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FIRST
SECTION
CASE OF TRAPEZNIKOVA v. RUSSIA
(Application
no. 21539/02)
JUDGMENT
STRASBOURG
11
December 2008
This
judgment will become final in the circumstances set out in Article 44
§ 2 of the Convention. It may be subject to editorial
revision.
In the case of Trapeznikova v.
Russia,
The
European Court of Human Rights (First Section), sitting as a Chamber
composed of:
Christos Rozakis, President,
Nina
Vajić,
Anatoly Kovler,
Khanlar
Hajiyev,
Dean Spielmann,
Sverre Erik
Jebens,
Giorgio Malinverni, judges,
and Søren
Nielsen, Section
Registrar,
Having
deliberated in private on 20 November 2008,
Delivers
the following judgment, which was adopted on that date:
PROCEDURE
- The
case originated in an application (no. 21539/02) against the Russian
Federation lodged with the Court under Article 34 of the Convention
for the Protection of Human Rights and Fundamental Freedoms (“the
Convention”) by a Russian national, Ms Lyudmila Andreyevna
Trapeznikova (“the applicant”), on 6 May 2002.
- The
applicant was represented by Mr V. Tretyakov, a lawyer practising in
Stavropol. The Russian Government (“the Government”) were
represented first by Mr P. Laptev and then by Ms V. Milinchuk, both
former Representatives of the Russian Federation at the European
Court of Human Rights.
- The
applicant alleged, in particular, that the State had failed to
discharge its positive obligation to secure her husband’s life
and that the investigation into his death had been ineffective. She
also complained about the destruction of her property during the
military actions in the Chechen Republic, the unfairness of the
proceedings for compensation and the delayed enforcement of her court
award. The applicant relied on Articles 2 and 6 of the Convention and
Article 1 of Protocol No. 1.
- On
5 October 2006 the Court decided to give notice of the application to
the Government. It also decided to examine the merits of the
application at the same time as its admissibility (Article 29 §
3).
THE FACTS
I. THE CIRCUMSTANCES OF THE CASE
- The
applicant was born in 1940 and lives in Stavropol.
- At
the material time the applicant and her husband lived in a three-room
apartment in a block of flats at 4 Prospekt Revolyutsii in the city
of Grozny, the Chechen Republic. The applicant submitted a housing
warrant (ордер)
confirming her right to live in the apartment. She did not submit any
documents proving that she had a title to the flat.
A. The facts
- In
early October 1999 a military operation was launched in the territory
of the Chechen Republic.
1. Events of January 2000
- According
to the applicant, on 4 January 2000 the block of flats at 4 Prospekt
Revolyutsii was hit by a missile fired by the Russian armed forces
during an attack on Grozny. The applicant’s flat and all her
belongings were destroyed. It does not appear that the applicant
witnessed the destruction.
- On
6 January 2000 the applicant, her husband and other residents were
sheltering from a bombardment in the basement of their block of
flats. At around 10 p.m. an intoxicated man armed with a machine gun
came down to the basement and started shooting, with the result that
the applicant’s husband and three other persons were killed.
The applicant managed to escape. According to her, the name of the
man who shot her husband was Khalid. He had lived for some time in
their block of flats and during the bombings she had met him in the
basement on several previous occasions.
- On
the next day the applicant buried her husband’s body and the
bodies of the others killed in the shooting in the courtyard. It does
not appear that an autopsy was performed or any photographs taken.
- On
21 June 2000 a local registry office certified the death of the
applicant’s husband. On the same date a housing authority
issued the applicant with a certificate confirming that her flat “was
destroyed and burnt completely during the military actions on 4
January 2000”. The certificate contained no other information
relating to the destruction. The applicant did not submit any
documents which would indicate the cause of the destruction of the
block of flats at 4 Prospect Revolutsii, or any photographs of the
site of the destruction.
2. Investigation into the death of the applicant’s
husband
- According
to the Government, the applicant’s written complaint concerning
her husband’s murder was received by the Zavodskoy District
Department of the Interior of Grozny on 17 February 2000. On 27
February 2000 the acting prosecutor of Grozny opened an investigation
into the case under Article 105 (2) (aggravated murder) of the
Russian Criminal Code. The case file was assigned the number 12005.
- On
the same day the applicant was granted the status of victim of a
crime and questioned. She reiterated her account of the events of 6
January 2000 and described the appearance of the alleged murderer.
- In
the Government’s submission, on 27 February 2000 the
investigation authorities also inspected the scene of the incident in
the applicant’s presence. The Government did not produce any
report on that inspection.
- On
23 April 2000 the proceedings in case no. 12005 were suspended for
failure to establish the identity of the alleged perpetrator. The
applicant was informed in writing that the proceedings had been
adjourned on 27 [rather than 23] April 2000.
- On
7 June 2000 the criminal proceedings were reopened. According to the
Government, on the same date, upon the applicant’s request of
31 May 2000, the investigator in charge ordered the exhumation
of the corpses of those killed on 6 January 2000, including the
applicant’s husband. The exhumation and forensic examination
were carried out on the next day.
- On
7 July 2000 the investigation was stayed as it was impossible to
establish those responsible. It does not appear that there was any
investigative activity between 7 July 2000 and 10 December 2001.
- On
the latter date the decision of 7 July 2000 was set aside and the
proceedings in criminal case no. 12005 were resumed, the applicant
being notified in a letter of 12 December 2001.
- On
14 January 2002 the investigation into the killing of the applicant’s
husband was again suspended in the absence of information concerning
those responsible. It appears that the applicant was not informed of
that decision until 14 October 2002, when the Grozny prosecutor’s
office stated in their letter that the criminal proceedings
instituted on 27 February 2000 in connection with the killing of the
applicant’s husband had been suspended on 14 January 2002 for
failure to find the alleged perpetrators, and that the search for
those responsible was under way.
