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GRAND
CHAMBER
CASE OF
MOOREN v. GERMANY
(Application
no. 11364/03)
JUDGMENT
STRASBOURG
9 July
2009
This
judgment is final but may be subject to editorial revision.
In the case of Mooren v. Germany,
The
European Court of Human Rights, sitting as a Grand Chamber composed
of:
Jean-Paul
Costa,
President,
Christos
Rozakis,
Nicolas
Bratza,
Françoise
Tulkens,
Josep
Casadevall,
Corneliu
Bîrsan,
Nina
Vajić,
Elisabet
Fura-Sandström,
Alvina
Gyulumyan,
Khanlar
Hajiyev,
Dean
Spielmann,
Renate
Jaeger,
Dragoljub
Popović,
Ineta
Ziemele,
Isabelle
Berro-Lefèvre,
George
Nicolaou,
Ledi
Bianku, judges,
and
Vincent Berger, Jurisconsult,
Having
deliberated in private on 24 September 2008 and on
27 May 2009,
Delivers
the following judgment, which was adopted on the
last-mentioned
date:
PROCEDURE
- The
case originated in an application (no. 11364/03) against the Federal
Republic of Germany lodged with the Court under Article 34 of the
Convention for the Protection of Human Rights and Fundamental
Freedoms (“the Convention”) by a German national, Mr
Burghard Theodor Mooren (“the applicant”), on 26 March
2003. The applicant had been granted legal aid.
- The
applicant complained that, by remitting his case back to the court of
first instance instead of quashing the detention order which it had
found not to comply with domestic law, the Court of Appeal had
unlawfully deprived him of his liberty and had unduly delayed the
judicial review proceedings. He further complained that his defence
counsel had been refused access to the investigation file. He relied,
in particular, on Article 5 of the Convention.
- The
application was allocated to the Third Section of the Court (Rule 52
§ 1 of the Rules of Court). On 1 November 2004 the Court
changed the composition of its Sections (Rule 25 § 1). This case
was assigned to the newly composed Fifth Section (Rule 52 § 1).
Within that Section, the Chamber that would consider the case
(Article 27 § 1 of the Convention) was constituted as provided
in Rule 26 § 1.
- On
13 December 2007 a Chamber of the Fifth Section, composed of the
following judges: Peer Lorenzen,
President,
Snejana Botoucharova, Volodymyr Butkevych, Margarita
Tsatsa-Nikolovska, Rait Maruste, Javier Borrego Borrego, Renate
Jaeger, and also of Claudia Westerdiek, Section
Registrar, delivered its judgment. The Chamber held, by five votes to
two, that there had been no violation of Article 5 § 1 of the
Convention, unanimously, that there had been a violation of Article 5
§ 4 in so far as the applicant complained of the lack of a
speedy review of the lawfulness of his detention and, unanimously,
that there had been a violation of Article 5 § 4 of the
Convention in so far as the applicant complained about the refusal to
grant his counsel access to the case file in the proceedings for
review of the lawfulness of his detention. The Chamber further held
that the respondent Government was to pay the applicant 1,500 euros
(EUR) in respect of
non-pecuniary damage and EUR 5,150 in respect
of costs and expenses.
- On
7 February 2008 the applicant requested that the case be referred to
the Grand Chamber under Article 43 of the Convention and Rule 73 of
the Rules of Court, arguing that there had also been a violation of
Article 5 § 1. On 2 June 2008 the Panel of the Grand Chamber
accepted that request.
- The
composition of the Grand Chamber was determined according to the
provisions of Article 27 §§ 2 and 3 of the Convention and
Rule 24 of the Rules of Court.
- The
applicant and the Government each filed a memorial.
- A
hearing took place in public in the Human Rights Building,
Strasbourg, on 24 September 2008 (Rule 59 § 3).
There
appeared before the Court:
(a) for the Government
Mrs A.
Wittling-Vogel, Ministerialdirigentin, Agent,
Mr A.
Strafner, Public Prosecutor,
Mr S.
Harms, Regional Court judge,
Mr O.
Röhr, Administrative Court judge, Advisers;
(b) for the applicant
Mr D.
Hagmann, lawyer, Counsel,
Ms M.
Oerder, lawyer,
Ms G.
Worsdale-Wassmuth, interpreter, Advisers.
The
Court heard addresses by Mr Hagmann and Mrs Wittling-Vogel.
THE FACTS
I. THE CIRCUMSTANCES OF THE CASE
- The
applicant was born in 1963. At the date the application was lodged,
he was living in Mönchengladbach.
A. The District Court's detention order
- On
25 July 2002 the applicant was arrested.
- On
the same day the Mönchengladbach District Court ordered his
detention on remand after hearing representations from him.
The
applicant was assisted from this point on by counsel. In a detention
order running to some one and a half pages, the District Court found
that there was a strong suspicion that the applicant had evaded taxes
on some twenty occasions between 1996 and June 2002, an offence
punishable under various provisions (which were specified in detail)
of the Tax Code, the Turnover Tax Code, the Income Tax Code and the
Regulations on Trade Taxes. He had been working as a self-employed
commercial agent for fifteen different firms in Germany (whose names
were listed in detail in the order) since 1994. He had also been
running a telephone service since 2000; in 2001 a company, TMA
Aachen, had paid him commission amounting to 124,926.22 Deutschmarks
(DEM). The court found on the basis of the documents before it that
there were grounds for suspecting the applicant of having evaded
turnover taxes of 57,374 euros (EUR), income taxes of EUR 133,279
and trade taxes of EUR 20,266.
- Noting
that the applicant, who had availed himself of the right to remain
silent, was strongly suspected of tax evasion on the basis of
business records that had been seized when his home was searched, the
District Court decided that he had to be placed in pre-trial
detention because of the danger of collusion (Verdunkelungsgefahr
– see Article 112 § 2 no. 3 of the Code of Criminal
Procedure, cited in paragraph 45 below). It also noted that the
documents seized were incomplete, so that there was a risk that the
applicant, if released, might destroy the missing documents or
conceal further business transactions and accounts.
B. The District Court's review of the detention order
- On
7 August 2002 the applicant, represented by counsel, lodged an
application for review of his detention order (Haftprüfung)
with the Mönchengladbach District Court. His counsel also
requested access to the case file, which he argued he had a right to
inspect in order to apprise himself of all the facts and evidence on
which the detention order and, in particular, the strong suspicion
that an offence had been committed were based. He also pointed out
that domestic law prohibited the District Court from considering
facts and evidence to which defence counsel had been refused access
pursuant to Article 147 § 2 of the Code of Criminal Procedure
(see paragraph 52 below).
- On
12 August 2002 the Mönchengladbach Public Prosecutor's Office
informed the applicant's counsel that he was being refused access to
the case file pursuant to Article 147 § 2 of the Code of
Criminal Procedure as it would jeopardise the purpose of the
investigation. It added, however, that the public prosecutor in
charge of the case was prepared to inform counsel orally about the
facts and evidence at issue. The applicant's counsel did not take up
that offer.
- On
16 August 2002 the Mönchengladbach District Court heard
representations from the applicant and his defence counsel. The
applicant argued that there was no risk of collusion or of his
absconding. Should the court nevertheless consider that he might
abscond if released he was ready to comply with any conditions
imposed by the court, such as handing over his identity papers. The
applicant's counsel complained that he had still not had access to
the case file.
- By
an order of the same day, the Mönchengladbach District Court,
which had before it the case file of the proceedings, upheld the
detention order. It found that there was still a risk that, if
released, the applicant would tamper with factual evidence or
interfere with witnesses. The applicant had consistently sought to
conceal his true place of residence and other personal details from
the authorities and had acted with intent to mislead which, in the
particular circumstances of the case, proved that there was a danger
of collusion.
C. The Regional Court's review of the detention order
- Following
the applicant's appeal, which was lodged on 16 August 2002
and was followed up by detailed reasons on 19 August 2002,
the Mönchengladbach Regional Court informed the applicant in a
letter dated 27 August 2002 that it considered that the risk of his
absconding could serve as a ground for his continued detention. As to
his counsel's request for access to the case file, it stated that he
should be informed orally about the content of the file in the first
instance.
- In
a letter dated 2 September 2002, the applicant contested that view.
He claimed, in particular, that in his case mere oral information
about the content of the case file would not be sufficient.
- On
9 September 2002, after hearing representations from the Public
Prosecutor's Office and considering the case file, the
Mönchengladbach Regional Court dismissed the applicant's appeal
against the District Court's decision dated 16 August 2002. It found
that there was a strong suspicion that the applicant had evaded
income, turnover and trade taxes. Furthermore, there was a danger of
his absconding within the meaning of Article 112 § 2 no. 2 of
the Code of Criminal Procedure (see paragraph 45 below), as the
applicant had connections in foreign countries and faced a heavy
sentence.
- In
view of defence counsel's refusal to accept the offer made by the
Public Prosecutor's Office to explain the content of the case file
orally, the Regional Court found that it was impossible to assess
whether the information given in this manner would be sufficient. At
that stage of the proceedings, however, counsel for the defence could
not claim to be entitled to unlimited access to the complete case
file.
- The
Regional Court's decision was served on the applicant's counsel on 16
September 2002.
D. The Court of Appeal's review of the detention order
- On
16 September 2002 the applicant, represented by counsel, lodged a
further appeal against the detention order. He again claimed that he
had a constitutional right to be given access to the facts and
evidence on which the detention order was based.
- On
17 September 2002 the Mönchengladbach Regional Court decided,
without giving further reasons, not to vary its decision of
9
September 2002. On 18 September 2002 the Mönchengladbach Public
Prosecutor's Office, which was in possession of the case file,
drafted a report which was sent to the Düsseldorf Chief Public
Prosecutor's Office with the file the next day.
- On
26 September 2002 the Chief Public Prosecutor's Office, in its
submissions to the Düsseldorf Court of Appeal, stated that it
was not prepared to give the applicant access to the case file as it
was sufficient for the applicant to be notified of the Düsseldorf
Tax Fraud Office's overview of the amount of his income and amount of
the taxes evaded in the years in question. The submissions and the
case file reached the Düsseldorf Court of Appeal on 2 October
2002.
- On
2 October 2002 the applicant sent further observations to the
Düsseldorf Court of Appeal.
- On
9 October 2002 the applicant, who had been sent the submissions of
the Chief Public Prosecutor's Office on 7 October 2002, contested its
arguments. He stated that the overview in question was merely a
conclusion of the Tax Fraud Office the merits of which he could not
examine without having access to the documents and records on which
it was based.
- On
14 October 2002 the Düsseldorf Court of Appeal, on the
applicant's further appeal, quashed the District Court's decision
dated
16 August 2002 and the Regional Court's decision dated 9
September 2002 upholding the applicant's detention and remitted the
case to the District Court.
