
Ottawa, Ontario
Aikins MacAulay & Thorvaldson LLP
Barristers & Solicitors
Winnipeg, Manitoba
FOR THE INTERVENERS
COUNCIL OF CANADIANS, ETC GROUP
(ACTION GROUP ON EROSION, TECHNOLOGY
AND CONCENTRATION), PUBLIC SERVICE
ALLIANCE OF CANADA AND FOOD SECURE
CANADA
(IN T-1057-11)
FOR THE INTERVENERS
PCSC – PRODUCER CAR SHIPPERS OF
CANADA INC. (PRODUCER CAR SHIPPERS),
LOGAN CONNOR, LEONARD GLUSKA, BILL
WOODS, MYRON FINLAY, HOWARD VINCENT,
GLEN HARRIS, AND TIM COULTER, ON THEIR
OWN BEHALF AND ON BEHALF OF THE
MEMBERS OF PRODUCER CAR SHIPPERS
(IN T-1735-11)
I am a geek, world history buff, my interests and hobbies are too numerous to mention. I'm a political junkie with a cynical view. I also love law & aviation!
Saturday, December 10, 2011
Thursday, December 8, 2011
Privacy and Online Behavioural Advertising the Office of the Privacy Commissioner of Canada,
Privacy and Online Behavioural Advertising
Online behavioural advertising involves tracking consumers’ online activities over time in order to deliver advertisements targeted to their inferred interests. Behavioural advertisers often use sophisticated algorithms to analyze the collected data, build detailed personal profiles of users, and assign them to various interest categories. Interest categories are used to present ads defined as relevant to users in those categories.
While advertising may help subsidize the delivery of free online content desired by most users, it is nevertheless essential that online advertising practices respect an individual’s privacy rights and consent choices.
Online behavioural advertising may be considered a reasonable purpose under thePersonal Information Protection and Electronic Documents Act (PIPEDA), provided it is carried out under certain parameters, and is not made a condition of service.
The following guidelines were developed to help the various types of organizations involved in online behavioural advertising ensure that their practices are fair, transparent and in compliance with PIPEDA. Any future complaints concerning online behavioural advertising would be assessed based on the specific facts of each individual case.
PIPEDA and Personal Information
PIPEDA defines personal information as “information about an identifiable individual”. Information will be about an identifiable individual where there is a serious possibility that an individual could be identified through the use of that information, alone or in combination with other available information.
A prominent strategic element of online behavioural advertising comes from the tailoring of advertisements based on an individual’s browsing activities, which could include purchasing patterns and search queries. Given the scope and scale of information collected, the powerful means available for aggregating disparate pieces of data and the personalized nature of the activity, it is reasonable to consider that there will often be a serious possibility that the information could be linked to an individual.
As such, we take the position that the information involved in online tracking and targeting for the purpose of serving behaviourally targeted advertising to individuals will generally constitute personal information.
PIPEDA and User Choice
PIPEDA requires an individual’s knowledge and consent for the collection, use, or disclosure of personal information. PIPEDA also requires that the purposes for which an individual’s information is to be collected, used or disclosed be explained in a clear and transparent manner. In addition, PIPEDA does recognize that the form of consent can vary: for example, express consent (opt-in) when dealing with sensitive information, and implied consent (opt-out) when the information is less sensitive. It is important to note that the sensitivity of information depends on the nature of the information and the context in which it is being collected, used or disclosed.
While obtaining consent in the online environment is not without its challenges, it is possible. Opt-out consent for online behavioural advertising could be considered reasonable providing that:
- Individuals are made aware of the purposes for the practice in a manner that is clear and understandable – the purposes must be made obvious and cannot be buried in a privacy policy. Organizations should be transparent about their practices and consider how to effectively inform individuals of their online behavioural advertising practices, by using a variety of communication methods, such as online banners, layered approaches, and interactive tools;
- Individuals are informed of these purposes at or before the time of collection and provided with information about the various parties involved in online behavioural advertising;
- Individuals are able to easily opt-out of the practice - ideally at or before the time the information is collected;
- The opt-out takes effect immediately and is persistent;
- The information collected and used is limited, to the extent practicable, to non-sensitive information (avoiding sensitive information such as medical or health information); and
- Information collected and used is destroyed as soon as possible or effectively de-identified.
Restrictions
Inability to Decline
Any collection or use of an individual’s web browsing activity must be done with that person’s knowledge and consent. Therefore, if an individual is not able to decline the tracking and targeting using an opt-out mechanism because there is no viable possibility for them to exert control over the technology used, or if doing so renders a service unusable, then organizations should not be employing that type of technology for online behavioural advertising purposes. At present, this could include, for example, so-called zombie cookies, super cookies and device fingerprinting. Further information related to online tracking technologies can be found on our Web Tracking with Cookies fact sheet.
Tracking of Children
PIPEDA requires meaningful consent for the collection, use and disclosure of personal information. It is difficult to ensure meaningful consent from children to online behavioural advertising practices. Therefore, as a best practice, organizations should avoid tracking children and tracking on websites aimed at children.
Addressing the Challenges
By putting in place privacy-sensitive frameworks, organizations will promote consumer trust in their online activities. Addressing the privacy concerns raised by online behavioural advertising is central to establishing and maintaining consumer confidence in the online world.
Related OPC Documents
The OPC has a number of related resources available on our website:
Tuesday, December 6, 2011
Three Mexican migrant agriculture workers have filed a lawsuit against the Canadian government and an Ontario agriculture operator for breach of contract and damages, after the workers were repatriated without a hearing or any explanation of why they were terminated. It is the first suit of its kind ever brought by migrant workers invoking their rights under Canada's Charter.