- In
a letter of 13 May 2002 the Department of the Ministry of the
Interior for the Southern Federal Circuit notified the applicant that
the investigation in connection with her husband’s murder had
been commenced on 17 [rather than 27] February 2000, that the case
had been given the number 12005 and that the suspect in the case,
Ismailov Kh. S., had been an officer of the Ministry of the Shariat
State Security [a security service established when the former
President of Chechnya, Aslan Maskhadov, had been in power]. The
letter stated that the suspect was presently on the federal wanted
list.
- It
does not appear that any investigative activity took place between 14
January 2002 and 21 April 2005.
- On
the latter date the criminal proceedings in case no. 12005 were
re-opened. The applicant was informed of this decision on the same
date.
- On
22 May 2005 the investigating authorities stayed the criminal
proceedings on account of their inability to establish the alleged
perpetrator and apprised the applicant of their decision on the same
date.
- It
does not appear that any investigative activity took place between 22
May 2005 and 8 December 2006.
- On
the latter date the investigation was resumed. The investigating
authorities informed the applicant of that decision in a letter of 8
December 2006. According to the Government, the conduct of the
investigation was being supervised by the Prosecutor General’s
Office.
- In
the Government’s submission, apart from the applicant, the
investigating authorities also questioned seven witnesses. One of
them, the applicant’s neighbour who had helped her to bury the
bodies, gave oral evidence similar to the applicant’s account,
whereas the others did not provide any relevant information.
According to the Government, the investigating authorities also sent
a number of queries to “competent bodies”. In particular,
such queries were sent on 28 February, 17 April and 11 July 2000, 10
January 2002 and 4 May 2005.
- The
Government also submitted that the investigation had obtained
information that the murder of the applicant’s husband and
other victims had been committed by Khalid (Khazir) Ismailov, who had
been an officer of a security service established when the former
President of Chechnya, Aslan Maskhadov, had been in power. During the
investigation, an address of Khalid’s acquaintance had been
established, but the house at that address had proved to be deserted.
The investigators also verified the possible involvement of a number
of persons with the surname “Ismailov” in the killing of
6 January 2000, but that had brought no positive result.
3. Proceedings for compensation
- On
20 July 2001 the applicant issued civil proceedings against a number
of Federal Ministries before the Leninskiy District Court of
Stavropol (“the District Court”). In her written
submissions to the court the applicant sought damages in respect of
her husband’s death. She also stated that the block of flats in
which she lived had been destroyed by a missile and asked the court
to award her compensation for the destroyed flat and belongings that
had been in the flat. As can be ascertained from a copy of her
written submissions, the applicant enclosed copies of her passport,
the marriage certificate, the death certificate, the housing warrant,
a letter from a local authority, and certificates from the housing
authority.
- By
a default judgment of 3 December 2001 the District Court allowed in
part the applicant’s compensation claim for her husband’s
death and awarded her 20,000 Russian roubles (RUB).
- As
regards the applicant’s compensation claim concerning the
destruction of her property, the court noted that under Article 1069
of the Civil Code of Russia the State was liable only for damages
caused by its agents’ actions which were unlawful. It further
found that the actions of the Russian federal troops in Chechnya had
been lawful, as the military operation in Chechnya had been launched
under Presidential Decree no. 2166 of 30 November 1994 and
Governmental Decree no. 1360 of 9 December 1994, both of which
had been found to be constitutional by the Constitutional Court of
Russia on 31 July 1995.
- The
court further stated that the applicant had submitted no evidence
proving a causal link between the defendants’ actions and the
damage sustained by her, since the military actions had been carried
out by both parties to the conflict. Therefore the destruction of the
applicant’s possessions could not be imputed to the defendants.
- The
court further held that under Article 1079 of the Civil Code of
Russia damage inflicted by a “source of increased danger”
(источник
повышенной
опасности)
was to be compensated for by the person or entity using that source,
unless it was proven that the damage had been caused by force
majeure or through the fault of the affected person. However, in
the court’s view, the applicant’s reference to the above
Article was unfounded, as weapons and military equipment, in the
circumstances of the present case, could not be regarded as a “source
of increased danger”, since they had been used strictly for the
purposes they were designed for and under the firm control of the
relevant personnel. Moreover, the applicant had not adduced any
evidence which would enable the court to establish the type and
ownership of the weapon which had destroyed the applicant’s
housing.
- The
court also noted that the applicant had submitted no documents
confirming the value of her lost property. It noted in this respect
that witness statements obtained during the hearing only enabled it
to establish the existence of the possessions in the applicant’s
flat prior to the destruction and the fact that those possessions had
been new. The court made no findings regarding the applicant’s
property rights in respect of the destroyed flat.
- The
applicant’s claims for compensation for non-pecuniary damage
could not be granted either, in the absence of any fault or unlawful
actions on the part of the defendants. In view of the above, the
court concluded that there were no grounds for granting the first
applicant’s compensation claim for the destroyed property.
- It
does not appear that the applicant ever sought the first-instance
court’s assistance in obtaining evidence relating to the weapon
that had destroyed her housing. In her appeal against the judgment of
3 December 2001 the applicant did not complain of her inability to
obtain the evidence in question.
- On
30 January 2002 the Stavropol Regional Court upheld the
first-instance judgment on appeal.
4. Enforcement proceedings
- On
30 January 2002, following the decision of the Stavropol Regional
Court, the judgment of 3 December 2001 became final and binding.
- According
to the applicant, at some point the District Court issued a writ of
execution and sent it to the Ministry of Finance for execution on
30 April 2002.
- In
the Government’s submission, the writ of execution was received
by the Ministry of Finance on 24 November 2004.
- On
16 March 2006 the Ministry of Finance sent the applicant a letter
inviting her to indicate the details of her bank account to enable
the said Ministry to transfer the judgment debt to her.