- The
Court of Appeal, which had the investigation file before it, found
that the detention order issued by the District Court on 25 July 2002
did not comply with the statutory requirements and that the decisions
taken in the judicial review proceedings by the District Court on 16
August 2002 and by the Regional Court on 9 September 2002 (but not
the detention order of 25 July 2002 itself) therefore had to be
quashed. It noted that Article 114 § 2 no. 4 of the Code of
Criminal Procedure (see paragraph 46 below) required the facts that
established strong suspicion that the accused had committed an
offence and that formed the basis for his detention to be set out in
the detention order. Moreover, in order to comply with the
constitutional rights to be heard and to a fair trial, the facts and
evidence on which the suspicion and the reasons for the defendant's
detention on remand were based had to be described in sufficient
detail to enable the accused to comment on them and defend himself
effectively. The facts and evidence had to be set out in greater
detail in the detention order in cases in which defence counsel had
been denied access to the case file under
Article 147 § 2 of
the Code of Criminal Procedure.
- The
Court of Appeal noted, however, that in its decisions on the
applicant's detention the District Court had confined itself to
noting that the applicant was strongly suspected of tax evasion “on
the basis of the business records seized when his home was searched”
when it should, at minimum, have summarised the results of the
evaluation of those records in order to enable the accused to oppose
the decision on detention by making his own submissions or presenting
evidence. This defect had not been remedied in the course of the
subsequent decisions on the applicant's continued detention. As
counsel for the defence had also been refused access to the case file
under Article 147 § 2 of the Code of Criminal Procedure, these
defects amounted to a denial of the right of the accused to be heard.
- The
Court of Appeal declined to take its own decision on the applicant's
detention under Article 309 § 2 of the Code of Criminal
Procedure (see paragraph 50 below) or to quash the detention order of
25 July 2002. Referring to the civil courts' case-law on that
issue (namely, two decisions of the Karlsruhe Court of Appeal, no. 3
Ws 196/00 and
no. 3 Ws 252/85, and to a decision of the Berlin
Court of Appeal,
no. 5 Ws 344/93 – see paragraph 48 below)
it considered that the District Court's detention order was defective
in law (rechtsfehlerhaft), but not void (unwirksam).
The defect could be remedied in the course of the judicial review
proceedings (see Hamburg Court of Appeal, no. 2 Ws 124/92, and Berlin
Court of Appeal, no. 5 Ws 344/93 – paragraph 48 below). It
stated that it would only quash a detention order if it was obvious
that there was either no strong suspicion that the accused had
committed an offence or that there were no reasons for the arrest,
but that that was not the position in the applicant's case. It was
for the District Court to inform the accused of the grounds on which
he was suspected of having committed an offence and to hear
representations from him on that issue (see also Berlin Court of
Appeal, no. 5 Ws 344/93, cited at paragraph 51 below). Should the
Public Prosecutor's Office persist, in the interest of its
investigations, in not informing the accused of the reasons for his
detention, the detention order would have to be quashed.
- As
a consequence, the applicant remained in custody.
E. Fresh proceedings before the District Court
- On
17 October 2002 the Mönchengladbach Public Prosecutor's Office
requested the District Court to issue a fresh, amended detention
order against the applicant.
- On
29 October 2002 the Mönchengladbach District Court again heard
representations from the applicant, his defence counsel, the Public
Prosecutor's Office and an official in charge of investigations at
the Düsseldorf Tax Fraud Office on the applicant's application
for judicial review of the detention order. The applicant's counsel
was given copies of four pages of the voluminous case file containing
the overview by the Düsseldorf Tax Fraud Office of the amount of
the applicant's income and of the taxes he was alleged to have evaded
between 1991 and 2002. Relying on the applicant's rights to be heard
and to a fair trial, the applicant's counsel complained that he had
not been granted access to the case file before the hearing.
- The
Mönchengladbach District Court then issued a fresh order,
running to four pages, for the applicant's detention. It stated that
there was a strong suspicion that the applicant had evaded taxes on
some twenty occasions between 1991 and June 2002. Listing in detail
the applicant's income from his various activities as a self-employed
commercial agent for six different firms and as marketing director of
the TMA Aachen company and the amounts of tax payable in each of the
years in question, the District Court found that there was a strong
suspicion that he had evaded turnover taxes of DEM 125,231.79, income
taxes of DEM 260,025, solidarity taxes of DEM 15,240.11 and trade
taxes of DEM 36,930. It based its suspicion on documents whose
content was explained by a tax official present at the hearing,
witness statements of the owners of the firms the applicant was
working for, the applicant's contracts of employment and wage slips
and commission statements that had been issued by the firms.
- The
District Court further found that there was a risk of the applicant's
absconding (a ground for detention under
Article 112 § 2 no.
2 of the Code of Criminal Procedure) as he faced a lengthy prison
sentence which could possibly no longer be suspended on probation,
had not notified the authorities of his place of residence for a
number of years and had claimed that he was living in the
Netherlands.
- By
an order of the same day, the Mönchengladbach District Court
decided to suspend the execution of the detention order on condition
that the applicant (who in the meantime had complied with his duty to
inform the authorities of his address) informed the court of every
change of address, complied with all summonses issued by the court,
the Public Prosecutor's Office and the police, and reported to the
police three times a week. However, the district court did not order
the applicant's immediate release as the Public Prosecutor's Office
had immediately lodged an appeal.
F. Renewed proceedings before the Regional Court and
further developments
- On
7 November 2002, after hearing representations from the applicant and
the Public Prosecutor's Office, the Mönchengladbach Regional
Court dismissed the applicant's appeal against the detention order.
It likewise dismissed the appeal lodged by the Public Prosecutor's
Office against the decision to suspend the execution of the detention
order on the additional conditions that the applicant hand over his
identity papers to the Public Prosecutor's Office and deposit EUR
40,000 as security.
- Having
deposited the security, the applicant was released from prison on 7
November 2002.
- On
8 November 2002 the applicant lodged a further appeal against the
Regional Court's decision, complaining that his counsel had still not
been granted access to the case file.
- By
a letter dated 18 November 2002, the Mönchengladbach Public
Prosecutor's Office granted the applicant's counsel access to the
case file.
It stated that it had intended to send the file to him
at an earlier date, but that this had not been possible as the file
had been at the Regional Court and had only recently been returned to
the Public Prosecutor's Office.
The applicant's counsel received
the file for inspection on
20 November 2002. The
applicant withdrew his further appeal on
10 December 2002.
G. Proceedings before the Federal Constitutional Court
- On
23 October 2002 the applicant lodged a complaint with the Federal
Constitutional Court against the decision of the Düsseldorf
Court of Appeal dated 14 October 2002 and the detention order issued
by the Mönchengladbach District Court on 25 July 2002. In his
submission, his rights to liberty, to be heard in court and to be
informed promptly by a judge of the reasons for his detention on
remand as well as his rights to be heard within a reasonable time and
to a fair trial as guaranteed by the Basic Law had been violated. He
argued in particular that his right to liberty, the deprivation of
which was only constitutional if it was in accordance with the law,
had been breached by his illegal detention on the basis of a void
detention order. The complete refusal to allow his defence counsel
access to the case file pursuant to Article 147 § 2 of the Code
of Criminal Procedure had violated his right to be heard in court, as
guaranteed by Article 103 § 1 of the Basic Law (see paragraph 53
below), and his right to liberty under Article 104 § 3 of the
Basic Law (see paragraph 54 below). The impugned decisions
disregarded both the case-law of the Federal Constitutional Court and
the Court's case-law as laid down in its judgments of 13 February
2001 in the cases of Garcia Alva, Lietzow v. Germany
and Schöps v. Germany. The Court of Appeal's refusal
to quash the detention order and its decision to remit the case to
the District Court instead had also breached his right to a fair
hearing within a reasonable time.
- On
4 and 11 November 2002 the applicant extended his constitutional
complaint to include the decisions of the Mönchengladbach
District Court dated 29 October 2002 and the decision of the
Mönchengladbach Regional Court dated 7 November 2002.
- On
22 November 2002 the Federal Constitutional Court, without giving
further reasons, declined to consider the applicant's constitutional
complaint against the detention orders issued by the Mönchengladbach
District Court on 25 July 2002 and 29 October 2002, the decision of
the Mönchengladbach Regional Court dated 7 November 2002 and the
decision of the Düsseldorf Court of Appeal dated 14 October
2002.
H. Further developments
- On
9 March 2005 the Mönchengladbach District Court convicted the
applicant on eight counts of tax evasion and sentenced him to a total
of one year and eight months' imprisonment suspended on probation. It
found that the applicant, who had confessed to the offences, had
evaded turnover taxes of DEM 129,795, income taxes of DEM 344,802 and
trade taxes of DEM 55,165.
II. RELEVANT DOMESTIC LAW AND PRACTICE
A. Code of Criminal Procedure
1. The detention order
- Articles
112 et seq. of the Code of Criminal Procedure
(Strafprozessordnung) concern detention on remand. Pursuant to
Article 112 § 1 of the Code, a defendant may be detained on
remand if there is a strong suspicion that he has committed a
criminal offence and if there are grounds for arresting him. Grounds
for arrest will exist where certain facts warrant the conclusion that
there is a risk of his absconding (Article 112 § 2 no. 2)
or of collusion (Article 112 § 2 no. 3).
- According
to Article 114 §§ 1 and 2 of the Code of Criminal
Procedure, detention on remand is ordered by a judge in a written
detention order. The detention order identifies the accused, the
offence of which he is strongly suspected, including the time and
place of its commission, and the grounds for the arrest (nos. 1-3 of
Article 114 § 2). Moreover, the facts establishing the grounds
for the strong suspicion that an offence has been committed and for
the arrest must be set out in the detention order unless national
security would thereby be endangered (Article 114 § 2 no. 4).
2. Judicial review of a detention order
- Under
Article 117 § 1 of the Code of Criminal Procedure, remand
prisoners may at any time seek judicial review (Haftprüfung)
of a decision to issue a detention order or ask for the order to be
suspended. They may lodge an appeal under Article 304 of the Code of
Criminal Procedure (Haftbeschwerde) against a decision
ordering their (continued) detention and a further appeal (weitere
Beschwerde) against the Regional Court's decision on the appeal
(Article 310 § 1 of the Code of Criminal Procedure). Decisions
on a person's pre-trial detention have to be taken speedily (compare,
among many others, Berlin Court of Appeal, no. 5 Ws 344/93, decision
of 5 October 1993, Strafverteidiger (StV) 1994, p.
319). As a rule, pre-trial detention must not continue for more than
six months
(see Article 121 § 1 of the Code of Criminal
Procedure; compare Federal Constitutional Court, no. 2 BvR 558/73,
decision of 12 December 1973).
(a) Consequences of defects in the
detention order
- The
consequences of a court's finding in the course of judicial review
proceedings that a detention order is flawed will depend on the
nature of the defect found. Certain formal defects, in particular a
failure to set out in sufficient detail in the order the facts
establishing the grounds for strong suspicion that an offence has
been committed and for the arrest, as required by Article 114 §
2 no. 4 of the Code of Criminal Procedure, will make the order
defective in law (rechtsfehlerhaft), but not void (unwirksam /
nichtig) (see, inter alia, Karlsruhe Court of Appeal,
no.
3 Ws 252/85, decision of 28 November 1985, Neue Zeitschrift für
Strafrecht (NStZ) 1986, pp. 134-35; and Berlin Court of
Appeal,
no. 5 Ws 344/93, decision of 5 October 1993, StV
1994, p. 318).