TORONTO, ONTARIO - Three Mexican migrant agriculture workers have filed a lawsuit against the Canadian government and an Ontario agriculture operator for breach of contract and damages, after the workers were repatriated without a hearing or any explanation of why they were terminated. It is the first suit of its kind ever brought by migrant workers invoking their rights under Canada's Charter.
On August 30, 2010, Manuel Ruiz Espinoza, Salvador Reta Ruiz and Jose Ruiz Sosa were ordered by their employer — Tigchelaar Berry Farms in Vineland, Ontario — to pack up and leave Canada the next day. The three men were working legally in Canada as migrant agriculture workers under the federal government's Seasonal Agriculture Workers Program (SAWP). Under SAWP, the workers and the farm operator sign a binding contract; including terms that the workers may only be repatriated for "sufficient reason". No reason was ever given by their employer, or by the Mexican or Canadian governments.
Statement of Claim
The three men have now filed an action in the Ontario Superior Court of Justice. The suitalleges the breach of the plaintiffs' employment contracts was a violation of their rights under Section 7 of Canada's Charter of Rights and Freedoms; including their right be informed of allegations made against them, and the right be provided a meaningful opportunity to respond to the allegations. The unilateral eviction was also done without notice, or pay in lieu of notice, contrary to Ontario's Employment Standards Act.
"What has happened here is shamefully typical of a federal government system that treats migrant workers who don't have union representation like disposable commodities," says Wayne Hanley, the national president of UFCW Canada, which in association with the Agriculture Workers Alliance operates ten migrant agriculture worker support centres across Canada. "Without cause or a chance to defend themselves, scores of workers are shipped back home each season on a moment's notice, while the federal government turns a blind eye. It's a ruthless system that is meant to keep workers in constant fear and under the thumbs of the agriculture industry," says the UFCW Canada leader.
UFCW Canada is also a member of the Niagara Migrant Workers Interest Group which originally investigated the workers' repatriation. Lawyers Andrew Lokan and Michael Fenrick from the Toronto law firm Paliare Roland Rosenberg Rothstein LLP have partnered with Community Legal Services of Niagara South (CLSNS) to assist with the legal challenge which seeks $25,000 in damages for each of the repatriated workers.
UFCW Canada is Canada's largest private-sector union, with over 250,000 members working primarily in the food industry. For more than two decades the union has led a campaign to defend and uphold the human and labour rights of agriculture workers, and represents a number of agriculture bargaining units with migrant worker members in British Columbia and Quebec.
On August 30, 2010, Manuel Ruiz Espinoza, Salvador Reta Ruiz and Jose Ruiz Sosa were ordered by their employer — Tigchelaar Berry Farms in Vineland, Ontario — to pack up and leave Canada the next day. The three men were working legally in Canada as migrant agriculture workers under the federal government's Seasonal Agriculture Workers Program (SAWP). Under SAWP, the workers and the farm operator sign a binding contract; including terms that the workers may only be repatriated for "sufficient reason". No reason was ever given by their employer, or by the Mexican or Canadian governments.
Statement of Claim
The three men have now filed an action in the Ontario Superior Court of Justice. The suitalleges the breach of the plaintiffs' employment contracts was a violation of their rights under Section 7 of Canada's Charter of Rights and Freedoms; including their right be informed of allegations made against them, and the right be provided a meaningful opportunity to respond to the allegations. The unilateral eviction was also done without notice, or pay in lieu of notice, contrary to Ontario's Employment Standards Act.
"What has happened here is shamefully typical of a federal government system that treats migrant workers who don't have union representation like disposable commodities," says Wayne Hanley, the national president of UFCW Canada, which in association with the Agriculture Workers Alliance operates ten migrant agriculture worker support centres across Canada. "Without cause or a chance to defend themselves, scores of workers are shipped back home each season on a moment's notice, while the federal government turns a blind eye. It's a ruthless system that is meant to keep workers in constant fear and under the thumbs of the agriculture industry," says the UFCW Canada leader.
UFCW Canada is also a member of the Niagara Migrant Workers Interest Group which originally investigated the workers' repatriation. Lawyers Andrew Lokan and Michael Fenrick from the Toronto law firm Paliare Roland Rosenberg Rothstein LLP have partnered with Community Legal Services of Niagara South (CLSNS) to assist with the legal challenge which seeks $25,000 in damages for each of the repatriated workers.
UFCW Canada is Canada's largest private-sector union, with over 250,000 members working primarily in the food industry. For more than two decades the union has led a campaign to defend and uphold the human and labour rights of agriculture workers, and represents a number of agriculture bargaining units with migrant worker members in British Columbia and Quebec.
Labels:
Conservative Party of Canada,
Law,
news,
people
Monday, December 5, 2011
Canada's spy agency CSIS, was so reliant on information obtained through torture that it suggested the whole security certificate regime, used to control suspected terrorists in the country, would fall apart if they couldn't use it.
Canada's spy agency was so reliant on information obtained through torture that it suggested the whole security certificate regime, used to control suspected terrorists in the country, would fall apart if they couldn't use it.
That's the essence of a letter written in 2008 by the former director of CSIS, Jim Judd, obtained by the Montreal Gazette.
It suggests a disturbing acceptance by the national security agency of torture as a legitimate strategy to counter terrorism.
The letter, dated Jan. 15, 2008, was sent from Judd to the minister of public security just as the government was finalizing Bill C-3, legislation to replace the security certificates law which was struck down by the Supreme Court as unconstitutional in February 2007.
