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Bropho v State of Western Australia (Corrigendum dated 4 July 2007) [2007] FCA 519 (13 April 2007)
Last Updated: 5 August 2009
FEDERAL COURT OF AUSTRALIA
Bropho v State of Western Australia [2007] FCA 519
SUMMARY
BELLA BROPHO on behalf of the Members of the Swan Valley Nyungah Community
Aboriginal Corporation and Aboriginal inhabitants of Reserve
43131 v STATE OF
WESTERN AUSTRALIA, ABORIGINAL AFFAIRS PLANNING AUTHORITY and BARRY CHARLES
JAMESON
WAD 157 of 2003
BELLA BROPHO on behalf of the Members of the Swan Valley Nyungah Community
Aboriginal Corporation and Aboriginal inhabitants of Reserve
43131 v STATE OF
WESTERN AUSTRALIA, ABORIGINAL AFFAIRS PLANNING AUTHORITY and BARRY CHARLES
JAMESON
WAD 204 of 2004
NICHOLSON J
13 APRIL 2007
PERTH
SUMMARY
In accordance with the practice of the Federal Court in some cases of public
interest, importance or complexity, the following summary
has been prepared to
accompany the announcement of reasons. This summary is intended to assist in
understanding the outcome of this
proceeding and is not a complete statement of
the conclusions reached by the Court. The only authoritative statement of the
Court’s
reasons is that contained in the published reasons for judgment
which will be available on the internet at www.fedcourt.gov.au together with this
summary.
The applicant in both claims, Bella Bropho, is an Aboriginal person of
Nyungah origin. She has been at all relevant times a Governing
Committee
member, Vice-Chairperson, spokesperson and member of Swan Valley Nyungah
Community Aboriginal Corporation (the SVC). As
applicant, Ms Bropho claims to
represent all persons who are Aboriginal persons of Nyungah origin and members
of the SVC who were
Aboriginal inhabitants of reserve 43131 (the Reserve) at any
time during the period 14 May 2003 to 13 June 2003
(the
applicants). She was such an inhabitant.
The claims in these cases are in respect of alleged racial discrimination.
The claims are brought by the applicant on behalf of former
Aboriginal
inhabitants of the Reserve in respect of the enactment of the Reserves
(Reserve 43131) Act 2003 (WA) (the Reserves Act) and actions taken under it.
It is said the consequences of the Act and actions under it are that the
Aboriginal
inhabitants are no longer able to manage or reside at the Lockridge
Camp of the SVC. It was claimed the Reserves Act and the actions
were contrary
to the Racial Discrimination Act 1975 (Cth) (the RDA).
Various public inquiries have been held relating to conduct on the Reserve,
including a Coronial Report on the death of Susan Taylor
in 2001; the Gordon
Inquiry on 31 July 2002; and the Hooker Inquiry in 2003.
On 15 May 2003 the Reserves Bill was introduced into the Parliament of
Western Australia where it was subsequently passed and became
effective from 13
June 2003 as the Reserves Act.
RESERVES ACT
The claims which Bella Bropho brings to the Court are directed to the
legality of the Reserves Act. That Act came into effect on
12 June 2003 and expired on the second anniversary of that date.
Relevantly the Reserves Act purported to do the following:
(1) revoke the 2002 Management Order which placed the care, control and
management of the Reserve with the SVC (s 4).
(2) place the care, control and management of the Reserve with the Aboriginal
Affairs Planning Authority (the AAPA) (s 5).
(3) provide for an administrator to have powers in relation to care, control
and management of the Reserve (s 7) (the Administrator).
These included
powers to direct a person to leave or not to enter the Reserve and to make such
directions orally or in writing.
(4) exclude the rules of natural justice in relation to any direction by the
Administrator under ss 7(3)(a) or (b) (s 8).
(5) grant immunity from judicial supervision by way of prerogative,
declaratory or injunctive relief in respect of any decision made
or purporting
to be made by the Administrator under s 7 (s 11).
(6) provide protection from liability for acts done in performance of a
function under the Reserves Act (s 12).
Purportedly pursuant to the power in s 7 of the Reserves Act, the
Administrator made directions on 13 June 2003 to
all persons (other
than persons in categories listed as assisting the Administrator in the
performance of his obligations) forbidding
entry to the Reserve without the
express authority of the Administrator. The Reserve is presently unoccupied and
all the Aboriginal
inhabitants formerly of the Reserve have moved elsewhere.
RACIAL DISCRIMINATION ACT
The essential foundation of the case which Bella Bropho brings is that the
Reserves Act is invalid as a consequence of its inconsistency
with ss 9 and
10 of the RDA. She also challenges the actions taken by the Administrator on
the same grounds. Additionally,
in reliance on the associated jurisdiction of
the Court, claims are made for trespass and deprivation of possession.
Section 9(1) of the RDA provides:
‘9(1) It is unlawful for a person to do any act involving a
distinction, exclusion, restriction or preference based on race,
colour, descent
or national or ethnic origin which has the purpose or effect of nullifying or
impairing the recognition, enjoyment
or exercise, on an equal footing, of any
human right or fundamental freedom in the political, economic, social, cultural
or any other
field of public life. ...’
Section 10(1) provides:
‘10(1) If, by reason of, or of a provision of, a law of the
Commonwealth or of a State or Territory, persons of a particular
race, colour or
national or ethnic origin do not enjoy a right that is enjoyed by persons of
another race, colour or national or
ethnic origin, or enjoy a right to a more
limited extent than persons of another race, colour or national or ethnic
origin, then,
notwithstanding anything in that law, persons of the
first-mentioned race, colour or national or ethnic origin shall, by force of
these section, enjoy that right to the same extent as person of that other race,
colour or national or ethnic origin.’
Section 10(2) provides that a reference to a right includes a reference to a
right of a kind referred to in Art 5 of the International
Convention on the
Elimination of All Forms of Racial Discrimination (the Convention). The
Convention was ratified by Australia in
s 7 of the RDA.
An important exception to the application of these sections is in s 8 of
the RDA. That provides that they do not apply to a
‘special
measure’. This is defined by Art 1(4) of the Convention as a measure
taken for the sole purpose of securing
adequate advancement of certain racial or
ethnic groups or individuals requiring such protection as may be necessary in
order to
ensure such groups or individuals equal enjoyment or exercise of human
rights and fundamental freedoms.
This exception does not apply in the circumstances referred to in
s 10(3) of the RDA in respect of provisions in a law authorizing
property
owned by Aboriginal persons to be managed by another without their consent or
preventing or restricting an Aboriginal from
terminating such a management.
The relief sought by the applicant is declaratory, injunctive and damages.
The injunctive relief sought is mandatory, directed to
the respondents to vacate
the Reserve and deliver possession of it to the SVC and its members and the
Aboriginal inhabitants of the
Reserve.
Proceeding WAD 157 of 2003 was filed in this Court on 22 July 2003.
Proceeding WAD 204 of 2004 was filed on 25 August 2004.
The second
proceeding was filed following a claim made under the Human Rights and Equal
Opportunity Act 1986 (Cth) to cover the eventuality that such a claim was a
necessary precondition to the bringing of the claim in this Court.
Applicants did not have property rights to manage and exercise ownership
rights
The applicant contended for four sources of property rights:
(1) The 1994 designation of the Reserve
The Reserve was first designated and then vested in the SVC on 22 July 1994
under the Land Act 1933 (WA) (the Land Act 1933). It is held that the
designation of the Reserve for ‘The Use and Benefit of Aboriginal
Inhabitants’
did not create any property rights in anybody.
(2) The 1995 Vesting
The 1994 vesting was revoked on 12 December 1995 to enable the Reserve
to be enlarged. On the same date it was then revested
in the SVC, again for the
designated purpose of ‘Use and Benefit of Aboriginal Inhabitants’.
The applicant’s case
was that both she and those she represented derived
their interest in the Reserve as beneficiaries under a charitable trust
resulting
from the vesting being placed in the SVC. In the reasons it is found
this could not be the case because the relevant provisions
of the Land Act
1933 (unlike those at issue in the native title case of Western
Australia v Ward [2002] HCA 28; (2002) 213 CLR 1) made no provision for such a trust. In
the reasons it is found that, at best, the applicants had a bare licence or a
public non-charitable
trust. Also that the evidence did not make clear how the
applicants derived any rights from the SVC.
(3) The 1998 Management Order
With effect from 30 March 1998 the Land Act 1933 was replaced by the Land
Administration Act 1997 (WA) (the LAA).
In transitional provisions the LAA provided that a vesting order made under
the Land Act 1933 and continuing at the time of the LAA continued as if
it were a management order made under the LAA. Consequently, the SVC no
longer had the Reserve vested in it and in lieu held what has been described in
the reasons as the 1998 Management Order. The
Court has found that the
provisions of the LAA changing the vesting of the Reserve in the SVC to the 1998
Management Order did not
offend the RDA because those provisions were not
racially directed as they applied to all reserves, whoever held them.
(4) The 2002 Management Order
Conduct was alleged as having occurred on the Reserve on 11 October 2002
affecting the safety of women and children. As a result,
the 2002 Management
Order was made in substitution for the 1998 Management Order. The Court found
the making of the 2002 Management
Order was not invalid under the LAA because
the SVC had agreed to it and, in any event, it was in the public interest. The
Court
has also reached the view that the 2002 Management Order did not give to
the applicants any rights of property or ownership.
Applicants did not have a human right of ownership over the Reserve
pursuant to the RDA and the Convention
Accepting the applicant’s submission that the concept of a human right
of property is to be read more widely than a reference
to property in other
domestic law, the Court has concluded that the applicant has not established any
human right to such property,
particularly as the applicants rights derive from
a statutory source in relation to which they are unable to establish any element
of ownership.
These conclusions are ones which affect the whole of the applicant’s
case. Nevertheless, the reasons go on to consider what
might have been the
position if the rights of management and ownership had been made out. In
particular, they conclude that for
there to have been a lack of enjoyment by the
applicants of the right to manage and otherwise exercise ownership rights
‘by
reason of’ the applicants’ race on the grounds of the
existence of indirect discrimination, they would have had to establish
they had
rights derivative from the SVC. This prima facie conclusion would then be
required to be considered against the conclusions
reached on justificatory
contentions referred to below.
Applicants not deprived of freedom of movement and residence
Turning to the applicant’s right of freedom of movement and residence
and s 10(1) of the RDA, the Court concluded that
the enactment of the
Reserves Act had not itself deprived the applicants of this right. Likewise
that the exercise of the power
by the Administrator to exclude persons from the
Reserve and to require some of them to leave it had been exercised on a
non-discriminatory
basis so that no inconsistency with s 9(1) was created.
Applicants right of equal treatment before the courts affected but not
materially
With regard to the right to equal treatment before the courts, the Court
found that s 11 of the Reserves Act (providing immunity
to the
Administrator from judicial supervision) was prima facie indirectly
discriminatory against the Aboriginal inhabitants. In
relation to s 9
there was no ‘act’ in relation to this right to attract the
application of the section.
Applicant’s case fails to make out deprivation of right to
participate in public affairs.
The claim that a right to participate in public affairs was affected had not
been made out on the applicant’s case.
Applicants unable to establish trespass
The applicant’s claim for deprivation of possession was not made out
because she had failed to establish property rights of
exclusive possession
required to make out this tort. A contrary view of the law expressed in the
Court of Appeal in England did
not state the law in Australia.
Administrator’s actions in refusing to permit occupation
In relation to this alleged contravention of s 12(1)(d) of the RDA by
the Administrator, these could not be made out because
it was not ‘by
reason of’ the race of the applicants in that all persons were excluded
(unless approved for entry) and
both non-Aboriginal and Aboriginal persons were
ordered to leave the Reserve. There was no foundation in the wording of the
section
or decided authority to allow consideration of indirect discrimination
on this paragraph.
JUSTIFICATORY CONSIDERATIONS
In proceeding to consider other arguments put by the applicants the Court
concluded that the applicant was unable to make out a case
of arbitrary
deprivation even if deprivation of human rights had been established. The Court
found that the Reserves Act was reasonable,
proportional and legitimate in the
circumstances. The alternatives such as a memorandum of understanding or
utilisation of the criminal
law, had been proven to be impracticable. Further,
it was not for the Court to remake the decision of Parliament and the Government
where there was evidence providing a foundation for the policy choice which had
been made. The Reserves Act was also found to be
in the public interest.
Additionally, and importantly, the Court has reached the view that the
Reserves Act was a special measure so no inconsistency with
ss 9 or 10 of
the RDA could be established. In reaching this view the Court found that the
Reserves Act had been taken for
the sole purpose of securing adequate
advancement of Aboriginal individuals (women and children) requiring such
protection as may
be necessary to ensure their equal enjoyment or exercise of
human rights and fundamental freedoms.
Accordingly, the Court dismissed each of the applicant’s claims.
FEDERAL COURT OF AUSTRALIA
Bropho v State of Western Australia [2007] FCA 519
CORRIGENDUM
BELLA BROPHO on behalf of the Members of the Swan Valley Nyungah Community
Aboriginal Corporation and Aboriginal inhabitants of Reserve
43131 v STATE OF
WESTERN AUSTRALIA, ABORIGINAL AFFAIRS PLANNING AUTHORITY, BARRY CHARLES JAMESON
and WESTERN AUSTRALIAN PLANNING
COMMISSION
WAD 157 of 2003
BELLA BROPHO on behalf of the Members of the Swan Valley Nyungah Community
Aboriginal Corporation and Aboriginal inhabitants of Reserve
43131 v STATE OF
WESTERN AUSTRALIA, ABORIGINAL AFFAIRS PLANNING AUTHORITY, BARRY CHARLES JAMESON
and WESTERN AUSTRALIAN PLANNING
COMMISSION
WAD 204 of 2004
NICHOLSON J
13 APRIL 2007 (CORRIGENDUM 4 JULY
2007)
PERTH
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IN THE FEDERAL COURT OF AUSTRALIA
|
|
|
WESTERN AUSTRALIA DISTRICT REGISTRY
|
WAD 157 OF 2003 WAD 204 OF 2004
|
|
BETWEEN:
|
BELLA BROPHO on behalf of the Members of the Swan Valley
Nyungah Community Aboriginal Corporation and Aboriginal inhabitants of Reserve
43131 Applicant
|
|
AND:
|
STATE OF WESTERN AUSTRALIA First Respondent
ABORIGINAL AFFAIRS PLANNING AUTHORITY Second
Respondent
BARRY CHARLES JAMESON Third Respondent
WESTERN AUSTRALIAN PLANNING COMMISSION Fourth Respondent
|
|
JUDGE:
|
NICHOLSON J
|
|
DATE OF ORDER:
|
13 APRIL 2007 (CORRIGENDUM 4 JULY 2007)
|
|
WHERE MADE:
|
PERTH
|
CORRIGENDUM
- In
accordance with the Order made by Justice Nicholson on 1 September 2006 adding
the Western Australian Planning Commission as the
fourth respondent to both
proceedings:
(a) the covering page of the Reasons for Judgment is
amended to include ‘Western Australian Planning Commission’ to each
description of the parties involved in proceedings WAD 157 of 2003 and WAD 204
of 2004.
(b) each of the following ‘Orders’ pages and page 1 of the
Reasons for Judgment to include ‘Western Australian Planning
Commission’ as the fourth respondent.
|
I certify that the preceding one (1) numbered paragraph is a true copy of
the Corrigendum to the Reasons for Judgment of the Honourable
Justice
Nicholson.
|
Associate:
Dated: 4 July 2007
FEDERAL COURT OF AUSTRALIA
Bropho v State of Western Australia [2007] FCA 519
RACIAL DISCRIMINATION – reserve for the use and benefit of
aboriginal inhabitants – vested in aboriginal corporation –
vesting
revoked – land area of reserve increased and reserve re-vested in the same
corporation – vesting transmitted
to 1998 management order by legislation
– alleged misconduct on the reserve – public inquiries into such
conduct –
2002 management order replaces 1998 order – alleged
continuance of misconduct on reserve – safety of women and children
said
to be at issue – enactment of Reserves Act purporting to (1) revoke
2002 management order; (2) place care, control and management of the reserve in
the Aboriginal Affairs Planning
Authority; (3) authorise administrator to take
actions with respect to vacating and occupancy of reserve; (4) exclude rules of
natural
justice in relation to administrator’s directions; (5) provide
immunity from judicial supervision of decisions of administrator;
(6) provide
protection from liability – whether 2002 management order invalid for
statutory non-compliance – whether
any inconsistency of Reserves
Act with ss 9 or 10 of the Racial Discrimination Act
RACIAL DISCRIMINATION – rights to equality before the law –
whether applicants have a right to manage and otherwise exercise
statutory
ownership rights – whether applicants have a human right of ownership of
the reserve under that legislation –
was there a lack of enjoyment by the
applicants of such rights by reason of their race – – whether rights
arbitrarily
deprived – whether applicants’ right of freedom of
movement and residence within the borders of the state deprived –
whether
any such deprivation arbitrary – whether applicants deprived of right to
equal treatment before tribunals – whether
applicants deprived of
possession – whether applicants deprived of right to participate in public
affairs – whether justificatory
contentions applicable – whether
enactment reasonable, proportionate and legitimate - whether Reserves
Act a special measure
RACIAL DISCRIMINATION - whether any act done involving a distinction,
exclusion, restriction or preference based on race having the
purpose or effect
of nullifying or impairing the recognition, enjoyment or exercise on an equal
footing, of any human right or fundamental
freedom in the political, economic,
social, cultural or any other field of public life – whether any act
depriving applicants
of right to manage and otherwise exercise ownership rights
in relation to the reserve – whether any such deprivation arbitrary
– whether any deprivation of applicants’ right to freedom of
movement and residence within the borders of the state–
whether any such
deprivation arbitrary – whether any act in relation to applicants’
right to equal treatment before tribunals
or right to participate in public
affairs – whether justificatory contentions applicable – whether
enactment reasonable,
proportionate and legitimate – whether a special
measure
RACIAL DISCRIMINATION – whether acts of administrator contravened
Racial Discrimination Act - whether acts contravened provisions relating
to land, housing and accommodation
TORT – trespass - whether applicants deprived of
possession
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Aboriginal Councils and Associations Act 1976 (Cth)
Human Rights
and Equal Opportunity Commission Act 1986 (Cth)
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Disability Discrimination Act 1992 (Cth) s 6,
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Lands Acquisition Act 1989 (Cth) ss 23, 24, 26, 27, 28,
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Racial Discrimination Act 1975 (Cth) ss 8, 8(1), 9, 9(1A),
10, 10(1), 10(2), 10(3), 10(3)(a), 10(3)(b), 12(1)(d)
Federal Court Rules O 11 r 10
Aboriginal Affairs Planning Authority Act 1972 (WA) ss 4, 15(1),
26, 31, 32
Aboriginal Heritage Act 1972 (WA) s 18
Acts
Amendment (Land Administration) Act 1987 (WA) s 60(c)
Acts
Amendment (Reserves) Act 1982 (WA) s 8
Child Welfare Act
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Conservation and Land Management Act 1984 (WA)
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s 5
Parks and Reserves Act 1895 (WA)
s 8
Public Sector Management Act 1994 (WA)
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s 13
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30
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1
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BELLA BROPHO on behalf of the Members of the Swan Valley Nyungah Community
Aboriginal Corporation and Aboriginal inhabitants of Reserve
43131 v STATE OF
WESTERN AUSTRALIA, ABORIGINAL AFFAIRS PLANNING AUTHORITY and BARRY CHARLES
JAMESON
WAD 157 of 2003
BELLA BROPHO on behalf of the Members of the Swan Valley Nyungah Community
Aboriginal Corporation and Aboriginal inhabitants of Reserve
43131 v STATE OF
WESTERN AUSTRALIA, ABORIGINAL AFFAIRS PLANNING AUTHORITY and BARRY CHARLES
JAMESON
WAD 204 of 2004
NICHOLSON J
13 APRIL 2007
PERTH
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IN THE FEDERAL COURT OF AUSTRALIA
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WESTERN AUSTRALIA DISTRICT REGISTRY
|
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BELLA BROPHOon behalf of the Members
of the Swan Valley Nyungah Community Aboriginal Corporation and Aboriginal
inhabitants of Reserve 43131Applicant
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AND:
|
STATE OF WESTERN AUSTRALIAFirst
Respondent
ABORIGINAL AFFAIRS PLANNING AUTHORITY Second
Respondent
BARRY CHARLES JAMESON Third Respondent
|
|
JUDGE:
|
NICHOLSON J
|
|
DATE OF ORDER:
|
13 APRIL 2007
|
|
WHERE MADE:
|
PERTH
|
THE COURT ORDERS THAT:
- The
application be dismissed.
- Costs
reserved.
Note: Settlement and entry of orders is dealt with in Order 36 of
the Federal Court Rules.
|
IN THE FEDERAL COURT OF AUSTRALIA
|
|
|
WESTERN AUSTRALIA DISTRICT REGISTRY
|
WAD 204 OF 2004
|
|
BETWEEN:
|
BELLA BROPHO on behalf of the Members of the Swan Valley
Nyungah Community Aboriginal Corporation and Aboriginal inhabitants of Reserve
43131 Applicant
|
|
AND:
|
STATE OF WESTERN AUSTRALIA First Respondent
ABORIGINAL AFFAIRS PLANNING AUTHORITY Second
Respondent
BARRY CHARLES JAMESON Third Respondent
|
|
|
|
|
DATE OF ORDER:
|
|
|
WHERE MADE:
|
|
THE COURT ORDERS THAT:
- The
application be dismissed.
- Costs
reserved.
Note: Settlement and entry of orders is dealt with in Order 36 of
the Federal Court Rules.
