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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 >> Norris v United States of America & Ors [2007] EWHC 71 (Admin) (25 January 2007) URL: http://www.bailii.org/ew/cases/EWHC/Admin/2007/71.html Cite as: [2007] 1 WLR 1730, [2007] WLR 1730, [2007] UKCLR 1487, [2007] EWHC 71 (Admin), [2007] 2 All ER 29 |
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QUEEN'S BENCH DIVISION
ADMINISTRATIVE COURT
IN THE MATTER OF SS. 103 AND 108 OF THE EXTRADITION ACT 2003
Strand, London, WC2A 2LL |
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B e f o r e :
and
THE HONOURABLE MR JUSTICE FIELD
____________________
IAN NORRIS |
Appellant |
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-and- |
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THE GOVERNMENT OF THE UNITED STATES OF AMERICA THE SECRETARY OF STATE FOR THE HOME DEPARTMENT BOW STREET MAGISTRATES' COURT GOLDSHIELD GROUP PLC SERIOUS FRAUD OFFICE |
First Respondent Second Respondent Third Respondent First Intervening Party Second Intervening Party |
____________________
Mr David Perry QC and Miss Adina Ezekiel for the First Respondent
Mr Khawar Qureshi QC for the Second Respondent
Mr David Vaughan QC, Mr Thomas de la Mare and Ms Sarah Ford for the First Intervening Party
Mr Richard Lissack QC, Mr James Flynn QC and Ms Eleanor Davison for the Second Intervening Party
Hearing dates: 17th & 18th October 2006
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Crown Copyright ©
Lord Justice Auld :
Introduction and the issues
1. whether the offences specified in the extradition request are extradition offences within section 137 of the 2003 Act, more particularly:1) whether the price-fixing conspiracy alleged against Mr Norris constituted a criminal offence, whether of common law conspiracy to defraud or otherwise, in England & Wales at the time it is alleged to have taken place ("the conspiracy to defraud issue"); and2) if such conduct was capable of constituting a common law conspiracy to defraud, whether, nevertheless it could not have amounted to an extradition offence within section 137 because the United States offence of price-fixing does not require proof of dishonesty, and would not, therefore, if committed in England & Wales, have constituted such a conspiracy ("the double criminality issue");2. insofar as the allegations concern conspiracy to obstruct the course of justice and tampering with and obstructing justice, whether obstruction of foreign investigators, in this instance United States investigators, would have constituted an extradition offence if committed here ("the transposition issue");
3. whether it would be unjust or oppressive under section 82 of the 2003 Act, to extradite him to the United States, given the passage of time since he is alleged to have committed the offences ("the delay issue"); and
4. whether, as required by section 87 of the 2003 Act, his extradition would be compatible with his rights under Article 8 of the European Convention of Human Rights ("ECHR") to respect for his private and family life, and his right not to be discriminated against on grounds of nationality under Article 14 ECHR ("the human rights issue").
The facts
United States Government's allegations
"The conspirators routinely sold product to their customers pursuant to their agreement to avoid price competition. In effect, the conspirators defrauded their customers by requiring that they pay higher prices than they might otherwise have paid had there been no conspiracy."
"Norris and his subordinates discussed ways in which they could conceal the true purpose of the price-fixing meetings when asked about them. They decided to falsely characterise their meetings with competitors as discussions of legitimate joint ventures rather than disclose the fact that they were price-fixing meetings.
Norris expressed his concern that the United States investigators would not believe Morgan's false explanation that the meetings were held to discuss joint ventures, in part because Morgan had no contemporaneous notes from the meetings to support its joint venture explanation. Norris then directed his subordinates to create false summaries of the price-fixing meetings that they would use as a guide or script in answering any future questions about what had occurred at their meetings. "
The United States proceedings and extradition request
"Every contract, combination in the form of trust or otherwise, or conspiracy in restraint of trade or commerce among several states, or with foreign nations, is declared to be illegal. Every person who shall make any contract or engage in a combination or conspiracy hereby declared illegal shall be deemed guilty of a felony, and, on conviction thereof, shall be punished by fine not exceeding $10,000,000 if a corporation, or if any person, $350, 000, or by imprisonment not exceeding three years, or by both said punishments, in the discretion of the court."
"[b]etween 1989 and May 2000, [he] conspired with persons known and unknown to suppress and eliminate competition by fixing the prices of certain carbon products to be sold in the United States and elsewhere in unreasonable restraint of interstate and foreign trade and commerce."