The government had been given a year to come up with new legislation that would respect the charter rights of those targeted by the certificates.
In the letter, Judd urges the minister to fight an amendment to C-3 proposed by Liberal MP Ujjal Dosanjh that would prohibit CSIS and the courts from using any information obtained from torture or "derivative information" — information initially obtained from torture but subsequently corroborated through legal means.
"This amendment, if interpreted to mean that 'derivative information' is inadmissible, could render unsustainable the current security certificate proceedings," Judd writes. "Even if interpreted more narrowly to exclude only information obtained from sources and foreign agencies who, on the low threshold of "reasonable grounds" may have obtained information by way of torture, the amendment would still significantly hinder the Service's collection and analysis functions."
Despite Judd's opposition, the amended Bill C-3 was adopted in February, 2008. But the letter calls into question CSIS's previous assurances that it did not countenance torture abroad. And observers wonder whether anything has changed in CSIS' approach since C-3 was adopted.
Lawyer Johanne Doyon, who successfully petitioned the Supreme Court to strike down the original security certificate law on behalf of Adil Charkaoui, said after C-3 was passed the government immediately issued five new security certificates — including one for Charkaoui. CSIS had not had time to re-analyze the evidence it was presenting, Doyon said.
"The government was well aware before signing the certificates that they were based on information derived from torture," Doyon said. "It's very disturbing — they just closed their eyes and signed."
Charkaoui, a Moroccan citizen who CSIS alleged was an al-Qaida sleeper agent, was facing removal from Canada until the Federal Court struck down a security certificate against him in 2009.
Doyon is now arguing for a stay of proceedings in the case of Mohamed Mahjoub, held on a second certificate since 2000, and for his release from house arrest next week. Mahjoud was detained in June, 2000, accused of being a high-ranking member of an Egyptian terrorist group.
In his case, a federal court judge ruled in June, 2010 that ministers and special advocates for Mahjoub had to sift through the evidence in the Security Intelligence Report and exclude any that might have been obtained through torture. Justice Edmond Blanchard also said the approach taken by CSIS to filter information so as not to use any derived from torture was not effective.
"It's shocking and it's worrisome for society in general," Doyon said. "It's illegitimate, illegal and unconstitutional to (use information derived from torture.) Who in the name of Canada can be above the law this way?
"And it's not just in one case, but in so many, and with Canadian citizens too — Maher Arar for example (who was sent to Syria and tortured with CSIS complicity) Just where will it lead?"
In an email message Friday, a CSIS spokesperson did not address the 2008 letter from the director. But Tahera Mufti said: "We oppose in the strongest possible terms the mistreatment of any individual by any foreign entity for any purpose. We do not condone the use of torture or other unlawful methods in responding to terrorism and other threats to national security." Mufti also said CSIS uses "appropriate caveats or instructions when sharing information" and that its activities are subject to review by the Security Intelligence Review Committee, which has access to all CSIS "foreign arrangement files. "
In the 2008 letter, the CSIS director says part of the difficulty facing the agency lay in not being able to adequately assess which information came from where; foreign agencies do not often divulge the source of their information.
For Judd, the worst-case scenario would be that the federal court, in reviewing a security certificate, asks CSIS to certify that intelligence was gathered without resort to torture, or renders inadmissible "any and all information provided by agencies in countries whose human rights records are in question — of which there are many."
Amnesty International's 2007 State of Human Rights Report, referenced but redacted in Judd's letter, lists 102 countries which that year had cases of torture and ill-treatment by security forces, police and other state authorities, including the United States.
Judd does not express any concern about the reliability of such information, however. Rather, he suggests an alternative amendment to the bill, which would read "the judge may receive into evidence anything — other than a statement obtained under torture — that in the judge's opinion is reliable and appropriate."
Asked to comment Friday on the substance of the letter, Reem Bahdi, a law professor at the University of Windsor, said the more she learns about the practices of national security agencies, the more worried she becomes about the state of national security in Canada.
"The agencies tell us they don't use torture or support torture on the one hand, and on the other hand they appear to be promoting torture — promoting it as a form of information gathering!" Bahdi said. "I worry not only because information derived from torture is not reliable, but also because of the ramifications around the world that this kind of support for torture can have. What's taking place in the Middle East is very interesting — these are repressive societies built on torture and our agencies are helping to legitimize those regimes through their practices, their relationships with the regimes and their justifications."
Bahdi said the prohibition on torture is part of international law, and was part of Canadian law long before the C-3 amendment. But CSIS needs to be held accountable, she said.
"There has to be a cultural shift in CSIS so they take seriously the prohibition on torture and understand it's not there to tie their hands behind their backs so they can't do their work, but to ensure that their work has some integrity . . .
"If torture produced national security, the regimes in the Middle East would be the safest places in the world."
Audrey Macklin, a professor of law and at the School for Public Policy and Governance of the University of Toronto, said it's not surprising CSIS would warn of the end of the security certificates regime, because so many of them depend on information obtained through torture.
"But it's worth asking, why do we have the security certificates? Before 9/11 we didn't have provisions in criminal law addressing anti-terrorism — now we do. If they are good enough for citizens, why not for non-citizens?"
That's the essence of a letter written in 2008 by the former director of CSIS, Jim Judd, obtained by the Montreal Gazette.
It suggests a disturbing acceptance by the national security agency of torture as a legitimate strategy to counter terrorism.
The letter, dated Jan. 15, 2008, was sent from Judd to the minister of public security just as the government was finalizing Bill C-3, legislation to replace the security certificates law which was struck down by the Supreme Court as unconstitutional in February 2007.
The government had been given a year to come up with new legislation that would respect the charter rights of those targeted by the certificates.