TABLE OF CONTENTS
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PART A: INTRODUCTION
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4
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|
EVIDENCE
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4
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|
OBJECTIONS TO DOCUMENTS
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7
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CONFIDENTIALITY
|
8
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PART B: GENERAL FINDINGS OF FACT
|
9
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BACKGROUND CIRCUMSTANCES OF THE SVC AND THE RESERVE PRIOR TO THE RESERVES
ACT
|
9
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ORIGINS
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9
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CONDUCT ON THE RESERVE 1993 – 2002
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10
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CORONIAL REPORT ON THE DEATH OF SUSAN TAYLOR
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16
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THE GORDON INQUIRY
|
17
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CONDUCT ON AND CONCERNING THE RESERVE FEBRUARY - JULY 2002
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19
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NEGOTIATION OF 2002 MANAGEMENT ORDER (AUGUST - OCTOBER)
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22
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|
THE HOOKER INQUIRY
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23
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FURTHER CONDUCT ON OR CONCERNING THE RESERVE
|
24
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EVENTS IMMEDIATELY PRECEDING THE ENACTMENT OF THE RESERVES ACT
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35
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EVENTS RELATED TO THE RESERVE FOLLOWING THE ENACTMENT
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40
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APPOINTMENT OF THE ADMINISTRATOR
|
41
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REVOCATION OF 2002 MANAGEMENT ORDER
|
43
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|
DIRECTIONS TO LEAVE THE RESERVE
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43
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WORK UNDERTAKEN BY ADMINISTRATOR
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44
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FURTHER EVENTS INVOLVING THE RESERVE
|
47
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PART C: STATUTORY PROVISIONS
|
48
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THE RESERVES ACT
|
48
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|
|
50
|
|
|
54
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|
THE ELEMENTS OF THE CLAIMS
|
54
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THE CLAIM UNDER S 10(1) OF THE RDA IN RELATION TO DEPRIVATION OF THE
RIGHT TO MANAGE AND OTHERWISE EXERCISE OWNERSHIP RIGHTS IN RELATION TO THE
RESERVE
|
54
|
THE CLAIM UNDER S 10(1) OF THE RDA IN RESPECT OF A RIGHT NOT TO BE
ARBITRARILY DEPRIVED OF THE RIGHT TO MANAGE AND OTHERWISE EXERCISE OWNERSHIP
RIGHTS IN
RELATION TO THE RESERVE
|
55
|
THE CLAIM UNDER S 10(1) OF THE RDA THAT THERE WAS A DEPRIVATION OF THE
RIGHT OF FREEDOM OF MOVEMENT AND RESIDENCE
|
55
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THE CLAIM UNDER S 10(1) OF THE RDA THAT THE APPLICANTS EXPERIENCED
ARBITRARY DEPRIVATION OF THEIR RIGHT OF FREEDOM OF MOVEMENT AND RESIDENCE
|
56
|
THE CLAIM UNDER S 10(1) OF THE RDA FOR THE RIGHT TO EQUAL TREATMENT
BEFORE TRIBUNALS ADMINISTERING JUSTICE
|
56
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THE CLAIM BASED ON S 9 OF THE RDA FOR DEPRIVATION OF RIGHT TO MANAGE
AND OTHERWISE EXERCISE OWNERSHIP RIGHTS IN RELATION TO THE RESERVE
|
56
|
THE CLAIM BASED ON S 9 OF THE RDA FOR THE RIGHT NOT TO BE ARBITRARILY
DEPRIVED OF THE RIGHT TO MANAGE AND OTHERWISE EXERCISE OWNERSHIP RIGHTS IN
RELATION
TO THE RESERVE
|
56
|
THE CLAIM BASED ON S 9 OF THE RDA FOR DEPRIVATION OF THE RIGHT OF
FREEDOM OF MOVEMENT AND RESIDENCE
|
56
|
THE CLAIM UNDER S 9 OF THE RDA FOR ARBITRARY DEPRIVATION OF RIGHT OF
FREEDOM OF MOVEMENT AND RESIDENCE
|
56
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THE CLAIM UNDER S 9 OF THE RDA IN RESPECT OF THE ACTS OF THE
ADMINISTRATOR
|
57
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THE CLAIM UNDER S 12(1)(D) OF THE RDA FOR REFUSAL TO PERMIT
OCCUPATION
|
57
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|
THE CLAIM FOR DEPRIVATION OF POSSESSION
|
57
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|
PART E: SPECIFIC FACTUAL ISSUES
|
58
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|
WHO ARE THE MEMBERS OF THE SVC AND WHO WERE INHABITANTS OF THE
RESERVE?
|
58
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|
WAS ROBERT BROPHO AN ABORIGINAL INHABITANT OF THE RESERVE?
|
60
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|
WAS IVA HAYWARD–JACKSON AN ABORIGINAL INHABITANT OF THE
RESERVE?
|
61
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|
DID THE APPLICANT AND THE MEMBERS MANAGE THE RESERVE?
|
62
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|
THE CIRCUMSTANCES OF THE INHABITANTS LEAVING THE RESERVE
[ISSUE 29]
|
65
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|
WHETHER ALTERNATIVE ACCOMMODATION WAS OFFERED
|
67
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WAS THE RESERVE PREVIOUSLY THE SUBJECT OF GRANTS OF FREEHOLD TO
NON-ABORIGINAL PERSONS?
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69
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PART F: ISSUES OF INVALIDITY OF THE 2002 MANAGEMENT ORDER
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70
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DID THE SVC GIVE INFORMED CONSENT TO THE 2002 MANAGEMENT ORDER AS REQUIRED
BY THE LAA? [ISSUE 9]
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70
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WAS THE 2002 MANAGEMENT ORDER IN THE PUBLIC INTEREST AS REQUIRED BY THE
LAA? [ISSUE 10]
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72
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PART G: DISCRIMINATION AND THE RESERVES ACT
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79
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NATURE OF DISCRIMINATION
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79
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THE CONTENT OF SS 9 AND 10 OF THE RDA
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79
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EFFECT
|
80
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INDIRECT DISCRIMINATION
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81
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JUSTIFICATORY MEASURES
|
83
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WAS THE PURPOSE OF THE RESERVES ACT DISCRIMINATORY?
|
83
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WAS THE EFFECT OF THE RESERVES ACT DISCRIMINATORY?
|
85
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THE RELEVANCE OF THE RESERVE BEING ONLY FOR ABORIGINAL INHABITANTS
|
85
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THE RESERVES ACT WITH RELATED ENACTMENTS
|
86
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THE RESERVES ACT IN ISOLATION
|
86
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REASONING
|
88
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PART H: INCONSISTENCY OF RESERVES ACT AND RDA S 10
|
90
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SUBPART 1: DEPRIVATION OF RIGHTS OF OWNERSHIP AND MANAGEMENT OF
PROPERTY
|
91
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THE NATURE OF PROPERTY
|
91
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|
DID THE APPLICANT AND OTHERS HAVE PROPERTY RIGHTS CREATED BY STATUTE, BEING
A RIGHT TO MANAGE AND OTHERWISE EXERCISE OWNERSHIP RIGHTS?
[ISSUES 1-8 AND
13]
|
94
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|
THE RELEVANT STATUTORY PROVISIONS
|
94
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THE DESIGNATION OF THE RESERVE
|
96
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THE 1995 VESTING OF THE RESERVE IN THE SVC
|
97
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TRANSITION OF THE 1995 VESTING TO THE 1998 MANAGEMENT ORDER
|
100
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POSITION UNDER THE 2002 MANAGEMENT ORDER
|
100
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WAS THERE AN INCONSISTENCY INVOLVING SS 46 AND 50 OF THE LAA AND
TRANSITIONAL PROVISION 16(1) WITH S 10 OF THE RDA
|
103
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DID THE APPLICANTS HAVE A HUMAN RIGHT OF OWNERSHIP OVER THE RESERVE
RECOGNISED BY THE RDA? [ISSUE 12]
|
103
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APPLICANT’S SUBMISSIONS
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103
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RESPONDENTS’ SUBMISSIONS
|
104
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REASONING IN RELATION TO HUMAN RIGHT OF MANAGEMENT AND EXERCISE OF
OWNERSHIP RIGHTS AS PART OF THE HUMAN RIGHT TO OWN PROPERTY
|
106
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OTHER REASONS WHY RIGHT TO MANAGE IS NOT ‘PROPERTY’
|
107
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WAS THERE A LACK OF ENJOYMENT BY THE APPLICANT OF THE RIGHT TO MANAGE AND
OTHERWISE EXERCISE OWNERSHIP RIGHTS UNDER S 10 OF THE
RDA BY REASON OF
THEIR RACE? [ISSUES 14, 15, 16]
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108
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|
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DID THE APPLICANT RECEIVE NOTICE AND A RIGHT TO BE HEARD OR OTHER FAIR
PROCESS ON THE ENACTMENT OF THE RESERVES ACT? [ISSUES 20
AND 21]
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112
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SUBPART 3: RIGHT OF FREEDOM OF MOVEMENT AND RESIDENCE WITHIN THE BORDERS
OF THE STATE
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114
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WHETHER DEPRIVATION OF RIGHT OF FREEDOM OF MOVEMENT AND RESIDENCE WITHIN
THE BORDERS OF THE STATE [ISSUES 25-28]
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114
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THE TERMS OF THE RIGHT
|
114
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|
WHETHER SUCH RIGHT ON THE RESERVE
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115
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SCOPE OF RECOGNISED LIMITATIONS ON THE RIGHT
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116
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|
DID THE RESERVES ACT ALSO HAVE A LIMITING EFFECT?
|
119
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THE ISSUE OF SIZE OF THE AREA OF THE CONTESTED LIMITATION
|
122
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WHETHER ARBITRARY DEPRIVATION OF RIGHT OF FREEDOM OF MOVEMENT AND
RESIDENCE
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123
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SUBPART 4: RIGHT TO EQUAL TREATMENT BEFORE TRIBUNALS ADMINISTERING
JUSTICE
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123
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DID THE RESERVES ACT DEPRIVE THE APPLICANTS OF THE RIGHT TO EQUAL TREATMENT
BEFORE TRIBUNALS ADMINISTERING JUSTICE [COMPARE ISSUES
14, 15 AND 19]
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123
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SUBPART 5: RIGHT TO PARTICIPATE IN PUBLIC AFFAIRS
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127
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PART I: INCONSISTENCY OF RESERVES ACT AND RDA S 9
|
128
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|
SUBPART 1: RIGHTS OF OWNERSHIP AND MANAGEMENT
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128
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DEPRIVATION OF RIGHT TO MANAGE AND OTHERWISE EXERCISE OWNERSHIP RIGHTS IN
RELATION TO THE RESERVE [ISSUES 11, 12, 14, 15 AND 19]
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128
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RIGHT NOT TO BE ARBITRARILY DEPRIVED OF THE RIGHT TO MANAGE AND OTHERWISE
EXERCISE OWNERSHIP RIGHTS IN RELATION TO THE RESERVE [ISSUES
20-24]
|
129
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|
SUBPART 2: RIGHT OF FREEDOM OF MOVEMENT AND RESIDENCE
|
130
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DEPRIVATION OF RIGHT OF FREEDOM OF MOVEMENT AND RESIDENCE WITHIN THE
BORDERS OF THE STATE [ISSUES 26-31]
|
130
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THE ACTS OF THE ADMINISTRATOR
|
130
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APPLYING THE ELEMENTS OF S 9 OF THE RDA
|
131
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ARBITRARY DEPRIVATION OF RIGHT OF FREEDOM OF MOVEMENT AND RESIDENCE [ISSUES
12, 14, 15 AND 19]
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131
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SUBPART 3: RIGHT TO EQUAL TREATMENT BEFORE TRIBUNALS
|
132
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|
SUBPART 4: RIGHT TO PARTICIPATE IN PUBLIC AFFAIRS
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132
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PART J: CONTRAVENTION OF THE RDA BY ACTS OF THE ADMINISTRATOR
|
133
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SECTION 9 OF THE RDA AND ACTS OF THE ADMINISTRATOR
[ISSUES 30-32]
|
133
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|
SECTION 12(1)(D) OF THE RDA: REFUSAL TO PERMIT OCCUPATION
[ISSUES 32-34]
|
133
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|
PART K: TRESPASS
|
135
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|
DEPRIVATION OF POSSESSION [ISSUES 35-38]
|
135
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PART L: JUSTIFICATORY CONTENTIONS
|
138
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|
WAS ANY DEPRIVATION NOT ARBITRARY BECAUSE IT WAS REASONABLE, PROPORTIONAL
[ISSUE 23] AND LEGITIMATE [ISSUES 17 AND 18]?
|
138
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APPLICANT’S CONTENTIONS
|
138
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WHETHER DEFENCE OF REASONABLE JUSTIFICATION
|
139
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EVIDENCE OF LACK OF REASONABLENESS OF RESPONDENTS IN FORMING OPINION ON
CONCERNS
|
139
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|
ALTERNATIVE SOLUTIONS
|
143
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|
ABSENCE OF COMPARATORS
|
144
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|
ISSUE CONCERNING POSSIBILITY OF INJUNCTIONS
|
144
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REASONABLENESS AND PROPORTIONALITY OF THE SOLUTION
|
144
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|
RESPONDENTS’ CONTENTIONS
|
146
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APPROPRIATENESS OF DEFENCE OF REASONABLE JUSTIFICATION
|
146
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|
REASONABLENESS AND PROPORTIONALITY IN RELATION TO PROPERTY RIGHTS
|
148
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|
EVIDENCE OF REASONABLENESS
|
149
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|
THE AVAILABILITY OF ALTERNATIVE MEASURES
|
153
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REASONING
|
157
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WAS ANY DEPRIVATION NOT ARBITRARY BECAUSE THE ENACTMENT OF THE RESERVES ACT
WAS IN THE PUBLIC INTEREST? [ISSUE 24]
|
159
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|
WAS THE RESERVES ACT A SPECIAL MEASURE [ISSUE 19]
|
160
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|
THE ADVANCEMENT AND HUMAN RIGHTS CLAIMED TO BE PROTECTED
|
161
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THE CURIAL APPROACH TO THE PROVISION
|
161
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|
THE SOLE PURPOSE OF THE GOVERNMENT VIEW
|
165
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ABSENCE OF SEPARATE RIGHTS FOR DIFFERENT RACIAL GROUPS AND
DISCONTINUANCE
|
166
|
|
THE ACT AS A SPECIAL MEASURE
|
166
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THE EXCEPTION TO SPECIAL MEASURE: S 10(3) OF THE RDA
[ISSUE 19]
|
167
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CONCLUSION
|
168
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|
IN THE FEDERAL COURT OF AUSTRALIA
|
|
|
WESTERN AUSTRALIA DISTRICT
REGISTRY
|
WAD 157 OF 2003
|
|
BETWEEN:
|
BELLA BROPHO
on behalf of the Members of the Swan Valley Nyungah Community Aboriginal
Corporation and Aboriginal inhabitants of Reserve
43131
Applicant
|
|
AND:
|
STATE OF WESTERN AUSTRALIA
First Respondent
ABORIGINAL AFFAIRS PLANNING AUTHORITY
Second Respondent
BARRY CHARLES JAMESON
Third
Respondent
|
|
WAD 204 OF 2004
|
|
BETWEEN:
|
BELLA BROPHO on behalf of the Members of the Swan Valley
Nyungah Community Aboriginal Corporation and Aboriginal inhabitants of Reserve
43131 Applicant
|
|
AND:
|
STATE OF WESTERN AUSTRALIA First Respondent
ABORIGINAL AFFAIRS PLANNING AUTHORITY Second
Respondent
BARRY CHARLES JAMESON Third Respondent
|
|
JUDGE:
|
NICHOLSON J
|
|
DATE:
|
13 APRIL 2007
|
|
PLACE:
|
PERTH
|
REASONS FOR JUDGMENT
- The
claims in these cases are in respect of alleged racial discrimination. The
claims are brought by former Aboriginal inhabitants
of the Swan Valley Nyungah
Community Aboriginal Corporation (the SVC) in respect of the enactment of the
Reserves (Reserve 43131) Act 2003 (WA) (the Reserves Act) and actions
taken under it. It is claimed that the effect of the enactment and the actions
was that the
Aboriginal inhabitants are no longer able to manage or reside at
the Lockridge Camp of the SVC.
- The
applicant in both claims (Bella Bropho) is an Aboriginal person of Nyungah
origin. She has been at all relevant times and continues
to be a Governing
Committee member, Vice-Chairperson, spokesperson and member of the SVC. Further
Ms Bropho claims to represent
as applicant all persons who were Aboriginal
persons of Nyungah origin and also members of the SVC who were Aboriginal
inhabitants
of the Reserve 43131 (the Reserve) at any time during the period
14 May 2003 to 13 June 2003. Bella Bropho was
such an
inhabitant. Although I will refer to her as the applicant, it will also be
necessary to refer to those whom she represents
as ‘the
applicants’.
- The
claims which Bella Bropho brings to the Court are directed to the legality of
the Reserves Act. That Act came into effect on
12 June 2003 and
expired on the second anniversary of that date. The Act is of concern to her
because it purported to
revoke the management order (the 2002 Management Order)
whereby the care, control and management of the Reserve had been placed with
the
SVC; placed the management of the Reserve with the second respondent, the
Aboriginal Affairs Planning Authority (the AAPA); and
authorised the third
respondent, the Administrator appointed under the Act (the Administrator) to
make directions to persons not
to enter the Reserve, to leave the Reserve and to
prevent entry or facilitate removal of a person. Purportedly pursuant to these
powers, directions were made on 13 June 2003 to all persons (other
than persons in categories listed as assisting the Administrator
in the
performance of his obligations) forbidding entry to the Reserve without the
express authority of the Administrator. The result
is that the Reserve is
presently unoccupied and all the Aboriginal inhabitants of the Reserve and other
persons living on the Reserve
have moved elsewhere.
- The
essential foundation of the case which Bella Bropho brings is that the Reserves
Act is invalid as a consequence of its inconsistency
with certain provisions of
the Racial Discrimination Act 1975 (Cth) (the RDA). She also
challenges the actions taken by the Administrator on the same grounds.
Additionally, in reliance
on the associated jurisdiction of the Court, claims
are made for trespass and deprivation of possession.
- The
relief sought is declaratory, injunctive and damages. The injunctive relief
sought is mandatory, directed to the respondents
to vacate the Reserve and
deliver possession of it to the SVC and its members, the Aboriginal inhabitants
of the Reserve.
- Proceeding
WAD 157 of 2003 was filed in this Court on 22 July 2003. Proceeding
WAD 204 of 2004 was filed on 25 August 2004.
The second proceeding was
filed following a claim made under the Human Rights and Equal Opportunity
Commission Act 1986 (Cth) (the HREOC Act) to cover the eventuality that such
a claim was a necessary precondition to the bringing of a claim in this Court.
On 28 July 2004 a delegate of the President of the Human Rights and
Equal Opportunity Commission issued a notice of termination
of the complaint
pursuant to s 46PH(2) of the HREOC Act on the ground that the subject
matter of the complaint could be more
effectively or conveniently dealt with by
another statutory authority.
PART A:
INTRODUCTION
EVIDENCE
- The
trial proceeded on affidavits subject to cross-examination where required.
Based on the manner in which most of the witnesses
were addressed in evidence,
these reasons generally avoid the use of honorifics and refer to all witnesses
by their given and family
names. The following is a list of the affidavits
tendered by each party and which ones resulted in
cross-examination:
|
Affidavits Tendered by the Applicant
|
Relationship with the Reserve
|
Cross-Examined
|
|
Bella Lena Bropho sworn on 15 December 2003
|
Aboriginal inhabitant
|
Yes
|
|
Bella Bropho sworn on 25 August 2004
|
|
Yes
|
|
Bella Bropho affirmed on 26 July 2006
|
|
Yes
|
|
Margaret Joanna Jeffery sworn on 15 December 2003
|
Non-Aboriginal non-inhabitant, volunteer secretary of the SVC
|
Yes
|
|
Margaret Joanna Jeffery affirmed on 25 November 2005
|
|
Yes
|
|
Margaret Joanna Jeffery affirmed on 27 July 2006
|
|
Yes
|
|
Denise Roberta Sambo sworn on 15 December 2003
|
Aboriginal inhabitant
|
Yes
|
|
Denise Sambo affirmed on 26 July 2006
|
|
Yes
|
|
Robert Charles Bropho sworn on 15 December 2003
|
Aboriginal inhabitant
|
Yes
|
|
Gregory John Stratton sworn on 11 December 2003
|
Non-Aboriginal non-inhabitant, recording a documentary on the Reserve
|
No
|
|
Sharon Leah Davies sworn on 15 December 2003
|
Non-Aboriginal non-inhabitant, volunteer of the SVC
|
No
|
|
Sharon Davies affirmed on 26 July 2006
|
|
No
|
|
Lynda Nutter sworn on 19 December 2003
|
Non-Aboriginal non-inhabitant, neighbour of the Reserve
|
No
|
|
Charlotte Lyndon Bropho affirmed on 27 July 2006
|
Aboriginal inhabitant
|
No
|
|
Dorothy Bropho affirmed on 27 July 2006
|
Aboriginal inhabitant
|
No
|
|
Naomi Bropho affirmed on 27 July 2006
|
Aboriginal inhabitant
|
No
|
|
Paul Allardyce affirmed on 1 August 2006
|
Non-Aboriginal non-inhabitant, volunteer of the SVC
|
No
|
|
Tina Rose Jackson affirmed on 7 August 2006
|
Aboriginal inhabitant
|
No
|
|
Affidavits Tendered by the Respondents
|
Job Title during the Relevant Period
|
Cross-Examined
|
|
Irene Mary Thomas sworn on 9 December 2003
|
Manager of the Midland Department of Community Development (DCD) Office
from 5 May 2003
|
No
|
|
Irene Mary Thomas sworn on 10 March 2004
|
|
No
|
|
Terrence Joseph Daly sworn on 4 December 2003
|
Manager of Customer Service, Mirrabooka Regional Office, Department of
Housing and Works (DHW)
|
No
|
|
Terrence Joseph Daly sworn on 19 February 2004
|
|
No
|
|
Paul Terence Godden sworn on 4 December 2003
|
Manager of Land Claims Mapping Unit in the Department of Land
Information (DLI)
|
No
|
|
Lesley Ann Affleck sworn on 31 March 2004
|
Policy Officer in the Department of Planning and Infrastructure
|
No
|
|
Debra Fletcher report filed on 6 February 2004
|
Historian
|
No
|
|
Lynsey Sarah Warbey sworn on 5 December 2003
|
Senior Policy Officer in the Department of the Premier and Cabinet of WA
(DPC)
|
No
|
|
Lynsey Sarah Warbey sworn on 4 October 2005
|
|
No
|
|
David John Pedler sworn on 5 December 2003
|
Regional Manager Metropolitan/Wheatbelt Region of Department of Indigenous
Affairs (DIA)
|
No
|
|
Grahame John Searle sworn on 4 December 2003
|
Acting Chief Executive Officer of the Department of Land Administration
(DOLA) that became DLI
|
Yes
|
|
Roland James Bayman sworn on 5 December 2003
|
Acting Manager Midland District of DCD
|
Yes
|
|
Barry Charles Jameson sworn on 5 December 2003
|
Charted Accountant and Registered Company Auditor, Administrator of the
Reserve
|
Yes
|
|
Barry Charles Jameson sworn on 18 February 2004
|
|
Yes
|
|
Caroline Jane Brazier sworn on 5 December 2003
|
Director General of DCD
|
Yes
|
OBJECTIONS TO DOCUMENTS
- Exhibit
P is the bundle of documents. It was admitted on the basis that a limited
number of objections would be raised in closing
submissions.