"Between 1st day of January 1989 and 31st day of May 2000 conspired together with executives, employees and officers of the companies [Morgan etc.] and other persons unknown to defraud buyers of carbon products by dishonestly entering into an agreement to fix, maintain and co-ordinate the price for the supply of carbon products in the United States of America."
"11 Section One of the Sherman Act declares conspiracies and agreements which unreasonably restrain interstate trade and commerce as illegal. Not all restraints of trade are unreasonable; however, certain types of conduct are regarded as unreasonable per se. This means that the mere doing of the act itself constitutes an unreasonable restraint on commerce, and it is not necessary to consider why the act was committed or what effect it had on the industry. Agreements among competitors to fix prices or rig bids are such per se unreasonable restraints of trade and commerce and are illegal and there is no defence or legal justification for a conspiracy. the law is violated even if the agreement did not contemplate the elimination of all price competition.
The heart of a Section One Sherman Act violation is that the defendant and others joined in an unlawful conspiracy or agreement with each other which, if carried out or put into effect, would impose an unreasonable restraint upon interstate or foreign trade or commerce.
To satisfy its burden of proof and convict Norris on Count 1, the government, at trial, must establish beyond a reasonable doubt each of the following essential elements: (a) that two or more persons entered into an agreement to fix the price of relevant carbon products; (b) that the conspiracy existed at or about the time stated in the second superseding indictment; (c) that Norris knowingly became a member of the conspiracy; and (d) that the conspiracy restrained interstate or foreign commerce or trade. ."
"2. Between April 1999 and August 2001 conspired with persons known and unknown to tamper with witnesses and corruptly to persuade other persons to alter, destroy, mutilate or conceal records and documents with intent to prevent their availability to the grand jury by
(a) providing false and fictitious relevant information to the federal grand jury ;(b) preparing a 'script' containing false material information which was to be followed by anyone questioned by either the Anti-Trust Division or the federal grand jury;(c) contacting other persons who had information relevant to the investigation being [ ] and distributing the 'script' with instructions that it is followed when answering questions posed either by the Anti-Trust Division or the federal grand jury;(d) removing, concealing or destroying from their business files any documents which contained evidence of an anti-competitive agreement or reflected contacts between or among the co-conspirators; and(e) persuading, directing and instructing other person to remove, conceal or destroy any documents which contained evidence of an anti-competitive agreement or reflected contacts between or among their competitors.
3. Between November 1999 and February 2001, corruptly persuaded and attempted to persuade persons with intent to influence their testimony in an official proceeding, that is, the federal grand jury investigating, amongst other things, possible federal criminal Anti-Trust violations occurring in the carbon products industry.
4. Between April 1999 and August 2001, knowingly and corruptly persuaded other persons with intent to cause or induce those persons to alter, destroy, mutilate or conceal records and documents, with intent to impair their availability for use in an official proceeding, that is, the federal grand jury investigating, amongst other things, possible federal criminal Anti-Trust violations occurring in the carbon products industry."
The 2003 Act
"44. The absence of reciprocity nevertheless provides the basis for Mr Jones' primary complaint. He accepted that if the 2003 Treaty had been ratified by the United States within the short period envisaged by Article 23, then the extradition arrangements between the two countries would have been far more symmetrical, and that the 1972 Treaty would have ceased to provide the claimant with the treaty rights for which he contends. Indeed, whenever it is so ratified, any such rights will be extinguished. Mr Jones was unable to show any previous authority in the United Kingdom which suggested that the 1972 Treaty, standing alone, created personal rights enforceable by its individual citizens. The Treaty specified the circumstances in which the governments of the United Kingdom and United States agreed that extradition would, or would not, take place and they bound themselves to a series of pre-conditions which would govern the extradition process. Thereafter, the rights of citizens of the United Kingdom were governed by domestic legislative arrangements which ensured that the extradition process should be subject to judicial oversight The Treaty reflected the relationship agreed between the United Kingdom and the United States for the purposes of extradition, rather than the municipal rights of United Kingdom citizens, enforceable against their own government. In brief, therefore, their rights were provided and guaranteed not by treaty, but by domestic legislation.