In the letter, Judd urges the minister to fight an amendment to C-3 proposed by Liberal MP Ujjal Dosanjh that would prohibit CSIS and the courts from using any information obtained from torture or "derivative information" — information initially obtained from torture but subsequently corroborated through legal means.
"This amendment, if interpreted to mean that 'derivative information' is inadmissible, could render unsustainable the current security certificate proceedings," Judd writes. "Even if interpreted more narrowly to exclude only information obtained from sources and foreign agencies who, on the low threshold of "reasonable grounds" may have obtained information by way of torture, the amendment would still significantly hinder the Service's collection and analysis functions."
Despite Judd's opposition, the amended Bill C-3 was adopted in February, 2008. But the letter calls into question CSIS's previous assurances that it did not countenance torture abroad. And observers wonder whether anything has changed in CSIS' approach since C-3 was adopted.
Lawyer Johanne Doyon, who successfully petitioned the Supreme Court to strike down the original security certificate law on behalf of Adil Charkaoui, said after C-3 was passed the government immediately issued five new security certificates — including one for Charkaoui. CSIS had not had time to re-analyze the evidence it was presenting, Doyon said.
"The government was well aware before signing the certificates that they were based on information derived from torture," Doyon said. "It's very disturbing — they just closed their eyes and signed."
Charkaoui, a Moroccan citizen who CSIS alleged was an al-Qaida sleeper agent, was facing removal from Canada until the Federal Court struck down a security certificate against him in 2009.
Doyon is now arguing for a stay of proceedings in the case of Mohamed Mahjoub, held on a second certificate since 2000, and for his release from house arrest next week. Mahjoud was detained in June, 2000, accused of being a high-ranking member of an Egyptian terrorist group.
In his case, a federal court judge ruled in June, 2010 that ministers and special advocates for Mahjoub had to sift through the evidence in the Security Intelligence Report and exclude any that might have been obtained through torture. Justice Edmond Blanchard also said the approach taken by CSIS to filter information so as not to use any derived from torture was not effective.
"It's shocking and it's worrisome for society in general," Doyon said. "It's illegitimate, illegal and unconstitutional to (use information derived from torture.) Who in the name of Canada can be above the law this way?
"And it's not just in one case, but in so many, and with Canadian citizens too — Maher Arar for example (who was sent to Syria and tortured with CSIS complicity) Just where will it lead?"
In an email message Friday, a CSIS spokesperson did not address the 2008 letter from the director. But Tahera Mufti said: "We oppose in the strongest possible terms the mistreatment of any individual by any foreign entity for any purpose. We do not condone the use of torture or other unlawful methods in responding to terrorism and other threats to national security." Mufti also said CSIS uses "appropriate caveats or instructions when sharing information" and that its activities are subject to review by the Security Intelligence Review Committee, which has access to all CSIS "foreign arrangement files. "
In the 2008 letter, the CSIS director says part of the difficulty facing the agency lay in not being able to adequately assess which information came from where; foreign agencies do not often divulge the source of their information.
For Judd, the worst-case scenario would be that the federal court, in reviewing a security certificate, asks CSIS to certify that intelligence was gathered without resort to torture, or renders inadmissible "any and all information provided by agencies in countries whose human rights records are in question — of which there are many."
Amnesty International's 2007 State of Human Rights Report, referenced but redacted in Judd's letter, lists 102 countries which that year had cases of torture and ill-treatment by security forces, police and other state authorities, including the United States.
Judd does not express any concern about the reliability of such information, however. Rather, he suggests an alternative amendment to the bill, which would read "the judge may receive into evidence anything — other than a statement obtained under torture — that in the judge's opinion is reliable and appropriate."
Asked to comment Friday on the substance of the letter, Reem Bahdi, a law professor at the University of Windsor, said the more she learns about the practices of national security agencies, the more worried she becomes about the state of national security in Canada.
"The agencies tell us they don't use torture or support torture on the one hand, and on the other hand they appear to be promoting torture — promoting it as a form of information gathering!" Bahdi said. "I worry not only because information derived from torture is not reliable, but also because of the ramifications around the world that this kind of support for torture can have. What's taking place in the Middle East is very interesting — these are repressive societies built on torture and our agencies are helping to legitimize those regimes through their practices, their relationships with the regimes and their justifications."
Bahdi said the prohibition on torture is part of international law, and was part of Canadian law long before the C-3 amendment. But CSIS needs to be held accountable, she said.
"There has to be a cultural shift in CSIS so they take seriously the prohibition on torture and understand it's not there to tie their hands behind their backs so they can't do their work, but to ensure that their work has some integrity . . .
"If torture produced national security, the regimes in the Middle East would be the safest places in the world."
Audrey Macklin, a professor of law and at the School for Public Policy and Governance of the University of Toronto, said it's not surprising CSIS would warn of the end of the security certificates regime, because so many of them depend on information obtained through torture.
"But it's worth asking, why do we have the security certificates? Before 9/11 we didn't have provisions in criminal law addressing anti-terrorism — now we do. If they are good enough for citizens, why not for non-citizens?"
Saturday, December 3, 2011
Program cost increases and further delays & Concerns over performance and safety of the F35.