Such defects may therefore be remedied by the
appeal courts in the course of the judicial review proceedings by
either quashing the defective order or replacing it with a fresh,
duly reasoned order (compare, inter alia, Karlsruhe Court of
Appeal, no. 3 Ws 252/85, decision of 28 November 1985,
NStZ
1986, pp. 134-35 with further references; Hamburg Court of Appeal,
no. 2 Ws 124/92, decision of 23 March 1992, Monatsschrift für
Deutsches Recht (MDR) 1992, p. 694; Berlin Court of
Appeal, no. 5 Ws 344/93, decision of 5 October 1993, StV 1994,
pp. 318-319; and Karlsruhe Court of Appeal, no. 3 Ws 196/00, decision
of 26 September 2000, StV 2001, p. 118). A defective
detention order thus remains a valid basis for detention until the
defect is remedied. On the contrary, detention on the basis of a
detention order which is void owing to a serious and obvious defect
is unlawful (see paragraph 49).
- The
Federal Court of Justice gave the following reasons for the
distinction between void and defective court decisions:
“Only in rare, exceptional cases can a court
decision be considered void in its entirety, with the consequence
that it is legally irrelevant (see ...). This is a consequence of the
requirements of legal certainty and its corollary, the authority of
court decisions, as well as of the overall structure of criminal
proceedings with its system of legal remedies designed to correct
defective decisions. Considering a court decision ... as legally
irrelevant means that anyone may claim that it is null and void at
any stage of the proceedings, even after it has become final... In
the case of decisions which can be challenged by an appeal, the
statutory rules – formalities and time-limits – become
inoperative if the decisions are deemed legally irrelevant.
Such
consequences, which run counter to the overall order of the law of
criminal procedure, may be drawn from the defectiveness of a court
decision only, if at all, where it would be unthinkable for the legal
community to recognise (at least provisionally) its validity. This
will occur if the extent and gravity of the defect are such that the
decision blatantly contradicts the spirit of the Code of Criminal
Procedure and key principles of our legal order (see ...). From the
perspective of legal certainty, the assumption that a decision is
null and void presupposes, in addition, that the serious defect is
obvious” (see Federal Court of Justice, no. 1 BJs 80/78,
decision of 16 October 1980, Neue Juristische Wochenschrift (NJW)
1981, p. 133 with further references; compare also Federal Court of
Justice, no. 1 StR 874/83, decision of
24 January 1984, NStZ
1984, p. 279)
(b) Consequences of a court of appeal's
finding of a defect in the detention order
- As
regards the consequences of a finding by a court of appeal, on a
further appeal by the detainee, that a detention order is flawed,
Article 309 § 2 of the Code of Criminal Procedure lays down
that if the appeal court considers the appeal against the (continued)
detention well-founded, it must take the necessary decision in the
case at the same time. The court of appeal thus decides the merits of
the case in the lower courts' stead (see, for instance, Düsseldorf
Court of Appeal, no. 4 Ws 222/02, decision of
18 June 2002, NJW
2002, p. 2964).
- However,
the courts of appeal have developed exceptions to the rule laid down
in Article 309 § 2 of the Code of Criminal Procedure. In certain
limited circumstances, a case may exceptionally be remitted to the
court of first instance if there has been a procedural defect which
the court of appeal cannot properly remedy itself (see Brandenburg
Court of Appeal,
no. 2 Ws 50/96, decision of 17 April 1996, NStZ
1996, pp. 406-07; and Düsseldorf Court of Appeal, no. 4 Ws
222/02, decision of 18 June 2002, NJW 2002, pp. 2964-65). In
particular, a court of appeal may remit the case to the district
court instead of taking its own decision on the merits if a detention
order does not comply with the duty to set out the grounds for
suspecting the accused of an offence and if, in addition, the
prosecution refused access to the case file. The explanation for this
is that, in such cases, the defective reasoning effectively amounts
to a breach of the duty to hear representations from the defendant.
It was the district court which had jurisdiction to inform the
accused for the first time of the grounds for suspecting him of an
offence and to hear representations from him
(see Berlin Court of
Appeal, no. 5 Ws 344/93, decision of 5 October 1993, StV 1994,
pp. 318-19). The duty to expedite proceedings in which the suspect is
in detention does not warrant a different conclusion as only a
remittal of the case will enable him to avail himself effectively of
his right to be heard (see Berlin Court of Appeal, no. 5 Ws
344/93, decision of
5 October 1993, StV 1994, p. 319).
3. Access to the case-file
- Article
147 § 1 of the Code of Criminal Procedure provides that defence
counsel is entitled to consult the file which has been or will be
presented to the trial court, and to inspect the exhibits. Paragraph
2 of this provision allows access to part or all of the file or to
the exhibits to be refused until the preliminary investigation has
ended if the investigation might otherwise be at risk. At no stage of
the proceedings may defence counsel be refused access to records
concerning the examination of the accused, acts in the judicial
investigation at which defence counsel was or should have been
allowed to be present or expert reports (Article 147 § 3 of the
said Code). Pending the termination of the preliminary investigation,
it is for the Public Prosecutor's Office to decide whether to grant
access to the file or not; thereafter it is for the president of the
trial court (Article 147
§ 5). An accused who is in
detention is entitled by virtue of Article 161a § 3 of the Code
of Criminal Procedure to seek judicial review of a decision of the
Public Prosecutor's Office to refuse access to the file. Pursuant to
that provision, the regional court for the district where the Public
Prosecutor's Office is located has jurisdiction to hear applications
for judicial review; its decisions are not subject to appeal.
B. Provisions of the Basic Law
- According
to Article 103 § 1 of the Basic Law every person involved in
proceedings before a court is entitled to be heard by that court
(Anspruch auf rechtliches Gehör).
- Article
104 § 3 of the Basic Law provides that every person
provisionally detained on suspicion of having committed a criminal
offence must be brought before a judge no later than the day
following his arrest; the judge must inform him of the reasons for
the arrest, hear representations from him and give him an opportunity
to raise objections. The judge must then, without delay, either issue
a written detention order setting out the grounds therefor or order
the detainee's release.
THE LAW
I. THE GOVERNMENT'S PRELIMINARY OBJECTION RELATING TO ALL
COMPLAINTS
A. The parties' submissions
- The
Government claimed that the applicant had failed to exhaust domestic
remedies in respect of all his complaints to the Court.
They
submitted that, prior to lodging his application with the Court, he
should have brought an action in the civil courts against the Land
of North Rhine-Westphalia based on Article 5 § 5 of the
Convention for compensation for the damage caused by the alleged
breaches of Article 5 §§ 1 and 4. They conceded that
in their non-exhaustion plea before the Chamber they had not claimed
that the applicant should have availed himself of that remedy, but
argued that they were not estopped from raising such a plea on
different grounds before the Grand Chamber. In their view, the
applicant should have made such a compensation claim, which was a
long-established and effective remedy, in addition to his request for
judicial review of his detention. As he had been released and his
counsel had been granted access to the case file when the proceedings
were still pending in the domestic courts, the aim of his application
to the Court could only be to obtain a finding of a Convention breach
and the payment of adequate compensation and should therefore have
been pursued in the first instance by a compensation claim in the
domestic courts.
- The
applicant took the view that since the Government had not objected at
the admissibility stage of the proceedings before the Chamber that he
should have brought a compensation claim in the domestic courts, they
could not do so for the first time before the Grand Chamber.
B. The Court's assessment
- The Court reiterates that the Grand Chamber is not
precluded from examining, where appropriate, issues relating to the
admissibility of an application under Article 35 § 4 of the
Convention, as that provision enables the Court to dismiss
applications it considers inadmissible “at any stage of the
proceedings” (see Odièvre v. France [GC], no.
42326/98, § 22, ECHR 2003-III; Azinas v. Cyprus
[GC], no. 56679/00, § 32,
ECHR 2004-III; and Yumak and
Sadak v. Turkey [GC], no. 10226/03, § 72, 8 July 2008).
According to Rule 55 of the Rules of Court, any plea of
inadmissibility must, however, in so far as its character and the
circumstances permit, have been raised by the respondent Contracting
Party in its observations on the admissibility of the application
submitted as provided in Rule 54 (compare N.C. v. Italy [GC],
no. 24952/94, § 44, ECHR 2002-X; Azinas, cited above, §§
32 and 37; and Sejdovic v. Italy [GC],
no. 56581/00, §
41, ECHR 2006-II). Only exceptional circumstances, in particular
the fact that the reason prompting an objection to admissibility
became known only at a later stage, could dispense a Government from
the obligation to raise their objection in their said observations
before the adoption of the Chamber's admissibility decision (see N.C.
v. Italy, cited above, § 44; Sejdovic, cited above, §
41; and Lebedev v. Russia,
no. 4493/04, §§
39-40, 25 October 2007).
- The
Court notes that in their written observations on the admissibility
of the application before the Chamber, the Government did not argue
that the applicant should have brought a compensation claim in the
civil courts prior to lodging his application with the Court, but
based their plea of non-exhaustion on several different grounds. This
is indeed uncontested by the Government. However, the respondent
Government's duty under Rule 55 to raise pleas of inadmissibility in
their observations before the adoption of the Chamber's admissibility
decision relates to a specific plea of, for instance, non-exhaustion,
including the reasons given for the plea. It does not, therefore,
suffice for the Government to have pleaded non-exhaustion on
different grounds within the prescribed
time-limit (compare, in
particular, Sejdovic, cited above, §§ 40-42).
Moreover, as a compensation claim based on Article 5 § 5, in the
Government's submission, was a long-established remedy, the Court
cannot discern any exceptional circumstances which could have
released the Government from the obligation to raise their
preliminary objection of
non-exhaustion with reference to that
remedy in their observations on admissibility before the Chamber.
- Consequently,
the Government are estopped from raising a preliminary objection of
non-exhaustion of domestic remedies for failure to bring a
compensation claim at this stage of the proceedings. Their objection
must therefore be dismissed.
II. COMPLAINTS CONCERNING THE REMITTAL PROCEDURE
- The
applicant complained that, in the proceedings for the review of his
pre-trial detention, the Court of Appeal had failed to quash the
District Court's initial detention order of 25 July 2002 and to
release him from prison even though it had found the detention order
defective. In his submission, by remitting the case to the District
Court the Court of Appeal had unlawfully deprived him of his liberty
and unnecessarily delayed his application for judicial review of his
detention order, which thus had not been heard within a reasonable
time. He relied on Articles 5 and 6 of the Convention.
- The
Chamber considered that the applicant's complaints fell to be
examined under Article 5 §§ 1 (c) and 4 of the Convention
alone.
The parties did not challenge that conclusion and the
Grand Chamber, for its part, sees no reason to adopt a different
stance. Article 5 §§ 1 (c) and 4 provide:
“1. Everyone has the right to liberty
and security of person. No one shall be deprived of his liberty save
in the following cases and in accordance with a procedure prescribed
by law:
...