- The
applicant provided the necessary information on 5 May 2006.
- On
30 October 2006 the full amount due pursuant to the judgment of 3
December 2001 was transferred to the applicant’s bank account.
B. Documents submitted by the Government
1. Documents relating to the criminal investigation
- In
October 2006, at the communication stage, the Government were invited
to produce a copy of the investigation file of case no. 12005
instituted in connection with the killing of the applicant’s
husband and other persons on 6 January 2000. Relying on the
information obtained from the Prosecutor General’s Office, the
Government refused to submit a copy of the entire file, stating that
the disclosure of the documents would be in violation of Article 161
of the Russian Code of Criminal Procedure since the file contained
personal data concerning the witnesses. They, however, produced a
number of documents from the file, which can be summarised as
follows.
(a) Documents relating to the conduct of
the investigation and informing the applicant of its results.
- By
decisions of 27 February 2000 the Grozny prosecutor ordered that
criminal proceedings be instituted in connection with the killing of
the applicant’s husband and three other persons by a man named
Khalid using a machine gun on 6 January 2000 and that an
investigative group be organised for the investigation.
- By
a decision of 27 February 2000 the investigator in charge declared
the applicant the victim of a crime.
- By
a decision of 15 March 2000 an investigator of the Grozny
prosecutor’s office took up the case.
- By
a decision of 23 April 2000 the investigator in charge suspended the
proceedings in case no. 21005. The decision stated that the term
established for the preliminary investigation had expired, that all
possible investigative actions had been carried out, but that it was
impossible to establish the identity of the alleged perpetrator. The
decision did not list the actions that had been taken during the
investigation.
- In
a letter of 23 or 28 [the hand-written date is unclear] April 2000
the applicant was informed that the investigation in case no. 12005
had been stayed, as it was impossible to establish the identity of
the person responsible.
- On
7 June 2000 the Grozny prosecutor ordered that the investigation be
resumed, citing “the necessity of carrying out investigative
actions”. He did not indicate which particular actions should
be taken. By a decision of the same date an investigator of the
Grozny prosecutor’s office took up the case.
- A
decision of 10 December 2001 of the first deputy prosecutor of Grozny
ordered that the investigation in criminal case no. 12005 be resumed.
It stated, in particular, that “...the investigation ... [had
been] extremely superficial and was limited to carrying out several
investigative actions and to including in the materials of the case
file reports of investigating officers on the performed work and the
results”. It went on to say that the decision of 7 July 2000 by
which the investigation had been suspended for failure to establish
the alleged perpetrator had been premature, before all investigative
steps had been taken, and should be quashed. The decision of 10
December 2001 further listed a number of investigative steps that
should be taken during an additional investigation.
- In
a letter of 12 December 2001 the Grozny prosecutor’s office
informed the applicant in reply to her query that the criminal
proceedings had been suspended on 7 July 2001 [apparently a misprint,
the correct date is 2000] in the absence of any persons identifiable
as the perpetrators. The letter went on to say that a study of the
case file had shown the preliminary investigation into the
circumstances of the death of the applicant’s husband to have
been superficial, and that the proceedings had therefore been resumed
on 10 December 2001 and the investigator in charge had been
instructed to carry out an additional investigation.
- By
decisions of 14 December 2001 an investigator of the Grozny
prosecutor’s office took up case no. 12005 and requested that
14 January 2002 be fixed as the term of the preliminary
investigation.
- On
14 January 2002 the investigator in charge ordered that the
proceedings be stayed, as “during the additional investigation
it [had been] impossible to establish those responsible”. The
decision did not specify whether any investigative steps had been
taken, or if so, what they were.
- By
a decision of 21 April 2005 a deputy prosecutor of the Zavodskoy
District prosecutor’s office set aside the decision of 14
January 2002 and ordered that the investigation in case no. 12005 be
reopened. The decision stated that “the investigation [had
been] carried out superficially, haphazardly and unprofessionally”
and that “the decision [of 14 January 2002] suspending the
preliminary investigation [had been] premature and unfounded, without
all the circumstances of the serious crime committed having been
studied”. The prosecutor thus ordered that the decision of
14 January 2002 be set aside, given, in particular, the fact
that the prosecutor’s instructions of 10 December 2001 had not
been complied with. The decision did not list any particular
investigative actions to be performed.
- On
22 April 2005 an investigator of the Zavodskoy District prosecutor’s
office took up the case, and on the same date informed the applicant
of the reopening of the investigation.
- By
a decision of 22 May 2005 the investigator in charge stayed the
investigation on account of the failure to establish the alleged
perpetrator. The decision stated that during the additional
investigation a query had been sent to the Ministry of the Interior
of the Chechen Republic with a view to establishing the alleged
perpetrator’s whereabouts, and that, upon receipt of a reply to
that query, a request was sent to the Shali district prosecutor’s
office with a view to organising interviews with persons having
personal details similar to those of the alleged perpetrator. The
decision did not indicate whether any other steps had been taken. A
letter of the same date informed the applicant of this decision.
- By
a decision of 8 December 2006 a deputy prosecutor of the Zavodskoy
district prosecutor’s office ordered that the decision of 22
May 2005 be set aside and the proceedings in case no. 12005 reopened.
The decision stated, in particular, that the decision to suspend the
investigation had been unfounded and that the investigator in charge
had failed to take all measures which could be taken in the absence
of a person identifiable as a perpetrator. The decision further
listed investigative measures that should be taken during an
additional investigation. On the same date an investigator of the
Zavodskoy district prosecutor’s office took up the case and
informed the applicant of the reopening of the proceedings.
(b) Documents relating to investigative
actions
- A
report on the exhumation dated 8 June 2000 contains a detailed
description of the site of the burial and the exhumed bodies.