Program cost increases and further delays On 21 April 2009, media reports, citing Pentagon sources, said that during 2007 and 2008, computer spies had managed to copy and siphon off several terabytes of data related to the F-35's design and electronics systems, potentially enabling the development of defense systems against the aircraft.[37] However, Lockheed Martin has rejected suggestions that the project has been compromised, saying that it "does not believe any classified information had been stolen".[38]
On 9 November 2009, Ashton Carter, under-secretary of defense for acquisition, technology and logistics, acknowledged that the Pentagon "joint estimate team" (JET) had found possible future cost and schedule overruns in the project and that he would be holding meetings to attempt to avoid these.[39] On 1 February 2010, Gates removed the JSF Program Manager, U.S. Marine Corps Major General David Heinz, and withheld $614 million in payments to Lockheed Martin because of program costs and delays.[40][41]
On 11 March 2010, a report from the Government Accountability Office to United States Senate Committee on Armed Services projected the overall unit cost of an F-35A to be $112M in today's money.[42] In 2010, Pentagon officials disclosed that the F-35 program has exceeded its original cost estimates by more than 50 percent.[43] An internal Pentagon report critical of the JSF project states that "affordability is no longer embraced as a core pillar". On 24 March, Gates termed the recent cost overruns and delays as "unacceptable" in a testimony before the U.S. Congress. He characterized previous cost and schedule estimates for the project as "overly rosy". However, Gates insisted the F-35 would become "the backbone of U.S. air combat for the next generation" and informed the Congress that he had expanded the development period by an additional 13 months and budgeted $3 billion more for the testing program while slowing down production.[44] Lockheed Martin expects to reduce government cost estimates by 20%.[45]
In November 2010 as part of a cost-cutting measure, the co-chairs of the National Commission on Fiscal Responsibility and Reform suggested canceling procurement of the F-35B and halving orders of F-35As and F-35Cs.[46][47][48] At the same time Air Force Magazine reported that "Pentagon officials" are considering canceling the F-35B because its short range means that the bases or ships it operates from will be within range of hostile tactical ballistic missiles.[49] However Lockheed Martin consultant Loren B. Thompson said that this rumor is merely a result of the usual tensions between the US Navy and Marine Corps, and there is no alternative to the F-35B as an AV-8B replacement.[50] He also confirmed that there would be further delays and cost increases in the development process because of technical problems with the aircraft and software, but blamed most of the delays and extra costs on redundant flight test.[51][52]
The Center for Defense Information estimated that the program would be restructured with an additional year of delay and $5 billion in additional costs.[53] On 5 November 2010, the Block 1 software flew for the first time on BF-4 which included information fusion and initial weapons-release capability.[54] As of the end of 2010, only 15% of the software remains to be written, but this includes the most difficult sections such as data fusion.[55] But in 2011 it was revealed that only 50% of the eight million lines of code had actually been written and that it would take another six years and 110 additional software engineers in order to complete the software for this new schedule.[56]
In January 2011 Defense Secretary Robert Gates expressed the Pentagon's frustration with the skyrocketing costs of the F-35 program when he said "The culture of endless money that has taken hold must be replaced by a culture of restraint." Focusing his attention on the troubled VTOL F-35B Gates ordered "a two-year probation", saying it "should be canceled" if corrections are unsuccessful.[57] However, Gates has stated his support for the program.[58] Some private analysts, such as Richard Aboulafia, of the Teal Group state that the whole F-35 program is becoming a money pit.[57]
Former Pentagon manager Paul Kaminski has said that the lack of a complete test plan has added five years to the JSF program.[59] As of February 2011, the main flaws with the aircraft are engine "screech", transonic wing roll-off and display flaws in the helmet mounted display.[60]
The current schedule has the delivery of basic combat capability aircraft in late 2015, followed by full capability block three software in late 2016.[61] The $56.4 billion development project for the aircraft should be completed in 2018 when the block five configuration is expected to be delivered, several years late and considerably over budget.[62]
In November 2010, the GAO found that "Managing an extensive, still-maturing global network of suppliers adds another layer of complexity to producing aircraft efficiently and on-time" and that "However, due to the extensive amount of testing still to be completed, the program could be required to make alterations to its production processes, changes to its supplier base, and costly retrofits to produced and fielded aircraft, if problems are discovered."[63] A year later, program head Vice Adm. David Venlet confirmed that the concurrency built into the program "was a miscalculation".[64]
Delays in the F-35 program may lead to a "fighter gap" where America and other countries will lack sufficient jet fighters to cover their requirements.[65] Israel may seek to buy second-hand F-15s to cover its gap,[66] while Australia may also seek to buy more American fighters from the USN to cover their own capability gap in the face of F-35 delays.[67]
Initial Operational Capability (IOC) will be determined by software development rather than by hardware production or pilot training.[68]
In May 2011, the Pentagon's top weapons buyer Ashton Carter said that its new $133 million unit price was not affordable.[69]
In 2011 The Economist warned that the F-35 was in danger of slipping into a "death spiral" where increasing per aircraft costs would lead to cuts in number of aircraft ordered which would lead to further cost increases and further order cuts.[70] Later that year four aircraft were cut from the fifth LRIP order to pay for cost overruns.[71]
This was followed by a contract dispute where the Pentagon insisted that Lockheed Martin help cover the costs of fixes to aircraft already produced.[72] Lockheed Martin also objected to cost sharing in the program because even at this late date the remaining development challenges posed an uninsurable unbounded risk that the company could not cover.[73] However the Senate Armed Services Committee strongly backed the Pentagon position.[74]
