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England and Wales High Court (Administrative Court) Decisions |
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You are here: BAILII >> Databases >> England and Wales High Court (Administrative Court) Decisions >> Jordan, R (On the Application Of) v Merseyside Police & Anor [2020] EWHC 2274 (Admin) (21 August 2020) URL: http://www.bailii.org/ew/cases/EWHC/Admin/2020/2274.html Cite as: [2020] EWHC 2274 (Admin) |
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QUEEN'S BENCH DIVISION
ADMINISTRATIVE COURT
1 Bridge Street West Manchester M60 9DJ |
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B e f o r e :
____________________
The Queen on the application of Paul Jordan |
Claimant |
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- and – |
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(1) The Chief Constable of Merseyside Police (2) Sefton Magistrates' Court |
Defendants |
____________________
Graham Wells (instructed by Merseyside Police) for the First Defendant
Hearing dates: 14 August 2020
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Crown Copyright ©
Mr Justice Chamberlain :
Introduction
(1) the principles I have applied in determining the PII claim;
(2) in general terms, and without revealing the content of the material that attracts PII, why I have upheld the PII claim; and
(3) how the substantive hearing is to be conducted.
(1) The legal principles
(a) The statutory scheme for the grant of search warrants under ss. 8 and 15 of the Police and Criminal Evidence Act 1984 ("PACE") envisages a purely ex parte procedure in which a constable may rely on information whose disclosure to the subject of the warrant would be damaging to the public interest: [27].
(b) This may include information from an informer whose identity could readily be identified from the nature of the information or information which would reveal lines or methods of investigation: ibid.
(c) Such material need not be identified at the time of making the application to a magistrate. It must, however, be identified, if an application for disclosure is made to the magistrate after execution of the warrant in accordance with the procedure in Commissioner of Police for the Metropolis v Bangs [2014] EWHC 546 (Admin) and/or if there is an application to the Crown Court under s. 59 of the Criminal Justice and Police Act 2001: ibid.
(d) On an application for judicial review challenging a search warrant granted on the basis of material which was not and cannot be disclosed to the claimant, the High Court can hold a CMP, despite the absence of express statutory authority to do so. This enables the High Court to consider all the material before the magistrate, and to rely on that material in reaching its substantive decision, without disclosing it to the claimant: [59].
(e) In a challenge to the grant of a search warrant, there is no requirement to disclose a sufficient gist of the closed material to enable the claimant to address the essence of the case for the warrant: [65].
"As to the process that must be followed when considering whether material is protected by PII:
(1) The general rule is that the court should consider first representations by the party asserting PII (in this case, the CMA), then by the party the subject of the warrant (Concordia) in 'open' proceedings, then further representations by the party asserting PII in the subject's absence in 'closed' proceedings: Commissioner of Police for the Metropolis v Bangs [2014] EWHC 546 (Admin) ('Bangs') at [31].
(2) So far as possible, purely legal matters should be resolved in the 'open' proceedings: Bangs at [32].
(3) Where it is necessary to hold 'open' and 'closed' hearings, the judge must give 'open' and 'closed' judgments. It is highly desirable, in the 'open' judgment, to identify every conclusion in that judgment which has been reached in whole or in part in the light of points made in evidence referred to in the 'closed' judgment and state that this is what has been done: Bank Mellat v HM Treasury (No 2) [2013] UKSC 38 at [68]."
(a) whether the evidence in relation to which PII is asserted is relevant to an issue in the proceedings;
(b) whether the disclosure of that evidence would cause harm to the public interest; and
(c) if so, whether, balancing the public interest in the administration of justice against the harm to the public interest that would be occasioned by disclosure, an order for disclosure should be made.
"27. But it must be noted that the adverse effect on the public interest in the administration of justice is materially greater under the present dispensation than previously. Previously, the worst that could happen was that relevant material was withheld generally. Now, the position is that relevant material is deployed before the court in the absence of an interested party. Inevitably, the court loses the benefit of the scrutiny and submissions of that interested party. (Fn: This sort of scrutiny is very important in reaching properly founded decisions. See, for example, the research described in Haidt, The Righteous Mind, 1st ed. (2012) at 75-76.)
28. It follows that the adverse effect on the due administration of justice is significantly greater in a case where PII material is being deployed without sight to one party than where it is simply being withheld from everyone. That is because one party (here, the CMA) can refer to and deploy in argument material that is unavailable to the other party to the dispute (here, Concordia).
29. That must mean that the cogency of the PII arguments made by the party asserting PII must be stronger than in a case where the PII material is simply being withheld. In short, the balancing exercise in a case such as this is different to the balancing exercise contemplated in previous cases in that there is this additional factor to take into account."
(a) Before any question of a CMP can arise, it is necessary to consider whether to uphold the PII claim. That involves determination of all three issues identified in Wiley: see the endorsement of the Wiley approach in Bangs and the endorsement of the latter in Haralambous at [27].
(b) As to the first Wiley question (relevance), any material before the issuing authority which could arguably support the pleaded grounds of challenge will be relevant. So too will any material which could support a further ground of challenge as yet unpleaded. It does not necessarily follow that every piece of information before the issuing authority will ipso facto pass the test of relevance. One obvious example in which some of the material before the issuing authority will not be relevant is the case where the applicant puts forward more than one basis for the warrant and the issuing authority makes clear that one or more of the bases advanced have not been relied upon.