- In
June 2000 (the date is unclear) forensic medical experts drew up
reports on the results of the examination. The report drawn up in
respect of the body of the applicant’s husband attested the
presence of gunshot wounds to the head and neck.
- On
19 June 2000 the investigator in charge sent a query to the
Prosecutor General’s Office in an attempt to find out whether
any criminal proceedings had ever been brought against Khazir
(Khamed) Ismailov, aged 43, who had been an officer of the security
services established by rebel fighters, and if so, to obtain his full
personal details and photographs, or in the absence of photographs to
have people who might have known him questioned.
(c) Transcripts of witness interviews
- During
an interview of 27 February 2000 the applicant re-stated the
circumstances of the incident of 6 January 2000. She described in
detail the appearance of Khalid, the man who, according to her, had
shot her husband and three other persons. She stated that he was of
Chechen origin and, since December 1999, had shared a flat in their
block of flats with another man of Chechen origin, who had been their
neighbour. Both of them had been armed with machine guns. She further
stated that on the night of the incident Khalid had come down to
their basement in a drunken state and shot her husband and three
others with his machine gun. She had managed to hide in a dark corner
of the basement. Immediately after the incident the applicant ran to
a neighbouring block of flats where rebel fighters had been quartered
and told them about the killing. According to her, they had taken
Khalid out of the basement and started beating him with the butts of
their machine guns and had promised her that they would commit him
for trial. On the following day, with the assistance of her two
neighbours, the applicant had buried those killed near their block of
flats. On the same day in the courtyard she had seen Khalid armed
with a machine gun.
- One
of the neighbours who had helped the applicant with the burial stated
in her witness interview of 27 February 2000 that she had learnt
about the killing of the applicant’s husband and three others
from the applicant. She gave oral evidence similar to that of the
applicant and added that during the burial a man who had described
himself as the former head of a security service established by rebel
fighters had said that he knew Khalid and indicated the approximate
vicinity of Khalid’s residence.
- Transcripts
of witness interviews held on 20 and 21 May 2005 reveal that the
investigating authorities questioned three persons who were born in
1966, 1971 and 1983 and had the surname Ismailov and the first names
of Khalid or Khazir. All of them stated that they had not been in
Grozny during the period in question, did not know the man described
by the applicant, and had no information regarding the incident of 6
January 2000.
- Transcripts
of witness interviews on 8 and 9 December 2006 reveal that the
investigating authorities questioned six persons, apparently the
applicant’s neighbours. They all stated that they did not know,
and had no information about, the man described by the investigators.
2. A document relating to the civil proceedings
- The
Government also adduced the transcript of a hearing held by the
Leninskiy District Court of Stavropol on 3 December 2001. According
to this document, both the applicant and her legal counsel, Mr V.
Tretyakov, attended the hearing. It is clear from this document that
both parties to the proceedings received explanations in respect of
their rights and obligations, in particular, those established by
Article 50 of the Code of Civil Procedure (see paragraph 67 below).
The transcript further reveals that the court heard both parties, the
applicant having made statements similar to her written submissions
to the court, and then four witnesses, who described the belongings
that had been in the applicant’s flat prior to the destruction.
The witnesses did not indicate the value of that property. As can be
seen from the document, neither the applicant nor her representative
had any questions, nor filed any motions. It is also clear that the
court examined the following pieces of evidence: a copy of the
marriage certificate, a copy of the passport, a housing warrant, a
copy of the death certificate, an extract from a medical history
card, two certificates, two letters, a copy of an identity document,
parties’ written submissions, and summons.
II. RELEVANT DOMESTIC LAW
A. Criminal proceedings
- Article
109 of the Code of Criminal Procedure of 1960 in force at the
relevant time provided that the competent authorities were under an
obligation to take a decision in respect of any written or oral
complaint concerning a criminal offence within three days, or in
exceptional cases ten days, from the date on which the complaint was
received.
B. Civil proceedings
- Article
50 of the Code of Civil Procedure of 1964 in force at the relevant
time stated that each party to proceedings must prove those
circumstances to which it refers in support of its submissions. A
court decides what circumstances are relevant for the case and which
party must prove them and proposes those circumstances for discussion
even if some of them have not been referred to by any of the parties.
Evidence is submitted by the parties and other persons involved in
the proceedings. A court may propose that the parties or other
persons involved in the proceedings submit additional evidence. If it
is complicated for the parties or other persons involved in the
proceedings to submit additional evidence, the court, on their
request, assists them in obtaining that evidence.
C. Enforcement proceedings
- Section
9 of the Law on Enforcement Proceedings of 21 July 1997 provides that
a bailiff’s order on the institution of enforcement proceedings
must fix a time-limit for the defendant’s voluntary compliance
with a writ of execution. The time-limit may not exceed five days.
The bailiff must also warn the defendant that coercive action will
follow, should the defendant fail to comply with the time-limit.
- Under
Section 13, enforcement proceedings should be completed within two
months following receipt of the writ of enforcement by the bailiff.
THE LAW
I. ALLEGED VIOLATION OF ARTICLE 2 OF THE CONVENTION
- The
applicant complained that the State had failed to discharge its
positive obligation to secure her husband’s life and that the
investigation into his death had been ineffective. She relied on
Article 2 of the Convention, which reads as follows:
“1. Everyone’s right to life
shall be protected by law. No one shall be deprived of his life
intentionally save in the execution of a sentence of a court
following his conviction of a crime for which this penalty is
provided by law.
2. Deprivation of life shall not be regarded
as inflicted in contravention of this article when it results from
the use of force which is no more than absolutely necessary:
(a) in defence of any person from unlawful
violence;
(b) in order to effect a lawful arrest or to
prevent the escape of a person lawfully detained;
(c) in action lawfully taken for the purpose
of quelling a riot or insurrection.”
A. Admissibility
1. Alleged failure to protect the right to life
- The applicant argued that the State had not taken any
steps to prevent the murder of her husband from being committed.