(c) the lawful arrest or detention of a
person effected for the purpose of bringing him before the competent
legal authority on reasonable suspicion of having committed an
offence or when it is reasonably considered necessary to prevent his
committing an offence or fleeing after having done so;
...
4. Everyone who is deprived of his liberty by
arrest or detention shall be entitled to take proceedings by which
the lawfulness of his detention shall be decided speedily by a court
and his release ordered if the detention is not lawful.”
A. Complaint concerning the lawfulness of the detention
1. Ground for detention
- The
Chamber found that the applicant's pre-trial detention fell under
paragraph 1 (c) of Article 5 of the Convention, as it had been
ordered for the purpose of bringing the applicant before the
competent legal authority on reasonable suspicion that he was guilty
of tax evasion. The parties accepted that finding and the Grand
Chamber equally shares this view.
2. “Lawful” detention “in accordance
with a procedure prescribed by law”
(a) The Chamber judgment
- The Chamber considered that the applicant's detention
had not violated Article 5 § 1, as it had been “lawful”
and “in accordance with a procedure prescribed by law”.
It noted that the Court of Appeal had found in its decision of 14
October 2002 that although the detention order of
25 July 2002
had failed to comply with the formal requirements of
Article 114
§ 2 of the Code of Criminal Procedure, it had complied with the
substantive requirements of the provisions on pre-trial detention.
Accordingly, referring to the established case-law of the criminal
courts on that point, the Court of Appeal considered that the order
was defective on formal grounds only and therefore not void. Under
domestic law, it thus remained a valid basis for the applicant's
detention until it was replaced.
In view of this, the Chamber
concluded that the applicant's detention from
25 July 2002 to 29
October 2002, when a fresh detention order was issued in compliance
with the formal requirements of Article 114 § 2 of the Code of
Criminal Procedure, remained lawful under domestic law and was in
accordance with a procedure prescribed by law, as it continued to be
based on the initial detention order of 25 July 2002.
- The
Chamber further found that the applicant's detention had not been
arbitrary. While accepting that the Court of Appeal's decision to
remit the case to the court of first instance contrary to the wording
of Article 309 § 2 of the Code of Criminal Procedure had led to
uncertainty, it noted that practical arrangements had to be made
before a detention order complying with the formal requirements of
domestic law could be issued so that the lapse of time between the
Court of Appeal's remittal decision of
14 October 2002
and the issuing of the new detention order on
29 October 2002
could not be considered to have rendered the applicant's detention
arbitrary.
(b) The parties' submissions
(i) The applicant
- In
the applicant's submission, his detention had violated Article 5 § 1,
at least from 14 October 2002 onwards when the Court of Appeal had
remitted the case to the court of first instance, despite being aware
that the detention order did not comply with domestic law as
insufficient reasons had been given and defence counsel had been
denied access to the case file. The applicant argued that the
distinction made by the domestic courts between “defective”
and “void” detention orders had no basis in the
provisions of the Code of Criminal Procedure. In any event, detention
orders that were “defective” for lack of compliance with
formal requirements could not be regarded as being in accordance with
a procedure prescribed by law, within the meaning of Article 5 §
1, any more than void detention orders could be. Furthermore, since
the formal requirements of Article 114 of the Code of Criminal
Procedure, which were protected by Article 104 of the Basic Law,
could not be dissociated from the substantive right to liberty, their
breach, which could not be cured retrospectively, had also rendered
his detention unlawful.
- Moreover,
in the applicant's view, the Court of Appeal's decision to remit his
case to the court of first instance was arbitrary. In particular, in
view of its familiarity with the case file and of the time the
proceedings had already lasted, the Court of Appeal's refusal to take
the necessary decision on the merits itself in accordance with its
obligation under Article 309 § 2 of the Code of Criminal
Procedure and its decision to allow the applicant's detention to
continue were wholly unreasonable.
- The
applicant also claimed that his detention had been unlawful, contrary
to Article 5 § 1, on other grounds. As the Chamber had rightly
found in its judgment, the Court of Appeal had failed to comply with
the fairness and speed requirements of Article 5 § 4. As the
latter provision was directly applicable in Germany, his detention
had not complied with domestic law as required by Article 5 § 1.
In any event, the combination of the breaches of domestic law taken
together had led to a violation of Article 5 § 1.
(ii) The Government
- The
Government agreed with the Chamber's finding that the applicant's
detention had been “lawful” and “in accordance with
a procedure prescribed by law” within the meaning of Article 5
§ 1.
- In
their submission, the applicant's detention had complied with Article
5 § 1 in the period from 25 July 2002 to 13 October 2002. In its
decision of 14 October 2002, the Court of Appeal had found that the
detention order issued by the District Court was defective, but not
void as, although it failed to comply with the formal requirements of
Article 114 § 2 of the Code of Criminal Procedure, the
substantive conditions for detention were met. That finding was
consistent with the well-established case-law of the criminal courts
(compare the cases cited at paragraphs 48-49 above) that, for reasons
of legal certainty, incorrect court decisions could only be
considered void ab initio in exceptional circumstances in
which the recognition of their at least provisional validity pending
the issue of a replacement order would manifestly fly in the face of
fundamental principles of the constitutional order. In all other
cases, defective court decisions, such as the detention order in the
applicant's case, were considered valid until replaced in the course
of proceedings for judicial review. Thus, notably formal defects in
court decisions, such as the insufficient statement of reasons in the
detention order in the instant case, could be cured in judicial
review proceedings, which served precisely to correct mistakes.
- The
Government further argued that the applicant's detention from 14
October 2002 until 29 October 2002 also complied with Article 5 §
1. When remitting the case to the District Court, the Court of Appeal
had expressly relied on an exception established by the criminal
courts (compare the cases cited at paragraph 51 above) to the rule
laid down in Article 309 § 2 of the Code of Criminal
Procedure that it should take a decision on the merits of the
lawfulness of the applicant's detention itself. Its finding that
there had been a procedural defect that warranted the remittal of the
case had not been arbitrary. Remittal to allow a lower court to
correct a mistake found by a higher court was a recognised technique
of legal protection applied by domestic courts, which were free to
organise their review procedure in that way.
- Moreover,
as the Chamber had rightly found, the time taken by the remittal did
not, in view of the practical arrangements that had had to be made,
render the applicant's detention arbitrary. The remittal to the
District Court, which was familiar with the case, had not necessarily
delayed the proceedings as the Court of Appeal would have had to
acquaint itself with the case before taking a decision on the merits.
(c) The Court's assessment
(i) Recapitulation of the relevant
principles
- Where
the “lawfulness” of detention is in issue, including the
question whether “a procedure prescribed by law” has been
followed, the Convention refers essentially to national law and lays
down the obligation to conform to the substantive and procedural
rules thereof. Compliance with national law is not, however,
sufficient: Article 5 § 1 requires in addition that any
deprivation of liberty should be in keeping with the purpose of
protecting the individual from arbitrariness (see, inter alia,
Erkalo v.
the Netherlands, 2 September 1998, § 52,
Reports of Judgments and Decisions 1998 VI; Steel and
Others v. the United Kingdom,
23 September 1998, § 54,
Reports 1998 VII; and Saadi v. the United Kingdom
[GC], no. 13229/03, § 67, ECHR 2008 ...). The Court must
further ascertain in this connection whether domestic law itself is
in conformity with the Convention, including the general principles
expressed or implied therein, notably the principle of legal
certainty (compare Baranowski v. Poland, no. 28358/95, §§
51-52, ECHR 2000 III; Ječius v. Lithuania,
no.
34578/97, § 56, ECHR 2000 IX; and Nasrulloyev v. Russia,
no. 656/06, § 71, 11 October 2007).
(α) Principles governing the
examination of compliance with domestic law
- Although it is in the first
place for the national authorities, notably the courts, to interpret
and apply domestic law, under Article 5 § 1 failure to comply
with domestic law entails a breach of the Convention and the Court
can and should therefore review whether this law has been complied
with (see, inter alia,
Benham v. the United Kingdom, 10 June 1996, § 41,
Reports 1996 III; Baranowski, cited above, §
50; Ječius, cited above, § 68; and Ladent v.
Poland, no. 11036/03, § 47, ECHR 2008 ... (extracts)).
- However, the Court has clarified, particularly in its
more recent case-law, that not every fault discovered in a detention
order renders the underlying detention as such unlawful for the
purposes of Article 5 § 1.
A period of detention is, in
principle, “lawful” if it is based on a court order. A
subsequent finding of a superior domestic court that a lower court
erred under domestic law in making the order will not necessarily
retrospectively affect the validity of the intervening period of
detention (see, inter alia, Benham, cited above, §
42; Douiyeb v. the Netherlands [GC], no. 31464/96, § 45,
4 August 1999; Minjat v. Switzerland, no. 38223/97, § 41,
28 October 2003; and Khudoyorov v. Russia, no. 6847/02, §
128, ECHR 2005 X (extracts)).
- In
its more recent case-law, the Court, referring to a comparable
distinction made under English law (compare Benham, cited
above,
§§ 43-46; and Lloyd and Others v. the United
Kingdom, nos. 29798/96 and others, §§ 102, 105 et seq.,
1 March 2005), further specified the circumstances under which the
detention remained lawful in the said underlying period for the
purposes of Article 5 § 1: For the assessment of compliance with
Article 5 § 1 of the Convention a basic distinction has to be
made between ex facie invalid detention orders – for example,
given by a court in excess of jurisdiction (see Marturana v.
Italy, no. 63154/00, § 78,
4 March 2008) or where the
interested party did not have proper notice of the hearing (see
Khudoyorov, cited above, § 129; and Liu v. Russia,
no. 42086/05, § 79, 6 December 2007) – and detention
orders which are prima facie valid and effective unless and until
they have been overturned by a higher court (ibid.). A detention
order must be considered as ex facie invalid if the flaw in the order
amounted to a “gross and obvious irregularity” in the
exceptional sense indicated by the Court's case-law (compare Liu,
cited above, § 81; Garabayev v. Russia, no. 38411/02, §
89,
7 June 2007, ECHR 2007 ... (extracts); and Marturana,
cited above, § 79). Accordingly, unless they constitute a gross
and obvious irregularity, defects in a detention order may be
remedied by the domestic appeal courts in the course of judicial
review proceedings.
(β) The required quality of domestic law
- The Court must moreover ascertain whether domestic law
itself is in conformity with the Convention, including the general
principles expressed or implied therein. On this last point, the
Court stresses that, where deprivation of liberty is concerned, it is
particularly important that the general principle of legal certainty
be satisfied (see Baranowski, cited above, §§ 51-52;
Ječius, cited above, § 56; and Khudoyorov,
cited above,
§ 125). In laying down that any deprivation of
liberty must be “lawful” and be effected “in
accordance with a procedure prescribed by law”, Article 5
§
1 does not merely refer back to domestic law; like the expressions
“in accordance with the law” and “prescribed by
law” in the second paragraphs of Articles 8 to 11, it also
relates to the “quality of the law”, requiring it to be
compatible with the rule of law, a concept inherent in all the
Articles of the Convention. “Quality of the law” in this
sense implies that where a national law authorises deprivation of
liberty it must be sufficiently accessible, precise and foreseeable
in its application, in order to avoid all risk of arbitrariness (see
Amuur v. France, 25 June 1996, § 50, Reports 1996 III;
and Nasrulloyev, cited above, § 71).