- The
applicant objects to exhibit P documents 5, 8 and 9 being received as
relevant evidence. They each comprise Orders in Council
which are said not to
be related to this matter. The respondents propose their tender to prove that
the transitional provisions
to the Land Administration Act 1997 (WA) (the
LAA) affected other management bodies in respect of other reserves, so that
those provisions therefore are not discriminatory.
On that basis I accept the
documents are relevant.
- The
applicant objects to exhibit P document 98. It is a Parliamentary
statement, so the use to which it may be put by way of
evidence is limited by
Parliamentary privilege. The applicant objects, therefore, to its admissibility
to prove any fact contained
in the statement. However, the applicant has
pleaded the document. It is also admissible on the question of special measure:
Bella Bropho v State of Western Australia [2005] FCA 941 at [117]- [118].
The document is admitted as proof of what was said to Parliament by the Premier
on 14 May 2003 and as proof of what Parliament
believed in enacting
the Reserves Act. It is not admitted beyond that as otherwise proof of its
contents.
- The
applicant objects to exhibit P documents 119, 120 and 121. Each of them
comprises a criminal record of persons about whom
there has been other evidence.
They relate to Robert, Harvey and Herbert Bropho. The applicant states there is
no evidence that
such records were known to those advising the Government at the
time when the Reserves Act was enacted. It is contended by the applicant
that
the records are therefore not admissible relevant evidence to support the
reasons for the enactment or validity of the Reserves
Act. The respondents
contend that these go to the reputation and character of those named persons, in
issue in relation to the appropriateness
of the respondents’ actions.
They are entitled to admission on that basis and the issue of knowledge of
reputation and character
falls to be considered when that evidence is sought to
be relied upon. In relation to exhibit P document 120, the criminal
record of Harvey Bropho, this is relevant because the respondents questioned
Denise Sambo concerning his criminal record and the
credibility of her evidence
in that respect is in issue.
- The
respondents object to exhibit P document 115, A Report of the Select
Committee on Reserves. The applicant submits that document
is admissible
subject to Parliamentary privilege and so is not admissible to prove the facts
contained in it. However it is submitted
that document 115 is admissible
to the extent that it provides content to matters deposed to by Margaret Jeffery
by way of reference
to the report in the affidavit affirmed 25 November 2005 to
which it was annexed. In Bella Bropho v Western Australia [2006] FCA
272, I ruled the document inadmissible on the grounds of hearsay and opinion.
Grounds based on relevance and parliamentary privilege
were not upheld but that
cannot overcome the inadmissibility arising from hearsay and opinion.
- The
respondents object to exhibit P document 21, an extract from a Report of
the Australian Institute of Health and Welfare.
The applicant again maintains
the document is admissible to the extent that it provides content to matters
deposed to by Margaret
Jeffery by way of reference to the report in the
affidavit affirmed 25 November 2005 to which it was annexed. Alternatively,
that
document 21 is to be taken into account as submission by the applicant.
Document 21 fails for the same reason as document 115, having
also been
previously ruled upon in Bropho [2006] FCA
272.
CONFIDENTIALITY
- The
respondents’ submission makes reference to evidence the subject of
consensual confidentiality orders made by Lee J on 13
February 2004. Under
orders 21 and 22, the supplementary affidavits of Irene Mary Thomas and Terrence
Joseph Daly (exhibits 1(2)
and 2(2) respectively) are to be viewed only by, and
not disclosed to anyone except for the Court, Court staff, the deponents and
other officers of the respondents and the solicitors and counsel for the
parties.
PART B: GENERAL FINDINGS
OF FACT
BACKGROUND CIRCUMSTANCES OF THE SVC AND THE RESERVE PRIOR TO THE RESERVES
ACT
Origins
- The
SVC was incorporated on 25 February 1994. It comprised the group
previously known as the Fringedwellers of the Swan
Valley, of which the Bropho
family was a major participant. The group had been formed in the 1970s. In
April 1977 the Fringedwellers
established a tent city in Stirling Square,
Guildford to protest the poor housing conditions available to them. By
June 1977
they were relocated to a temporary camp on Reserve 25363,
immediately adjacent to the Reserve. Later they returned to Stirling Square
and
later still moved to Herisson Island on 10 December 1978. In the
1980s the group moved to the Reserve. However, their
occupancy was tenuous and
uncertain and they moved back to Herisson Island in October 1984 before
again returning to the Reserve.
- On
19 July 1994 (gazetted on 22 July 1994) the Reserve was set
apart as a public reserve for the purpose of ‘Use
and Benefit of
Aboriginal Inhabitants’ pursuant to s 29 of the Land Act 1933
(WA) (the Land Act 1933). Pursuant to s 33(2) of the same Act it was
vested in the SVC for that purpose.
- At
the beginning of 1995 tension arose at the Reserve concerning the management of
the SVC by Robert Bropho Snr and members of his
family. (All references to
Robert Bropho are to Robert Bropho Snr unless otherwise stated). In
April 1995 the SVC passed a
resolution which had the effect of vacating the
office of Chairperson. A son of Robert Bropho became Chairperson and Robert
Bropho’s
daughter, Bella Bropho, became Vice-Chairperson. On
12 December 1995 the vesting of the Reserve was revoked pursuant to
s 34B(1) of the Land Act 1933. The Reserve was amended pursuant to
s 37 of that Act. It was then revested in the SVC
for the same designated
purpose as previously pursuant to s 33(2) of that Act.
- On
30 March 1998 the Land Act 1933 was repealed by the LAA. Pursuant to
the transitional provisions in the Second Schedule
to the LAA the vesting order
of 12 December 1995 became a management order (the 1998 Management
Order) under s 46
of the LAA.
Conduct on the Reserve 1993 – 2002
- In
1993 Arthur Edward Bropho (aged 27) hanged himself from a tree said to be on the
Reserve. Police considered the death to be a
suicide. According to Margaret
Jeffery, Arthur Bropho did not live or die at the Reserve, but rather died at
Bennett Brook (which
is near the Reserve).
- In
November 1994 Edna Maria Bropho (then 14 years old) was excluded from the
Reserve by Robert Bropho and lived a transient lifestyle.
From an early age,
Edna had resided with her great aunt Edna Bropho Snr and her husband Robert
Bropho. Edna was chronically addicted
to various substances, having sniffed
toluene since age 9 together with heavy use of marijuana on a daily basis. She
was unable
to read due to the effects of substance abuse and only attended
school on a limited basis. Caroline Brazier accepted in cross-examination
that
one of the reasons Edna was excluded from the Reserve was because of her
‘sniffing’.
- In
February 1995 the Department of Community Development (the DCD) received reports
that Edna Bropho was afraid to return to the Reserve
because of physical
violence from her uncle, Harvey Bropho and the absence of protection from other
adults at the Reserve. This
gave rise to a formal Child Maltreatment
Allegation. A further Child Maltreatment Allegation was later raised concerning
an alleged
physical assault by Herbert Bropho. Margaret Jeffery denies any
knowledge of these events.
- Denise
Sambo, de-facto partner of Harvey Bropho, gave oral evidence that despite
knowing Harvey had an extensive criminal record for
violence, to Ms
Sambo’s knowledge, Harvey had never assaulted or threatened any one and
she had never seen him commit any of
these acts.
- From
approximately 1995 the Derbarl Yerrigan Health Service (the Service) (formerly
Perth Aboriginal Medical Service) had been banned
by Robert Bropho from entering
the Reserve and so did not have any adequate access to the Reserve. Evidence
was given to the Coronial
Inquiry into the death of Susan Taylor that the
Service had difficulties accessing the area of the Reserve since the 1980s. The
Coronial Inquiry heard evidence that the Service was banned from attending the
Reserve following an incident in which nursing staff
from the service had given
a needle to the daughter of Bella Bropho when she had a cold. The community
believed that event had resulted
in the child’s death and had caused the
community to lose faith in the Service. The community then began to seek their
medical
services from the Lockridge Medical Service instead.
- In
1995 members of the Western Australian Police Service (WAPS) attended the
Reserve having followed a stolen vehicle onto the property.
A serious
confrontation developed in which the police car was damaged by a number of
persons, including Robert Bropho. Following
the incident it was police
procedure to call ahead to Robert Bropho before entering the Reserve and as a
general rule two vehicles
would enter the campsite together. Mr Bropho denied
that the 1995 incident had occurred, but did not dispute the existence of the
police procedure. Mr Bropho described it as ‘building bridges’.
- Between
April and May 1996 Cynthia Parfitt (aged seven) alleged that she had been
sexually abused at the Reserve by Guy Bropho (aged 14),
the grandson of
Robert Bropho. She also identified other children whom she believed had been
abused by Guy Bropho. Robert Bropho
refused access to the Reserve to government
agencies who visited to discuss the matter and did not allow investigators to
talk to
the children concerned or their parents.
- In
May 1996 the SVC Camp School began. It was established as an annex to the
existing Lockridge Primary School and operated as a
kindergarten up to
grade 10 school.
- On
24 June 1996 Robert Bropho denied the DCD access to the Reserve to discuss a
program aimed at keeping children safe from abuse.
His response was regarded as
abrupt and the DCD staff were advised they were no longer permitted on the
Reserve. Mr Bropho
denied this in his evidence.
- On
12 July 1996 Nicole Bropho (aged 13) was found deceased at the Reserve,
having hanged herself on the perimeter fence.
- On
10 September 1996 Edna Bropho (aged 16) alleged physical abuse by Herbert Bropho
whilst she was staying briefly at the Reserve.
Her injuries were noted as a
gash to the head and four long red/purple welts which she claimed had been
inflicted with a bottle
and a broom. Miriam Spratt also made allegations at
this time that Herbert Bropho had been hitting children who lived at the
camp.
- In
mid-1997 Robert Bropho ordered the DCD staff off the Reserve. At the time the
DCD were involved in the investigation of claims
made by a young child on the
Reserve that he had been inappropriately touched by older boys. They wished to
talk to the boys concerned
but were unable to follow up the allegations due to
lack of access. Mr Bropho confirmed this incident in his evidence. Subsequent
to that incident officers from the DCD Midland office did not seek to access the
Reserve. However some of the DCD staff from other
district offices continued to
access the Reserve.
- In
mid-1997 a weekly playgroup conducted by the DCD on the Reserve was no longer
able to operate as a consequence of what was considered
to be the direction of
Robert Bropho. He closed down the playgroup after Richard Bropho ‘run
amok with one of the teachers’
abusing her. In other words, the playgroup
was closed as a measure to protect the teacher.
- In
October 1997 the DCD was notified that Marion Bropho, a three month old child,
had been abandoned in Northbridge near the City
of Perth. Marion was returned
to her mother, Dorothy Bropho. According to Dorothy she was ‘going
out’ and left Marion
with two of her cousins who were later picked up on
bench warrants by the police.
- On
20 October 1997 Robert Bropho, after a confrontation, ordered one of the SVC
Camp School teachers off the premises. The teacher
did not return and was
replaced with a new teacher. Mr Bropho denied that he ordered the teacher to
leave the Reserve.
- On
23 January 1998 police observed Susan Taylor (aged 15) attempting to hang
herself from the front perimeter fence of the Reserve.
- On
10 May 1998 Susan Taylor again attempted to hang herself and was conveyed to the
Swan Districts Hospital Emergency Department where
she was reported as acting
violently towards staff. She was later conveyed to Graylands Hospital and then
Bentley Adolescent Inpatient
Unit.
- On
5 and 6 August 1998 police attended the Reserve attempting to catch Richard
Bropho who was allegedly heavily intoxicated. In the
following two days Richard
Bropho had a violent confrontation (one of a physical threat of violence and one
of verbal abuse) with
the Camp School’s two teachers.
- On
14 August 1998 the Department of Education (DOE) withdrew its school teachers
from the Reserve due to concerns about violence on
the Reserve. Arrangements
were made with Robert Bropho for the teachers to return to the school to collect
personal belongings.
The teachers were given five minutes to get a few
possessions and leave by Robert Bropho who stood at the gate to the camp,
allegedly
in an intimidating manner. DOE property was left at the Reserve in a
transportable building.
- Bella
Bropho gave evidence that this arose from one incident involving Richard Bropho.
Margaret Jeffery testified that the school
was closed by the community following
an incident involving one of Robert Bropho’s sons who was affected by
‘speed’.
- On
4 January 1999 Susan Taylor made a complaint to police at the Midland Detectives
Office in relation to an allegation of an indecent
assault and a physical
assault perpetrated on her by her uncle, Richard Bropho. That incident was
alleged to have occurred on the
Reserve. The Coroner, in his Report into the
death of Susan Taylor, accepted that after the incident Susan Taylor had gone to
Robert
Bropho’s place where he did little or nothing to investigate her
concerns. According to Margaret Jeffery, Susan Taylor was
being abused
elsewhere than at the Reserve.
- In
February 1999 Susan Taylor hanged herself in the ablution block of the Reserve.
The Report of the Coroner into her death found
that she, along with other young
people associated with the Reserve, had been sniffing spray paint on the morning
of her death.
Ms Taylor was not a resident of the Reserve but was a
frequent visitor to the Reserve.
- On
22 March 1999 the police received a complaint that Robert Bropho had sexually
assaulted Lena Spratt, a former resident of the Reserve.
The police arrested Mr
Bropho on 28 June 1999 following this complaint from Lena’s mother,
Miriam Spratt. The charge
was later withdrawn prior to the trial because of
deficiencies in the DNA evidence, but the charge was reinstated on 21 May 2003.
Robert Bropho was acquitted of the charge in September 2004.
- On
16 May 1999 Clinton Bropho was admitted to the Swan Districts Hospital for
non-accidental injuries. He had been assaulted by his uncle, Herbert Bropho
because he had been sniffing glue. Bella Bropho, Margaret
Jeffery and Charlotte
Bropho deny any knowledge of this event and state that they would have known if
this event had occurred.
- In
November 1999 Marion Bropho (then aged two) was reported to have been abandoned
outside the gates of the Reserve. Margaret Jeffery
denies any knowledge of this
event. Dorothy Bropho, Marion’s mother, also denied that this
occurred.
- On
25 December 1999 the DCD arranged for temporary accommodation for Dorothy Bropho
and her daughter Marion after Dorothy contacted
the DCD saying she had had a
family dispute, felt unsafe and wanted to leave the Reserve. Several other
requests for emergency accommodation
were made by Dorothy in early 2000.
Margaret Jeffery denies any knowledge of this event. According to Dorothy, she
and her mother
had ‘a little disagreement’ and that she wanted to
give her mother ‘a bit of room ... because her partner had got
released
from gaol just before Christmas’.
- On
8 January 2000 the Swan Hospital Emergency Department provided a medical report
that Richard Bropho was treated for lacerations
to the head, stomach and legs as
a result of an assault by Herbert Bropho that occurred at the Reserve. Bella
Bropho, Margaret Jeffery
and Charlotte Bropho deny any knowledge of this event
and state that they would have known if this event had occurred. However
Charlotte
Bropho admitted that Herbert would ‘jar up’ Richard and
‘tell him off’ for sniffing.
- On
12 and 13 April 2000 Marion Bropho (then aged two years and nine months) was
sexually assaulted by her mother’s brother,
Timothy Bropho, and her cousin
Nigel Bropho at the Reserve. As a result of the sexual assault, Marion suffered
severe injuries and
tears to her vagina and anus. According to Naomi Bropho and
Margaret Jeffery, both men were living on the Reserve at the time.
- Marion
Bropho had been left with Naomi Bropho by her mother Dorothy Bropho, who
according to Naomi, ‘was on heroin’ and
‘wanted to go
somewhere else’. Naomi then left Marion with Nigel Bropho because she had
to care for her own child.
According to Margaret Jeffery, both men were
severely under the influence of glue and alcohol and were in a psychotic state
at the
time. Naomi Bropho also stated that Nigel was under the influence of
glue at the time as she could smell it on his breath.
- Nigel
Bropho pleaded guilty to the sexual assault in July 2001 and was sentenced to
two years detention. Timothy Bropho was convicted
following a trial in May 2002
and sentenced to 12 years imprisonment. Following the sexual assault in April
2000, Marion Bropho
was removed from Dorothy Bropho’s custody and placed
in foster care. Marion was made a ward of the State in November 2000.
Caroline
Brazier explained in her oral evidence that she was concerned, not just about
the fact that this incident occurred, but
also about the level of substance
abuse by those two residents of the Reserve that led to them committing the
crime.
- According
to the DCD’s records, on 29 June 2000 a young woman, Natasha Bropho,
(daughter of Bella Bropho) had her throat cut
with a tennis racket by Herbert
Bropho while at the Reserve. Charges were laid against Herbert Bropho. Bella
Bropho confirmed in
her oral evidence that Natasha had a laceration to her neck
caused when Herbert Bropho accidentally hit her with a tennis racket.
Herbert
was not convicted of assault because Natasha went to South Australia and did not
appear to give evidence. Natasha denied
that was because she was scared to give
evidence against Herbert, but her evidence in that regard was unconvincing.
- According
to Bella Bropho and Margaret Jeffery, Herbert Bropho assaulted Natasha Bropho
because she was sniffing. Bella Bropho acknowledged
that Herbert used to bash
children he found sniffing on the Reserve but said, ‘[i]t finally dawned
on my brother Herbert what
he was doing, that it was wrong, and that it was no
way to help sniffers, with violence. His attitude has changed now. He does
not
use violence against sniffers’.
- On
29 June 2000 Maree Baker was physically abused by Herbert Bropho. This was
substantiated on the DCD computer record system on
30 June 2000. According to
Margaret Jeffery, Maree was assaulted by Herbert Bropho because she was sniffing
solvents. He was duly
charged.
- On
30 May 2001 Lynette Bropho and a seven year old child sought assistance to
escape from domestic violence occurring on the Reserve.
Bella Bropho, Margaret
Jeffery and Charlotte Bropho deny any knowledge of this event and state that
they would have known if any
domestic violence had occurred at the Reserve.
- In
August 2001 Clinton Pickett made allegations about physical and sexual
abuse of himself and other youths on the Reserve.
- On
20 September 2001 Morgan Spratt (also known as Morgan Bropho) (aged 22) died at
the Reserve as a result of acute toluene toxicity
brought about by solvent
abuse. Morgan lived in Northam but would stay at the Reserve whilst in Perth.
Morgan suffered from organic
and drug induced psychosis brought on by years of
solvent abuse. According to the Report of the Coroner into the death of Morgan
Spratt (delivered on 2 April 2004), for much of the time Morgan was at the
Reserve he was on one substance or another, and whilst
some on the Reserve
believed that he was not medication compliant, no-one seemed to have endeavoured
to determine what he should
be taking and when.
- On
29 October 2001 a 14 year old girl, Megan Bropho (who was not a resident of the
Reserve), was picked up by police in an intoxicated
state. Kiara police were
concerned about dropping her at the SVC.
- On
11 January 2002, Ric Baker sought priority housing from the Department of
Housing and Works (DHW) on the basis, he said, of financial
hardship,
homelessness, domestic violence and harassment from residents of the Reserve.
However he was not provided priority housing
at that stage.
Coronial report on the death of Susan Taylor
- In
2001 the Western Australian Coroner, his Worship Alistair Hope, conducted an
inquest into Susan Taylor’s death. The Report
of the Coroner into the
death of Susan Taylor was published on 21 November 2001. The evidence given at
that inquest, and the Coroner’s
report, disclosed high levels of substance
abuse by, and sexual abuse of, young people associated with the Reserve. The
Report also
highlighted significant difficulties experienced by service
providers in gaining access to the Reserve and those in the community.
It
specifically investigated access to the campsite by the Family and
Children’s Services (now the DCD) and the police.
The Gordon Inquiry
- On
15 January 2002 the Acting Premier and Minister for Public Sector Management
established an inquiry under s 11(1) of the Public Sector Management Act
1994 (WA) (Public Sector Management Act) entitled ‘Inquiry into
Responses by Government Agencies to Complaints of Family Violence
and Child
Abuse in Aboriginal Communities’. That inquiry was conducted by
Magistrate Sue Gordon AM, the Hon Kay Hallahan AO
and Mr Darrell Henry and is
generally known as the ‘Gordon Inquiry’.
- The
Gordon Inquiry was triggered by the Government’s consideration of the
Report of the Coroner into the death of Susan Taylor.
In February 2002 Lynsey
Warbey was seconded from the Crown Solicitor’s Office to be the
instructing solicitor for Richard
Hooker, counsel assisting the Gordon Inquiry.
- On
31 July 2002 the Gordon Inquiry report ‘Putting the Picture Together, an
Inquiry into Response by Government Agencies to
Complaints of Family Violence
and Abuse in Aboriginal Communities’ was published. The report contained
various findings and
recommendations with respect to the functions of Government
agencies in relation to aboriginal communities.
- Part
5 of the Gordon Inquiry report addressed issues relating to the occupants of the
Reserve. Recommendation 141, within Pt 5
of the Gordon Inquiry report, was
the only recommendation dealing specifically with the SVC. That recommendation
was that:
‘The Inquiry recommends that urgent steps be taken to develop
Memorandum [sic] of Understanding between the Swan Valley Nyungah
Community and those government agencies which may reasonably seek access to that
community. In developing those Memoranda of Understanding, the conclusion of
the Inquiry as to the good faith of service providers
and their legitimate
exercise of government function, ought be taken into
account.’
- Between
August 2002 and December 2002 a Directors General Taskforce (DG Taskforce),
with assistance from a taskforce secretariat
within the Department of Premier
and Cabinet (DPC) prepared the Government’s response to the Gordon Inquiry
report.
- At
the beginning of December 2002 the Government published its response to the
Gordon Inquiry report. In relation to the Gordon Inquiry
recommendation 141,
(which concerned the development of a Memorandum of Understanding (MOU) between
the SVC and the Government) the
response stated that:
‘The Government has acted quickly to examine and respond to issues
concerning the Swan Valley Nyungah Community (SVNC) and Government
agencies’ relationship with this community.
This examination and the report into the findings of the Coroner’s
Court Western Australia about the investigation into the
death of 15-year-old
Susan Taylor, who died in tragic circumstances at the reserve, and the Gordon
inquiry, gave rise to concerns
about the management of the Lockridge land
occupied by the Swan Valley Nyungah Community Aboriginal Corporation and the
health and
well-being of children and families resident on this land.
The State Government has acted quickly to register a new management order
over the land to ensure it is managed in the best interests
of it’s
residents. This management order, which has taken effect, ensures that
Government agencies have full access to the
community, so that residents can get
the benefit of Government services. This is especially important for community
services, education
and health officers.