- The Government contended that the applicant’s
complaint under this head should be declared inadmissible for
non-exhaustion of domestic remedies, since the investigation into the
killing of her husband was still pending. They further denied their
responsibility for the death of the applicant’s husband,
stating that he had been murdered by a private individual and that
the authorities had never been notified of the existence of any
danger to the life of the applicant’s husband.
- The Court observes firstly that it is not in dispute
between the parties that the applicant’s husband was murdered
by a private individual rather than by a State agent. It is true that
in certain circumstances Article 2 of the Convention may imply a
positive obligation on the authorities to take measures to protect an
individual whose life is at risk from the criminal acts of another
individual, where the authorities know or ought to have known of the
existence of that risk (see Osman v. UK, judgment of 28
October 1998, Reports of Judgments and Decisions 1998-VIII, §§
115-116). However, that obligation cannot be interpreted as imposing
a duty on the State to prevent every possibility of violence (see
Dujardin v. France, no. 16734/90, Commission decision of 2
September 1991, Decisions and Reports 72, p. 236).
- In the present case, the Court has not been furnished
with any evidence that the alleged offender ever threatened the
applicant’s husband or that the authorities were duly notified
of any danger to the latter’s life, but failed to take any
steps to avoid it. In such circumstances, the Court is unable to
conclude that this complaint raises any issues under the Convention,
as holding otherwise would impose an impossible or disproportionate
burden on the authorities (see Osman, cited above, §
116).
- Accordingly, the Court does not consider it necessary
to answer the Government’s objection concerning the
non-exhaustion of domestic remedies, as the present complaint is in
any event manifestly ill-founded and must be rejected in accordance
with Article 35 §§ 3 and 4 of the Convention.
2. Alleged inadequacy of the investigation
- The
applicant insisted that the investigation into her husband’s
death had not been adequate, and fell short of the Convention
standards.
- The
Government argued firstly that the investigation into the murder of
the applicant’s husband was still ongoing, and that therefore
the domestic remedies had not been exhausted. They further claimed
that the investigation in the present case had met the requirements
of effectiveness, enshrined in Article 2 of the Convention. In
particular, the applicant’s complaint concerning the incident
of 6 January 2000 had been received by the authorities on 17 February
2000, and the criminal proceedings had been instituted on 27 February
2000, which had been in full compliance with the time-limit
established by Article 109 of the Code of Criminal Procedure of 1960
then in force. Also, in the Government’s submission, all
measures envisaged in national law were being taken to identify the
alleged perpetrator.
- The
Court considers that the Government’s objection as to the
exhaustion of domestic remedies raises issues which are closely
linked to the question of the effectiveness of the investigation. It
therefore decides to join this objection to the merits of the present
complaint. The Court further notes that this complaint is not
manifestly ill-founded within the meaning of Article 35 § 3 of
the Convention. It further notes that it is not inadmissible on any
other grounds. It must therefore be declared admissible.
B. Merits
- The
Court reiterates that the obligation to protect the right to life
under Article 2 of the Convention, read in conjunction with the
State’s general duty under Article 1 of the Convention to
“secure to everyone within [its] jurisdiction the rights and
freedoms defined in [the] Convention”, requires by implication
that there should be some form of effective official investigation
when individuals have been killed as a result of the use of force.
The investigation must be effective in the sense that it is capable
of leading to a determination of whether the force used in such cases
was or was not justified in the circumstances (see Kaya v. Turkey,
judgment of 19 February 1998, Reports 1998 I, p. 324,
§ 87) and to the identification and punishment of those
responsible (see Oğur, cited above, § 88).
- In
particular, the authorities must take the reasonable steps available
to them to secure the evidence concerning the incident, including
inter alia eye witness testimony, forensic evidence and, where
appropriate, an autopsy which provides a complete and accurate record
of injury and an objective analysis of clinical findings, including
the cause of death (see concerning autopsies, for example, Salman
v. Turkey [GC], no. 21986/93, § 106, ECHR
2000 VII; concerning witnesses, for example, Tanrıkulu
v. Turkey [GC], no. 23763/94, ECHR 1999-IV, § 109; and
concerning forensic evidence, for example, Gül v. Turkey,
no. 22676/93, [Section 4], § 89). Any deficiency in the
investigation which undermines its ability to establish the cause of
death or the person responsible may risk falling foul of this
standard.
- Also,
there must be an implicit requirement of promptness and reasonable
expedition (see Yaşa, cited above, §§ 102-04,
and Mahmut Kaya, cited above, §§ 106-07). It
must be accepted that there may be obstacles or difficulties which
prevent progress in an investigation in a particular situation.
However, a prompt response by the authorities in investigating the
use of lethal force may generally be regarded as essential in
maintaining public confidence in the maintenance of the rule of law
and in preventing any appearance of collusion in or tolerance of
unlawful acts.
- In
the instant case, the Court observes that some degree of
investigation was carried out into the killing of the applicant’s
husband. It must assess whether that investigation met the
requirements of Article 2 of the Convention. In this respect the
Court notes that its knowledge of the criminal proceedings at issue
is limited to the materials from the investigation file selected by
the respondent Government (see paragraphs 43-64 above). Drawing
inferences from the respondent Government’s conduct when
evidence is being obtained (see Ireland v. the United Kingdom,
cited above, pp. 64-65, § 161), the Court assumes that the
materials made available to it have been selected so as to
demonstrate to the maximum extent possible the effectiveness of the
investigation in question. It will therefore assess the merits of
this complaint on the basis of the existing elements in the file and
in the light of these inferences.
- The
Court observes that the applicant notified the authorities of the
incident of 6 January 2000 on 17 February 2000 and the criminal
proceedings in this connection were commenced on 27 February 2000,
that is ten days after the applicant had lodged her complaint. There
is no evidence that this delay was detrimental to the conduct of the
investigation, and therefore the Court does not consider it to be
excessive in the circumstances of the present case.