(γ) Principles governing the notion of
arbitrary detention
- No
detention which is arbitrary can be compatible with Article 5 §
1, the notion of “arbitrariness” in this context
extending beyond the lack of conformity with national law. As a
consequence, a deprivation of liberty which is lawful under domestic
law can still be arbitrary and thus contrary to the Convention. While
the Court has not previously formulated a global definition as to
what types of conduct on the part of the authorities might constitute
“arbitrariness” for the purposes of Article 5 § 1,
key principles have been developed on a case-by-case basis. It is
moreover clear from the case-law that the notion of arbitrariness in
the context of Article 5 varies to a certain extent depending on the
type of detention involved (see Saadi, cited above, §§
67-68).
- One
general principle established in the case-law is that detention will
be “arbitrary” where, despite complying with the letter
of national law, there has been an element of bad faith or deception
on the part of the authorities (compare Bozano v. France, 18
December 1986, § 59, Series A no. 111; and Saadi, cited
above, § 69) or where the domestic authorities neglected to
attempt to apply the relevant legislation correctly (see Benham,
cited above, § 47; Liu, cited above, § 82; and
Marturana, cited above, § 80).
- Furthermore,
in the context of sub-paragraph (c) of Article 5 § 1, the
reasoning of the decision ordering detention is a relevant factor in
determining whether a person's detention must be considered as
arbitrary. The Court has considered the absence of any grounds given
by the judicial authorities in their decisions authorising detention
for a prolonged period of time to be incompatible with the principle
of the protection from arbitrariness enshrined in Article 5 § 1
(see Stašaitis v. Lithuania,
no. 47679/99, §
67, 21 March 2002; Nakhmanovich v. Russia, no. 55669/00, §
70, 2 March 2006; and Belevitskiy v. Russia, no. 72967/01, §
91,
1 March 2007). Conversely, it has found that an applicant's
detention could not be said to have been arbitrary if the domestic
court gave certain grounds justifying the continued detention on
remand (compare Khudoyorov, cited above, § 131), unless
the reasons given are extremely laconic and without reference to any
legal provision which would have permitted the applicant's detention
(compare Khudoyorov, cited above, § 157).
- Moreover,
the Court has acknowledged notably in the context of sub-paragraphs
(c) and (e) of Article 5 § 1 that the speed with which the
domestic courts replaced a detention order which had either expired
or had been found to be defective is a further relevant element in
assessing whether a person's detention must be considered arbitrary.
Thus, the Court considered in the context of sub-paragraph (c) that a
period of less than a month between the expiry of the initial
detention order and the issuing of a fresh, reasoned detention order
following a remittal of the case from the appeal court to a lower
court did not render the applicant's detention arbitrary (see Minjat,
cited above, §§ 46 and 48). In contrast, a period of more
than a year following a remittal from a court of appeal to a court of
lower instance, in which the applicant remained in a state of
uncertainty as to the grounds for his detention on remand, combined
with the lack of a time-limit for the lower court to re-examine his
detention, was found to render the applicant's detention arbitrary
(see Khudoyorov, cited above,
§§ 136-37).
- In
the context of sub-paragraph (e) of Article 5 § 1, the Court
considered that an interval of two weeks between the expiry of the
earlier order of detention in a psychiatric hospital and the making
of the succeeding renewal order could in no way be regarded as
unreasonable or excessive so that this delay did not involve an
arbitrary deprivation of liberty
(see Winterwerp v. the
Netherlands, 24 October 1979, § 49, Series A
no. 33). In
contrast, a delay of eighty-two days between the expiry of the
initial order of detention in a psychiatric institution and its
renewal and the lack of adequate safeguards to ensure that the
applicant's detention would not be unreasonably delayed was found to
be inconsistent with the purpose of Article 5 § 1 to
protect individuals from arbitrary detention (see Erkalo,
cited above, §§ 57-60 in respect of both
sub-paragraphs (a) and (e) of Article 5 § 1).
(ii) Application of these principles to
the present case
- In
examining whether the applicant's detention was “lawful”
within the meaning of Article 5 § 1, including the issue whether
“a procedure prescribed by law” was followed, the Court
will first review whether the applicant's detention complied with
German law.
- It
notes in this connection that on 14 October 2002 the Düsseldorf
Court of Appeal found that the detention order issued by the District
Court on 25 July 2002 failed to comply with the formal requirements
of domestic law laid down in Article 114 § 2 no. 4 of the Code
of Criminal Procedure, as it did not describe in sufficient detail
the facts and evidence establishing the grounds for the strong
suspicion that the applicant was guilty of tax evasion or for the
arrest (see paragraphs 28-29 above). The detention order thus
suffered from a formal defect.
- However,
as it is recognised in the Court's case-law
(see paragraphs 74
and 75 above) that defects in a detention order do not necessarily
render the underlying detention as such “unlawful” for
the purposes of Article 5 § 1, the Court has to examine whether
the flaw in the order against the applicant amounted to a “gross
and obvious irregularity” so as to render the underlying period
of his detention unlawful.
- In
the present case, it has to be noted at the outset that the
applicant's detention in the period in question (25 July 2002 until
29 October 2002) was based on the detention order issued on 25 July
2002 by the Mönchengladbach District Court. That order remained
in force even after it was found to be flawed on formal grounds on 14
October 2002 as, in the judicial review proceedings, the Court of
Appeal only quashed the decisions taken on 16 August 2002 and on 9
September 2002, not the detention order of 25 July 2002 (see
paragraph 28 above). On 29 October 2002 the order of 25 July 2002 was
replaced by a fresh detention order which contained more detailed
reasoning; the applicant has not contested the compliance of that new
order with Article 114 § 2 of the Code of Criminal Procedure.
- In
determining whether the detention order of 25 July 2002 suffered from
a “gross and obvious irregularity” so as to be ex
facie invalid, which would in turn render the applicant's
detention based on that order unlawful for the purposes of Article 5
§ 1, the Court will have regard to all the circumstances of the
case, including, in particular, the assessment made by the domestic
courts. It observes that according to the findings of the German
courts, the order in question did not suffer from a serious and
obvious defect which rendered it null and void. In fact, the German
legal system, like the Convention system, distinguishes between
detention orders which are null and void and those which remain valid
until overturned by a higher court (see paragraphs 48-49 above). This
distinction can equally be found in the legal systems of other
Convention States (compare, for instance, the principles of English
law laid down in Benham, cited above, §§ 24-26 and
43-46, the Netherlands' legal system as described in Erkalo,
cited above, §§ 31-33 and 53-55, and the Swiss legal
system explained in Minjat, cited above, §§ 21 and
42-44). In the present case, the Court of Appeal considered that the
substantive conditions of the applicant's detention were met and that
while the formal defects in the detention order of 25 July 2002 –
namely the failure to describe in sufficient detail the facts and
evidence on which the suspicion and the reasons for the defendant's
detention on remand were based as required by Article 114 § 2
no. 4 of the Code of Criminal Procedure – made the order
defective in law, they were not so serious as to render it null and
void.
- The
Court further notes that the District Court had jurisdiction to issue
the detention order of 25 July 2002 against the applicant and heard
representations from the applicant at a hearing before issuing the
order and notifying him that it had done so. Furthermore, on the
basis of the material before them, all the domestic courts agreed
throughout the judicial review proceedings that the substantive
conditions for the applicant's detention – a strong suspicion
that he had evaded turnover, income and trade taxes and the danger of
collusion or of his absconding – were met.
- It
is true that throughout his detention on the basis of the detention
order of 25 July 2002 the applicant's counsel did not have access to
the case file and that the Chamber found a violation of Article 5 §
4 of the Convention on that account. However, contrary to the
applicant's submission, neither that nor any other breach of Article
5 § 4 – even though that provision is part of domestic law
– automatically entails a breach of Article 5 § 1.
Paragraphs 1 and 4 of Article 5 are separate provisions and the
non-observance of the latter thus does not necessarily entail also
the
non-observance of the former (compare, for instance,
Winterwerp, cited above, § 53, and Douiyeb, cited
above, § 57). Even assuming that a refusal to grant counsel
access to the case file in proceedings for the review of his or her
client's detention could, when combined with other procedural flaws,
lead to a detention order suffering from a “gross and obvious
irregularity” within the meaning of the Court's case-law, the
Court considers that this was not the position in the applicant's
case. Even though the detention order of 25 July 2002 should have
been based on more detailed facts according to the provisions of
domestic law, the District Court still specified the charges against
the applicant. In doing so, it listed the names of the firms that had
paid the commission which the applicant had allegedly failed to
declare to the tax authorities. It was moreover, clear that the
suspicions against the applicant were based on the business records
which had been seized at the applicant's home. Therefore, despite the
fact that his counsel was not granted access to the case file, the
applicant cannot in the circumstances complain that he was not
informed at all or was unaware of the basis of the suspicions against
him.
- Having
regard to all the circumstances of the case, the Court therefore
considers that the detention order of 25 July 2002 did not suffer
from a “gross and obvious irregularity” within the
meaning of its case-law so as to be ex facie invalid (compare
for a like finding on comparable facts, in particular, Minjat,
cited above, §§ 37-44).
- The
Court will now examine whether the applicable domestic law was of the
quality required to satisfy the general principle of legal certainty.
The applicant contested this, in substance, on two grounds. Firstly,
he argued that the distinction made by the domestic courts between
“defective” and “void” detention orders had
no basis in the provisions of the Code of Criminal Procedure.
Secondly, he stressed that the Court of Appeal's refusal to take the
necessary decision on the merits itself contradicted the clear
wording of Article 309 § 2 of the Code of Criminal Procedure.
- As
regards the question whether the applicant could have foreseen that
the domestic courts would consider the detention order as merely
“defective” so that it would remain a valid basis for his
detention until it was quashed or replaced, the Court notes that the
distinction made under German law between “defective” and
“void” detention orders is
well-established in the
domestic courts' case-law. In particular, detention orders which do
not set out in sufficient detail the facts establishing the grounds
for strong suspicion that an offence has been committed and for the
arrest have repeatedly been considered by the domestic courts to be
“defective”, but not “void” (see paragraphs
48-49 above). Therefore, the applicant, if necessary with the advice
of his counsel, could have foreseen the Court of Appeal's finding on
this point.
- As
regards the Court of Appeal's decision after finding the order to be
defective to remit the case to the court of first instance, the Court
agrees that this procedure ran counter to the wording of Article 309
§ 2 of the Code of Criminal Procedure, which prescribes that the
appeal courts shall take the necessary decision on the merits
themselves (see paragraph 50 above). However, in their case-law, the
courts of appeal introduced exceptions to that rule in certain
limited circumstances. In particular, in cases – like the
present one – in which they considered that the facts on which
the suspicion of an offence was based should have been set out in
more detail in the detention order and in which the prosecution had
refused access to the case file, they decided that exceptionally it
would be legitimate and would best serve the interests of justice to
remit the case to the district court instead of taking their own
decision on the merits (see paragraph 51 above).