The agreement reached will allow Government to monitor the corporation to
ensure it is run in an open and democratic way and in compliance
with its rules
and relevant Commonwealth legislation. The corporation is also required to
prepare a management plan within six months
for Ministerial
approval.’
- The
Government’s response did not include a MOU with the SVC. Caroline
Brazier explained that Memoranda of Understanding are
effective if developed and
implemented with people who are committed to working closely with Government,
but where that is not the
case they have not proved to be effective.
- Two
separate committees were established within the Government to implement the
Government’s response. Those committees were:
(a) Directors
General Gordon Implementation Group (Gordon Implementation Group). This
comprised the Directors General of the DCD,
DOE, Department of Indigenous
Affairs (DIA), Department of Health (DOH), DHW, Department of Justice (DOJ),
Department of Local Government
and Regional Development, the Commissioner for
Police and Shawn Boyle from the Social Policy Unit of DPC. It was co-chaired by
Caroline
Brazier, the Director General of the DCD, and Barry Mathews, the
Commissioner for Police. Its role was to oversee the implementation
of the
Government’s response.
(b) Senior Officers Gordon Implementation Group (Senior Officers Group).
This comprised the same representatives as the Gordon Implementation
Group as
well as other senior government officers and representatives from the Aboriginal
and Torres Strait Islander Commission (ATSIC).
It was co-chaired by Sean Boyle
of DPC and Mick Gooda, State Manager of ATSIC. It had a more active role in the
development and
management of projects which were part of the Government’s
Gordon Inquiry response.
- The
Government also established the Gordon Implementation Secretariat (the
Secretariat) within the DPC, to co-ordinate the Government’s
response. On
24 February 2003 Lynsey Warbey was appointed the manager of the Secretariat.
The role of the Secretariat was to monitor
the implementation of the
Government’s response to the Gordon Inquiry report, support the DG
Taskforce, the Gordon Implementation
Group and the Senior Officers Group,
perform ad hoc policy and project management functions and report to the
Government on implementation
and other key issues or projects.
- On
3 December 2002 the SVC again wrote to the Premier referring to their earlier
letters of 17 October 2002 and 5 November 2002 concerning
the negotiation of a
MOU and referring to a media release that the Premier would be meeting with
ATSIC to discuss the implementation
of the Gordon Inquiry.
Conduct on and concerning the Reserve February - July 2002
- On
25 February 2002 the DCD received a report that a 16 year old girl associated
with the Reserve, Tina Jackson, was under the influence
of alcohol and concerns
were held for her safety. On 11 March 2002 the DCD received a further report of
concerns that Tina Jackson
was sniffing. Bella Bropho, Margaret Jeffery and
Charlotte Bropho deny any knowledge of these events and stated that Tina only
occasionally
resided at the Reserve and did not sniff at the Reserve. Tina also
stated that she never sniffed at the Reserve because she would
have ‘got
in trouble’.
- In
March 2002 Roland Bayman took over as Manager of the DCD Midland office and was
told by other officers of that Department that
the DCD officers had been
excluded from the Reserve around 1997 by Robert Bropho. He was also told that
efforts by Donna Birch,
a Senior Aboriginal Services Officer within the DCD
Mirrabooka office, prior to the Gordon Inquiry, to develop a MOU with the SVC
about access and service provision had been put on hold pending the outcome of
the Gordon Inquiry.
- On
1 March 2002 a Crown Prosecutor, Patti Chong, was involved in trial preparation
for the prosecution of Timothy Bropho for sexual
abuse of Marion Bropho. Ms
Chong visited the Reserve to interview witnesses associated with the matter.
Robert Bropho was initially
co-operative but became antagonistic when Ms Chong
asked to interview other relevant witnesses, calling her a liar and restricting
her contact with members of the Reserve. Ms Chong’s evidence to the
Hooker Inquiry (defined in [83] below) was that Mr Bropho
said:
‘When you telephoned me to say you wanted to come up to see people, you
told me you wanted to see Lorelle Bropho, you wanted
to see Damien Parfitt and
you wanted to see me. You never mentioned that you wanted to see Bella Bropho
or anybody else what gives
you the right of having told me some untruth to come
in now to speak to anybody that I (sic) wish in the
community.’
- The
applicant submits it is a reasonable interpretation of that evidence that Robert
Bropho in a misguided sense considered that Patti
Chong was approaching the
matter in a surreptitious manner and that he had a duty not to be hood-winked by
her into exposing members
of the community to such an approach.
- On
14 March 2002 whilst leading evidence in the trial against Timothy Bropho, Patti
Chong received messages from, and spoke to, Robert
Bropho who threatened to sue
her for defamation, stating that she had done enormous damage to his community
because of what had been
reported in the press regarding the trial. The
applicant submits it is not unlawful conduct for Robert Bropho to have
threatened
to sue for defamation unless he did so knowing that the prosecution
of any such action would be malicious and done without him honestly
believing
that the prosecution of the action was justified, and that there was reasonable
and probable cause for the action: Hicks v Faulkner (1878) 8 QBD 167 at
171; Herniman v Smith [1938] AC 305; Little v Law Institute of
Victoria (No 3) [1990] VR 257 at 262-263. The evidence does not support a
conclusion that Robert Bropho had the requisite knowledge to make the threat
unlawful.
He apparently did not know, although Ms Chong knew or ought to have
known that what she had said in opening of the Crown case was
subject to
absolute privilege, and so she could not be sued for defamation: see Peterson LJ
in Hodges v Webb [1920] Ch D 70 at 89.
- On
29 May 2002 Tina Jackson was admitted to Royal Perth Hospital for sniffing. She
refused to return to the SVC. Tina Jackson was
not a regular resident at the
Reserve, but Caroline Brazier was generally aware that girls were fearful of
going to the Reserve on
occasions. Tina Jackson stated in her affidavit that
she was not in hospital for sniffing and that she only sniffed occasionally
and
did not do it anymore.
- On
1 July 2002 Kathleen Clarkson and her three year old child requested emergency
accommodation to escape domestic violence at the
Reserve. Bella Bropho,
Margaret Jeffery and Charlotte Bropho state that Ms Clarkson had left the
Reserve before July 2002 and denied
any knowledge of this event. They also
stated that they would have known if any domestic abuse had occurred at the
Reserve.
- On
5 July 2002 a young woman, Isobel Bropho, stated to the DCD case workers that
she had been raped and sexually abused as a child
by Robert Bropho and that
another young woman, Edna Bropho had also been treated the same way. The latter
denied on oath at the
Coronial Inquiry into the death of Susan Taylor that this
had occurred. Both had chronic substance abuse problems and in 2003 were
in
prison in South Australia and Western Australia. Robert Bropho has since been
charged in relation to those allegations.
- On
10 July 2002 Bonnie Wallam, the pregnant partner of Richard Bropho (a young man
in his early 20s and a grandson of Robert Bropho),
reported that she had been
assaulted by Richard Bropho and was seeking accommodation to escape from
him.
- On
30 July 2002 the Swan Districts Hospital reported concerns that a nine year old
child, Peula Bropho, had been admitted for medical
treatment (not related to
abuse) but by the time she was ready to be discharged no family could be
contacted and no-one had visited
her while she was in hospital. According to
Denise Sambo, she visited Peula every day and believes that this information is
a mistake.
- Roland
Bayman a project manager of the DCD was asked in cross-examination whether this
was the same incident which formed the basis
of his interview with Peula Bropho
in April 2003 (the 2003 meeting being in relation to Peula’s well being
after she had been
to the Lockridge Medical Centre for scabies) and Mr Bayman
said he believed it was the same. Caroline Brazier understood there may
have
been two different occasions involving the same child. In the
respondents’ submission there is no inconsistency between
the evidence of
Mr Bayman and Ms Brazier. Mr Bayman was clearly confused by the ambiguous
nature of the questioning, and the
better understanding of his evidence is that
there were two incidents both involving the same girl. I proceed on the basis
such
was the case.
Negotiation of 2002 Management Order (August - October)
- On
10 October 2002 the Department of Land Administration (DOLA) provided the SVC
with a copy of the conditions for the proposed 2002
Management Order for
agreement. On 11 October 2002 the SVC wrote to the Minister for Lands
advising of their acceptance of
the 2002 Management Order and stating that
‘you have put into writing all the changes that we want to the management
order’.
- On
11 October 2002 Lesley Affleck, on behalf of the Minister for Planning and
Infrastructure, wrote to the SVC stating that some small
amendments to the
proposed 2002 Management Order’s conditions had been necessary and
providing a revised copy of the conditions
for the proposed order for
agreement.
- On
11 October 2002 Harvey Brophy wrote to the Minister for Planning and
Infrastructure and confirmed that the 2002 Management Order
was acceptable. The
letter stated that ‘if this is the final version of the management order,
lets get on with it. We have
discussed it and it is acceptable’.
(Whether in fact the SVC gave informed consent is considered below).
- On
11 October 2002 the documents pertaining to the revocation of the existing 1998
Management Order and proposed 2002 Management Order
were lodged at DOLA for
registration. Pursuant to these documents:
(a) the Order in Council
gazetted on 12 December 1995 vesting Reserve 43131 in the SVC for the
designated purpose of ‘Use
and Benefit of Aboriginal Inhabitants’
(as purportedly converted to a management order by the 1998 transitional
provisions)
was revoked pursuant to s 50 of the LAA; and
(b) by registration of the 2002 Management Order the Minister placed the
care, control and management of Reserve 43131 with the
SVC for the purpose
of ‘Use and Benefit of Aboriginal Inhabitants’ subject to the
conditions set out therein. The 2002
Management Order required, amongst other
things that the SVC prepare a management plan by April 2003 for the approval of
the Minister
for Planning and Infrastructure.
The Hooker Inquiry
- On
23 October 2002 following the Gordon Inquiry report, another inquiry was
established under the Public Sector Management Act to review the
DCD’s handling of a number of child abuse cases. That inquiry was
conducted by a barrister, Richard Hooker (the
Hooker Inquiry). The report was
published on 30 April 2003. Of the eight cases reviewed by the Hooker Inquiry,
four were associated
with the SVC, being Marion Bropho, Edna Bropho, Morgan
Bropho and Timothy Bropho.
- When
the Hooker Inquiry report came to the attention of Caroline Brazier in mid-May
2003, she was satisfied that the concerns previously
expressed to her by senior
officers of her Department had been well-founded. Having regard particularly to
Marion Bropho’s
case, and the other cases not associated with the SVC,
Richard Hooker concluded that:
‘One cannot fail to be moved, from beginning to end, by the horrific
criminal conduct disclosed in the file documentation.
That the victims are all
children – most of them very young infants – serves to compound the
tragedy. The seemingly
self-perpetuating spiral of deprivation, substance
abuse, and, in many cases, sheer sexual deviancy, continues to demand the most
careful, dedicated measures from Government to redress its progress and avert
its dreadful impact.’
Mr Hooker also
concluded that:
‘For the Department of Community Development, its management and staff
remain the most valuable of assets. With a certain fine
tuning of some specific
aspects of its service delivery, and the ongoing consideration of the conceptual
challenges posed for its
delivery of services, the Department with its new
structure and richer, contemporary legislative base, can further enhance its
quality
of performance and continue to be a leading component of the Government
of Western Australia in targeting the ongoing and utterly
unacceptable abuse of
children and other powerless Aboriginal
Australians.’
Further conduct on or concerning the Reserve
- On
17 October and 5 November 2002 the SVC wrote to the Premier and a
number of Ministers concerning the Gordon Inquiry
report and negotiation of a
MOU between the Government and the SVC. No substantive step resulted.
- In
the meantime the DCD received reports of incidents involving domestic and family
violence, intimidation, abuse and neglect amongst
persons associated with the
Reserve, although not solely from inhabitants of it.
- On
21 November 2002, a meeting was convened at the request of the
Director General of the DPC of representatives of seven
government agencies. It
was called to inform them about the new 2002 Management Order for the Reserve
and that the Government wanted
them to exercise their right of access to the
Reserve in accordance with that order to perform their functions and also to
ascertain
what services were being provided to the SVC and how government
agencies could better coordinate service provision to that community.
That
approach was favoured consistently with the recommendation of the Gordon
Inquiry. The meeting agreed to undertake a stock
take of the services and
resources being delivered to the communities and how they could be more
effectively delivered. The Midland
office of the DIA was to take on the
co-ordinating role for future meetings. The priority was to prevent further
incidents of abuse
of women and children such as had been disclosed in the
Coronial Inquest into the death of Susan Taylor and the Gordon Inquiry.
- On
29 November 2002 a meeting was held at the DIA Midland office
consisting predominantly of the local Midland government
agencies and frontline
service provider staff involved with the SVC. The group became known as the
Interagency Working Group (the
Working Group). Agency representatives agree
that their goal was to ensure residents of the SVC had access to the services
provided
by Government and other agencies, to enable individuals and families to
live in a safe and healthy environment. The outcomes of
the meeting were that
by 2 December 2002 the DIA would contact the SVC leaders to
acknowledge their correspondence seeking
a MOU, to explain the intention of a
collaborative and coordinated agency approach to service provision to the SVC,
and to discuss
the SVC involvement in that process. It was also agreed the
Working Group would conduct a workshop with the SVC at the Reserve to
identify
and consider issues of concern to the SVC and develop an action plan based on
the collaborative and coordinated agency approach.
- On
2 December 2002 the DIA Regional Officer, David Pedler phoned the SVC
office but was unable to speak to Robert Bropho.
He was told by Margaret
Jeffery that it would not be possible for a meeting to take place until late
January 2003.
- On
3 December 2002 the SVC again wrote to the Premier referring to the
earlier letters concerning the negotiation of a MOU.
- In
early December 2002 Lynsey Warbey of the DPC and the Director General of
the DIA organised a delegation of government officers
to visit the Reserve to
conduct what was known as a ‘community audit’. Its purpose was to
gather information about who
was living on the Reserve, to assist in planning
government service delivery to the SVC as well as to explain to the SVC the
Government’s
intention to improve service delivery using the 2002
Management Order.
- The
visit was planned for 4 December 2002. The residents of the Reserve
had only about 10 minutes notice of the visit.
They comprised approximately 25
persons, including women and children, headed by Robert Bropho. The visiting
group was headed by
a Police Superintendent supported by a Police Sergeant.
Media representatives were at the gate of the Reserve. In the eyes of the
community of inhabitants, it appeared as a show of force by the Government. The
view of Roland Bayman of the visiting party was
that he was met in a threatening
manner and, because of the resulting tense mood, no audit was conducted.
However, Robert Bropho
agreed that the Working Group could meet with the SVC
management to discuss the proposed workshop with the whole of the SVC on
17 December 2002.
Mr Bayman told Mr Bropho on the occasion
that, where appropriate, the DCD would telephone ahead to say it wanted to speak
to someone on the Reserve but that on occasions they would attend unannounced,
with or without police.
- On
5 December 2002 Roland Bayman again visited the Reserve, this time
with a DCD child protection worker, to speak with
a young girl about whom there
were concerns whether her needs were being adequately met by her carers.
Although a meeting was sought
in the privacy of the girl’s home, Robert
Bropho told Mr Bayman that they could meet in the public open space on the
Reserve.
That was where the meeting took place, it being also attended by
Sharon Davies who made notes. In his evidence Mr Bayman conceded
that the
reception he received at this subsequent visit may have been adversely affected
given the events of 4 December 2002.
- On
6 December 2002 the Working Group met to plan the workshop.
- On
10 December 2002 the SVC wrote to the Premier referring to the
community audit on 4 December 2002. In a memorandum
to various
government officers of the same date the community described the audit as a raid
and requested that they be informed of
any visit.
- On
18 December 2002 a meeting was held at the Reserve to discuss the
community workshop. Although other Aboriginal people
were present, only Robert
Bropho and Margaret Jeffery spoke on behalf of the SVC. Mr Bropho commenced the
meeting by presenting
the government officers with a document entitled
‘Preliminary Suggestions for Assistance’ together with a copy of a
letter
to the Coroner complaining in relation to what he considered to be errors
in the report on the inquest in to the death of Susan Taylor.
He spoke also
about the removal of the classroom from the Reserve earlier in the year, and his
desire for a MOU with the Premier.
David Pedler of the Working Group said that
they were not able to respond to those issues, their role being to discuss local
services
for the residents of the camp and the workshop. He stated that the
context was one where the Government was unable to engage with
members of the
community regarding direct service provision or to identify with precision who
were the members of it. Robert Bropho
said he would think about the workshop
and contact Roland Bayman concerning it. In relation to discussing service
delivery and meeting
off the Reserve, Mr Bropho did not give a commitment and
stated his preference for these issues to be discussed within the community.
At
the meeting on 18 December 2002, Mr Bropho had stated that no-one
would be available over the school holidays to attend
any meetings.
- On
18 December 2002 the Premier responded to the SVC’s letters of
17 October, 5 November and 3 December
2002 regarding the
negotiation of a MOU. The Premier stated:
‘As I have made clear in the Government’s response to the Gordon
Inquiry, rather than seek a new Memorandum of Understanding
with the Swan Valley
Nyungah Community, we have instead focussed upon a new management order
guaranteeing that Government agencies
have access to the Lockridge camp ... It
is undoubtedly in the best interests of the families and children in the
community that
they receive the government services which will assist them in
their day to day lives ... It is this Government’s firm view
that
children and families are entitled to the same level of services no matter where
they live.’
- On
20 December 2002 David Pedler wrote to Robert Bropho confirming the outcome
of the meeting on 18 December 2002. He stated
that it had been suggested
that the next meeting take place at a venue other than the SVC to demonstrate
good faith with local service
providers. Mr Bropho responded on
27 January 2003 that the SVC had not suggested meeting elsewhere and
that only Mr Pedler
had done so.
- In
January 2003 Richard Bropho made allegations to an officer of the DOJ of
being physically assaulted by his uncle on the Reserve.
Richard was known as
being a substance abuser. In February 2003 he was arrested and released
into the care of Charlotte Bropho,
wife of Herbert Bropho, at the Reserve.
- On
5 February 2003 David Pedler provided a briefing note to the DIA
Director General on the recent events regarding the
SVC. In it he expressed the
opinion that Robert Bropho was applying a passive resistance strategy to the
attempts by the Working
Group to establish access arrangements to the residents
of the SVC. He stated that discussions regarding the workshop had been
unproductive
and gave his assessment that the likelihood of SVC residents
participating in it was doubtful given Mr Bropho’s ongoing influence.
The
foundation of these opinions was not made apparent and the applicant submits
that maybe he was relying on a misunderstanding
of the correspondence.
- On
14 February 2003 the Director General of the DCD, Caroline Brazier, was
informed that Clinton Pickett had made allegations
in August 2001 about
physical and sexual abuse of himself and another youth on the Reserve. On
18 February 2003 he was
removed from the Reserve by the DCD and the Police
and interviewed again about the allegations. He refused to repeat the
allegations
or to speak about occurrences on the Reserve. I accept the
submission of the applicant that the Court cannot draw any adverse inference
against any person associated with the applicant from a report to
Ms Brazier that officers involved in the interview considered
he was
frightened to speak out.
- On
19 February 2003 a number of government agencies received a letter from the
SVC containing what were said to be specific proposals
on substance abuse.
Roland Bayman advised the SVC he had referred the letter and the earlier
preliminary suggestions to agencies
who had more expertise and experience in
dealing with such matters, the DCD not having any broad policy proposals to
address relevant
solutions.
- On
27 February 2003 the Working Group met at the DIA Midland office to discuss
the workshop. A further meeting was planned for
19 March 2003.
- On
14 March 2003 the Gordon Implementation Group met. From discussion there
concerning the SVC, a consensus emerged that each
Department was having limited
success in improving conditions and that the focus on providing better services
to the SVC would not
solve the problem of child safety either from physical and
sexual abuse, substance abuse or self harm while the existing management
structure was in place. The principal concern with that structure was the
dominating role of Robert Bropho. The Gordon Implementation
Group considered
that he had regulated and continued to regulate the conditions of access by
government officers to the Reserve and
to persons on the Reserve and showed no
genuine intention of working with the Government to improve conditions there.
In their evidence
both Bella Bropho and Margaret Jeffery denied that Robert
Bropho decided who could come onto the Reserve. Mr Bropho testified
that he had
been the spokesman for the community for many decades and under the direction of
it, it was his job to tell people to
leave the Reserve. The applicant submits
that the government officers were unable to distinguish between the role of Mr
Bropho in
fulfilling this function and the issue of dominance of management by
him. Furthermore, she submits that they did not give any consideration
to the
need for balance between access by them and the need of members of the community
for privacy.
- The
outcome of the meeting of the Gordon Implementation Group was that it was agreed
the concerns of the agencies should be reported
to the Cabinet Standing
Committee on Social Policy, together with options for improving the management
of the Reserve. A report
to that effect was tabled at a Senior Officers Group
meeting on 22 April 2003. It stated that State instrumentalities
were
being prevented by the SVC from providing services to or securing the safety and
welfare of persons accessing or resident on
the Reserve. Nevertheless it stated
that DIA was in regular contact with the community; the DCD had been accessed
for services on
an ad hoc basis; the Kiara Police Station had made gains in
obtaining unimpeded access to the community; DOH had provided regular
visits by
Aboriginal Health Workers based in Midvale; the Department of Education and
Training (DET) was developing protocols for
access to the community and the DOJ
had protocols in place and that there were no difficulties in complying with
protocols or gaining
access. Therefore the applicant submits that the Gordon
Inquiry report confirmed that government services were being provided to
the
SVC. She further submits that the matters identified by the report as
‘remaining concerns’ should be understood
as referrable to the need
to engage in dialogue concerning the ‘political’ ground rules or
terms of a management plan
and the issue of whether meetings should be held on
the Reserve or at a neutral venue.
- On
18 March 2003 the DCD’s Northam office advised senior management that
Robert Bropho had ordered that Clinton Pickett
be removed from the Reserve to
pre-empt action by the DCD. Officers of the DCD were unable to locate Mr
Pickett. Charlotte Bropho,
with whom Clinton Pickett was living, deposed that
he had left the Reserve because he was worried that the DCD were coming to take
him away. She denied that Robert Bropho had ordered Clinton’s removal.
- On
19 March 2003 the Working Group met again. It was agreed that
representatives of the DCD would contact Robert Bropho to arrange
a time to
visit the SVC to discuss the proposed workshop.
- On
21 March 2003 a Senior Officers Group meeting was held at the DIA. It was
decided not to make a specific response to the
letter from the SVC of
19 February 2003 concerning substance abuse. Rather the Working Group and
the individual agencies would
continue to focus on provision of services to the
residents of the SVC and other Aboriginal communities. The applicant submits
that
the Working Group did not seem to realise that if it engaged with the SVC
on the broader policy issues identified by the SVC, a relationship
of mutual
trust may have developed which in turn may have facilitated the provision of
services. This submission overlooks the fact
that the Working Group was bound
to focus on issues of departmental concern rather than broader policy issues
within the provenance
of higher levels of Government.