45. That forms the context in which to consider the Order, which deprives the claimant of the protective condition found in article IX 1972 Treaty. The protective conditions in the 1972 Treaty, and in particular Article IX, cannot obstruct, or hinder, or postpone the application of the 2003 Act, or defer the impact of the new legislative structure. The Act itself does not provide that the wide powers granted to the Secretary of State may not be exercised, or that he should postpone making designation orders, or delay the enforcement of those orders until reciprocity is achieved."[2]
"Under the federal law of the United States, a criminal prosecution is commenced when a grand jury files an indictment The purpose of the grand jury is to review the evidence of crimes presented to it by the United States law enforcement authorities. After independently reviewing this evidence, each member of the grand jury must determine whether there is probable cause to believe that a crime has been committed and that a particular person committed that crime. If at least 12 jurors find that the evidence they have reviewed provides probable cause to believe that a particular person committed the crime, the grand jury may return an indictment. An indictment is a formal written accusation that charges the particular person, now a defendant, with a crime, identifies the specific laws that the defendant is accused of violating and specifies the date and place where the charged crime occurred." (my emphasis)
1. whether, as required by section 78(2), the material put before him, includes "(b) particulars of the offence specified in the request" not in issue;2. if that and the other requirements of section 78(2) are satisfied, whether, pursuant to section 78(4), among other matters, "the offence specified in the extradition request is an extradition offence", namely one in which "the conduct would constitute an offence" punishable with a custodial penalty of at least 12 months if it occurred in this country (section 137(2)(b) issue 1(1) the conspiracy to defraud issue and issue 1(2) the double criminality issue);
3. if so, whether, pursuant to section 79, there are no bars to extradition, including (c) "the passage of time", namely where, as stated in section 82, it appears that "it would be unjust or oppressive to extradite [Mr Norris] by reason of the passage of time since he is alleged to have committed the extradition offence" issue 3 the delay issue; and
4. whether, pursuant to section 87, Mr Norris's extradition would be compatible with his ECHR rights within the meaning of the Human Rights Act 1998 ("the HRA") issue 4 the human rights issue.
Issue 1 whether, as required by section 78(4)(b), the offence specified in the extradition request is "an extradition offence" as defined in section 137(2)(b)
"(1) This section applies in relation to conduct of a person if
(a) he is accused in a category 2 territory of the commission of an offence constituted by the conduct, or ;(b) he is alleged to be unlawfully at large after conviction by a court in a category 2 territory of an offence constituted by the conduct and he has not been sentenced for the offence.
(2) The conduct constitutes an extradition offence in relation to the category 2 territory if these conditions are satisfied
(a) the conduct occurs in the category 2 territory;(b) the conduct would constitute an offence under the law of the relevant part of the United Kingdom punishable with imprisonment or another form of detention for a term of 12 months or a greater punishment if it occurred in that part of the United Kingdom;(c) the conduct is so punishable under the law of the category 2 territory (however it is described in that law).
(3) The conduct also constitutes an extradition offence in relation to the category 2 territory if these conditions are satisfied
(a) the conduct occurs outside the category 2 territory(b) the conduct is punishable under the law of the category 2 territory with imprisonment or another form of detention for a term of 12 months or a greater punishment (however it is described in that law);(c) in corresponding circumstances equivalent conduct would constitute an extra-territorial offence under the law of the relevant part of the United Kingdom punishable with imprisonment or another form of detention for a term of 12 months or a greater punishment. "
Issue 1(1) conspiracy to defraud - whether price-fixing was capable at the material time of amounting to the English common law offence of conspiracy to defraud
a) 19th and early 20th Century case law, which he maintained, shows that anti-competitive agreements did not in themselves constitute a criminal offence at common law, even if made in the knowledge that that they will or may injure somebody;
b) the introduction in the latter half of the 19th Century of statutory regulation of anti-competitive agreements policed by civil, but not criminal, law sanctions, which, he maintained, reflected the position at common law;
c) the existence, he suggested, of an understanding in Parliament, (in particular in the enactment of the 2002 Act) and of the Government, the principal regulator and the major commentators, that, at common law, price-fixing absent a super-added element of fraud or dishonesty was not a criminal conspiracy to defraud; and,
d) unfair retrospective criminal liability, resulting, he suggested, from lack of clarity at the material time as to whether there could be a common law conspiracy to defraud in relation to price-fixing.