- The
Court considers that, in general, the principle of legal certainty
may be compromised if domestic courts introduce exceptions in their
case-law which run counter to the wording of the applicable
statutory provisions. Such interpretations should thus be kept to a
minimum. However, in the present case, the Court of Appeal, in
remitting the case to the District Court, expressly referred to
previous decisions of other courts of appeal which concerned cases
comparable to the applicant's (compare paragraphs 30 and 51 above).
In these circumstances, the Court is satisfied that the remittal of
his case to the court of first instance and his continuous detention
at least up to that court's decision was sufficiently foreseeable for
the applicant. The applicable provisions of domestic law, as
interpreted by the domestic courts, thus complied with the
requirement of legal certainty.
- The
Court has to satisfy itself, lastly, that the applicant's detention,
despite its compliance with domestic law, was not arbitrary and thus
contrary to the Convention. It notes in this connection that the
domestic courts applied the relevant legislative provisions in
accordance with the established case-law. Moreover, even though the
detention order of
25 July 2002 should, according to the
provisions of domestic law, have been based on more detailed facts,
it set out, by reference to the applicable provisions, the offence of
which the applicant was strongly suspected, including the time and
place of its commission, and the grounds for the arrest. It was
further clear that the suspicions against the applicant were based on
documents that had been seized at the applicant's home so that the
applicant was not wholly unaware of the evidence relied upon by the
courts (see paragraph 88 above). The District Court thus gave some
grounds going beyond a bare outline for the applicant's detention
from the outset.
- The
Court has further acknowledged in previous cases that the speed with
which the domestic courts replace a detention order which has either
expired or been found to be defective is a further relevant factor in
assessing whether a person's detention must be considered arbitrary
(see paragraphs 80-81 above). It observes that in the present
case, following the Court of Appeal's decision of 14 October 2002 to
remit the case to the District Court, the applicant remained in
custody on the basis of the initial detention order of 25 July 2002 –
despite the fact that it had been considered defective by the Court
of Appeal – until 29 October 2002, when the District Court
issued a fresh detention order which was based on more detailed
facts. Thus, for a period of fifteen days the applicant was detained
while being only partly, but not fully, aware of the facts on which
the strong suspicion of his involvement in tax evasion and his arrest
were based, although the Court of Appeal had made it clear that it
considered his detention to be justified in substance.
- Despite
the reservations it has expressed above (see paragraph 93), the Court
considers that remitting a case to a lower court is a recognised
technique for establishing in detail the facts and for assessing the
evidence relevant to a court's decision and cannot as such be
considered arbitrary (compare also Minjat, cited above, §§
47-48). In circumstances such as those obtaining in the present case,
the benefits of remitting the case to a lower court may outweigh the
inconvenience caused by the delay and may even serve to avoid
unnecessary delays. Thus, firstly, remittal can enable the defects of
the initial decision to be remedied while taking advantage of the
lower court's full command of the case-file along with its more
precise knowledge of the suspect's personal situation and of the
state of the investigations against him. Moreover, in the case at
hand the Court of Appeal did not confine itself to overturning the
District Court's decision but instructed it how to avoid defective
decisions in the future. This served the purpose of improving the
administration of justice in the long run. Secondly, it was necessary
to schedule a hearing attended by the applicant (represented by
counsel), the Public Prosecutor's Office and a tax official in order
to enable the applicant to be informed at least orally of the
evidence against him and to make representations, and this required
practical arrangements to be made. In these circumstances, the
decision to remit the case may have actually avoided delays because,
from the procedural perspective, it may well have proved quicker for
the case to be remitted and for the District Court to decide whether
a new detention order should be issued than for the Court of Appeal
to decide that issue. Finally, under the domestic law, the District
Court's fresh decision was subject to time constraints in that it had
to be taken speedily (see paragraph 47 above) and it was that court
which, following the remittal, had to arrange for a renewed hearing
of the parties. Having regard to its case-law (see, in particular,
that cited in paragraph 80 above, and, mutatis mutandis, in
paragraph 81), the Court finds that in these circumstances, the time
that elapsed between the Court of Appeal's finding that the detention
order was defective and the issuing of a fresh detention order by the
District Court did not render the applicant's detention arbitrary
either.
- Having
regard to the foregoing, the Court concludes that the applicant's
detention was “lawful” and “in accordance with a
procedure prescribed by law” for the purposes of paragraph 1 of
Article 5.
- There
has therefore been no violation of Article 5 § 1 of the
Convention.
B. Alleged lack of a speedy judicial review
1. Scope of the Grand Chamber's jurisdiction
- In
his request for the referral of his case to the Grand Chamber, the
applicant did not contest the Chamber's finding of a violation of
Article 5 § 4 for lack of a speedy review of the lawfulness
of his detention. In his submission, that finding was therefore final
and the Grand Chamber did not have jurisdiction to reopen that
complaint.
- The
Government contested that view.
- According
to the Court's settled case-law, the wording of
Article 43 of the
Convention makes it clear that, whilst the existence of
“a
serious question affecting the interpretation or application of the
Convention or the protocols thereto, or a serious issue of general
importance” (paragraph 2) is a prerequisite for acceptance of a
party's referral request, the consequence of acceptance is that the
whole “case” is referred to the Grand Chamber to be
decided afresh by means of a new judgment (paragraph 3). That being
so, the “case” referred to the Grand Chamber necessarily
embraces all aspects of the application as declared admissible and as
previously examined by the Chamber in its judgment, there being no
basis for a merely partial referral of the case (compare, inter
alia, K. and T. v. Finland [GC], no. 25702/94, §§ 140-41,
ECHR 2001 VII; Göç v. Turkey [GC], no.
36590/97, § 36, ECHR 2002 V; and Cumpǎnǎ and
Mazǎre v. Romania [GC], no. 33348/96, § 66, ECHR
2004 XI).
- As
the applicant's complaint under Article 5 § 4 concerning the
lack of a speedy review of the lawfulness of his detention has been
declared admissible by the Chamber (see paragraph 56 of the Chamber
judgment), the Grand Chamber has jurisdiction and is called upon to
examine it.
2. The Chamber judgment
- In
its judgment of 13 December 2007 the Chamber found that the Court of
Appeal's decision of 14 October 2002 to remit the case to the
District Court instead of taking its own decision on the merits had
caused an unjustified delay in the judicial review proceedings in the
circumstances of the case. The Chamber observed that there had been
no substantial periods of inactivity in the review proceedings.
However, at the time the Court of Appeal took its decision, these
proceedings had already been pending for two months and seven days
before the domestic courts, including the period of twenty-eight days
the proceedings had stood pending before the Court of Appeal itself.
Moreover, as the Court of Appeal had quashed all the decisions taken
in the judicial review proceedings up to that point, two months and
twenty-two days had elapsed between the applicant's request for
judicial review of his detention order filed on 7 August 2002 and the
District Court's decision on the merits of his request following the
remittal on 29 October 2002. The Chamber therefore concluded that
there had been a violation of Article 5 § 4 (see paragraphs
70-74 of the Chamber judgment).
3. The parties' submissions to the Grand Chamber
- Should
the Grand Chamber examine this complaint (paragraph 99 above), the
applicant invited it to endorse the Chamber's finding that Article 5
§ 4 had been violated.
- Contrary
to the submissions they had made to the Chamber, the Government
conceded with reference to the Chamber's findings in its judgment
(paragraphs 69 et seq.) that the duration of the judicial review
proceedings had failed to comply with the speed requirement under
Article 5 § 4 as defined in the Court's case-law.
4. The Court's assessment
- The
Court reiterates that Article 5 § 4, in guaranteeing to detained
persons a right to institute proceedings to challenge the lawfulness
of their deprivation of liberty, also proclaims their right,
following the institution of such proceedings, to a speedy judicial
decision concerning the lawfulness of detention and ordering its
termination if it proves unlawful (see Baranowski, cited
above, § 68; Jablonski v. Poland, no. 33492/96, §
91,
21 December 2000; and Sarban v. Moldova, no. 3456/05,
§ 118,
4 October 2005). In order to determine whether the
requirement that a decision be given “speedily” has been
complied with, it is necessary to effect an overall assessment where
the proceedings were conducted at more than one level of jurisdiction
(compare Navarra v. France,
23 November 1993, § 28,
Series A no. 273 B). The question whether the right to a speedy
decision has been respected must – as is the case for the
“reasonable time” stipulation in Articles 5 § 3 and
6 § 1 of the Convention – be determined in the light of
the circumstances of each case (see Rehbock v. Slovenia, no.
29462/95, § 84, ECHR 2000-XII; G.B. v. Switzerland,
no.
27426/95, § 33, 30 November 2000; and M.B. v. Switzerland,
no. 28256/95, § 37, 30 November 2000), including the
complexity of the proceedings, their conduct by the domestic
authorities and by the applicant and what was at stake for the latter
(compare G.B. v. Switzerland, cited above, §§ 34-39,
and M.B. v. Switzerland, cited above, §§ 38-43).
- Having regard to the strict standards the Court has
laid down in its case-law concerning the question of State compliance
with the speed requirement (see, in particular, the G.B. v.
Switzerland, M.B. v. Switzerland, Rehbock and
Sarban cases, all cited above), the Grand Chamber considers,
for the reasons set out by the Chamber, that the German courts, and
in particular the Court of Appeal, failed to decide the lawfulness of
the applicant's detention on remand “speedily”. There has
therefore been a violation of Article 5 § 4 of the Convention in
this respect.
III. ALLEGED REFUSAL OF ACCESS TO THE CASE FILE
- The
applicant further complained that in the proceedings for the review
of his detention pending trial his counsel was refused access to the
case file, which made it impossible for him to defend himself
effectively. He relied on Articles 5 and 6 of the Convention.
- The
Court considers that this complaint falls to be examined under
Article 5 of the Convention alone which, in so far as relevant,
provides:
“4. Everyone who is deprived of his
liberty by arrest or detention shall be entitled to take proceedings
by which the lawfulness of his detention shall be decided speedily by
a court and his release ordered if the detention is not lawful.”
A. Scope of the Grand Chamber's jurisdiction
- The
applicant stressed that in his request for referral of the case to
the Grand Chamber, he had not contested the Chamber's finding of a
violation of Article 5 § 4 due to the refusal to grant his
counsel access to the case file. He took the view that the Grand
Chamber therefore did not have jurisdiction to reconsider this
complaint.
- The
Government contested that view.
- The
Grand Chamber notes that the applicant's complaint under Article 5 §
4 on this point has been declared admissible by the Chamber
(see
paragraph 87 of the Chamber judgment). Having regard to the Court's
case-law (cited above at paragraph 101), it therefore has
jurisdiction to examine it.
B. The Government's preliminary objection
- The
Government objected that the applicant had failed to exhaust domestic
remedies in respect of this complaint under Article 5 § 4. He
had not lodged a separate request for judicial review of the
prosecution's decision not to grant his counsel access to the case
file under Article 147 § 5 of the Code of Criminal Procedure.