- On
25 March 2003 Clinton Pickett was picked up by Police. He made the
following statements to the DCD officers: his uncle, Herbert
Bropho, had made
threats to kill him; his father had told him not to return to the Reserve
because his uncle would kill him; he had
been living on the streets with his
mother and his sister Lynette Bropho since leaving the Reserve and he did not
want to return
to the Reserve as he did not feel safe. However, both Margaret
Jeffery and Charlotte Bropho deposed that Clinton has learnt to tell
people what
they want to hear and he had never said anything concerning threats to him by
Herbert Bropho.
- On
26 March 2003 officers of the DCD and the DIA visited the Reserve to
endeavour to arrange a meeting between the SVC and the
Working Group to discuss
service provision. Robert Bropho would not meet with them, referring them to
Margaret Jeffery, Sharon Davies
and Iva Hayward-Jackson. They state they were
not interested in meeting with the Working Group, preferring to talk to the
Government
about a MOU and the Preliminary Suggestions communication. Margaret
Jeffery considered the officers did not appear to understand
what she referred
to.
- On
2 April 2003 Roland Bayman sent a copy of the SVC’s Proposal on
Substance Abuse to the Drug and Alcohol Office, sending
a facsimile copy to the
SVC.
- In
April 2003 Richard Bropho and his partner were picked up by Police for sniffing
solvents and being on the streets. The DCD offered
to return them to the
Reserve but each expressed such strong fears about returning there that the DCD
arranged and paid for hotel
accommodation. Margaret Jeffery deposed that both
Richard Bropho and his partner were rendered violent by sniffing so that, when
attempts were made to remove cans from either of them, allegations of assault
arose.
- On
30 March 2003 the SVC provided to the Minister for Planning and
Infrastructure and DOLA a written draft management plan as
was required by the
2002 Management Order for the Reserve. On 16 April 2003 DOLA referred the
draft to a number of government
agencies for comment.
- On
6 May 2003 the DCD Director-General, Caroline Brazier provided the
DCD’s comments on the draft management plan to DOLA.
The draft management
plan stated that ‘new and unannounced visitors are advised to come to the
office ... they are then directed
to who they need to see’. It further
stated ‘by common courtesy most visitors ring ahead’. Caroline
Brazier was
of the opinion that those statements were not consistent with
cl 3 of the Annexure to the 2002 Management Order which provided
that
persons representing a State authority would be entitled to enter on and remain
within the boundaries of the Reserve in order
to carry out the lawful exercise
and performance of the functions and duties of that authority without being
required to obtain the
prior approval or give prior notification to the SVC. In
Ms Brazier’s opinion, the DCD officers needed to be able to make
unannounced visits and have direct and unimpeded contact with individual
families and children at the Reserve. She also considered
that it was important
that members of the SVC were free to be contacted directly by officers of the
DCD and were free to directly
contact such officers.
- Caroline
Brazier considered that the tenor of the draft management plan gave a strong
impression of a closed community, there seemed
little in the way of
encouragement of communication or interaction with the wider Nyungah or Western
Australian community, and there
were not clear provisions as to how the SVC
proposed to ensure the welfare, safety and development of children resident in
the community.
- Caroline
Brazier’s affidavit states that on 8 May 2003 the DOH
Director-General, Mike Daube gave his Department’s
comments as
follows:
‘Our primary concern centres on the issue of access to the community
for health professionals. While a particular Aboriginal
Health Worker has been
identified as acceptable within the Plan, there is no broader mention of access
for health care providers
and in particular no mention of access for emergency
ambulance services.
There is a general mention in the Plan that visitors are permitted into the
community after they first report to the “office”
as a common
courtesy. This is inappropriate in relation to patient confidentiality.
Further, in the event of psychological/psychiatric
consultations such as those
associated with suspected child abuse, the fear and apprehension of adolescent
and other patients would
(sic) be compunded (sic) if they felt that the reasons
for a visit were being discussed with elders or community
administrators.
There are also some concerns with environmental health issues at the site,
and Health would wish to see particulars of waste water
and sewerage disposal in
the Plan.
While improvements can be made to the Plan, we doubt that these on their own
will bring about the changes needed.’
- On
9 May 2003 Lynsey Warbey received a letter from Barry Matthews, the Commissioner
of Police, containing the Police Department’s
comments on the draft
management plan. Mr Matthews indicated that the draft management plan should
‘include a clear and strong
statement of commitment to the safety and
security of all inhabitants and visitors to the Reserve, as well as the
[SVC’s] support
for the Gordon Report recommendations as they relate to
[the SVC]’. The Police Commissioner queried whether there should be
a
main gate to the Reserve as ‘the very existence of a gate carries with it
the potential for it to be locked at any time,
which may hinder police when
their very presence is needed urgently’. It was also noted that other
Aboriginal communities
did not have gates restricting vehicle access.
- On
19 May 2003 DOLA received a letter from Terry Werner, Acting Executive Director
of the DOE, containing the Department’s comments
on the draft management
plan. Mr Werner indicated that the draft management plan failed to include
provisions relating to access
by government officials and in this respect was
deficient. It was also his view that there were several statements in the draft
management plan which could lead to conflict between members of the Reserve and
the government officers undertaking their duties.
Mr Werner stated that:
‘There is an expectation that the Community should not be exempt from
the provisions of West Australian law, particularly in
relation to the rights
and welfare of children resident there. The lack of specificity in statements
[namely the draft management plan] ... could conceivably give rise to an
expectation by members of the Community that residence at the Community confers
some exemption
from the legal rights and responsibilities of
citizenship.’
It is not apparent on what
basis in law this opinion could have had a foundation.
- The
applicant submits that these responses were unduly negative and were
unreasonable. She asserts that the provisions of the draft
management plan were
amenable to amendment in the course of response. In relation to the Police
response concerning the gate, she
states that it was an issue where a balance
needs to be struck between protection and emergency entry.
- On
14 April 2003 the Secretariat prepared a draft document entitled
‘Report on Service Provision to Swan Valley Nyungah
Community’.
David Pedler commented on the draft that the influence of the non-indigenous
supporters in ensuring ongoing non-cooperation
was a significant factor, so that
access would be problematic even if Robert Bropho was not present at the
Reserve. The applicant
asserts there was no basis in fact for such a conclusion
by Mr Pedler.
- On
22 April 2003 a Senior Officers Group meeting considered the report. The
Secretariat then continued working on a Cabinet
submission regarding the
implementation of the Government’s response to the Gordon Inquiry
report.
- On
28 April 2003 the DCD Director-General was informed by the
Department’s Media Liaison Officer that the Government had
been contacted
by journalist, Colleen Egan, and advised that she had received anecdotal
evidence from several sources that Robert
Bropho was running the SVC ‘with
an iron fist’. Ms Egan raised questions regarding a particular woman who
claimed she
had been threatened with violence but was too frightened to leave
the Reserve. On 29 April the DPC advised the Premier’s
office of the
information. The applicant submits that these occurrences should be seen as
precipitating a shift in approach by the
Government from developing a management
plan to enacting the Reserves Act.
- On
1 May 2003 the Premier raised the issue of the Reserve at a Strategic
Management Council meeting. He was advised of
the continuing concerns
identified at the meeting of the Gordon Implementation Group on 14 March 2003,
such concerns being directed
to the safety of women and children at the Reserve.
The Gordon Implementation Group expressed the opinion that the management of
the
Reserve did not have any intention of addressing in good faith the requirements
of the 2002 Management Order of October 2002
and that strong action was
warranted. (The applicant contends that the Gordon Implementation Group had no
reasonable basis for forming
their opinion and the evidence on that is set out
in Part L: Justificatory Contentions). The Premier indicated that he
wanted
something to be done about the situation as a matter of urgency. As a
consequence, various meetings and inquiries were undertaken
by the relevant
agencies. These included discussion of the option of formally removing the
control of the Reserve from Robert Bropho
and his extended family. The focus of
the inquiries and discussions was directed to the issue of how to reduce the
risk to the women
and children of the SVC by protecting them from intimidation,
physical violence and sexual and emotional abuse. The evidence of
Caroline
Brazier and Lynsey Warbey address the detail of these steps.
- In
late April 2003 a 13 year old Aboriginal girl was reported to the police as
having run away by her father and as living at the
Reserve with Charlotte Bropho
and Herbert Bropho. The applicant also deposed that Robert Bropho had also
called police regarding
the child because her father was causing trouble for the
community and they did not want her to remain on the Reserve. On 2 May
2003 Bella Bropho requested the Midland DCD to remove the child because of
brewing trouble between Herbert Bropho and the child’s
father. The
outcome was that the child was removed by the DCD on that day. Subsequently
Robert Bropho was charged with sexually
assaulting the child while she was
residing at the Reserve on that occasion. On 2 December 2005 he was
convicted in the District
Court of Western Australia of two counts of indecent
dealing with Lee Marie Parfitt. His conviction was upheld on appeal to the
Full
Court of the Supreme Court of Western Australia: Bropho v State of Western
Australia [2006] WASCA 109.
- In
their evidence to this Court, Bella Bropho, Margaret Jeffery and Robert Bropho
maintained that he was innocent of those charges
and did not accept that the
incident had occurred.
- Apart
from the charges involving Lee Marie Parfitt, Robert Bropho later faced charges
of rape and indecent assault of girls under
the age of 16, arising out of
separate incidents alleged to have occurred in the 1970s and 1980s. The two
persons concerned were
Lena Spratt and Isobel Bropho.
- The
applicant submits that, in contrast to the advice from the Gordon Implementation
Group to the Premier, the events concerning this
child represented an
appropriate involvement by the DCD in addressing a welfare issue.
- On
5 May 2003 the sister of the child in question and a member of the Bropho
family, advised the DCD she was frightened because
she had been subjected to
continued harassment and violence by residents of the Reserve, especially by
Charlotte Bropho and Herbert
Bropho, since she had left the Reserve. She was
moved initially into a protective hotel and then into a new house.
- On
the same date three teenage boys who had resided at the Reserve made a number of
allegations concerning people on the Reserve,
including Robert Bropho and
Herbert Bropho. Margaret Jeffery denied knowledge of the events alleged.
- Also
on the same date also the Premier’s Chief of Staff met with the State
Manager of ATSIC to discuss changing the management
of the Reserve. The latter
indicated he was supportive of the idea of changing the management as family
violence and child abuse
could not be tolerated. A number of meetings were held
subsequently to discuss the Government’s strategy for dealing with
the
Reserve.
- Following
the meeting of 1 May 2003, the DCD Director General, Caroline Brazier made
enquires of the DCD and was told that it
did not know the number, identity or
ages of the children on the Reserve. She gave instructions for such information
to be sought.
This continued until August 2003.
Events immediately preceding the enactment of the Reserves Act
- On
12 May 2003 the DCD Director General, Lynsey Warbey of the DPC and the
Director General of the DIA attended a Cabinet meeting
in order to brief Cabinet
on the issues impacting on the Government’s responsibility to ensure the
safety of women and children
within the Reserve. The outcome was that Cabinet
approved the drafting of the Reserves (Reserve 43131) Bill 2003 (WA) (the
Reserves Bill).
- Lynsey
Warbey gave evidence that during the course of discussions leading up to the
this Cabinet meeting, it was recognised that there
was a need to include in any
legislation provisions excluding the application of the rules of natural justice
to, and the opportunity
for judicial review of, decisions by the administrator
to remove persons from the Reserve.
- According
to Lynsey Warbey a concern was expressed at a number of the meetings that the
whole rationale for the legislation, namely
to protect women and children on the
Reserve, could be defeated if a person whom the administrator considered it
necessary to remove
from the Reserve could go to court and get an interim
injunction and thereby remain on the Reserve for months or years pending the
hearing of their claim for a prerogative writ. Ms Warbey in her oral evidence
stated that because of these concerns there was a
clear policy direction that
the administrator was required to have the ability to shut down or remove
certain people immediately
from the Reserve should the circumstances require
it.
- There
was also a concern that government officers were hearing allegations of abuse
and intimidation of women and children associated
with the Reserve but those
women and children were too frightened to make formal complaints to the police
or the DCD. In Lynsey
Warbey’s opinion, in those circumstances there may
be good reasons to want to act to remove persons suspected of child abuse
or
intimidation from the Reserve even though there was no formal complaint or
evidence upon which such action could be justified.
- In
his oral evidence Grahame Searle also stated that he had suggested the Reserves
Act because of the Government’s concern for
the safety of the people on
the Reserve and a desire to avoid unnecessary delay. It was Mr Searle’s
view that should the Minister
exercise her powers under the LAA and take
administrative action to revoke the 2002 Management Order it was likely to lead
to an
injunction being sought. This would have delayed government action
significantly, during which time the Government could not guarantee
the safety
of those people residing on the Reserve. It was Mr Searle’s view that if
the Government wished to take action swiftly
‘the best way to do it was to
use the parliament, which is the voice of the people, to pass a piece of
legislation in order
to give effect to what the government’s intent
was’.
- The
applicant submits that the advice referred to in these preceding paragraphs
failed to take into account the requirement on a court
in granting an injunction
to balance the harm which might be accorded to a person from being directed not
to remain on the Reserve
and the risk of detriment to others if the injunction
was granted. Additionally she submits that the same advice gave insufficient
credence to the powers of the Government to protect children without any
necessity for a complaint as provided for in s 29 of
the Child Welfare
Act 1947 (WA).
- During
this period a strategic management plan was also developed for dealing with the
Reserve, assuming a Reserves Act was passed.
That plan provided, amongst other
things:
- (a) the placing
of care, control and management of the Reserve with the AAPA as a temporary
measure until an appropriate non-government
incorporated organisation could be
found to manage the Reserve. The plan referred to an organisation called
Nyoongar Mia Mia as
a future option however it was not considered ready for such
a responsibility at that time;
- (b) Robert
Bropho, Herbert Bropho, Harvey Bropho, Sharon Davies, Margaret Jeffery and Iva
Hayward-Jackson would be removed in the
first instance. DHW would have two
houses available to relocate Herbert and Harvey Bropho and their families, and
emergency hostel
lodging would be available for Robert Bropho;
- (c) housing
would need to be provided for families who chose to leave the Reserve following
the removal of the above persons, however
it was considered they should be
encouraged to stay at the Reserve in the interim period to protect them from any
retaliatory attacks.
The administrator would be responsible for talking to the
remaining residents about the various housing options available to them.
The
Government’s preferred option was for residents to remain at the Reserve
in the first instance as that would provide better
access to those persons than
would be the case if they were to disperse into the wider community; and
- (d) the future
use and purpose of the Reserve was to be determined through a process of
consultation with the Aboriginal community.
- The
applicant submits that the possibility of retaliatory attacks in par (c) of
this statement is unwarranted. However, Lynsey
Warbey testified that such a
possibility was a concern expressed by the DCD and the Police.
- Following
a meeting of the Premier and various officers and ATSIC representatives on
14 May 2003, ATSIC issued a press release
stating:
‘ATSIC has labelled moves by the WA State Government, to gradually
close the Swan Valley Nyungah Community as necessary if it
ensures community
safety...
The Government was now morally and legally obliged to act on evidence that
conditions at the camp had not improved since the Gordon
Inquiry...
Wherever the Government has knowledge that child abuse is occurring,
indigenous or non indigenous, the government has a mandate and
an obligation to
intervene. ATSIC does not wish to see claims of racism cloud this very serious
issue. This is about basic human
rights and the safety of young indigenous
Australians. The leaders of the Swan Valley Nyungah Community have not sought
to engage
with Government responsibly to address this issue. Instead, they have
demonstrated that they lack the necessary leadership to provide
a safe living
environment for community members.’
- The
applicant contends that where the press release speaks of the SVC not engaging
with Government, it takes no account of the repeated
requests between October
and December 2002 by the SVC for the Government to conclude a MOU, the
presentation by the SVC to Government
of the Preliminary Suggestions on
18 December 2002 and the drafting by the SVC of a management plan on
30 March 2003.
- On
14 May 2003 following the meeting with ATSIC, Sandra Eckert and Lynsey Warbey
briefed the Premier on the draft Reserves Bill.
The Premier later that day made
an address to Parliament regarding the SVC, announcing that he intended to close
the community, stating
that:
‘ the ongoing existence of this camp represents an unacceptable risk
to those who reside there. Those who rule it defy all
efforts to provide a
better future for its inhabitants. It remains a place of ruination and despair.
The abuse and violence perpetrated
against women and children at that community
reads like a horror story...
Despite [changes to the management order] and the best efforts of government
officers I have recently been informed by the responsible
directors general that
the women and children who reside there are not free to access government
services or information... This
Government is of one mind: the risk of abuse
and violence to women and children of that camp is unacceptable... I am not
prepared
to wait for another Susan Taylor before we
act.’
- The
applicant makes the same submission on this statement as on the preceding press
release. Additionally she states that the reference
by the Premier to women and
children not being free to access government services and information, is a
reference to the same women
and children who have the services from government
agencies detailed in the affidavit of Margaret Jeffery and which Caroline
Brazier
and Roland Bayman agreed in evidence they had access to; and who on 15
May 2003 attended Parliament House to deliver an open letter
to the Premier
signed by the following women: Bella Bropho, Denise Sambo, CL Bropho, Helen
Woods, Gladys Bropho, Carol Riddle, Kerry
Bropho, Joyce, Sadie, Peula, Sarah,
Tina and Marie saying inter alia:
‘We do not understand why you state that ‘the women and children
who reside [in our community] are not free to access
government services of
information.
We are completely free to access any services or information we require. The
Community has always helped us in any way it can. We
can make telephone calls
any time, we have access into and out of the Community at all times and
transportation is provided for us
if we need it.
...
We have always been free to speak out and to speak to anyone we care to. We
are strong Women and no one tells us what to do or
say.’
- On
15 May 2003 the Reserves Bill was introduced into the Western Australian
Parliament. During the Second Reading Speech to Parliament
the Premier stated
that:
‘It is a fundamental responsibility of the Western Australian
Government to provide a safe and secure environment for all its
citizens,
particularly its children... The tragic death of Susan Taylor at the Swan
Valley Nyungah Community is but one terrible
example of the systemic sexual and
physical abuse, substance abuse, family violence and intimidation that has
occurred, and continues
to occur in this
community...
Grave concerns continue to be held about the safety of children and women
living in the Swan Valley Community. Senior government
officers advise that
residents are not free to access government services, that intimidatory tactics
prevent reporting of incidents,
and that communication between children and
women, and government officers is being hampered by the community
management...
There is only one course of action that will secure for the children and
women of the SVNC the protection and safety they deserve
and halt the cycle of
abuse and violence, that is, the current management order must be revoked and
the Swan Valley Reserve be vested
in the Aboriginal Affairs Planning Authority
so that the reserve might truly fulfil its role 'for the use and benefit of the
Aboriginal
Inhabitants. ...
I do not undertake this legislation lightly but with much consideration and
concern for the children and women of the Swan Valley
Nyungah Community, as it
has become abundantly clear that the Swan Valley Nyungah Community Aboriginal
Corporation is no longer fit
to continue its management role of the reserve.
This issue is not about race; it is about intimidation, violence and abuse. The
safety of all our children must be paramount, and it is incumbent upon all
Western Australians to uphold the right of every child
in this State to security
and protection.’
- The
applicant again contends that by repeating the reference to the women and
children, the Premier was either unaware of or gave
no weight to the letter
delivered to Parliament on the same day on behalf of the women and children of
the Reserve.
- The
applicant and Denise Sambo went to Parliament House to deliver the petition to
the Premier, having heard of the proposal to close
the Reserve through the
media. An official told Ms Sambo of the impending closure but no-one told her
women and children were going
to be removed from the Reserve.
- Following
the introduction of the Reserves Bill numerous meetings were held from the
middle of May 2003 onwards to plan for what would
happen following the passing
of the Reserves Bill. It had generally been agreed within Government that
families would not be moved
from the Reserve straight away but that there would
be a period of transition after the enactment of the Reserves Act during which
time the families’ needs and aspirations would be ascertained and they
would be relocated to other suitable accommodation.
It was generally agreed
that leaving the families to live on the Reserve was not a viable option because
of the risk that the same
social problems would
continue.
Events related to the Reserve following the enactment
- On
21 May 2003 a DCD field officer, Peta Hart, filed an incident report
following a visit to the Reserve. Her evidence and that
of Caroline Brazier
suggested that she was faced by intimidatory tactics of men in the community.
The affidavit of Margaret Jeffery
suggests that Robert Bropho and Iva
Hayward-Jackson were keen to ensure that Ms Hart properly identified herself.
Events in which
Ms Hart was enclosed in a room by actions of Ms Jeffery and
Sharon Davies are said by the applicant as being designed to accord
Ms Hart
privacy in conducting her interview. It is sufficient to find that the quality
of communication between each ‘side’
was such as to leave each
fearing the worst of the other.
- On
25 May 2003 the SVC held an ‘open day’ on the Reserve for the media.
According to Bella Bropho, that was an opportunity
for the SVC to put forward
their case and their concerns. Ms Bropho agreed that she told the media
‘there is no violence,
sexual harassment, or solvent abuse in this
community at all’. She maintained in her evidence that statement was
accurate,
except that she acknowledged some kids were sniffing. When particular
incidents were then put to her, she admitted the incidents
but frequently
answered to the effect ‘that’s only just one incident’.
Respondents’ counsel directly put
to Ms Bropho ‘do you accept that
there was any abuse happening at the Reserve in relation to children?’, to
which she
replied ‘Only one incident and that was dealt by the law in a
proper way’.
- Bella
Bropho was also asked if she knew that Herbert Bropho was threatening to kill
sniffers if he found them on the campsite, to
which she replied ‘I
wouldn’t have a clue, wouldn’t have any knowledge’. She
expressed the opinion that
there was no violence on the Reserve. This can be
contrasted with Ms Bropho’s admission in her affidavit of 26 July 2006
that
Herbert Bropho assaulted her daughter and used to ‘bash’
children he found sniffing on the Reserve.
- When
it was put to her that Susan Taylor died at the Reserve, Bella Bropho responded
‘nobody was charged’, and that ‘everybody
gets on with their
own lives and there’s no disruption of anything’.
- I
agree it is clear that Bella Bropho’s statement to the media on 25 May
2003 did not correctly describe the situation. In
her evidence before the Court
she continued to play down the extent of violence, sexual harassment and solvent
abuse at the Reserve
around that time.