- The
Court further notes that immediately after the investigation was
opened, and notably on 27 February 2000, the applicant was granted
the status of the victim of a crime and questioned. On the same day
the authorities also questioned the applicant’s neighbour who
had assisted her in burying the remains of those killed. It does not
appear, however, and the Government did not provide any relevant
information or documents in this respect, that any other
investigative actions were taken before the proceedings were
suspended on 23 or 27 April 2000. In particular, the Court is
sceptical about the Government’s assertion that the scene of
the incident was inspected on 27 February 2000, as the Government did
not produce any reports on the results of such an inspection. Also,
the exhumation of the bodies and their forensic examination were only
performed on 8 June 2000, after the reopening of the investigation.
It is unclear, and the Government did not provide any explanation on
the point, why such an important investigative step could not have
been, and was not, taken earlier.
- Moreover,
although during their witness interviews of 27 February 2000 the
applicant had already described in detail the appearance of the
presumed murderer (see paragraph 61 above) and her neighbour had
already indicated, at least approximately, the possible place where
he might be living and his possible connection with rebel fighters
(see paragraph 62 above), and it was also during the very early
stages that the authorities seem to have identified the alleged
perpetrator (see paragraph 60 above), there is no indication that any
meaningful efforts were made to organise a search for that person. It
was not until May 2002 that the authorities informed the applicant of
the presumable identity of the alleged perpetrator and the fact that
he had been put on the federal wanted list (see paragraph 20 above),
and it was not until three years later, in May 2005, that the
authorities questioned people having the same names and surnames as
the alleged perpetrator (see paragraph 63 above). The Government
provided no explanations why those actions could not have been, and
were not, taken earlier. It also does not appear that any witnesses
other than the applicant and her neighbour were questioned before
2005, and it is unclear whether any attempts to identify witnesses in
the present case were made during the previous years.
- The
Court also notes that the investigation was ongoing from February
2000 until at least December 2006, during which period it was
suspended and reopened on at least four occasions. When resuming the
proceedings, the prosecutors clearly stated that the investigation
was deficient, “superficial and unprofessional” and
ordered that certain steps be taken, but there is no evidence that
those instructions were complied with (see paragraphs 49, 50, 54 and
57 above). The investigation remained suspended between 7 July 2000
and 10 December 2001, then between 14 January 2002 and 21 April
2005, and then between 22 May 2005 and 8 December 2006. The
Government gave no explanations for such considerable periods of
inactivity.
- In
the light of the foregoing, and with regard to the inferences drawn
from the respondent Government’s submission of evidence, the
Court is bound to conclude that the authorities failed to carry out a
thorough and effective investigation into the circumstances
surrounding the death of the applicant’s husband. It
accordingly rejects the Government’s objection as regards the
applicant’s failure to exhaust domestic remedies within the
context of the criminal proceedings, and holds that there has been a
violation of Article 2 of the Convention on that account.
II. ALLEGED VIOLATION OF ARTICLE 6 OF THE CONVENTION AND
ARTICLE 1 OF PROTOCOL NO. 1 TO THE CONVENTION
- The
applicant complained about the delayed enforcement of the final
judgment in her favour. She also complained of the unfairness of the
proceedings for compensation, stating that in the absence of any
specific knowledge regarding military equipment or access to any
information about the details of the military operation in Chechnya,
apart from that made public in the mass media, she was not in a
position to obtain any evidence as to what type of weapon destroyed
her property or to what unit of the federal forces it had belonged.
Lastly, the applicant complained that her housing and other
belongings had been destroyed during the attack of 4 January 2000
but that no compensation had been awarded to her for their loss. She
relied on Article 6 of the Convention and Article 1 of Protocol No. 1
to the Convention, which, in so far as relevant provide as follows:
Article 6
“In the determination of his civil rights and
obligations ..., everyone is entitled to a fair ... hearing ... by
[a] ... tribunal ...”
Article 1 of Protocol No. 1
“Every natural or legal person is entitled to the
peaceful enjoyment of his possessions. No one shall be deprived of
his possessions except in the public interest and subject to the
conditions provided for by law and by the general principles of
international law.
The preceding provisions shall not, however, in any way
impair the right of a State to enforce such laws as it deems
necessary to control the use of property in accordance with the
general interest or to secure the payment of taxes or other
contributions or penalties.”
A. Delayed enforcement of the final judgment
- The
applicant maintained her complaint.
- The
Government acknowledged a violation of Article 6 of the Convention in
that the judgment in the applicant’s favour had been enforced
with some delay.
1. Admissibility
- The
Court observes at the outset that the Government acknowledged a
violation of Article 6 on account of the delayed enforcement of the
applicant’s judgment debt, but made no acknowledgement as
regards the alleged violation of Article 1 of Protocol No. 1, nor
indicated whether any redress had been afforded to the applicant in
the above connection. In such circumstances, the Court is satisfied
that the applicant may still claim to be a “victim” of
the alleged violation of her rights under Article 6 of the Convention
and Article 1 of Protocol No. 1, in so far as the delayed enforcement
of the judgment in her favour is concerned.
- The Court further notes that this complaint is not
manifestly ill-founded within the meaning of Article 35 § 3 of
the Convention. It further notes that it is not inadmissible on any
other grounds. It must therefore be declared admissible.
2. Merits
- The
Court observes that the judgment of 3 December 2001 was upheld on
appeal on 30 January 2002, following which it became final and
enforceable. It further notes the Government’s allegation that
the writ of execution was only received by the respondent Ministry on
24 November 2004. In this respect, the Court reiterates that as soon
as the judgment in the applicant’s favour becomes enforceable,
it is incumbent on the State to comply with it (see Reynbakh v.