1. The Chamber judgment
- In
its judgment of 13 December 2007 the Chamber dismissed the
Government's objection. It considered that the applicant's complaint
about the failure to grant his counsel access to the case file was
only one aspect of his more comprehensive complaint about the
lawfulness of his detention order. Additional proceedings for
judicial review of the decision not to grant the applicant's counsel
access to the case file under Article 147 § 5 of the Code of
Criminal Procedure would not therefore have been capable of providing
redress in respect of the alleged unlawfulness of the detention
order, but only in respect of one aspect of the violation the
applicant had complained of. Moreover, the Regional Court, which
would have had jurisdiction to hear an application under Article 147
§ 5 of the Code of Criminal Procedure, had in fact dealt with
the applicant's complaint about the refusal of access to the file,
and the applicant had also raised this issue before the Federal
Constitutional Court in the course of the proceedings for judicial
review of the detention order, which he had pursued to a conclusion.
The Chamber concluded that in these circumstances, an additional
application for judicial review under Article 147 § 5 of the
Code of Criminal Procedure would not have been an effective remedy
offering reasonable prospects of success which the applicant was
required to exhaust (see paragraphs 83-84 of the Chamber judgment).
2. The parties' submissions
- The
Government, referring to their submissions to the Chamber on the
non-exhaustion of domestic remedies, argued that the applicant, who
had been represented by counsel, should have lodged a separate
application for judicial review with the Mönchengladbach
Regional Court of the Public Prosecutor's decision not to grant his
counsel access to the case file under Article 147 § 5 of the
Code of Criminal Procedure. The application should have been made
expressly and in addition to his request for judicial review of the
detention order, as a request under Article 147 § 5 was the only
remedy under German law in respect of a prosecution refusal to grant
the defence access to the case file. In the Government's view, when
examining the application for judicial review of the detention order,
the Mönchengladbach Regional Court had not considered that it
was called upon also to examine the question whether the refusal to
grant the defence access to the case file was lawful.
- Referring
to his submissions to the Chamber, the applicant argued that the
Chamber had been right to consider that a separate application for
judicial review under Article 147 § 5 of the Code of Criminal
Procedure was not an effective remedy he was required to exhaust.
3. The Court's assessment
- The
Court notes that the Government raised their plea of
non-exhaustion
on the grounds of the applicant's failure to lodge an application for
judicial review under Article 147 § 5 of the Code of Criminal
Procedure in their observations on the admissibility of the
application in the Chamber proceedings, in accordance with Rules 55
and 54 of the Rules of Court (see paragraph 78 of the Chamber
judgment). Having regard to the Court's case-law (cited above at
paragraph 57),
the Grand Chamber therefore should examine their
objection.
- The
Court reiterates that the rule of exhaustion of domestic remedies
referred to in Article 35 § 1 of the Convention obliges
applicants to use first the remedies that are available and
sufficient in the domestic legal system to afford redress for the
violation complained of (compare Airey v. Ireland, 9 October
1979, § 19, Series A no. 32; Iatridis v. Greece [GC], no.
31107/96, § 47, ECHR 1999-II; and İlhan v. Turkey
[GC], no. 22277/93, § 58, ECHR 2000-VII). It is incumbent
on the Government claiming non-exhaustion to convince the Court that
the remedy was an effective one available in theory and in practice
at the relevant time, that is to say, that it was accessible, was
capable of providing redress directly in respect of the applicant's
complaints and offered reasonable prospects of success. However, once
this burden of proof has been discharged, it falls to the applicant
to establish that the remedy advanced by the Government was in fact
exhausted or was for some reason inadequate and ineffective in the
particular circumstances of the case or that there existed special
circumstances absolving him or her from the requirement (see Akdivar
and Others v. Turkey, 16 September 1996, § 68, Reports
1996-IV, and Kleyn and Others v. the Netherlands [GC],
nos. 39343/98, 39651/98, 43147/98 and 46664/99, § 156, ECHR
2003-VI). Thus, an applicant cannot be criticised for not having made
use of a legal remedy which would have been directed to essentially
the same end as the proceedings the applicant pursued to a conclusion
and which moreover would not have had a better prospect of success
(compare Iatridis, cited above, § 47, and Miailhe v.
France (no. 1), 25 February 1993, § 27, Series A no. 256-C).
- The
Court notes that the applicant sought judicial review of the
lawfulness of his detention order, inter alia, on the grounds
that his counsel had not been granted access to the case file. In the
course of the judicial review proceedings, the Mönchengladbach
Regional Court – which, according to Article 161a § 3 of
the Code of Criminal Procedure, would have had sole jurisdiction to
decide any separate request under Article 147 § 5 of that
Code – expressly addressed counsel's request for access to the
file. In its decision of 9 September 2002, the Regional Court
suggested that counsel for the applicant should be informed orally of
the content of the case file in the first instance and could not
claim unlimited access at that stage of the proceedings (see
paragraph 20 above). The Federal Constitutional Court, which would
also have had jurisdiction to review a dismissal by the Regional
Court of any separate application expressly made by the applicant
under Article 147 § 5, declined to consider the applicant's
constitutional complaint about the detention order, in which he had
raised the issue of lack of access to the file. In view of this, the
Court considers that it can leave open the question whether a
separate request under Article 147 § 5 could in general be
considered an effective remedy capable of providing redress in cases
in which a detainee contests the lawfulness of his detention in the
first place. It finds that, in any event, in the particular
circumstances of the case, in which the Regional Court expressly
addressed and rejected the request for access to the case file in a
decision that was upheld by the Federal Constitutional Court, any
further, separate application under Article 147 § 5 to those
same courts would have been bound to fail.
- It
follows that the Government's preliminary objection must be
dismissed.
C. Compliance with Article 5 § 4 of the Convention
1. The Chamber judgment
- The
Chamber found that the applicant had not had an opportunity
adequately to challenge the findings of the domestic courts in their
decisions ordering his detention as required by the principle of
“equality of arms”.
His defence counsel had not been
given access to those parts of the case file, submitted by the
prosecution and referred to by the courts, on which the suspicion
against the applicant had essentially been based. It had not been
sufficient to provide the applicant's counsel with copies of four
pages of the voluminous case file containing an overview by the Tax
Fraud Office on the amount of the taxes the applicant was suspected
of having evaded. Likewise, the authorities' proposal to give the
applicant's counsel merely an oral account of the facts and of the
evidence in the case file had failed to comply with the requirements
of “equality of arms”. The fact that the Court of Appeal
had later acknowledged that the applicant's procedural rights had
been curtailed by the failure to grant his counsel access to the case
file and that the domestic authorities had allowed his counsel to
inspect the file after his conditional release were incapable of
remedying in an effective manner the procedural shortcomings that had
occurred in the earlier stages of the proceedings. Therefore, the
proceedings for review of the applicant's detention had failed to
comply with Article 5 § 4 (see paragraphs 93-99 of the Chamber
judgment).
2. The parties' submissions
- The
applicant invited the Grand Chamber to endorse the Chamber's finding
of a violation of Article 5 § 4.
- Before
the Grand Chamber, the Government conceded that the refusal to grant
the applicant's counsel access to the case file had not complied with
the fairness requirements under Article 5 § 4 as defined, in
particular, in the Court's judgments in the cases of Schöps
v. Germany
(no. 25116/94),
Lietzow v. Germany
(no. 24479/94) and Garcia Alva
v. Germany
(no. 23541/94).
3. The Court's assessment
- Proceedings
conducted under Article 5 § 4 of the Convention before the court
examining an appeal against detention must be adversarial and must
always ensure “equality of arms” between the parties, the
prosecutor and the detained person (compare, in
particular, Schöps v. Germany,
no. 25116/94, § 44, ECHR 2001-I; Lietzow
v. Germany,
no. 24479/94, §
44, ECHR 2001-I; Garcia Alva v.
Germany, no. 23541/94, § 39, 13
February 2001; and Svipsta v. Latvia,
no. 66820/01, § 129, ECHR 2006-...). Equality of
arms is not ensured if counsel is denied access to those documents in
the investigation file which are essential in order effectively to
challenge the lawfulness of his client's detention (see, among other
authorities, Lamy v. Belgium, 30 March 1989, § 29, Series
A no. 151; Nikolova v. Bulgaria [GC], no. 31195/96, § 58,
ECHR 1999-II; Schöps,
cited above, § 44; Shishkov
v. Bulgaria, no. 38822/97, §
77, ECHR 2003-I; and Svipsta, cited above, § 129).
- The
Grand Chamber, having regard to the Court's case-law, fully endorses
the reasoning of the Chamber and finds that the procedure by which
the applicant sought to challenge the lawfulness of his pre-trial
detention violated the fairness requirements of Article 5 § 4 of
the Convention.
IV. APPLICATION OF ARTICLE 41 OF THE CONVENTION
- Article 41 of the Convention provides:
“If the Court finds that there has been a
violation of the Convention or the Protocols thereto, and if the
internal law of the High Contracting Party concerned allows only
partial reparation to be made, the Court shall, if necessary, afford
just satisfaction to the injured party.”
A. Damage
- In
its judgment, the Chamber considered that the finding of a violation
constituted sufficient just satisfaction in respect of the
non-pecuniary damage allegedly suffered by the applicant on
account of the domestic courts' failure to comply with the fairness
requirement of Article 5 § 4. Conversely, it found that the
applicant must have suffered distress as a result of the breach of
the speed requirement under that Article and thus awarded him EUR
1,500 in respect of non-pecuniary damage
(see paragraph 103 of
the Chamber judgment).
- The
applicant stood by the claim he had made in respect of
non-pecuniary
damage in the proceedings before the Chamber.
He considered EUR
25,000 to be appropriate, but left it in the Court's discretion to
fix an adequate amount, taking into consideration that Germany had
deliberately and repeatedly breached the Convention.
- The
Government considered the applicant's claim to be excessive.
- The
Grand Chamber finds that both the violations of the fairness and of
the speed requirements under Article 5 § 4 caused the applicant
non-pecuniary damage, such as stress and frustration, which
cannot be compensated solely by the findings of violations. Making
its assessment on an equitable basis, it awards the applicant EUR
3,000 under this head, plus any tax that may be chargeable.
B. Costs and expenses
- In
its judgment, the Chamber was satisfied that the costs of the
applicant's proceedings before the Federal Constitutional Court had
been incurred in order to establish and redress a violation of his
Convention rights. It further noted that the application before the
Court was essentially well-founded. Making its own assessment, it
considered it reasonable to award the sum of EUR 6,000 covering costs
under all heads, less the sum received by way of legal aid from the
Council of Europe (EUR 850), making a total of EUR 5,150, inclusive
of value-added tax (VAT)
(see paragraphs 106-07 of the Chamber
judgment).
- The
applicant made the same claim in respect of costs and expenses as
before the Chamber, where he had claimed a total of EUR 5,164.76 for
the costs and expenses incurred before this Court (EUR 2,908.70 for
drafting the observations and EUR 2,256.06 for their translation into
English) and EUR 2,908.70 for those incurred before the Federal
Constitutional Court. According to the invoices submitted by the
applicant, these amounts include VAT. The applicant, who was granted
legal aid covering his lawyers' appearance at the hearing, further
requested the reimbursement of the costs of the translation of his
submissions before the Grand Chamber into English, amounting to a
total of EUR 670.51 including VAT. He adduced documentary evidence in
support of that claim.