- In
his testimony Robert Bropho agreed that sniffing and solvent abuse was a problem
that afflicted Aboriginal children at the Reserve.
He also agreed there was
physical abuse and substance abuse and family violence at the Reserve, although
he qualified that by saying
it was the same as has occurred since the community
has been closed down and the same as occurs in white society.
- In
his evidence Robert Bropho also said that he had no knowledge of his sons
Herbert and Harvey Bropho being violent or intimidating
towards other people.
When particular incidents involving Herbert were put to him, Mr Bropho responded
that they could have happened
when he was not there. It is clear that in this
respect Mr Bropho’s evidence should not be accepted.
Appointment of the Administrator
- Commencing
on 12 June 2003, the Administrator was appointed by the AAPA as the
administrator of the Reserve pursuant to s 7 of
the Reserves Act for a
period of 12 months. The Administrator had been nominated by ATSIC as their
first choice for administrator
and he was subsequently recommended to the
AAPA.
- The
Terms of Reference of the Administrator’s appointment were
to:
- (a) take
control of the Reserve;
- (b) maintain
and care for the land and to repair and keep maintained all infrastructure on
the land;
- (c) remove, and
keep removed, all persons previously using the land;
- (d) prevent the
entry of persons onto the land unless otherwise authorised;
- (e) determine
options for viable future use of the land; and
- (f) abide by
all laws of the State of Western Australia and the Commonwealth of
Australia.
- On
12 June 2003 the Administrator attended a meeting at the DIA Midland office,
with representatives from DIA, DPC, DCD, DHW, WAPS,
Chubb security staff and
ATSIC where his role as administrator of the Reserve was further explained to
him.
- At
the meeting the Administrator discussed and agreed with the others present that
upon his appointment as Administrator he would
as soon as possible enter the
Reserve and give directions to Robert Bropho, Harvey Bropho, Herbert Bropho and
Robert Bropho (Jnr)
to leave the Reserve. This was because he was told by
officers of the DCD and DOH that they were the persons who were preventing
government officers from having full and free access to the Reserve.
- The
Administrator also agreed with the others present at the meeting that the DCD
and DOH would seek to resettle the other residents
of the Reserve over the
course of the following two or more weeks, and he would then secure the Reserve.
He was told by Richard Curry
and Carolyn Petroboni of DIA that part of his role
as Administrator would be to consult with the Aboriginal community and relevant
non-Aboriginal persons about possible future uses of the Reserve. He was told
that the Government wanted the Reserve to continue
to be used exclusively for
the benefit of Aboriginal people.
Revocation of 2002 Management Order
- On
13 June 2003 the 2002 Management Order (placing the care, control and management
of the Reserve with SVC for the purpose of ‘Use
and Benefit of Aboriginal
Inhabitants’ subject to the conditions set out therein) was purportedly
revoked pursuant to s 4
of the Reserves Act.
Directions to leave the Reserve
- On
13 June 2003 the Administrator made the following
direction:
‘I, Barry Charles Jameson of 31 Keen Street, Lismore, NSW,
having been engaged under section 7(2)(a) of the Reserves (Reserve
43131) Act 2003(“the Act”) as the Administrator of Reserve 43131
(‘the reserve’), in accordance with the power vested in
me under the
Act hereby direct that the following people can enter and leave the reserve for
the purpose of assisting in the performance
of my obligations as the
Administrator:
- members of
the Police Service;
- Chubb
security personnel;
- members,
employers and contractors engaged by ATSIC (upon presentation of suitable
identification);
- employees and
contractors engaged by Government departments or agencies, including but not
limited to the Department of Community
Development, Department of Housing and
Works, Department of Indigenous Affairs, Western Power, and the Water
Corporation (upon presentation
of suitable identification);
- C & C
Locksmiths;
- Mrs Mop
– rubbish removal company.
A person not listed in this direction (“an excluded person”), is
not permitted to enter the reserve without my express
authority.
Should an excluded person enter the reserve without my express authority, he
or she shall be removed from the reserve with the assistance
of Chubb security
or the Police (as necessary).’
He also
made specific directions in writing to Robert Bropho and Iva Hayward-Jackson in
reliance on s 7(3)(b) of the Reserves
Act requiring each of them to leave
the Reserve.
Work undertaken by Administrator
- At
all times since 13 June 2003, all persons have, pursuant to the
Administrator’s direction, been excluded from the Reserve
except those
whom he has approved to enter the Reserve. The Administrator deposed that he
gave and maintained that direction to
protect the infrastructure on the Reserve
from damage through vandalism or other intentional acts, to prevent unauthorised
occupation
of the Reserve pending the implementation of the AAPA decision as to
the future use of the Reserve and to limit his potential legal
liability as the
person with care, control and management of the Reserve for any injury to
persons or property on the Reserve or
as a result of things done on the
Reserve.
- Since
13 June 2003 the Administrator has permitted access to the Reserve to persons
who have had a legitimate reason to do so. This
has included security personnel
to secure the Reserve from unauthorised entry; contractors engaged to perform
work on the Reserve;
members of the Bennett Brook Catchment Group
to inspect the vegetation on the Reserve and give advice about plant
identification, suitability and pruning; City of Bassendean rangers
to collect
animals belonging to the former residents of the Reserve; representatives of
Aboriginal Hostels Ltd to survey land for
a proposed 30 bed nursing home and
Fire and Emergency Services Authority of Western Australia personnel to inspect
fire mitigation
requirements.
- The
applicant and those she claims to represent, along with all other persons
(Aboriginal and non-Aboriginal), have not been permitted
to access the Reserve
if there was not a particular reason for their doing so.
- On
14 June 2003 Denise Sambo, Sharon Davies, Joyce Parfitt and Sadie Jackson
returned to the Reserve to collect a dog that Ms Sambo
had left at the Reserve.
They were prevented from entering the Reserve by a security guard. Shortly
after a Shire ranger drove out
of the Reserve with the dog, which was returned
to Ms Sambo.
- In
the days following 13 June 2003 the Administrator arranged for a locksmith and a
glazier to attend the Reserve to make the cottages
secure by replacing door
locks and broken windows.
- According
to Margaret Jeffery the SVC carried out maintenance work at the Reserve
including cutting grass, maintaining fire breaks,
plumbing, gardening, bushland
planting, repairing buildings, electrical work, plastering and painting and
clearing up and arranging
for removal of rubbish.
- However
over the course of the 5 weeks following 13 June 2003 the
Administrator arranged for cleaning contractors, plumbers
and an electrician to
work on the cottages to bring them up to a standard where they were hygienic and
safe. He also had pest control
contractors inspect the cottages and spray for
white ants in the roof cavities, wet areas and kitchens.
- The
Administrator also discovered that there was an enormous amount of rubbish on
the Reserve, including old car bodies, shopping
trolleys, bedding, household
furniture and drums. In oral evidence the Administrator agreed that a
significant amount of this rubbish
had been there for some period of time but
was unable to provide an estimation of the age of the dump, only that it was
unlikely
to have been as old as 10 or 20 years. The Administrator also gave
oral evidence that in relation to some of the rubbish, such as
the car bodies,
it could only have been brought from Lord Street, through the Reserve. He
accepted that in relation to rubbish such
as car bodies removed from the Bennett
Brook area he was unaware of the possibility that there was access to dump
rubbish in that
area via the next door Pyrton property.
- The
Administrator engaged a contractor to remove rubbish located around the
cottages. The contractor removed 100 cubic metres of
rubbish (approximately 100
tonnes).
- In
her evidence Margaret Jeffery explained that the disposal of rubbish on the
Reserve had been a long term issue and that the Shire
of Swan did not start
collecting rubbish from the Reserve until 2001. The service was only able to
take a limited quantity of accumulated
rubbish each year. In oral evidence the
Administrator stated that he had met with the Mayor of the Shire of Swan
following his appointment.
The Mayor indicated that the Shire was aware that
there was a rubbish problem on the Reserve which it wished to have cleared up
but it had experienced difficulties getting access to the Reserve to remove the
rubbish.
- Following
his appointment as Administrator, the Administrator consulted widely with
members of the Nyungah community about the future
use of the Reserve for the
purpose of preparing a report to the Minister for Aboriginal Affairs. Among
those Nyungah people with
whom he spoke, there was a great deal of interest in
making the Reserve available for use by Nyungah people and others for a range
of
purposes.
- On
24 November 2003 the Minister announced that the Reserve would be used for an
environmental park and cultural centre for Nyungah
people and others and that
negotiations would continue on the possibility of developing an Aboriginal aged
care hostel on a suitable
portion of the Reserve.
- In
September 2003 the Administrator was informed by the DIA that it had been
contacted by the Crown Solicitor’s Office, which
in turn had received a
request that persons involved in the Federal Court native title claim
proceedings over the Perth metropolitan
area be allowed to enter the Reserve for
the purpose of an ‘on-country’ hearing. The Administrator
understood that those
persons included some former residents of the
Reserve.
- On
18 September 2003 the Administrator wrote to the Crown Solicitor’s Office
informing them that he would allow access subject
to certain specified
conditions. He asked the Crown Solicitor’s Office to refer the contents
of his letter to the Federal
Court. He understands that the hearing on the
Reserve did not proceed.
- On
22 October 2003 the Administrator engaged a contractor to prune the trees at the
front of the Reserve and cut fire breaks, pursuant
to a consent under s 18
of the Aboriginal Heritage Act 1972 (WA) given by the Minister for
Indigenous Affairs. The trees were overgrown, and there were not adequate fire
breaks around the Reserve
as required by law. Noxious plants were also prolific
in creek beds on the Reserve. The Administrator gave oral evidence that the
trees fronting the Reserve were mostly scrubby and self sown and that residents
surrounding the Reserve were unhappy with how the
Reserve presented. The
Administrator met with the Bennett Brook Catchment Group who indicated to him
which trees were of significance
or value and should be kept and those which
could be cut down or removed.
- According
to Margaret Jeffery adequate fire breaks had been planned at the Reserve and the
noxious plants in the creeks were the result
of planting by the SVC with
assistance from Men of the Trees and the Bennett Brook Catchment Group.
- On
12 June 2004 the Administrator’s appointment as administrator of the
Reserve expired.
Further events involving the Reserve
- On
2 April 2004 the Deputy State Coroner published her findings into the death of
Morgan Spratt at the Reserve on 20 October 2001.
Margaret Jeffery claimed in
her evidence that the Coroner made no adverse findings against the SVC in
respect of the death of Morgan
Spratt, although in cross-examination she
acknowledged that there were adverse comments.
- The
Deputy State Coroner made the following remarks in her
report:
‘The then non-interventionist response tried at the Lockridge
community, and attempts by its leaders and associates to restrict
welfare
agencies from the community unless at their behest, for whatever reason, has
also been a complete disaster for the aboriginal
community. It realistically
resulted in a denial of basic human rights to vulnerable members of the
Lockridge Community and, by example
other aboriginal youth. By way of
mis-education and isolation it prevented those in most need of protection from
being able to access
agencies which may have assisted, or at least tried, to
offer some protection.’
The applicant
submits that these comments are of a general nature and cannot be seen to have
been drawn from any specific evidence
the subject of the Inquiry into the death
of Mr Spratt.
PART C: STATUTORY PROVISIONS
THE RESERVES ACT
- The
Reserves Act has the long title of being ‘an Act to provide for the care,
control and management of Reserve 43131 in the
Swan Valley and for related
matters’. It was assented to on 12 June 2003 and came into
operation on that day (s 2).
It expired on its second anniversary on
12 June 2005.
- Section 4
addressed the revocation of 2002 Management Order as
follows:
‘4.
(1) Management order no. I262262 is revoked by force of this Act.
(2) The revocation, under subsection (1), of management order
no. I262262 has effect as if it were a revocation of a management
order
under the LAA section 50(2).’
- The
placing of the Reserve in the care, control and management of the AAPA was
addressed in s 5 as follows:
‘5.
(1) The care, control and management of the reserve are, by force of this
Act, placed with the Authority for the same purpose as that
for which the
relevant Crown land is reserved and for purposes ancillary or beneficial to that
purpose.
(2) The placing, under subsection (1), of the care, control and
management of the reserve has effect as if it were done under
the LAA
section 46(1).
(3) The LAA Minister may by order subject the care, control and management of
the reserve to such conditions as the LAA Minister specifies
and such an order
has effect as if it were an order as defined in the LAA
section 3(1).
(4) A reference in the LAA to a management order is, in relation to the
reserve during such time as the care, control and management
of the reserve
remain placed with the Authority (either solely or jointly), a reference to the
effect of subsection (1) and
any order under subsection (23).
(5) To avoid doubt, nothing in this Act prevents –
- (a) the
revocation, under the LAA section 50, of the effect of subsection (1);
or
- (b) the
taking of any other action under the LAA or any other written law in relation to
the reserve, or the care, control and management
of the
reserve,
without the need for a further Act.’
- The
powers of the Administrator were provided for in s 7 in the following
terms:
‘7.
(1) In this section –
“administrator” means-
(a) a person engaged under subsection (2)(a); or
(b) an officer nominated under subsection (2)(b).
(2) The Authority may –
to enable the Authority to perform effectively its functions in relation to
the reserve.
(3) The administrator may –
- (a) direct a
person not to enter the reserve during a period of time specified in the
directions or until such time as the direction
is revoked;
- (b) direct a
person to leave the reserve;
- (c) with
such assistants as the administrator thinks are necessary –
- (i) prevent
a person from entering the reserve contrary to a direction under
paragraph (a);
- (ii) remove
a person from the reserve if the person does not comply with a direction under
paragraph (a) or (b).
(4) A direction under subsection 3(a) or (b) may be oral or in writing
and must be given to the person who is the subject of
the direction before the
exercise of a power under subsection (3)(c) or (7).
(5) The LAA Minister, in an order under the LAA section 46(1) by which the
care, control and management of the reserve is placed with
a person other than
the Authority, may authorise a person, or a holder of an office, specified in
the order, to exercise any power
set out in subsection (3).
(6) If –
- (a) there is
no administrator and a person has not been authorised under subsection (5);
or
- (b) the land
that is the subject of the reserve at the commencement of this Act is no longer
a reserve as defined in the LAA
section 3(1),
the LAA Minister may exercise, in relation to the land, any power set out in
subsection (3).
(7) A police officer may –
- (a) prevent
a person from entering the reserve contrary to a direction under
subsection (3)(a);
- (b) remove a
person from the reserve if the person does not comply with a direction under
subsection (3)(a) or (b).
(8) The powers that a person may exercise under this section are in addition
to, and do not derogate from, the powers that the person
has under any other
law.
(9) A person who may exercise a power under subsection (3)(c) or (7) may
use such reasonable force as is necessary for the purpose
of exercising the
power.
(10) A power may be exercised under this section in relation to the land that
is the subject of the reserve even though a person has
a legal or equitable
right or interest in the land and whether or not the land is a reserve as
defined in the LAA section 3(1)
at any particular
time.’
- It
is necessary to read the powers in s 7(3) in the context of the following
additional provisions:
‘8. The rules known as the rules of natural justice (including any duty
of procedural fairness) do not apply to or in relation
to a direction under
section 7(3)(a) or (b).
- (1) A
discretion that a person has for the purposes of section 7(3) is absolute
and the person is not required to give reasons
for how the discretion is
exercised.
- (2) A person
is not entitled, because of anything in this Act or anything done by another
person, to expect that a discretion referred
to in subsection (1) will be
exercised in a particular way.
- A
person who gives a direction under section 7(3)(a) or (b) is not required
to give reasons in relation to the direction, but
if the person thinks that it
would be in the public interest to disclose any or all reasons, the person may
do so.’
- Immunity
from judicial supervision was sought to be provided by s 11,
reading:
‘11. No writ of certiorari, mandamus, or prohibition, or other
prerogative writ, is to issue and no declaratory judgment or
injunction is to be
given or granted, in respect of –
(1) any decision made or purporting to be made under section 7;
or
(2) anything else done or purporting to have been done under
section 7.’
- Protection
from tortious liability is also sought to be provided by
s 12.
THE RACIAL DISCRIMINATION ACT
- The
amended application relies on ss 9, 10 and 12(1)(d) of the RDA. The
respondents rely upon s 8.
- Section 8(1)
of the RDA reads:
‘8
(1) This Part does not apply to, or in relation to the application of,
special measures to which paragraph 4 of Article 1 of
the Convention
applies except measures in relation to which subsection 10(1) applies by
virtue of subsection 10(3).
....’
- The
Convention is a reference to the International Convention on the Elimination
of All Forms of Racial Discrimination, 7 March 1966, New York.
Article 1(4) of the Convention reads:
‘Special measures taken for the sole purpose of securing adequate
advancement of certain racial or ethnic groups or individuals
requiring such
protection as may be necessary in order to ensure such groups or individuals
equal enjoyment or exercise of human
rights and fundamental freedoms shall not
be deemed racial discrimination, provided, however, that such measures do not,
as a consequence,
lead to the maintenance of separate rights for different
racial groups and that they shall not be continued after the objectives
for
which they were taken have been
achieved.’
- Section 9
of the RDA addresses the unlawfulness of an act involving racial discrimination
having certain effects:
‘9
(1) It is unlawful for a person to do any act involving a distinction,
exclusion, restriction or preference based on race, colour,
descent or national
or ethnic origin which has the purpose or effect of nullifying or impairing the
recognition, enjoyment or exercise,
on an equal footing, of any human right or
fundamental freedom in the political, economic, social, cultural or any other
field of
public life.
(1A) Where:
- (a) a person
requires another person to comply with a term, condition or requirement which is
not reasonable having regard to the
circumstances of the case; and
- (b) the
other person does not or cannot comply with the term, condition or requirement;
and
- (c) the
requirement to comply has the purpose or effect of nullifying or impairing the
recognition, enjoyment or exercise, on an equal
footing, by persons of the same
race, colour, descent or national or ethnic origin as the other person, of any
human right or fundamental
freedom in the political, economic, social, cultural
or any other field of public
life;
the act of requiring such compliance is to be treated, for the purposes of
this Part, as an act involving a distinction based on,
or an act done by reason
of, the other person’s race, colour, descent or national or ethnic
origin.
(2) A reference in this section to a human right or fundamental freedom in
the political, economic, social, cultural or any other
field of public life
includes any right of a kind referred to in Article 5 of the
Convention.
(3) This section does not apply in respect of the employment, or an
application for the employment, of a person on a ship or aircraft
(not being an
Australian ship or aircraft) if that person was engaged, or applied, for that
employment outside Australia.
(4) The succeeding provisions of this Part do not limit the generality of
this section.’
- Section 10
of the RDA provides for rights to equality before the
law:
‘10
(1) If, by reason of, or of a provision of, a law of the Commonwealth or of a
State or Territory, persons of a particular race, colour
or national or ethnic
origin do not enjoy a right that is enjoyed by persons of another race, colour
or national or ethnic origin,
or enjoy a right to a more limited extent than
persons of another race, colour or national or ethnic origin, then,
notwithstanding
anything in that law, persons of the first-mentioned race,
colour or national or ethnic origin shall, by force of this section, enjoy
that
right to the same extent as persons of that other race, colour or national or
ethnic origin.
(2) A reference in subsection (1) to a right includes a reference to a
right of a kind referred to in Article 5 of the Convention.
(3) Where a law contains a provision that:
- (a) authorizes
property owned by an Aboriginal or Torres Strait Islander to be managed by
another person without the consent of the
Aboriginal or Torres Strait Islander;
or
- (b) prevents
or restricts an Aboriginal or Torres Strait Islander from terminating the
management by another person of property owned
by the Aboriginal or Torres
Strait Islander;
not being a provision that applies to persons generally without regard to
their race, colour or national or ethnic origin, that provision
shall be deemed
to be a provision in relation to which subsection (1) applies and a
reference in that subsection to a right
includes a reference to a right of a
person to manage property owned by a
person.’
- Article
5 of the Convention relevantly reads:
‘In compliance with the fundamental obligations laid down in
Article 2 of the Convention, States Parties undertake to prohibit
and to
eliminate racial discrimination in all its forms and to guarantee the
right of everyone, without distinction as to race, colour, or national or ethnic
origin, to
equality before the law, notably in the enjoyment of the following
rights:
(a) The right to equal treatment before the tribunals and all other organs
administering justice;
(b) The right to security of person and protection by the State against
violence or bodily harm, whether inflicted by government officials
or by any
individual, group or institution;
(c) Political rights, in particular the rights to participate in elections
– to vote and to stand for election – on the
basis of universal and
equal suffrage, to take part in the Government as well as in the conduct of
public affairs at any level and
to have equal access to public service;
(d) Other civil rights, in particular:
- (i) The
right to freedom of movement and residence within the border of the
State;
...
(v) The right to own property alone as well as in association with
others;
(vi) The right to inherit;
...’
- Section 12(1)(d)
of the RDA legislates with respect to unlawful conduct by reason of race, colour
or national or ethnic origin in relation to land,
housing and other
accommodation:
‘12
(1) It is unlawful for a person, whether as a principal or agent:
...
(d) to refuse to permit a second person to occupy any land or any residential
or business accommodation; or
...
by reason of the race, colour or national or ethnic origin of that second
person or of any relative or association of that second
person.
...’
PART D: CLAIMS AND ISSUES
THE ELEMENTS OF THE CLAIMS
- The
elements of each of the claims as identified by the applicant are as
follows:
The claim under s 10(1) of the RDA in relation to deprivation of the right
to manage and otherwise exercise ownership rights in relation to the Reserve
- Was
the land the subject of the Reserve property owned by the applicants for the
purposes of the section?
- Did
the 2002 Management Order confer property upon the SVC?
- If
so, did the 2002 Management Order confer beneficial ownership on the
applicants?
- Were
the applicants the beneficial owners of the land the subject of the Reserve by
reason of vesting in trust in the SVC on 12 December 1995?
- Did
the vesting confer an interest in the land upon the SVC?
- If
so, did the vesting confer beneficial ownership upon the applicants?
- Were
the 30 March 1998 transitional provisions to the LAA invalid by reason of
s 10(1) of the RDA insofar as they converted the
vesting to the 1998
Management Order?
- Was
the revocation of the 1998 Management Order on 11 October 2002
invalid?
- Did
SVC freely give prior informed consent?
- Was
the revocation in the public interest?
- Was
it invalid by reason of inconsistency between s 46 (or s 50) of the
LAA and s 9 of the RDA?
- If
not, did the applicants have a human right to manage and otherwise exercise
ownership rights in relation to the Reserve?
- Is
any right to manage and otherwise exercise ownership rights in relation to the
Reserve a right to which s 10 of the RDA applies?