Russia, no. 23405/03, § 24, 29 September 2005). Furthermore,
a person who has obtained an enforceable judgment against the State
as a result of successful litigation cannot be required to resort to
enforcement proceedings in order to have it executed (see Koltsov
v. Russia, no. 41304/02, § 16, 24 February 2005;
Petrushko v. Russia, no. 36494/02, § 18,
24 February 2005; and Metaxas v. Greece, no.
8415/02, § 19, 27 May 2004). Having regard to these
principles, the Court therefore rejects the Government’s
argument and finds that in the present case the delay of execution
should be calculated from 30 January 2002.
- The
Court observes that the judgment in the applicant’s favour
remained inoperative until 30 October 2006, that is for four years
and nine months. No justification was advanced by the Government for
this delay.
- The
Court has frequently found violations of Article 6 § 1
of the Convention and Article 1 of Protocol No. 1 in cases raising
issues similar to the ones in the present case (see, among many other
authorities, Burdov v. Russia, no. 59498/00, ECHR
2002-III, or Poznakhirina v. Russia, no. 25964/02, 24
February 2005).
- Having
examined the material submitted to it, the Court notes that the
Government did not put forward any fact or argument capable of
persuading it to reach a different conclusion in the present case.
Having regard to its case-law on the subject, the Court finds that by
failing for years to comply with the enforceable judgment in the
applicant’s favour the domestic authorities prevented her from
receiving the money she could reasonably have expected to receive.
- There
has accordingly been a violation of Article 6 § 1 of the
Convention and Article 1 of Protocol No. 1.
B. Alleged unfairness of the proceedings for
compensation
- The
applicant submitted that the domestic courts had unjustifiably
rejected her arguments that the block of flats in which she lived,
and in particular her flat and her belongings, had been destroyed by
the federal armed forces, and that the weapons used by the armed
forces should be regarded as a “source of increased danger”
with the result that the armed forces should be liable for
compensation for damage caused by such a “source”. The
applicant contended that her claims had been based on generally known
facts concerning the use of heavy force and indiscriminate shelling
by the federal armed forces in Chechnya which had been available in
the mass media, and therefore she had been under no obligation to
prove those facts. She claimed that the court’s requirement for
her to submit evidence as to the type of weapon which had destroyed
her property; and which party to the conflict had used it had been
unjustified, as she had clearly been unable to identify that weapon,
or to find out which party had used it.
- The
Government argued that the principles of fairness and equality of
arms, as secured by Article 6 § 1 of the Convention,
were not breached in the applicant’s case. They pointed out
that under relevant national legislation the applicant was under an
obligation to submit evidence in support of her claims, and, in
particular, to prove that she had sustained damage, that it had been
caused by the defendant, and that there was a causal link between the
defendant’s actions and the infliction of damage. The
Government also submitted that under relevant national law the court
explained to the parties to the proceedings their procedural
obligations and rights, including their right to seek the court’s
assistance in collecting and obtaining evidence. They further argued
with reference to the transcript of the hearing of 3 December 2001
(see paragraph 65 above) that the applicant had received explanations
concerning her procedural rights, and that neither she nor her legal
counsel had filed any motions to request the court’s assistance
in obtaining evidence. The Government thus argued that the applicant
could not be said to have been placed under an excessive burden of
proof in the proceedings for compensation.
- The
Court, bearing in mind that the Convention is intended to guarantee
not rights that are theoretical or illusory but rights that are
practical and effective (see, for example, Airey v. Ireland, 9
October 1979, § 24, Series A no. 32), would not
exclude the possibility that in certain circumstances Article 6 §
1 of the Convention might require the domestic courts to assist the
most vulnerable party to the proceedings in collecting evidence in
order to enable that party to submit argument properly and
satisfactorily so that the principle of fairness is respected.
- The
Court is not convinced, however, that there were any deficiencies in
the proceedings in the present case that could bring Article 6 §
1 into play. Assuming that the applicant was, indeed, effectively
prevented from obtaining the necessary evidence in support of her
claims, the Court cannot but agree with the Government’s
argument that it was open to her to seek a domestic court’s
assistance in that respect. It is clear that the national law then in
force provided the applicant with this opportunity (see paragraph 67
above). The transcript of the court hearing of 3 December 2001
reveals that the applicant, who was represented by a lawyer, received
explanations concerning this procedural right, but that neither she
nor her representative ever attempted to avail themselves of that
opportunity. Moreover, the applicant never raised the issue of her
alleged inability to obtain evidence, or the alleged lack of
assistance on the part of the first-instance court, in her appeal to
a higher court.
- The
Court further observes that the domestic courts duly addressed all
the arguments raised by the applicant in her written submissions and
orally during the hearing of 3 December 2001 and provided reasons for
rejecting them. The fact that the applicant disagreed with the
courts’ finding does not raise any issues under the Convention
in the circumstances of the present case. Overall, having regard to
the materials in its possession, the Court can find no indication
that the applicant was not fully able to state her case and to
present her arguments as she wished, or that the judicial authorities
did not give them due consideration. It
therefore sees no reason to believe that the proceedings in question
did not comply with the fairness requirement of Article 6 § 1 of
the Convention.
- It follows that this
complaint is manifestly ill-founded and must be rejected in
accordance with Article 35 §§ 3 and 4 of the Convention.
C. Alleged destruction of the applicant’s
property
- The
applicant insisted that the block of flats in which she lived had
been destroyed as a result of a missile strike, and argued that the
missiles had presumably been in the exclusive possession of the
federal armed forces. According to her, she had submitted photographs
of the destroyed block of flats and a hole left by a missile in its
walls to the domestic courts. She also argued that the information
concerning the use of heavy weapons and indiscriminate shelling by
the federal troops in Chechnya had been generally known and
accessible in the mass media. The applicant thus contended that by
destroying her property and refusing to award her any compensation in
that connection, the State had breached her rights secured by Article
1 of Protocol No. 1.