Also in 2011 a Congressional Joint Strike Fighter Caucus was formed by some of the top recipients of Lockheed Martin contributions.[75]
Concerns over performance and safety In 2006 the F-35 was downgraded from "very low observable" to "low observable", a change former RAAF flight test engineer Peter Goon likened to increasing the radar cross section from a marble to a beach ball.[76]
Andrew Krepinevich has questioned the reliance on "short range" aircraft like the F-35 or F-22 to 'manage' China in a future conflict and has suggested reducing the number of F-35s ordered in favor of a longer range platform like the Next-Generation Bomber, but Michael Wynne, then United States Secretary of the Air Force rejected this plan of action in 2007.[77][78][79] However in 2011, the Center for Strategic and Budgetary Assessments (CSBA) pointed to the restructuring of the F-35 program and the return of the bomber project as a sign of their effectiveness, while Rebecca Grant said that the restructuring was a "vote of confidence" in the F-35 and "there is no other stealthy, survivable new fighter program out there".[80] Lockheed has also said that the F-35 is designed to launch internally carried bombs at supersonic speed and internal missiles at maximum supersonic speed.[81]
In 2008 it was reported that RAND Corporation conducted simulated war games in which Russian Sukhoi Su-35 fighters apparently defeated the F-35.[82] As a result of these media reports, then Australian defence minister Joel Fitzgibbon requested a formal briefing from the Australian Department of Defence on the simulation. This briefing stated that the reports of the simulation were inaccurate and did not actually compare the F-35's flight performance against other aircraft.[83]
The Pentagon and Lockheed Martin added that these simulations did not address air-to-air combat.[84][85] A Lockheed Martin press-release points to USAF simulations regarding the F-35's air-to-air performance against potential adversaries described as "4th generation" fighters, in which it claims the F-35 is "400 percent" more effective. Major General Charles R. Davis, USAF, the F-35 program executive officer, has stated that the "F-35 enjoys a significant Combat Loss Exchange Ratio advantage over the current and future air-to-air threats, to include Sukhois".[85] The nature of the simulations, and the terms upon which the "400 percent" figure have been derived remains unclear. Regarding the original plan to fit the F-35 with only two air-to-air missiles, Major Richard Koch, chief of USAF Air Combat Command’s advanced air dominance branch is reported to have said that "I wake up in a cold sweat at the thought of the F-35 going in with only two air-dominance weapons."[86] However the Norwegians have been briefed on a plan to equip the F-35 with six AIM-120D missiles by 2019.[87]
Former RAND author John Stillion has written of the F-35A's air-to-air combat performance that it “can’t turn, can’t climb, can’t run”, but Lockheed Martin test pilot Jon Beesley has countered that in an air-to-air configuration the F-35 has almost as much thrust as weight and a flight control system that allows it to be fully maneuverable even at a 50-degree angle of attack.[88]
Chen Hu, editor-in-chief of World Military Affairs magazine has said that the F-35 is too costly because it attempts to provide the capabilities needed for all three American services in a common airframe.[89] Dutch news program NOVA show interviewed US defense specialist Winslow T. Wheeler and aircraft designer Pierre Sprey who called the F-35 "heavy and sluggish" as well as having a "pitifully small load for all that money", and went on to criticize the value for money of the stealth measures as well as lacking fire safety measures. His final conclusion was that any air force would be better off maintaining its fleets of F-16s and F/A-18s compared to buying into the F-35 program.[90] Lockheed spokesman John Kent has said that the missing fire-suppression systems would have offered "very small" improvements to survivability.[91]
In the context of selling F-35s to Israel to match the F-15s that will be sold to Saudi Arabia, a senior U.S. defense official was quoted as saying that the F-35 will be "the most stealthy, sophisticated and lethal tactical fighter in the sky," and added "Quite simply, the F-15 will be no match for the F-35."[92] After piloting the aircraft, RAF Squadron Leader Steve Long said that, over its existing aircraft, the F-35 will give "the RAF and Navy a quantum leap in airborne capability."[93]
Consultant to Lockheed Martin Loren B. Thompson has said that the "electronic edge F-35 enjoys over every other tactical aircraft in the world may prove to be more important in future missions than maneuverability".[94]
In 2011, Canadian politicians raised the issue of the safety of the F-35's reliance on a single engine (as opposed to a twin-engine configuration, which provides a backup in case of an engine failure). Canada had previous experience with a high-accident rate with the single-engine Lockheed CF-104 Starfighter with many accidents related to engine failures. Defence Minister Peter MacKay, when asked what would happen if the F-35’s single engine fails in the Far North, stated "It won’t".[95]
On 9 November 2009, Ashton Carter, under-secretary of defense for acquisition, technology and logistics, acknowledged that the Pentagon "joint estimate team" (JET) had found possible future cost and schedule overruns in the project and that he would be holding meetings to attempt to avoid these.[39] On 1 February 2010, Gates removed the JSF Program Manager, U.S. Marine Corps Major General David Heinz, and withheld $614 million in payments to Lockheed Martin because of program costs and delays.[40][41]
On 11 March 2010, a report from the Government Accountability Office to United States Senate Committee on Armed Services projected the overall unit cost of an F-35A to be $112M in today's money.[42] In 2010, Pentagon officials disclosed that the F-35 program has exceeded its original cost estimates by more than 50 percent.[43] An internal Pentagon report critical of the JSF project states that "affordability is no longer embraced as a core pillar". On 24 March, Gates termed the recent cost overruns and delays as "unacceptable" in a testimony before the U.S. Congress. He characterized previous cost and schedule estimates for the project as "overly rosy". However, Gates insisted the F-35 would become "the backbone of U.S. air combat for the next generation" and informed the Congress that he had expanded the development period by an additional 13 months and budgeted $3 billion more for the testing program while slowing down production.[44] Lockheed Martin expects to reduce government cost estimates by 20%.[45]