a) Common Law
" no contract was ever an offence at common law merely because it was in restraint of trade. The parties to such a contract, even if unenforceable, were always at liberty to act upon it in the manner agreed. Similarly, combinations, not amounting to contracts, in restraint of trade were never unlawful at common law. To make any such contract or combination unlawful it must amount to a criminal conspiracy, and the essence of a criminal conspiracy is a contract or combination to do something unlawful, or something lawful by unlawful means. The right of an individual to carry on his trade or business in the manner he considers best in his own interests involves the right of combining with others in a common course of action, provided such common course of action is undertaken with a single view to the interests of the combining parties and not with a view to injure others (the Mogul Steamship Case [(188) 23 QBD 598 (CA), [1892] AC 25 (HL)] "
"If, of course, there is any combination to make misrepresentations express or implied with intent to deceive the seller, which are proved to have deceived the seller, the seller will presumably have his remedy, and the agreement so to deceive will be illegal and unenforceable."
" 'with intent to defraud' means 'with intent to practise a fraud' on someone or other If anyone may be prejudiced in any way by the fraud that is enough."
"In a great many and it may be the vast majority of fraud cases the fraud has been perpetrated by deceit It does not, however, follow that that it is an exhaustive definition of what is meant by 'defraud'.
'to defraud' ordinarily means to deprive a person dishonestly of something which is his or of something to which he is or would or might but for the perpetration of the fraud be entitled."
and a conspiracy to defraud is:
" an agreement to deprive a person of something which is his or to which he is or would be or might be entitled and an agreement by dishonesty to injure some proprietary right of his, suffices to constitute the offence of conspiracy to defraud."
" it is enough for example that, as in Reg v Allsop and that in the present case, the conspirators have dishonestly agreed to bring about a state of affairs which they realise will or may deceive the victim into so acting, or failing to act, that he will suffer economic loss or his economic interests will be put at risk. It is however important in such a case, as the Court of Appeal stressed in Reg v Allsop, to distinguish a conspirator's intention (or immediate purpose) dishonestly to bring about such a state of affairs from his motive (or underlying purpose). The latter may be benign to the extent that he does not wish the victim or potential victim to suffer harm; but the mere fact that it is benign does not prevent the agreement from constituting a conspiracy to defraud. "
" cannot simply recycle the basic elements of a cartel secrecy, price-fixing, the fact that loss will be caused to consumers (for which they have a right to claim damages etc.) to create dishonesty. The dishonesty required in law is far more than the natural characteristics of a cartel."
He pointed to the different ways in which the United States and European Countries had dealt with cartels where they gave rise to controlling oligopolies, the United States expressly criminalising them in 1890 by the Sherman Act and the European Countries, after a period of toleration, subjecting them to a civil law/regulatory system requiring registration and, in default, civil law remedies.
"There should be little, if any difficulty in proving dishonesty where the cartel agreement involved the taking of active steps to mislead counterparties into a belief that the parties to the agreement were engaged in normal competition with each other for the counterparties' business and, when the agreement was made, the parties knew that such steps would be taken. Examples of such active steps are the quotation of cover prices and the making of representations or the giving of warranties that offers are being made competitively. Equally, dishonesty may be clearly negatived, e.g. where a person requesting bids is informed by potential bidders, before they bid, that they have entered into the relevant arrangements with regard to the making of the bids.
But there is a middle ground where the position will be less clear. Whereas, as has already been observed, until about the middle of the 20th Century cartelisation was quite normal in the United Kingdom, it is, in general, no longer normal. On the contrary, cartelisation is now generally unlawful, even though neither Article 81 of the EC Treaty nor Chapter I of the UK Competition Act 1998, which contain the relevant provisions of competition law, itself criminalises even 'hard-core' anti-competitive agreements. It follows that in many situations today third parties who deal with undertakings that are in fact parties to cartel agreements will proceed on the assumption that they are dealing with undertakings that are lawfully engaged in normal competition with each other; and the cartelists will know that that is so and will, in effect act in a dishonest and therefore criminal manner, if the existence of the cartel is kept secret. They will then be dishonestly taking advantage of third parties' mistaken assumption that they are dealing with undertakings that are engaged in lawful competition with each other."
The greater the efforts of the parties to a cartel to keep it secret, the more readily a jury might infer:
• that the intention of the cartelists was to preserve an illusion that they were engaged in normal and bona fide competition with each other (cf the illusion of a normal and bona fide auction in R v Lewis)
• that the cartelists had an actual and dishonest appreciation that loss or risk of possible loss by counterparties would, or was likely to, follow from the cartelists' conduct (see Wai Yu-Tsang v R [1992] 1 AC 269 (PC)."