- Did
the Reserves Act result in the applicants not enjoying the right to manage and
otherwise exercise ownership rights in relation
to the Reserve which is a right
enjoyed by persons of another race?
- Was
the Reserves Act thereby inconsistent with s 10(1) of the RDA and Art
5(d)(v) of the Convention?
- Is
there a causal connection between the applicants’ race and the alleged
non-enjoyment of their right to manage and otherwise
exercise ownership rights
in relation to the Reserve?
- Is
a law of the State inconsistent with s 10(1) of the RDA if it is reasonably
appropriate and adapted to a legitimate end?
- Was
the Reserves Act reasonably appropriate and adapted to a legitimate end?
- Was
the Reserves Act nevertheless valid as a special measure? Or did the exception
in s 10(3) apply?
The claim under s 10(1) of the RDA in respect of a right not to be
arbitrarily deprived of the right to manage and otherwise
exercise ownership
rights in relation to the Reserve
- Elements
of this claim are items 1, 10, 12, 14, 15, 18 and 19 above. In addition:
- Did
the applicants receive notice?
- Did
the applicants have a right to be heard or other fair process?
- Did
the applicants have a right to compensation?
- Did
ss 8 and 9 of the Reserves Act cause any deprivation to be arbitrary?
- Is
any deprivation of the right to manage and otherwise exercise ownership rights
arbitrary if it is in the public interest?
The claim under s 10(1) of the RDA that there was a deprivation of the
right of freedom of movement and residence
- Issues
15 and 19 are repeated. Additional issues here are:
- Did
the applicants have a right of freedom of movement and residence within the
Reserve?
- Did
the Reserves Act authorise the deprivation of the applicants’ right of
freedom of movement and residence within the State?
- Did
the Reserves Act authorise the deprivation of the applicants’ right of
freedom of movement and residence within the Reserve?
- Did
the Reserves Act result in the applicants not enjoying the right of freedom of
movement and residence that is enjoyed by persons
of other
races?
The claim under s 10(1) of the RDA that the applicants experienced
arbitrary deprivation of their right of freedom of movement
and residence
- The
elements here are the same as in the preceding claim, save that they are
directed to the element of arbitrariness.
The claim under s 10(1) of the RDA for the right to equal treatment before
Tribunals administering justice
- The
elements are the issues in 14, 15 and 19, save they are directed to this
issue.
The claim based on s 9 of the RDA for deprivation of right to manage and
otherwise exercise ownership rights in relation to
the Reserve
- The
elements comprise issues 12, 14, 15 and 19.
The claim based on s 9 of the RDA for the right not to be arbitrarily
deprived of the right to manage and otherwise exercise
ownership rights in
relation to the Reserve
- This
involves the same elements as the preceding claim but directed to the issue of
arbitrariness.
The claim based on s 9 of the RDA for deprivation of the right of freedom
of movement and residence
- The
elements parallel the elements in the same claim under
s 10(1).
The claim under s 9 of the RDA for arbitrary deprivation of right of
freedom of movement and residence
- The
elements again parallel the same claim under
s 10(1).
The claim under s 9 of the RDA in respect of the acts of the
Administrator
- The
elements are:
- Did
the Administrator direct the applicants not to enter the Reserve?
- Did
the acts of the Administrator involve a distinction, exclusion, restriction or
preference based on race?
- Did
the acts of the Administrator have the purpose or effect of nullifying or
impairing the recognition, enjoyment or exercise on
an equal footing of any
human right or fundamental freedom?
- The
last element is that in issue 15.
The claim under s 12(1)(d) of the RDA for refusal to permit occupation
- In
addition to issue 15, the elements are:
- Did
the Administrator refuse to permit the applicants to occupy the Reserve?
- If
so, was the refusal by reason of the race of the
applicants?
The claim for deprivation of possession
- The
elements are:
- Do
the applicants have property in the Reserve capable of supporting an action in
trespass?
- If
so, has the second respondent trespassed on the Reserve?
- If
so, has the Administrator trespassed on the Reserve?
- Is
the claim in trespass barred by s 12 of the Reserves Act?
- In
identifying the issues under discussion in the following reasons I have given
them the number or numbers which reflects their place
in the above list of
elements.
PART E: SPECIFIC FACTUAL
ISSUES
WHO ARE THE MEMBERS OF THE SVC AND WHO WERE INHABITANTS OF THE RESERVE?
- The
term ‘Aboriginal inhabitants’ is not a defined term in the
Aboriginal Affairs Planning Authority Act 1972 (WA). Section 26 refers
to ‘any land...reserved for the use and benefit of the Aboriginal
inhabitants’ and s 32 empowers a declaration that ‘the right to
the exclusive use of any area...shall be reserved for the
Aboriginal inhabitants of that area, being persons who are or have been
normally resident within the area, and their descendents’.
I take the
description as referring to persons occupying a house on the Reserve as their
principal place of residence.
- The
persons who were Aboriginal persons of Nyungah origin, members of the SVC and
Aboriginal inhabitants of the Reserve comprise a
fluctuating group. It is said
the evidence of who comprised the group from time to time is to be found in the
following:
- (a) list of
Members of the SVC dated 10 December 1993 (exhibit P10);
- (b) statements
of Compliance by Committee Members of the SVC, for the purposes of the
Aboriginal Councils and Associations Act 1976 (Cth) (the ACA Act), dated
17 April 1996, 3 February 1998, 18 December 2000, 10 October 2001 and
21 September 2002 (exhibits
P19, 20, 22, 23 and 49);
- (c) minutes of
Annual General Meeting of the SVC, 21 September 2002 (exhibits P45 and
P46);
- (d) SVC
Register of Members July 1998 – 21 September 2002 adopted at the Annual
General Meeting of the SVC on 21 September 2002
(exhibit P47);
- (e) report of
Debra Fletcher (exhibit 5);
- (f) affidavit
of Irene Mary Thompson sworn 9 December 2003 (exhibit 1);
- (g) affidavits
of Bella Lena Bropho sworn 15 December 2003, 25 August 2004 and 26 July 2006
(exhibits A1, 2 and 3);
- (h) affidavit
of Robert Charles Bropho sworn 15 December 2003 (exhibit D);
- (i) affidavits
of Denise Roberta Sambo sworn 15 December 2003 and affirmed 26 July 2006
(exhibits C1 and 2);
- (j) affidavits
of Margaret Joanna Jeffery sworn 15 December 2003. [22]-[25] and affirmed 25
November 2005, and 27 July 2006, [5] and
[6] (exhibits B1, 2 and 3);
- (k) affidavit
of Naomi Bropho affirmed 27 July 2006 (exhibit J);
- (l) affidavit
of Tina Rose Jackson affirmed 7 August 2006 (exhibit N);
- (m) affidavit
of Dorothy Bropho affirmed 27 July 2006 (exhibit I);
- (n) affidavit
of Charlotte Lyndon Bropho affirmed 27 July 2006 (exhibit H).
- I
have examined the above evidence. A most useful starting point is appendix 11.3
of the report of the Expert Historian, Debra Fletcher
which catalogues the
residents of the Lockridge land from sources up to and including 2001. In
appendix 11.4 it contains family
trees. The affidavit of Irene Thomas, Manager
of the Midland DCD, gives evidence of a helpful survey in
May/June 2003.
- Lynsey
Warbey deposed that on 6 May 2003 a meeting was held with local service
providers including DIA, DCD, DOH and WAPS. It was
also attended by the
Secretariat. During the course of that meeting an attempt was made to identify
the families residing at the
Reserve and the services being made available to
them. The understanding at the time was that only seven of the 13 houses on the
Reserve were being permanently occupied. Ms Warbey’s evidence was that
the main persons associated with the Reserve were as
follows (which I have
annotated where there is differing evidence from Ms Thomas):
- (a) Robert
Bropho (although Ms Warbey was told by other government officers that he spent
much of his time living outside the community
with Margaret Jeffery – a
hearsay statement now requiring consideration in the context of the evidence of
both Robert Bropho
and Margaret Jeffery).
- (b) Herbert
Bropho, Charlotte Bropho and two [one] children. Lee Marie Parfitt was also
living with them intermittently.
- (c) Gladys and
Clem Woods and two children.
- (d) Harvey
Bropho and Denise Sambo and two [five] children.
- (e) Bella
Bropho and her partner, and seven or eight [four] children.
- (f) Peula
[Philomena] Bropho and family [her son Sam]. [Ms Thomas deposed she was an
itinerant resident.]
- (g) Carol-Ann
Bropho [Ms Thomas deposed she was an itinerant resident.]
- Ms
Thomas also described as itinerant residents Clinton Pickett, son of June
Bropho; Kerry Bropho and Lee Marie Parfitt. She identified
the children
residing at the Reserve as being Jamie Baker (aged 15), Marie Baker (aged 13),
Shaun Baker (aged 14), Sarah Bropho (aged
seven), Peula Bropho (aged eight), Sam
Bropho (aged 14), Janelle Baker (aged five), Louis Bropho (aged three), Richard
Bropho (infant),
Tina Jackson (aged 17), Sadie Jackson (aged 10), Joyce Parfitt
(aged 12), Herbert Parfitt/Bropho (aged about five), Clemisha Wood
(infant) and
her two and a half year old sister.
- Against
this background I can accept the further evidence of Ms Warbey that it was
difficult to establish firm residency figures because
of the highly transient
nature of the population.
- Bella
Bropho gave evidence that around the time the Reserve Act was passed there were
25 children, 12 women and 10 men living on the
Reserve. She identified a number
of those persons (generally consistently with the list above) and said they were
all one family.
Margaret Jeffery agreed with Bella Bropho’s evidence and
said that the population varied. She confirmed there were members
of the SVC
who did not live at the Reserve.
- The
question of who were the members of the SVC and Aboriginal inhabitants of the
Reserve as at 13 June 2003 does not need to be definitively
answered at this
stage of the proceedings (but may have greater relevance if the Court later
needs to consider damages and other
relief). There were, approximately, in the
order of 25 children, 12 women and 10 men at the Reserve. Non-Aboriginal
people
also entered upon and associated with the Aboriginal inhabitants of the
Reserve, including Margaret Jeffery, Sharon Davies, Lynda
Nutter, Greg Stratton
and Paul Allardyce.
Was Robert Bropho an Aboriginal inhabitant of the Reserve?
- The
respondents submit that the evidence in relation to whether Robert Bropho lived
permanently at the Reserve was contradictory.
When Bella Bropho was first asked
whether Robert Bropho lived at any other address than the Reserve, she said
‘only on occasions
with Ms Margaret Jeffery down at her...’.
She also said that he lived with Margaret Jeffery twice, but did not know when.
In other parts of her evidence she said Mr Bropho
only went there when the
Reserve was closed but then seemed to contradict that by saying he ‘moved
back’ (which he clearly
has not done since 13 June 2003).
Ms Jeffery’s evidence was that Robert Bropho never stayed at her
house between 1995
and June 2003, and only visited twice, and then only coming
as far as the front door.
- When
Robert Bropho was asked about his residence, he said that between the time the
Reserve was in ‘full swing’ and June
2003 he had a bed at Margaret
Jeffery’s house and he would sometimes stay at her house to do work and go
back to the Reserve
the next day. He did this several times but could not say
how many times.
- The
respondents submit that Robert Bropho’s evidence on this issue should be
accepted, and that it is open to the Court to find
that Bella Bropho did not
give her evidence on this issue fully and frankly and Margaret Jeffery
deliberately gave false evidence
in this regard.
- The
applicant submits that Robert Bropho was an Aboriginal inhabitant of the Reserve
and should be found to have been a resident of
the Reserve at all relevant
times. The evidence upon which the applicant relies in support is substantially
the same as that relied
upon by the applicant to establish the membership of the
SVC and residency at the Reserve. As to the cross-examination referred
to by
the respondents, the applicant submits that there was some confusion between
counsel and witnesses on what period was being
addressed so that there is no
basis for concluding false evidence was given.
- Having
considered that evidence and the effect of the evidence I am of the view that
whatever doubts may have been left hanging on
the exact period of Robert
Bropho’s residency, he is correctly to be found as having been an
inhabitant of the Reserve. That
is, he lived or dwelt there, if not all the
time, then substantially. Importantly he was so at the time and immediately
before the
enactment of the Reserves Act. It is not necessary to make any
adverse credibility findings to safely arrive at this finding. In
my view the
effect of the evidence is to establish that Robert Bropho was an inhabitant of
the Reserve and lived and dwelt there,
certainly for a majority of his time. He
lived and dwelt on the Reserve even if on some occasions living and dwelling
elsewhere.
Was Iva Hayward–Jackson an Aboriginal inhabitant of the Reserve?
- The
applicant also submits that Iva Hayward–Jackson was an Aboriginal
inhabitant of the Reserve (being the son of a deceased
Nyungah elder) who had a
house allocated to him on the Reserve in which he resided from time-to-time
prior to 13 June 2003; though
he also had a residential address in Subiaco. She
submits that the evidence of that is to be found in the
following:
- (a) affidavits
of Bella Lena Bropho sworn 15 December 2003, [8], and 25 August 2004, [9]
(exhibits A1 and 2) and evidence of Bella
Bropho (4/9/06).
- (b) affidavit
of Robert Charles Bropho sworn 15 December 2003, [27] (exhibit D), contra
evidence of Robert Charles Bropho (6/9/06);
- (c) affidavit
of Denise Roberta Sambo sworn 15 December 2003, [11] (exhibit C1);
- (d) affidavit
of Margaret Joanna Jeffery sworn 15 December 2003, [24] (exhibit
B1).
These are in large part affidavits in standard form
content so far as they list the inhabitants of the Reserve. So far as the lists
all referred to Iva Hayward-Jackson they did not stand up in
cross-examination.
- Bella
Bropho’s evidence was that Iva Hayward-Jackson lived on the Reserve, in
house number four. She denied having any knowledge
of him living in Subiaco.
Margaret Jeffery’s evidence was that Iva Hayward-Jackson was living at the
Reserve, but when it
was put to her that he lived in Subiaco, she said that was
his official address but he often lived at the Reserve and had a room
there.
Contrary to his affidavit evidence Robert Bropho said that Iva Hayward-Jackson
lived in Subiaco and did not at any time sleep
at a house on the Reserve. He
described him as a person living around Subiaco who had come to the Reserve to
assist as their land
and culture officer.
- I
find that the applicant has not made out that Iva Hayward-Jackson was an
inhabitant of the Reserve.
DID THE APPLICANT AND THE MEMBERS MANAGE THE RESERVE?
- The
applicant contends she and those whom she represents managed the Reserve in the
manner pleaded. She asserts that the applicants,
as Nyungah People, have a
capacity to manage the land in accordance to the laws and customs of Nyungah
people which persons (such
as the respondents) who are not Nyungah people, do
not.
- Bella
Bropho deposed that the residents of the Reserve and their friends and relatives
and other Nyungah people have gathered at the
Reserve to socialise and to
celebrate various events such as Christmas and birthdays. She further stated
that they have gathered
according to ‘traditional law and custom’ to
mourn the passing away of her mother, the late Edna Bropho, and other residents
of the Reserve. Additionally she deposed that Nyungah custodians of the Reserve
have cared for and watched over the Reserve and
protected it in an Aboriginal
spiritual dreaming way. She stated that the SVC had arranged for a primary
school to open at the Reserve
and controlled the manner of access to the
Reserve.
- In
his first affidavit Robert Bropho deposed that ‘the area of the Reserve
has been our ancestors’ land since time began’.
Further he deposed
that the Reserve was adjacent to Bennett Brook, the site of the creation of the
ancestral creation-time figure,
the Waugyl. He described the Reserve as an area
of religious significance to Nyungah people from the Swan Valley and a dreaming
track and ‘traditional’ camping ground.
- On
the question of use and management of the Reserve, Robert Bropho deposed that
the SVC, in managing the Reserve in accordance with
traditional laws and
customs, had, for example, acted as follows:
‘(a) not disturbed the land in the Reserve or dug around in the Reserve
or allowed others to do so;
(b) allowed and enabled Nyungah people with traditional connections to the
Reserve to reside at the Reserve;
(c) allowed and enabled Nyungah people to hold religious and social
gatherings at the Reserve according to traditional law and custom;
(d) allowed and enabled Nyungah people to mourn at the Reserve according to
traditional law and custom;
(e) allowed and enabled Nyungah people who are traditional custodians of the
Reserve to care for and watch over the Reserve and to
protect it in an
Aboriginal spiritual dreaming way;
(f) allowed and enabled Nyungah people to properly acknowledge and respect
the religious significance of the Reserve in accordance
with traditional law and
custom;
(g) made decisions in relation to the Reserve as directed by the traditional
custodians of the Reserve in accordance with traditional
law and custom;
and
(h) allowed and enabled Nyungah elders to pass on knowledge about traditional
laws and customs to young Nyungah people who require
that knowledge to properly
care for and manage the Reserve.’
The respondents admit
that to some extent the applicants did these things, except those referred to in
particular (g), but deny that
they did so pursuant to any right of
ownership.
- As
a further aspect of management Robert Bropho deposed that the SVC had applied
for and obtained funding from ATSIC to build new
dwellings, an office and
further infrastructure facilities on the Reserve (the ‘Environmental,
Health and Housing Project’).
It had advertised for, interviewed,
selected and employed an architect and a construction manager for the project.
It had employed
residents of the Reserve as building labourers. It ensured that
the dwellings were designed to be culturally appropriate for Nyungah
people. It
requested and obtained the installation of a solar energy system. Thirteen
houses and one office were completed under
the project.
- Additionally
he deposed that the SVC had provided assistance to Nyungah people and others
coming to the Reserve. This included provision
of temporary accommodation at
the Reserve; of emergency food; of transport; of emotional support; and the
facilitation of the provision
of government and non-government services to
residents of the Reserve.
- Further
Mr Bropho referred to the SVC allowing and enabling meetings in relation to
processes under the Native Title Act 1993 (Cth) (the Native Title
Act).
- In
respect of land management, his evidence was that the SVC arranged for various
native trees and bushes to be planted and for wildlife
(such as turtles) on the
Reserve to be protected. It also took action to protect and control access to
the Reserve by having a fence
installed and access gates established.
- Margaret
Jeffery’s evidence supported some aspects of Robert Bropho’s
account. In addition she deposed that the maintenance
work carried out at the
Reserve on behalf of the SVC included, cutting grass; maintaining fire breaks;
arranging for plumbing and
electrical work; gardening, bushland planting;
repairing buildings and fittings; plastering and painting; and clearing up and
arranging
for the removal of rubbish.
- Denise
Sambo’s affidavit is also corroborative of aspects of the management
carried out by the SVC.
- This
evidence, particularly as it relates to claims of tradition and religious
association, must be read in the light of the expert
evidence of Debra Fletcher.
On the question whether the Reserve was a traditional camping ground of Nyungah
people, she found that
what was a traditional camping ground until the late
19th century, became the home to a different family
group who sought out the area for the same practical reasons as the original
inhabitants.
On the question whether the Reserve is an area of religious
significance to Nyungah people from the Swan Valley area, she found
it was such.
I accept that these findings should be accepted for application here, this trial
not having extended to re-examining
the range of evidence reviewed by that
expert. Evidence given on issues touched by the expert’s findings in the
two respects
referred to should therefore be understood in terms of those
findings as necessary.
- The
evidence of background circumstances set out above makes apparent that, if the
SVC was exercising a management role in relation
to the Reserve, it inadequately
provided for the management and maintenance of it. Nevertheless, it is apparent
from the same evidence
that the SVC, acting through the applicant and its
members, managed the Reserve to a degree. By that finding I do not intend to
imply that such management was up to the standard which it should have been;
only that to some degree the SVC fulfilled a management
role in relation to the
Reserve. From the evidence of the actions deemed necessary to be taken by the
Administrator, it is apparent
that the manner in which the SVC discharged that
role fell well short of what was required for full and effective management of
the
Reserve.
THE CIRCUMSTANCES OF THE INHABITANTS LEAVING THE RESERVE [ISSUE 29]
- On
4 June 2003 it was discovered that the women and children occupying the Reserve
had left and that most of them had moved to the
urban Aboriginal community of
Henley Brook (commonly known as the Saunders Street Aboriginal community).
- It
is agreed that the Administrator directed in writing Robert Bropho and Iva
Hayward-Jackson, and orally directed Margaret Jeffery,
Sharon Davies, and Greg
Stratton to leave the Reserve on 13 June 2003. (The applicants submitted
that it was agreed that Lynda
Nutter also received an oral direction. This was
not pleaded and was not agreed. Her affidavit states she was at the Reserve
when
the Administrator told Robert Bropho to leave but not that she received
such a request. The affidavit of the Administrator does
not refer to her as a
person requested to leave).
- I
accept the applicant’s submission that other Aboriginal inhabitants left
the Reserve before 13 June 2003:
- (a) in the
knowledge that the Reserves Bill had been introduced into the Parliament
(it having in fact been passed by Parliament on 15 May 2003 and was assented to
on 12 June
2003);
- (b) aware of
what they perceived to be the likely intention of the first respondent to
exercise a power such as that under the Reserves
Act to direct them to leave the
Reserve;
- (c) in
anticipation of receiving a direction to leave the Reserve under the Reserves
Act if they had not left the Reserve; and
- (d) wishing to
avoid undue attention from the media.
The knowledge and
anticipation was based on the statement of the Premier made in the Legislative
Assembly on 14 May 2003 and various
reports of that statement in the public
media in Western Australia that ‘the Government ... intends to close the
Swan Valley
Nyungah camp in Lockridge’.
- The
affidavits of Bella Bropho, Denise Sambo and Sharon Davies support findings to
the effect of this submission. Oral testimony
establishes that residents wished
to be away from the Reserve so that the media could not take photographs of the
departure of themselves
and their families, which they considered would be
humiliating.
- Margaret
Jeffery, in cross-examination, claimed that the women left the Reserve because
of threats from Minister Carpenter the day
after the release of the Gordon
Inquiry report. When asked what the threat was, Ms Jeffery said: ‘Losing
their homes, losing
their property, losing their ancestors’
spirits’; and that he was going to work to close the community down. In
re-examination
she conceded that Mr Carpenter had actually said he was
trying to get support from his Cabinet colleagues to have the 2002 Management
Order revoked and that he said nothing about people losing their homes or their
spiritual connection. Her earlier evidence in cross-examination
that
Mr Carpenter made threats is therefore lacking credibility.
- At
the time of the enactment of the Reserves Act it was not the intention of the
Government that all persons would be immediately
removed from the Reserve. It
was intended that the Administrator would give notices to bring about the
removal of Robert Bropho
Snr and Jnr, and Harvey and Herbert Bropho as persons
considered to have inhibited access by Government agencies. Lynsey Warbey
testified that there was no intention to remove women and children and that
service providers were planning to go in and talk to
each of them about what
they wanted to do.