In November 2010 as part of a cost-cutting measure, the co-chairs of the National Commission on Fiscal Responsibility and Reform suggested canceling procurement of the F-35B and halving orders of F-35As and F-35Cs.[46][47][48] At the same time Air Force Magazine reported that "Pentagon officials" are considering canceling the F-35B because its short range means that the bases or ships it operates from will be within range of hostile tactical ballistic missiles.[49] However Lockheed Martin consultant Loren B. Thompson said that this rumor is merely a result of the usual tensions between the US Navy and Marine Corps, and there is no alternative to the F-35B as an AV-8B replacement.[50] He also confirmed that there would be further delays and cost increases in the development process because of technical problems with the aircraft and software, but blamed most of the delays and extra costs on redundant flight test.[51][52]
The Center for Defense Information estimated that the program would be restructured with an additional year of delay and $5 billion in additional costs.[53] On 5 November 2010, the Block 1 software flew for the first time on BF-4 which included information fusion and initial weapons-release capability.[54] As of the end of 2010, only 15% of the software remains to be written, but this includes the most difficult sections such as data fusion.[55] But in 2011 it was revealed that only 50% of the eight million lines of code had actually been written and that it would take another six years and 110 additional software engineers in order to complete the software for this new schedule.[56]
In January 2011 Defense Secretary Robert Gates expressed the Pentagon's frustration with the skyrocketing costs of the F-35 program when he said "The culture of endless money that has taken hold must be replaced by a culture of restraint." Focusing his attention on the troubled VTOL F-35B Gates ordered "a two-year probation", saying it "should be canceled" if corrections are unsuccessful.[57] However, Gates has stated his support for the program.[58] Some private analysts, such as Richard Aboulafia, of the Teal Group state that the whole F-35 program is becoming a money pit.[57]
Former Pentagon manager Paul Kaminski has said that the lack of a complete test plan has added five years to the JSF program.[59] As of February 2011, the main flaws with the aircraft are engine "screech", transonic wing roll-off and display flaws in the helmet mounted display.[60]
The current schedule has the delivery of basic combat capability aircraft in late 2015, followed by full capability block three software in late 2016.[61] The $56.4 billion development project for the aircraft should be completed in 2018 when the block five configuration is expected to be delivered, several years late and considerably over budget.[62]
In November 2010, the GAO found that "Managing an extensive, still-maturing global network of suppliers adds another layer of complexity to producing aircraft efficiently and on-time" and that "However, due to the extensive amount of testing still to be completed, the program could be required to make alterations to its production processes, changes to its supplier base, and costly retrofits to produced and fielded aircraft, if problems are discovered."[63] A year later, program head Vice Adm. David Venlet confirmed that the concurrency built into the program "was a miscalculation".[64]
Delays in the F-35 program may lead to a "fighter gap" where America and other countries will lack sufficient jet fighters to cover their requirements.[65] Israel may seek to buy second-hand F-15s to cover its gap,[66] while Australia may also seek to buy more American fighters from the USN to cover their own capability gap in the face of F-35 delays.[67]
Initial Operational Capability (IOC) will be determined by software development rather than by hardware production or pilot training.[68]
In May 2011, the Pentagon's top weapons buyer Ashton Carter said that its new $133 million unit price was not affordable.[69]
In 2011 The Economist warned that the F-35 was in danger of slipping into a "death spiral" where increasing per aircraft costs would lead to cuts in number of aircraft ordered which would lead to further cost increases and further order cuts.[70] Later that year four aircraft were cut from the fifth LRIP order to pay for cost overruns.[71]
This was followed by a contract dispute where the Pentagon insisted that Lockheed Martin help cover the costs of fixes to aircraft already produced.[72] Lockheed Martin also objected to cost sharing in the program because even at this late date the remaining development challenges posed an uninsurable unbounded risk that the company could not cover.[73] However the Senate Armed Services Committee strongly backed the Pentagon position.[74]
Also in 2011 a Congressional Joint Strike Fighter Caucus was formed by some of the top recipients of Lockheed Martin contributions.[75]
Concerns over performance and safety In 2006 the F-35 was downgraded from "very low observable" to "low observable", a change former RAAF flight test engineer Peter Goon likened to increasing the radar cross section from a marble to a beach ball.[76]
Andrew Krepinevich has questioned the reliance on "short range" aircraft like the F-35 or F-22 to 'manage' China in a future conflict and has suggested reducing the number of F-35s ordered in favor of a longer range platform like the Next-Generation Bomber, but Michael Wynne, then United States Secretary of the Air Force rejected this plan of action in 2007.[77][78][79] However in 2011, the Center for Strategic and Budgetary Assessments (CSBA) pointed to the restructuring of the F-35 program and the return of the bomber project as a sign of their effectiveness, while Rebecca Grant said that the restructuring was a "vote of confidence" in the F-35 and "there is no other stealthy, survivable new fighter program out there".[80] Lockheed has also said that the F-35 is designed to launch internally carried bombs at supersonic speed and internal missiles at maximum supersonic speed.[81]
In 2008 it was reported that RAND Corporation conducted simulated war games in which Russian Sukhoi Su-35 fighters apparently defeated the F-35.[82] As a result of these media reports, then Australian defence minister Joel Fitzgibbon requested a formal briefing from the Australian Department of Defence on the simulation. This briefing stated that the reports of the simulation were inaccurate and did not actually compare the F-35's flight performance against other aircraft.[83]