(b) Introduction in the second half of the 19th Century of legislative regulation of anti-competitive agreements
"No criminal proceedings shall lie against any person on the ground that he has committed, or aided, abetted, counselled or procured the commission of, or conspired or attempted to commit, or incited others to commit, any contravention of this section." [my emphasis]
" the Act calls for the registration of agreements providing for restrictive trade practices, and enables the court, on the application of the Director, to declare whether the restrictions are contrary to the public interest. A failure to register the agreement in the time allowed by section 24 renders the agreement void in respect of all restrictions accepted and makes it unlawful for the parties to the agreement to give effect to those restrictions: section 35(1). This unlawful behaviour may give rise to civil proceedings by a person affected, but is not a criminal offence: section 35(2). The only remedy available to the Director is to seek an order of the court restraining the parties from giving effect to the agreement or other agreements which contravene section 35(1) and to bring proceedings for contempt of court if that order is disobeyed: section 35(3)." [my emphasis]
"where an act or omission constitutes an offence under two or more Acts, or both under an Act and at common law, the offender shall, unless the contrary intention appears, be liable to be prosecuted under either or any of those Acts or at common law, but shall not be liable to be punished more than once for the same offence."
(c) A common understanding of the position at common law by Parliament, the Government, the principal regulator and the major commentators.
(d) Unfair retrospective criminal liability
" no one should be punished under a law unless it is sufficiently clear and certain to enable him to know what conduct is forbidden before he does it; and no one should be punished for any act which was not clearly and ascertainably punishable when the act was done."
Lord Bingham added, at para 36, consistently with observations of the European Commission of Human Rights in X Ltd and Y v United Kingdom (1982) 2 DR 77, at para 9 and of the European Court in SW and CR v United Kingdom [1995] 21 EHRR 363, ECtHR:
"If the ambit of a common law offence is to be enlarged, it 'must be done step by step on a case by case basis and not with one large leap': R v Clark (Mark) [2003] 2 Cr App R 363, para 13."
Issue 1(2) the double criminality issue - whether, if price-fixing is capable of constituting the English offence of conspiracy to defraud, of which dishonesty is an essential ingredient, the absence of such ingredient in the United States offence of price-fixing prevents the alleged conduct of Mr Norris from being an extradition offence within section 137
"In the case of a fugitive criminal accused of an extradition crime, if the foreign warrant authorising the arrest of such criminal is duly authenticated, and such evidence is produced as (subject to the provisions of this Act) would, according to the law of England, justify the committal for trial of the prisoner if the crime of which he is accused had been committed in England, the police magistrate shall commit him to prison, but otherwise shall order him to be discharged." [my emphasis]
"The jurisdiction of the magistrate is derived exclusively from the statute. It arises when a person who is accused of conduct in a foreign state, which if he had committed in England would be one described in the 1870 list "
See also to like effect, McCaffety per Lord Diplock, at 873A-B.
"conduct in the territory of a foreign state which, if it occurred in the United Kingdom, would constitute an offence punishable with imprisonment for a term of twelve months, or any greater punishment, and which, however described in the law of the foreign country is so punishable under that law."
"(1) This section applies to conduct of a person if
(a) he is accused in a category 2 territory of the commission of an offence constituted by the conduct, or
(2) The conduct constitutes an extradition offence in relation to the category 2 territory if these conditions are satisfied
(a) the conduct occurs in the category 2 territory;
(b) the conduct would constitute an offence under the law of the relevant part of the United Kingdom punishable with imprisonment or another form of detention for a term of 12 months or a greater punishment if it occurred in that part of the United Kingdom;
(c) the conduct is so punishable under the law of the category 2 territory (however it is described in that law)."
"the conduct would constitute an offence under the law of the relevant part of the United Kingdom if it occurred in that part of the United Kingdom."
"16. 'the conduct' in section 65 means the conduct complained of or relied on in the warrant. Such a reading is consistent with the language and purpose of the Framework Decision, obviates the need for an undesirable inquiry into the niceties of foreign law and is consistent, so far as that is relevant, with the earlier decision of the House in Nielson. [at] 614-615.