- The
Government made no particular submissions on the issue.
- The Court reiterates at the outset that it is for the
applicant complaining of an interference with his rights under the
Convention to provide prima facie evidence to
this effect (see, among others, Z.M. and K.P. v. Slovakia
(dec.), no. 50232/99, 18 November 2003). In assessing evidence, the
Court adopts the standard of proof “beyond reasonable doubt”.
Such proof may follow from the coexistence of sufficiently strong,
clear and concordant inferences or of similar unrebutted presumptions
of fact. The Court is sensitive to the subsidiary nature of its role
and must be cautious in taking on the role of a first-instance
tribunal of fact, where this is not rendered unavoidable by the
circumstances of a particular case. Where domestic proceedings have
taken place, it is not the Court’s task to substitute its own
assessment of the facts for that of the domestic courts and as a
general rule it is for those courts to assess the evidence before
them. Though the Court is not bound by the findings of domestic
courts, in normal circumstances it requires cogent elements to lead
it to depart from the findings of fact reached by those courts (see
Matyar v. Turkey, no. 23423/94, §§ 107-108, 21
February 2002).
- Turning to the present case, the Court notes first of
all that the applicant has not furnished it with any document proving
that she had a property right in the destroyed flat. The only
relevant document she has submitted is the housing warrant (see
paragraph 6 above), from which it can be ascertained that she had the
right to live in that flat, but it is unclear whether she was the
flat’s tenant or its owner. Moreover, the first instance court
did not make any findings in this respect either, having only
established, with reference to eye witness statements, the existence
of certain property inside the destroyed flat (see paragraph 33
above). The Court, however, does not consider it necessary to
establish the scope of the applicant’s property in the present
case for the following reasons.
- It
observes that similar complaints concerning the destruction of
property during the conflict in Chechnya were examined in the case of
Umarov v. Russia and found inadmissible on the ground that the
applicant had failed to substantiate them (see Umarov v. Russia
(dec.), no. 30788/02, 18 May 2006). Likewise, in the instant case the
applicant has not produced any evidence in support of her complaints
made to the Court that the destruction of her possessions was
imputable to the State which could enable the Court to depart from
the findings of the domestic courts. The only relevant document
submitted by the applicant is a certificate issued by a housing
authority on 21 June 2000 stating that the applicant’s flat had
been destroyed during the military actions on 4 January 2000 (see
paragraph 11 above). This document gives no indication as to the
cause of the destruction. Apart from this certificate, the applicant
has not furnished the Court with any documents, such as witness
statements, plans, photographs or a video recording of the scene of
the incident, documents from public bodies, or any other evidence
confirming the involvement of the State agents in inflicting damage
on her property (see, by contrast, Khamidov v. Russia,
no. 72118/01, §§ 63-72, 136 and 138, ECHR
2007 ... (extracts). The Court is sceptical about the
applicant’s allegation that she had adduced photographs showing
a missile hole in the walls of the destroyed block of flats to the
domestic courts, as the enclosures listed in the applicant’s
written submissions to the District Court (see paragraph 28 above),
or the materials listed in the transcript of the court hearing of
3 December 2001 (see paragraph 65 above) do not mention any
photographs among the adduced documents. Also, the applicant has not
submitted any such photographs, if they exist, to the Court, or given
any reasons preventing her from submitting this evidence. Nor has she
relied on any independent sources to confirm that on the date in
question there was an attack by federal forces resulting in the
damage alleged (see, by contrast, Isayeva v. Russia, no.
57950/00, §§ 28 and 111-115, 24 February 2005).
- Having regard to the general situation prevailing in
the region at the material time, the Court notes that violent
confrontations took place between the federal armed forces and rebel
fighters particularly in late 1999 – early 2000, this two-sided
violence ensuing from the acts of both parties to the conflict and
resulting in destruction of the property of many residents of
Chechnya. It is not convinced that in such circumstances the State
may or should be presumed responsible for any damage inflicted during
the military operation, and that the State’s responsibility is
engaged by the mere fact that the applicant’s property was
destroyed.
- In
the light of the foregoing, and bearing in mind its above finding
that the principle of fairness was respected during the examination
of the applicant’s civil case (see paragraph 102 above), the
Court is unable to depart from the findings of the domestic courts
and reach the conclusion that the applicant’s possessions were
destroyed, as alleged, by the Russian troops. The Court therefore
finds that the applicant’s complaints as to the State’s
responsibility for the damage to her property, and the claims for
compensation, have not been substantiated.
- It
follows that this complaint is manifestly ill-founded and must be
rejected in accordance with Article 35 §§ 3 and 4 of the
Convention.
III. 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.”
- The
applicant did not submit a claim for just satisfaction. Accordingly,
the Court considers that there is no call to award her any sum on
that account.
FOR THESE REASONS, THE COURT UNANIMOUSLY
- Joins to the merits the Government’s
objection concerning the exhaustion of domestic remedies and rejects
it;
- Declares the applicant’s complaint under
Article 2 of the Convention concerning the alleged ineffectiveness of
the investigation into her husband’s death and her complaint
under Article 6 of the Convention and Article 1 of Protocol No. 1
concerning the delayed enforcement of the judgment in her favour
admissible and the remainder of the application inadmissible;
- Holds that there has been a violation of Article
2 of the Convention on account of the authorities’ failure to
carry out an adequate and effective investigation into the
circumstances surrounding the death of the applicant’s husband;
- Holds that there has been a violation of Article
6 of the Convention and Article 1 of Protocol No. 1 to the Convention
on account of the delayed enforcement of the judgment in the
applicant’s favour.
Done in English, and notified in writing on 11 December 2008,
pursuant to Rule 77 §§ 2 and 3 of the Rules of Court.
Søren Nielsen Christos Rozakis
Registrar President