The Pentagon and Lockheed Martin added that these simulations did not address air-to-air combat.[84][85] A Lockheed Martin press-release points to USAF simulations regarding the F-35's air-to-air performance against potential adversaries described as "4th generation" fighters, in which it claims the F-35 is "400 percent" more effective. Major General Charles R. Davis, USAF, the F-35 program executive officer, has stated that the "F-35 enjoys a significant Combat Loss Exchange Ratio advantage over the current and future air-to-air threats, to include Sukhois".[85] The nature of the simulations, and the terms upon which the "400 percent" figure have been derived remains unclear. Regarding the original plan to fit the F-35 with only two air-to-air missiles, Major Richard Koch, chief of USAF Air Combat Command’s advanced air dominance branch is reported to have said that "I wake up in a cold sweat at the thought of the F-35 going in with only two air-dominance weapons."[86] However the Norwegians have been briefed on a plan to equip the F-35 with six AIM-120D missiles by 2019.[87]
Former RAND author John Stillion has written of the F-35A's air-to-air combat performance that it “can’t turn, can’t climb, can’t run”, but Lockheed Martin test pilot Jon Beesley has countered that in an air-to-air configuration the F-35 has almost as much thrust as weight and a flight control system that allows it to be fully maneuverable even at a 50-degree angle of attack.[88]
Chen Hu, editor-in-chief of World Military Affairs magazine has said that the F-35 is too costly because it attempts to provide the capabilities needed for all three American services in a common airframe.[89] Dutch news program NOVA show interviewed US defense specialist Winslow T. Wheeler and aircraft designer Pierre Sprey who called the F-35 "heavy and sluggish" as well as having a "pitifully small load for all that money", and went on to criticize the value for money of the stealth measures as well as lacking fire safety measures. His final conclusion was that any air force would be better off maintaining its fleets of F-16s and F/A-18s compared to buying into the F-35 program.[90] Lockheed spokesman John Kent has said that the missing fire-suppression systems would have offered "very small" improvements to survivability.[91]
In the context of selling F-35s to Israel to match the F-15s that will be sold to Saudi Arabia, a senior U.S. defense official was quoted as saying that the F-35 will be "the most stealthy, sophisticated and lethal tactical fighter in the sky," and added "Quite simply, the F-15 will be no match for the F-35."[92] After piloting the aircraft, RAF Squadron Leader Steve Long said that, over its existing aircraft, the F-35 will give "the RAF and Navy a quantum leap in airborne capability."[93]
Consultant to Lockheed Martin Loren B. Thompson has said that the "electronic edge F-35 enjoys over every other tactical aircraft in the world may prove to be more important in future missions than maneuverability".[94]
In 2011, Canadian politicians raised the issue of the safety of the F-35's reliance on a single engine (as opposed to a twin-engine configuration, which provides a backup in case of an engine failure). Canada had previous experience with a high-accident rate with the single-engine Lockheed CF-104 Starfighter with many accidents related to engine failures. Defence Minister Peter MacKay, when asked what would happen if the F-35’s single engine fails in the Far North, stated "It won’t".[95]
Thursday, December 1, 2011
Abousfian Abdelrazik has been removed from a UN Security Council terrorist blacklist. : cleared by CSIS and the RCMP of terrorist allegations.
Abousfian Abdelrazik, a Canadian accused of being an al-Qaeda operative who trained in Afghanistan, has been removed from a UN Security Council terrorist blacklist.
Paul Champ, Abdelrazik's lawyer, says his client was "ecstatic" to hear the news.
The Sudanese-born man, who was arrested but not charged during a 2003 visit to see his mother in Sudan, has already been formally cleared by CSIS and the RCMP of terrorist allegations.
While he was behind bars in Sudan, Abdelrazik's passport expired and he subsequently lived in makeshift quarters at the Canadian Embassy in Khartoum.
In July 2006, the United States branded Abdelrazik a supporter of the al-Qaeda terrorist network, and the United Nations subsequently added him to the UN Al-Qaeda Sanctions List.
Abdelrazik has been trying to clear his name since late June 2009, when he returned to Canada.
Paul Champ, Abdelrazik's lawyer, says his client was "ecstatic" to hear the news.
The Sudanese-born man, who was arrested but not charged during a 2003 visit to see his mother in Sudan, has already been formally cleared by CSIS and the RCMP of terrorist allegations.
While he was behind bars in Sudan, Abdelrazik's passport expired and he subsequently lived in makeshift quarters at the Canadian Embassy in Khartoum.
In July 2006, the United States branded Abdelrazik a supporter of the al-Qaeda terrorist network, and the United Nations subsequently added him to the UN Al-Qaeda Sanctions List.
Abdelrazik has been trying to clear his name since late June 2009, when he returned to Canada.
Tuesday, November 29, 2011
Denmark is a big shame. Please share this on, this is serious cruelty.!
Please share this on, this is serious cruelty.
Denmark is a big shame.
The sea... is stained in red and it is not because of the climate effects of nature. It's because of the cruelty of the human beings (civilized human) who kill hundreds of the famous and intelligent Calderon dolphins.
This happens every year in Feroe Island in Denmark . In this slaughter the main participants are young teens.
WHY?
A celebration, to show that they are adults and mature!
In this big celebration, nothing is missing for the fun. Everyone is participating in one way or the other, killing or looking at the cruelty supporting like a spectator
Is it necessary to mention that the dolphin Calderon, like all the other species of dolphins, it's near extinction and they get near men to play and interact.
In a way of PURE friendship.
They don't die instantly; they are cut 1, 2 or 3 times with thick hooks. And at that time the dolphins produce a grim cry like that of a new born child.
But he suffers and there's no compassion while this magnificent creature slowly dies in its own blood
Its enough!
We will publish until this post goes around the world that many more people will know about this shameful Dannish acts.
Take care of the world, it is your home!
SHARE this messages as a sign Against this cruelty
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