17. It is enough, under subsection 3(a), if some of the conduct complained of or relied on occurred in the category 1 territory"
Issue 2 the transposition issue - whether the alleged conduct of obstructing justice in the United States would, if it had occurred here, have constituted offences here
"Having heard the competing contentions of the parties, and helpful submission on behalf of the United States Government, we have inevitably formed tentative views on the likely outcome if the matter were to proceed before the magistrate. Since the [Company Securities (Insider Dealing) Act 1985] proscribes only insider dealing in listed securities on the London Stock Exchange, it would appear doubtful whether the applicant's dealing on the New York and Pacific Stock Exchanges, even if conducted in England and Wales, would constitute a crime punishable under the law of this country. But it may be that for present purposes the Act of 1985 is to be read as having a broader and less domestic application. "
"107. Crimes which are the natural subject of extradition proceedings are almost invariably committed abroad and as such are usually outside the jurisdiction of the English courts, however widely that expression may be construed. So the conduct which constitutes an extradition crime does not consist of acts which actually were committed in England or within English jurisdiction, but rather conduct which would constitute a crime under English law if the acts in question were so committed. The test, therefore, is a hypothetical one, which calls for some degree of transposition.
108. In R v Governor of Pentonville Prison, ex p Tarling [1978] 70 Cr App R 77 Lord Keith of Kinkel stated, at p 136:
'In considering the jurisdiction aspect it is necessary to suppose that England is substituted for Singapore as regards all the circumstances of the case connected with the latter country '
109. I think that is the correct way to effect the transposition. The principle at work is mutatis mutandis. the test is applied by substituting England for the requesting state wherever the name of the requesting state appears in the indictment.
110. it is necessary to effect an appropriate substitution for every circumstance connected with the requesting state on which the jurisdiction is founded. "
Issue 3 - Delay
" is barred by reason of the passage of time if (and only if) it appears that it would be unjust or oppressive to extradite him by reason of the passage of time since he is alleged to have committed the extradition offence "
"?Unjust' I regard as directed primarily to the risk of prejudice to the accused in the conduct of the trial itself, "oppressive" as directed to hardship to the accused resulting from changes in his circumstances that have occurred during the period under consideration; but there is room for overlapping, and between them they cover all cases where to return him would not be fair. Delay in the commencement or conduct of extradition proceedings which is brought about by the accused himself cannot be relied upon as a ground for holding it to be either unjust or oppressive to return him. Any difficulties that he may encounter in the conduct of his defence in consequence of the delay due to such causes are of his own choice and making. Save in the most exceptional cases it would neither be unjust or oppressive that he should be required to accept them.
As respects delay which is not brought about by the acts of the accused himself, however, the question of where responsibility lies for the delay is not generally relevant. What matters is not so much the cause of such delay as its effect; or, rather, the effects of those events which would not have happened before the trial of the accused if it had taken place with ordinary promptitude. So the court is not normally concerned with what could be an invidious task of considering whether mere inaction of the requesting government or its prosecuting authorities which resulted in delay was blameworthy or otherwise."
Human Rights
Article 8
"1. Everyone has the right to respect for his private and family life, his home and his correspondence.
2. There shall be no interference by a public authority with the exercise of this right except such as in accordance with the law and is necessary in a democratic society for the prevention of disorder or crime, or for the protection of the rights and freedoms of others."
"The notion of necessity implies a pressing social need and requires that the interference at issue be proportionate to the legitimate aim pursued. The Commission considers that it is only in exceptional circumstances that the extradition of a person to face trial on charges of serious offences committed in the requesting State would be held to be an unjustified or disproportionate interference with the right to respect for family life. "
"17. . Issue is taken whether there should be a criminal trial in America. The Government wants to prosecute Mr Norris for alleged offences committed within its jurisdiction. Firstly, for a cartel offence, the impact of which was to cause prejudice to the economic interests of other companies operating in America. Secondly, for obstruction of justice offences, aimed at the federal grand jury sitting in Pennsylvania. This is very much an American case. It cannot be claimed that there was only some minor or tangential basis for the Government to claim jurisdiction. The fact that it might have been possible for criminal charges to have been preferred against Mr Norris in the UK is not a reason to deny jurisdiction to a state which has a very real and obvious reason to want to prosecute. The Extradition Act 2003 makes provision for how the extradition court should deal with those cases where a domestic prosecution is underway. Had Mr Norris been charged here I would have to adjourn the extradition hearing in accordance with section 88. No such domestic prosecution is underway or even contemplated. The UK Secretary of State has certified that this extradition request is valid and has been made in the approved way. I cannot envisage any circumstance where the proper application of Article 8 would result in this court refusing an extradition request on the basis that it might have been possible to prosecute a defendant in the UK but no such prosecution is either underway or proposed.