(c) At the third stage (the Wiley balance), it is necessary to weigh, on the one hand, the damage to the public interest that would be caused by disclosure and, on the other, the damage to the administration of justice caused by non-disclosure. This involves two calibrated assessments, both fact-specific.
(d) When considering the damage to the public interest caused by disclosure, it will sometimes be obvious that there is a serious risk of grave damage. That be the case where, for example, disclosure would substantially increase the risk that the identity of a covert informer would be revealed. The disclosure of the identity of a covert informer is generally liable to cause grave damage to the public interest because it may lead to his or her suffering physical harm and/or because it may deter others from providing information. In other cases, the party asserting PII may succeed in establishing that disclosure would give rise to a risk of damage to the public interest, but the extent to which disclosure increases the risk, though material, is low; or, although the risk of damage eventuating is substantial, the damage feared would not be grave. It is important for the court to reach its own, level-headed assessment of the extent of any damage to the public interest caused by disclosure.
(e) Against this must be weighed the extent of the damage caused by non-disclosure to the public interest in the administration of justice. Any assessment of that damage requires a close focus on the issues in the case (both those pleaded and any others to which the undisclosed material gives rise) and the nature of the closed material. I would certainly not assume that, because the court can now consider that material in a CMP, there is no such damage: any proceeding where the opportunity for adversarial scrutiny is lacking represents a fundamental derogation from the standards of fairness which the common law ordinarily demands. But nor, for my part, would I assume that availability of a CMP means that the adverse effect on the public interest in the administration of justice is materially greater than it would have been previously, when material attracting PII was categorically inadmissible. One of the reasons why the Supreme Court in Haralambous was prepared to countenance a CMP in claims of this kind was that, without one, the absence of admissible evidence as to the basis on which the warrant was granted might well have favoured the defendant. Prior to Haralambous, the court might have had to apply the presumption of regularity, as in R v Inland Revenue Commissioners ex p. Rossminster Ltd [1980] AC 952 and R (AHK) v Secretary of State for the Home Department [2012] EWHC 1117 (Admin) or might have struck the claim out as untriable, as in Carnduff v Rock [2001] 1 WLR 1786. These outcomes would not have served the public interest in the administration of justice. The possibility that a court might apply the opposite presumption, quashing a warrant because it was not possible to consider the material on which it was based, would have been equally unacceptable. The Supreme Court regarded the CMP as preferable to any of these outcomes from the standpoint of the administration of justice: see generally Haralambous, at [44]-[59]. It follows that I respectfully disagree with Marcus Smith J insofar as he held that a higher standard of cogency is required of the arguments advanced by a party asserting PII in a case such as this where, post-Haralambous, material attracting PII may be considered by the court in a CMP.
(2) Reasons for upholding the First Defendant's PII claim
The pleaded issues
The material over which PII is claimed
(a) Relevance
(b) Would disclosure cause harm to the public interest?
(c) The Wiley balance
(3) How the substantive hearing is to be conducted
(a) Where the court grants permission to apply for judicial review in a challenge to a warrant, and it is clear that the First Defendant has claimed or will claim PII over material relevant to the challenge, it should also give directions for: (i) a hearing to determine the PII claim; and (ii) a substantive hearing to determine the application for judicial review. If possible, these two hearings should be listed before the same judge. It may be sensible for the listing of the second hearing to be left to be decided at the first hearing. (This is what was done in the present case by the directions given by Julian Knowles J.)
(b) At the first of these hearings, if the PII claim is upheld in whole or in part, the court should give directions dealing with: (i) the time within which the defendant must disclose and the claimant must respond to any new material; (ii) whether the case is sufficiently exceptional that it is necessary to invite the Attorney General to appoint a special advocate to represent the interests of the claimant in the CMP (see the Court of Appeal's decision in Concordia [2018] EWCA Civ 1881, at [75]); and (iii) in the light of these matters, the listing of the substantive hearing. (In the present case, disclosure of the one piece of information which must be disclosed can take place almost immediately; the issues in this case are not complex and it was not suggested that the appointment of a special advocate was necessary; it was agreed that the substantive hearing should be listed on 2 September 2020.)
(c) At the substantive hearing, the open hearing should take place first, with the closed hearing following. The claimant's representatives should be available to return for a short further open hearing in case anything emerges from the closed hearing which on which it is necessary to invite further open submissions. Especially where, as in most cases, there is no special advocate to represent the interests of the claimant, counsel for the public authority has a special obligation to assist the court by identifying any points arising from the closed material which might arguably support the claimant or undermine the defence. The obligation is similar to that which arises when seeking an ex parte order. Counsel seeking such an order "must put on his defence hat and ask himself what, if he were representing the defendant or a third-party with the relevant interest, he would be saying to the judge, and, having answered that question, that is what he must tell the judge": In re Stanford International Bank Ltd [2011] Ch 33, [191] (Hughes LJ). The same goes, mutatis mutandis, for counsel representing a defendant in any CMP held in a judicial review claim challenging a warrant.
(d) After the substantive hearing, open and closed judgments should be prepared. To the extent possible, care should be taken to identify in the open judgment every conclusion that has been reached in whole or in part on the basis of evidence referred to in the closed judgment: Bank Mellat v HM Treasury (No. 2) [2013] UKSC 38, [2014] AC 700, [68].