- The
Government left the amount to be awarded to the applicant for costs
and expenses to the Court's discretion.
- According
to the Court's established case-law, costs and expenses will not be
awarded under Article 41 unless it is established that they were
actually and necessarily incurred, and were reasonable as to quantum.
Furthermore, legal costs are only recoverable in so far as they
relate to the violation found (see, for example, Beyeler v. Italy
(just satisfaction) [GC], no. 33202/96, § 27, 28 May 2002,
and Sahin v. Germany [GC], no. 30943/96, §
105, ECHR 2003 VIII).
- Having
regard to its case-law and endorsing the grounds given by the
Chamber, the Grand Chamber sees no reason to depart from the
Chamber's finding as to the amount to be awarded in respect of the
costs and expenses incurred before the domestic courts and the
Chamber.
- As
to the additional costs and expenses in the proceedings before the
Grand Chamber, it considers it reasonable to award the applicant
EUR 500, including VAT, in respect of the costs incurred for the
requested translation of the applicant's observations into one of the
Court's official languages.
- The
Court therefore awards the applicant a total of EUR 5,650, inclusive
of VAT, in respect of all the costs incurred in the domestic and
Convention proceedings, plus any tax that may be chargeable to the
applicant.
C. Default interest
- The
Court considers it appropriate that the default interest should be
based on the marginal lending rate of the European Central Bank, to
which should be added three percentage points.
FOR THESE REASONS, THE COURT
- Dismisses unanimously the Government's
preliminary objections;
- Holds by nine votes to eight that there has been
no violation of
Article 5 § 1 of the Convention;
- Holds unanimously that there has been a
violation of Article 5 § 4 of the Convention on account of
the lack of a speedy review of the lawfulness of the applicant's
detention;
- Holds unanimously that there has been a
violation of Article 5 § 4 of the Convention on account of the
refusal to grant the applicant's counsel access to the case file in
the proceedings for the review of the lawfulness of the applicant's
detention;
- Holds unanimously
(a) that
the respondent State is to pay the applicant, within three months,
the following amounts:
(i) EUR
3,000 (three thousand euros), plus any tax that may be chargeable, in
respect of non-pecuniary damage;
(ii) EUR
5,650 (five thousand six hundred and fifty euros), plus any tax that
may be chargeable to the applicant, in respect of costs and expenses;
(b) that
from the expiry of the above-mentioned three months until settlement
simple interest shall be payable on the above amounts at a rate equal
to the marginal lending rate of the European Central Bank during the
default period plus three percentage points;
- Dismisses unanimously the remainder of the
applicant's claim for just satisfaction.
Done in English and in French, and delivered at a public hearing in
the Human Rights Building, Strasbourg, on 9 July 2009.
Vincent
Berger Jean-Paul Costa
Jurisconsult President
In accordance with Article 45 § 2 of the Convention and Rule 74
§ 2 of the Rules of Court, the joint partly dissenting opinion
of Judges Rozakis, Tulkens,
Casadevall, Gyulumyan, Hajiyev, Spielmann, Berro-Lefèvre and
Bianku is annexed to this judgment.
J.-P.C.
V.B.
JOINT PARTLY DISSENTING OPINION OF JUDGES ROZAKIS,
TULKENS, CASADEVALL, GYULUMYAN, HAJIYEV, SPIELMANN, BERRO-LEFÈVRE
AND BIANKU
Although
we have no hesitation in finding a violation of Article 5 § 4 of
the Convention for the reasons stated in the judgment, we do not
share the majority's view that there has been no violation of Article
5 § 1. On the contrary, we consider that the applicant was not
detained “lawfully” and was not deprived of his liberty
“in accordance with a procedure prescribed by law”.
- The
applicant was arrested on suspicion of tax evasion and was held in
detention on remand pursuant to an order of the Mönchengladbach
District Court (Amtsgericht) dated 25 July 2002. He remained
in custody until 29 October 2002. During that period he applied for
judicial review of the lawfulness of his detention and made several
unsuccessful requests for access to the case file.
- In
a judgment of 14 October 2002, the Düsseldorf Court of Appeal
(Oberlandesgericht) found that the District Court's decision
of 25 July 2002 to remand the applicant in custody had not complied
with the formal requirements of domestic law in that it had not
described in sufficient detail the material on which the suspicion of
tax evasion was based or the factual circumstances that had led it to
order his detention. The Court of Appeal explained that the
requirement set out in Article 114 § 2, no. 4 of the Code of
Criminal Procedure for a detailed statement applied particularly to
cases such as the applicant's in which defence counsel had been
refused access to the case file. It also reiterated that the
requirement could not be satisfied by a purely formal exposition of
the requisite information. It found, however, that the impugned
detention order was defective in law (rechtsfehlerhaft), but
not void (unwirksam). Accordingly, without quashing the order,
ordering the applicant's release or making a fresh order for his
detention itself, as required by domestic law (Article 309 § 2
of the Code of Criminal Procedure), it simply remitted the case to
the District Court.
- It
is not disputed that the reasoning of the Mönchengladbach
District Court in its order of 25 July 2002 was deficient, as it
contented itself with laconic phrases and a superficial description,
by reference to the applicable statutory provisions, of the facts it
considered constituted valid grounds for suspecting the applicant of
tax evasion and for depriving him of his liberty. In its judgment of
14 October 2002, the Düsseldorf Court of Appeal explained this
deficiency in the following terms: “The District Court did not
comply in its detention order with the prescribed requirements.
The
detention order simply states that the accused is strongly suspected
of the acts he is accused of 'on account of the business documents
found during the house search'. This terse explanation implies that
the documents
found had already been
inspected and provisionally evaluated. It would therefore have been
possible for the District Court to have set out the findings of the
inspection and evaluation at least in brief in the detention order,
so as to give the accused the possibility of mounting an effective
defence by submitting or pointing to evidence” (see paragraph
1.b of the Court of Appeal's judgment). It is settled case-law that
the absence of any grounds given by the judicial authorities in
their decisions authorising detention may be incompatible with the
principle of protection from arbitrariness enshrined in Article 5 §
1 (Stašaitis v. Lithuania, no. 47679/99, § 67, 21
March 2002).
- The
fact that the requirement that was disregarded in the present case
was only a formal or procedural one, not a substantive one, does not
make the defect any less serious. The Court's case-law makes no
distinction between substantive and procedural rules of domestic
law: both have to be complied with to ensure the lawfulness and
legality of the detention (McKay v. the United Kingdom, [GC],
no. 543/03, ECHR 2006-X).
- Furthermore,
in the instant case, the formal or procedural requirement for a
sufficiently detailed statement of reasons for the detention order
cannot, in practice, be dissociated from the substantive conditions
the applicant's detention on remand had to satisfy. By failing to
set out all the reasons that were considered to justify the
applicant's detention, thereby depriving him of the chance to
contest them, the domestic courts failed to comply not only with the
formal requirements, but also with the substantive requirements, in
that they did not have before them all the necessary information to
enable them to determine the lawfulness of the impugned detention.
The defect in the instant case must be regarded as having gone to
the very essence of the right to liberty enshrined in Article 5 §
1 of the Convention.
- Moreover,
if this deficiency in the statement of reasons can and must be seen
as serious, this is also because it was accompanied by another
failing: the refusal to permit the applicant's lawyer to consult the
case file. Admittedly, the distinction between detention orders that
are defective but nevertheless valid and those which are void may be
justified in certain cases. However, in the present case, the lack
of a sufficient statement of reasons in the District Court's order,
coupled with the inability of the applicant's lawyer to gain access
to the case file, seriously undermined the applicant's ability to
contest the well-foundedness of the impugned order and,
consequently, violated his right to liberty.
Indeed,
the Court of Appeal acknowledged in its judgment of
14 October
2002 that the failure to state reasons for the decision, combined
with the applicant's lawyer's lack of access to the case file, could
have led to the nullity of the detention order. In an implicit
allusion to the fact that the Public Prosecutor's Office had
insisted between 25 July and
20 November 2002 that the grounds
should not be disclosed to the applicant, the Court of Appeal
stated, in fine: “Should the Public Prosecutor's Office
insist that the grounds for suspicion should still not be disclosed
to the accused, in the interests of the pursuit of the
investigation, the detention order will have to be lifted (cf. KG
StV 1994, 318 [319]; 1994, 319 [320]).”
- Lastly,
the majority recognised that the Düsseldorf Court of Appeal's
decision to remit the case to the court of first instance after
finding the detention order of 25 July 2002 to be defective ran
counter to the wording of Article 309 § 2 of the Code of
Criminal Procedure (see paragraph 92 of the judgment). While the
remittal procedure appears to have been in line with judicial
authority that permitted exceptions to the rule in cases similar to
the applicant's, it nevertheless poses serious problems as regards
compliance with the requirements of Article 5 § 1 of the
Convention. Article 309 § 2 of the Code of Criminal Procedure,
which requires courts of appeal to decide for themselves whether
contested detention orders are well-founded, appears to have been
designed to protect defendants from being kept in detention on the
basis of orders that do not comply with domestic law.
That is
exactly what happened to the applicant in the instant case. After
the Düsseldorf Court of Appeal declined in its judgment of 14
October 2002 to examine the well-foundedness of the impugned order
itself after finding flaws in it, the applicant remained in custody
until 29 October 2002, uncertain of the exact reasons why he was
being deprived of his liberty and on the basis of an order that had
been deemed defective.
In
this connection, the Court has in a number of judgments in this
sphere stressed the importance of the “quality of the law”
in avoiding all risk of arbitrariness (Amuur v. France, 25
June 1996, § 50, Reports 1996-III; Erkalo v. the
Netherlands, 2 September 1998, §§ 57-60, Reports
1998-VI; Steel and Others v. the United Kingdom, 23 September
1998, § 54, Reports 1998-VII; and Saadi v. the United
Kingdom, no. 13229/03, § 69, [GC], ECHR 2008-...). It has
also emphasised the principle of legal certainty and explained that
it is essential for the conditions under which a person may be
deprived of his or her liberty under domestic law to be clearly
defined and for the law itself to be clearly foreseeable in its
application (Ciszewski v. Poland, no. 38668/97 § 25, 13
July 2004). The Court has also repeatedly stated that no deprivation
of liberty can be extended without the decision of a judge
(Baranowski v. Poland, 28 March 2000, § 57, ECHR
2000-III; Goral v. Poland, no. 38654/97, §§ 57-58,
30 October 2003; and Ciszewski, cited above, § 30).
- In
conclusion, in view of the serious irregularities in the order for
the applicant's detention and the fact that the domestic law, as
interpreted by the national courts, did not sufficiently guarantee
the right to liberty, we find that the applicant was not detained
“lawfully” and that he was not deprived of his liberty
“in accordance with a procedure prescribed by law”,
within the meaning of Article 5 § 1 of the Convention. There
has therefore been a violation of that provision.