18. Having regard to all the material put before me in support of the section 82 submission, together with submissions dealt with in paragraph 17 I have to ask myself whether the proposed extradition of Mr Norris serves a legitimate aim as identified in the second paragraph to Article 8. The proper workings of extradition arrangements are fundamental to the prevention of crime. As was decided in the Launder case one is looking for exceptional circumstances that might show that the extradition would be unjustified and a disproportionate interference with the right to respect of family life. No such circumstance is established in this case. This is a serious case in which important issues arise. Mr Norris's own expert on American criminal law offered some reassurance by confirming the constitutional and statutory safeguards available in America that are designed to ensure that criminal allegations are adjudicated upon fairly and justly. I note that there have been no submissions made under section 91 to the effect that Mr Norris's physical or mental condition is such that it would be unjust or oppressive to extradite him. "
1) the circumstances in which the appellant is likely to be kept before trial in the United States are markedly more severe than those applicable to defendants of United States nationality (referred to in the evidence of Lawrence Byrne);
2) the time that has passed since the commission of the alleged offences, and the time when they became public;
3) the fact that the United States authorities have refused to disclose any evidence, so that attempts to start preparation in advance for the trial process in the United States are severely impeded;
4) the appellant's poor health and his family circumstances; and
5) the likely punishment if he is convicted, having regard to the Federal Sentencing Guidelines.
" If a person's proposed extradition for a serious offence will separate him from his family, Article 8(1) is likely to be engaged on the ground that his family life will be interfered with. The question then, will be whether the extradition is nevertheless justified pursuant to Article 8(2). Assuming compliance with all the relevant requirements of domestic law, the issue is likely to be one of proportionality: is the interference with family life proportionate to the legitimate aim of the proposed extradition? Now, there is a strong public interest in 'honouring extradition treaties made with other states' (Ullah, paragraph 24). It rests in the value of international co-operation pursuant to formal agreed arrangements entered into between sovereign states for the promotion of the administration of criminal justice. Where a proposed extradition is properly constituted according to the domestic law of the sending State and the relevant bilateral treaty, and its exclusion is resisted on Article 8 grounds, a wholly exceptional case would in my judgment have to be shown to justify a finding that the extradition would on the particular facts be disproportionate to its legitimate aim."
Article 14
Mr Justice Field:
Note 1 Extradition Act 2003 (Designation of Part 2 Territories) Order 2003 (SI No 3334) [Back] Note 2 On 20th June 2006 the House of Lords refused Mr Norriss petition for permission to appeal. [Back] Note 3 Cartel Agreements, Criminal Conspiracy and the Statutory Cartel Offence, (2005) 26 ECLR, vol 2 3, p 5 [Back] Note 4 Criminal Law: Cases and Materials, 7th ed. pp370-373 [Back] Note 5 On 1st March 2001 price-fixing agreements became subject to the prohibition in Chapter 1 of the Competition Act 1998 unless exempted under the provisions of the Act, which, while providing for a number of criminal offence in relation to the furnishing of particulars, did not criminalise the breach of the prohibition itself. [Back] Note 6 See Lever & Pike, op cit, pp 29- 31 [Back] Note 7 Criminal Law, 11th ed, at 382 [Back] Note 8 in its Report No 276 on Fraud (July 2002) [Back] Note 9 in its paper Fraud Law Reform: Consultation on Proposals for Legislation (May 2004) [Back] Note 10 See Articles 2 and 3 of the Extradition Act 2003 (Designation of Part 2 Territories) Order 2003 ( SI No 3334) and sections 71(4), 73(5), 84(7) and 86(7) of the 2003 Act [Back] Note 11 Section 26 of and Schedule 1 to the 1870 Act, as amended by section 38(4) and paragraph 20 of Schedule 20 to the 1989 Act and Article III of Schedule 1 to the United States of America (Extradition) Order 1976 [Back] Note 12 Jones & Doobay On Extradition and Mutual Assistance, 3rd ed., pp 157-158, para 6-035
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