- Ms
Thomas deposed that as at 10 June 2003 the Government’s
intention once the Reserves Bill was enacted was to appoint
an administrator and
remove certain men from the Reserve, with women and children remaining on the
Reserve until the DCD and other
agencies had worked with them and identified
suitable alternative arrangements based on their needs and wants.
- Based
on this the applicant submits it was the first respondent’s intention that
the Aboriginal inhabitants would not remain
in their homes on the Reserve
(except perhaps some Aboriginal inhabitants for a short period following 13 June
2003: see the evidence
of Roland Bayman, David Pedler and Caroline Brazier).
David Pedler accepted in cross-examination that it was the intention of
government
that ultimately everybody would have been removed. I therefore
accept that the applicant’s submission on this issue correctly
states the
intended position.
WHETHER ALTERNATIVE ACCOMMODATION WAS OFFERED
- This
issue arises as a consequence of the plea by the respondents in the defence that
they offered to provide alternative accommodation.
That was in response to the
applicant’s plea that the Reserves Act arbitrarily deprived the applicants
of the right to manage
and otherwise exercise ownership rights over the Reserve.
- The
affidavits of Terrence Joseph Daly sworn 4 December 2003 and Irene Mary Thomas
sworn 9 December 2003 set out the extent to which
the first respondent offered
to provide housing assistance to the Aboriginal inhabitants of the Reserve up to
1 July 2003. Supplementary
affidavits provide particulars of accommodation made
available but are subject to the agreed confidentiality orders previously
referred
to.
- The
applicant submits it is apparent from the affidavit of Terrence Daly that
18 days after the direction was given by the Administrator
for them to
leave their homes, no alternative accommodation had been provided. It is said
no concrete or particular offer was made
up to that time (see the evidence of
Roland Bayman and David Pedler) and that the only accommodation deposed to in
any detail as
having been provided was on 18 August 2003 (sic 2004).
- In
contrast the respondents rely on evidence of various steps taken to make
arrangements for accommodation.
- On
5 June 2003, officers of the first respondent visited the Reserve and told
Robert Bropho that they wanted to speak to the women
about the wants and needs
of the families of the SVC. Mr Bropho said that the women and children had left
the Reserve. On 9 June
2003 an officer of the first respondent gave notice of a
meeting on 10 June 2003 at the Kiara Police Station to discuss the wants
and
needs of the families of the SVC. On 10 June 2003, officers of the first
respondent waited at the Kiara Police Station to meet
with the Aboriginal
inhabitants of the Reserve to discuss the wants and needs of the families of the
SVC. Neither the applicant
nor any other Aboriginal inhabitants of the Reserve
attended that meeting. On 10 June 2003, officers of the first respondent went
to the Saunders Street Aboriginal Community and left messages for the applicant
and other Aboriginal inhabitants of the Reserve that
they wanted to discuss
assistance to the Aboriginal inhabitants of the Reserve. On 13 June 2003, the
Administrator asked Robert
Bropho if he had alternative accommodation available
to him. Mr Bropho said that he did. On 17 June 2003, officers of the first
respondent spoke with Herbert and Charlotte Bropho at the Saunders Street
Aboriginal Community about their housing needs. On 1 July
2003, officers of the
first respondent spoke with Robert Bropho at the Saunders Street Aboriginal
Community about the housing needs
of the applicant and former Aboriginal
inhabitants of the Reserve. Mr Bropho said that those people did not want
any housing
assistance from the DHW. On 21 July 2003, an officer of the
first respondent went to Margaret Jeffery’s house in Guildford
and spoke
to the applicant and others about providing emergency public housing. Between
July and September 2003 the first respondent
provided emergency accommodation
and/or public housing to a number of Aboriginal inhabitants of the Reserve.
- As
this issue can only be resolved by reference to the confidential affidavits
previously referred to, I propose to return to this
issue only in the event that
it becomes necessary to decide whether any offer of alternative accommodation
counterbalanced the loss
of the rights which the applicant seeks to assert so as
to make any deprivation of rights not arbitrary.
WAS THE RESERVE PREVIOUSLY THE SUBJECT OF GRANTS OF FREEHOLD TO NON-ABORIGINAL
PERSONS?
- The
whole of the Reserve was previously a portion of Swan Locations N & O, the
subject of a fee simple grant issued on 19 May
1837 to Messrs Charles Ridley and
James Walcott, both non-Aboriginal
persons.
PART F: ISSUES OF
INVALIDITY OF THE 2002 MANAGEMENT ORDER
- It
is convenient to address here issues of whether the revocation of the 1998
Management Order and the substitution of the 2002 Management
Order were invalid
as a consequence of non-compliance with the LAA.
DID THE SVC GIVE INFORMED CONSENT TO THE 2002 MANAGEMENT ORDER AS REQUIRED BY
THE LAA? [ISSUE 9]
- Section 50(1)(a)
of the LAA provides:
‘50.
(1) When a management body –
(a) agrees that its management order should be revoked; or
(b) does not comply with its management order or with a management plan which
applies to its managed reserve or does not submit a
management plan in
compliance with a request made under section 49(2),
the Minster may by order revoke that management
order.’
- The
applicant has pleaded that the SVC did not give consent to the 2002 Management
Order as required by s 50(1)(a) of the LAA.
- There
can be no dispute that the SVC expressly consented to the 2002 Management Order.
On 11 October 2002 Harvey Bropho,
Denise Sambo and Robert Bropho on
behalf of the SVC wrote to the Minister for Lands stating that ‘you have
put into writing
all the changes that we want to the management order’.
After referring to an increase in racist attacks against Aboriginal
people, he
also stated that the SVC ‘again confirm[s] that we agree to make no claim
for compensation’. In another letter
on the same day Harvey Bropho as
Chairperson of the SVC wrote to the Minister for Lands stating ‘if this is
the final version
of the management order, lets get on with it. We have
discussed it and it is acceptable’. Those communications raise the
presumption that the SVC had in fact consented to the revocation.
- The
applicant’s argument is that the SVC did not ‘freely give prior
informed consent’.
- The
evidence relied upon by the applicant to support this contention is as follows.
On 12 September 2002 the Minister for
Planning and Infrastructure
wrote to Harvey Bropho as Chairperson of the SVC requesting its agreement to the
existing 1998 Management
Order in favour of the community being revoked and a
new management order made setting out various conditions. The letter stated
that this followed a meeting with representatives of the SVC on
20 August 2002 at which the Minister had expressed the
need for open
access to the site and concerns raised by a variety of government agencies
gaining access to ensure health and well-being
of residents. The letter
included copies of the proposed revocation, new order and the conditions. It
explained that the 2002 Management
Order required the installation of a
pedestrian gate and the development of a management plan for the Reserve within
six months of
the order. Further the letter stated that as the new management
order was effectively being given in exchange for the 1998 Management
Order, the
orders would be made on the basis that the SVC would not claim any compensation
for improvements on the Reserve. The
Minister concluded by asking that the
recipient respond to her by the close of business on
20 September 2002. Earlier
in the letter she had stated that the
orders were those which she proposed to make ‘subject to any reasonable
objections from
the Corporation being received before the [sic]
20 September 2002’.
- The
affidavit of Margaret Jeffery deposes that the SVC held a meeting on
21 September 2002 to discuss the Minister’s letter.
The meeting
considered the SVC could not refuse to consent, on the basis that it would not
lose any rights to use, care for, control
or manage the Reserve by agreeing to
the new management order. On 21 September 2002 the SVC wrote to the
Minister requesting
certain additions, subject to which the new management order
was acceptable to it. The SVC also agreed to make no claim for compensation.
Ms Jeffery testified that the SVC read the letter as being one with which it had
to agree.
- The
content of the above letters and the evidence of the circumstances in which they
were sent, apart from the evidence of Ms Jeffery,
is entirely supportive of the
inference that the consent was freely given. Harvey Bropho did not give
evidence so that it may be
inferred he had no evidence to give to negate that
inference.
- The
additional evidence of the circumstances in which the consent was given does not
provide a basis for a finding that the consent
was not voluntary and legally
effective. The evidence supports findings that, in addition to the statements
of consent:
- (a) the SVC was
given notice of the proposed 2002 Management Order and was given an opportunity
to comment, including an extension
of time within which to comment;
- (b) the terms
of the proposed 2002 Management Order were the subject of negotiations between
the SVC and the first respondent; and
- (c) the SVC had
legal assistance from senior counsel, whose fees were partly paid by the first
respondent.
- In
any event, the applicant has not distinctly pleaded duress or fraud or non est
factum and so cannot deny the legal effect of the
consent which was given:
O 11 r 10 of the Federal Court Rules.
- The
applicant also argues that, in order to validly revoke a management order
pursuant to s 50(1)(a) of the LAA, what is required
is not informed consent
or even acquiescence, but establishment of the fact that the management body
‘agrees that its management
order should be revoked’
(Emphasis added). The applicant submits the circumstances clearly did not
suggest that an agreement was reached
that the 1998 Management Order should be
revoked. It is therefore submitted that the revocation of the 1998
Management Order was not validly achieved as an exercise of the power under
s 50(1)(a) of the LAA. The reference in the relevant portion of
s 50(1)(a) to ‘should’ can only be construed
in its context to
mean that it agrees to the Minister’s proposal to revoke the management
order. There is no reason in policy
to favour a construction that would place
the Minister in the position where, having received a consent from a management
body to
the revocation of a management order, it could subsequently disagree
that the management order ‘should’ be
revoked.
WAS THE 2002 MANAGEMENT ORDER IN THE PUBLIC INTEREST AS REQUIRED BY THE LAA?
[ISSUE 10]
- Section 50(2)
of the LAA provides:
‘50.
(2) If, in the absence of agreement or non-compliance referred to in
subsection (1), the Minister considers that it is in the
public interest to
revoke a management order, the Minister may by order revoke the management
order.
...’
- If
in fact no informed consent had been given, that would not have the consequence
of making the revocation invalid unless it is also
shown that the Minister made
the revocation without considering that it was in the public interest as
provided for in s 50(2)
of the LAA.
- The
Minister’s letter dated 12 September 2002 raising the prospect of a new
management order referred to ‘the need for
open access to the site and
concerns raised by a variety of Government agencies in gaining access’ and
went on to say:
‘Open access for Government agencies is a necessary requirement for the
management of the site to ensure the health and well-being
of residents.
Concerns have also been raised in relation to the Swan Valley Nyungah Community
Aboriginal Corporation's accountability,
transparency and its compliance with
its rules and the provisions of the Aboriginal Councils and Associations Act
1976 (Commonwealth).’
- The
applicant submits there was no demonstrated public interest reason
for the 2002 Management Order.
- There
are a number of authorities which exemplify the breadth of the meaning of the
phrase ‘in the public interest’.
In O’Sullivan v
Farrar [1989] HCA 61; (1989) 168 CLR 210, Mason CJ, Brennan, Dawson and Gaudron JJ (at 216)
said that the expression ‘in the public interest’, when used in a
statute, classically imports a discretionary value judgment to be made by
reference to undefined factual matters, confined only insofar
as the subject
matter and scope and purpose of the statutory enactment may enable given reasons
to be pronounced definitely extraneous
to any objects the legislature could have
had in view.
- In
Evans v Western Australia (1997) 77 FCR 193 at 215 Nicholson J cited
O'Sullivan 168 CLR at 216 and the following statement from Lockhart J in
the Right to Life Association (NSW) Inc v Secretary, Department of Human
Services and Health (1995) 56 FCR 50: ‘The public interest is a
concept of wide meaning and not readily delimited by precise boundaries.
Opinions have differed,
do differ and doubtless always will differ as to what is
or is not in the public interest’. Nicholson J went on to find that
the
National Native Title Tribunal had not erred in taking into account that
on-going exploration activities were essential to the
health of the mining
industry, as part of the public interest in a proposed future act under the
Native Title Act being undertaken.
- Right
to Life Association (NSW) Inc 56 FCR 50 and O'Sullivan [1989] HCA 61; 168 CLR 210
were also cited by Jacobson J in the Full Court in McKinnon v Secretary,
Department of Treasury [2005] FCAFC 142; (2005) 145 FCR 70 at [243]- [245]. His Honour said
(at [246]):
‘... it is plain that the categories of public interest are not closed
and that different minds will differ as to what is, or
what is not, in the
public interest...There is nothing in the subject matter or scope of the FOI Act
which confines the discretionary
factors to be taken into account in the manner
suggested by the appellant.’
- The
majority in the High Court in Re Queensland Electricity Commission; Ex parte
Electrical Trades Union [1987] HCA 27; (1987) 61 ALJR 393 at 400 recognised that there may
be competing public interests, and that the factors on one side may need to be
weighed against the
factors on the other side to arrive at an overall
conclusion. In Sinclair v Maryborough Mining Warden [1975] HCA 17; (1975) 132 CLR 473,
Jacobs J said (at 487) that:
‘The public interest is an indivisible concept. The interest of a
section of the public is a public interest, but the smallness
of the section may
affect the quantity or weight of the public interest so that it is outweighed by
the public interest in having
the mining operation
proceed.’
- So
far as it may provide further guidance to the Court, the respondents rely upon
similar statements made in the context of international
human rights law. In
James v United Kingdom [1986] ECHR 2; (1986) 8 EHRR 123 the European Court of Human
Rights considered the meaning of the sentence: ‘No one shall be deprived
of his possessions except
in the public interest’, in Art 1 of
Protocol No. 1 to the European Convention on Human Rights. At [46] the
Court
said:
‘...the notion of 'public interest' is necessarily extensive. In
particular, as the Commission noted, the decision to enact
laws expropriating
property will commonly involve considerations of political, economic and social
issues on which opinion within
a democratic society may reasonably differ
widely. The Court, finding it natural that the margin of appreciation available
to the
legislature in implementing social and economic policies should be a wide
one, will respect the legislature's judgment as to what
is 'in the public
interest' unless that judgment be manifestly without reasonable
foundation.’
This was followed in
Mellacher v Austria (1990) 12 EHRR 391 at [45].
- Turning
to the context of the LAA, I agree there is nothing which confines the
Minister’s discretion to decide whether or not
a management order should
be revoked ‘in the public interest’. The public interest, in this
context, clearly extends
beyond the agreement of the management body and may
exist even if the management body has not breached the management order (since
those matters are already dealt with in ss 50(1)(a) and (b) of the LAA).
In particular, concerns about the failure of a management
body to prevent or
adequately deal with unlawful or unsociable conduct on a reserve would appear to
clearly fall within the bounds
of the public interest. However, wrongdoing on
the part of the management body is not a necessary factor. It would also be
sufficient
grounds for revoking a management order in the public interest that
the Minister considered the management order should be subject
to alternative
conditions which, in the Minister’s opinion, would better suit the use of
the Reserve for its intended purpose
or that another management body would
better be able to manage the Reserve.
- Secondly
the applicant submits that the concerns raised in the Minister’s letter
regarding open access for government agencies
being a necessary requirement for
management of the site was adequately accommodated by the regime in place in the
community, which
was no more restrictive than exists in many residential
estates. The applicant relies on her affidavit evidence as well as the
affidavit
evidence of Robert Bropho, Margaret Jeffery and Denise Sambo relating
to control by the SVC of access to the Reserve, all of which
is given in the
affidavits in similar form. That evidence has been set out in the context of
all evidence in the narrative earlier
in these reasons. I am unable to agree
that the evidence relied upon viewed in that context supports the inference
which the applicant
asserts. The weight of that evidence viewed as a whole is
that many agencies and both the Coronial Inquiry into the death of Susan
Taylor
and the Gordon Inquiry considered that the regime in place did not adequately
provide open access. The intended purpose of
the management plan was to achieve
just that.
- Thirdly,
the applicant submits that the 2002 Management Order in itself was not capable
of achieving the protection of women or children
or any similar public purpose.
Reference is made to the evidence of Graham Searle. He testified in
cross-examination that the need
for the 2002 Management Order did not come about
as a consequence of any breach of the 1998 Management Order or legislation.
However,
the 2002 Management Order had provided for the development of a
management plan over a six month period to address the issues of
concern.
Nevertheless he had been concerned that any administrative action taken may have
led to an application to the courts for
injunctive relief which would have held
up such action. Consequently he had supported the enactment of legislation to
remove that
possibility. I do not read his evidence as stating that the 2002
Management Order could not have achieved its aims; only that there
was a risk
its revocation by the Reserves Act could have given rise to litigation seeking
injunctive relief which would have delayed
progress on delivery of executive
relief. In any event, as has been stated above, the existence of a breach of a
prior order or
legislation was not a necessary pre-condition to the exercise of
the Minister’s discretion to determine what was in the public
interest.
- Fourthly,
the applicant submits that there was no evidence given supporting the
contentions of the respondents concerning the purpose
of the 2002 Management
Order. Firstly, she states there is no legal basis for suggesting that the SVC
had a legal obligation to
secure the safety and welfare of persons accessing or
residing on the Reserve any more than any other land management body might
have
been expected to assume that obligation in relation to any other reserve. If
that were so it would not preclude the inference
that if the resultant
management plan under the 2002 Management Order had been developed it would have
addressed the issues of public
concern. Secondly, the applicant contends there
is no evidence that the SVC was failing to secure the safety and welfare of
persons
accessing or residing on the Reserve any more than any State agency
responsible for securing the safety and welfare of persons accessing
or residing
on the Reserve. For example, none of the government agencies aware of the
circumstances of the non-resident Susan Taylor
had been able to secure her
safety Thirdly, the applicant submits that State instrumentalities were not
being prevented by the SVC
from providing services to or securing the safety and
welfare of persons accessing or resident on the Reserve. This is supported
by
reference to the evidence concerning access by officers of the DCD Cannington,
Mirrabooka and Northam, Kiara Police, DOJ, Lockridge
Medical Practice, Community
Health Nurse and staff of Calunga School: see the oral evidence of Caroline
Brazier and Roland Bayman,
the affidavit of Margaret Jeffery of 15 December 2003
and the Schedule to the Report on Service Provision to Swan Valley Nyungah
Community April 2003 (exhibit P80). Fourthly, the State or any of its
instrumentalities had capacity to secure the safety and security
of persons
accessing or residing on the Reserve. There is evidence in relation to the
provision of security from substance abuse
and the sexual predations upon women
of bungeemen: evidence of Caroline Brazier and Roland Bayman.
- Fifthly,
the applicant contends that the compliance by the SVC with the requirements of
the ACA Act and consequent accountability
and transparency of the association
are matters for the Commonwealth Registrar of Aboriginal Corporations to
supervise (not the State).
It is said that a new management order was not a
‘necessary or appropriate’ mechanism for ensuring compliance with
statutory
obligations existing under the ACA Act. In any event, the SVC claims
to have been compliant with the requirements of that legislation.
The
applicants tendered to the respondents a compliance report by Deloitte Touche
Tomatsu in relation to the SVC’s compliance
with the ACA Act. The
respondents said it was not relevant to include in the agreed documents, from
which the applicants inferred
that compliance by the SVC with the ACA Act is no
longer in issue. This contention is not a consideration which makes the
Minister’s
exercise unreasonable. Short of any unreasonableness, it was
for the Minister in the exercise of determining the public interest
to decide
what was within that discretion ‘necessary or appropriate’.
- While
there is evidence in the applicant’s case of co-operation in relation to
health and welfare issues, it was not the case
that there was no evidence the
SVC was failing to secure the safety and welfare of persons accessing or
residing on the Reserve.
Similarly there was evidence that access to the
Reserve by government officials to improve provision of government services to
Aboriginal
inhabitants of the Reserve was frustrated by the management of the
SVC. The evidence previously recounted, including the findings
of the Coronial
Inquiry into the death of Susan Taylor and the Gordon Inquiry, is evidence of
such failures. Whether or not that
was greater or less than other government
agencies is not to the point. The Minister’s discretion was exercised in
relation
to the Reserve, not in relation to other government agencies. The same
may be said of the other evidence relied upon. The Minister
had a broad
discretion and, provided it was not exercised unreasonably, that is, with no
evidentiary foundation for its exercise,
it was the Minister who was entitled to
weigh the factors now asserted together with all other relevant factors.
- In
short, these contentions of the applicant on this issue are answered by the fact
that in the making of the 2002 Management Order
there is no reason to doubt that
the Minister’s concerns were genuine; nor could they be said to be
manifestly unreasonable
as the law understands that concept. Given the breadth
of the concept of public interest, it cannot be said – even taking
the
evidence on which the applicant relies on this issue at its highest – that
the Minister did not act ‘in the public
interest’.
- Even
if I had been unable to reach this conclusion on this issue I would be required
to consider the effect of s 4(2) of the
Reserves Act. That
provided:
‘4(2) The revocation, under subsection (1), of the management order no
I1262262 has effect as if it were a revocation of a management
order under the
LAA section 50(2).’
On one view this
mandates that the revocation complied with s 50(2) of the LAA and so was in
the public interest. Assuming the
Court cannot be thus precluded from
examination of the compliance with s 50(2), I am satisfied that in any
event such compliance
did take place for the preceding reasons.
PART G: DISCRIMINATION AND THE RESERVES
ACT
NATURE OF DISCRIMINATION
The content of ss 9 and 10 of the RDA
- The
inter-related elements for the applicant of s 10(1) are (1) by reason of
(2) a law, or of a provision of a law, of the Commonwealth
or of a State or
Territory, (3) persons of a particular race, colour or national or ethnic origin
(4) do not enjoy or do so to a
more limited extent than persons of another race,
colour or national or ethnic origin (5) a right that is enjoyed by persons of
another
race, colour or national or ethnic origin.
- The
inter-related elements which constitute s 9(1) are that the unlawfulness is
created by (1) any act (2) involving a distinction,
exclusion, restriction or
preference (3) ‘based on’ race, colour, descent or national or
ethnic origin (4) which has
the purpose or effect (5) of nullifying or impairing
(6) the recognition, enjoyment or exercise, on an equal footing (7) of any human
right or fundamental freedom in the political, economic, social, cultural or any
other field of public life.
- In
Gerhardy [1985] HCA 11; 159 CLR 70 at 99 Mason J contrasted the wording of s 9 and
s 10 of the RDA as follows:
‘Section 10 makes no reference to racial discrimination; nor does it
make any reference, as s 9(1) does, to the elements
of the definition of
“racial discrimination” in Art. 1.1 of the Convention. Instead
s 10 is expressed to operate
where persons of a particular race, colour or
origin do not enjoy a right that is enjoyed by persons of another race,
colour or origin, or do not enjoy that right to the same
extent.’
Suggesting that questions as to
the validity of s 10 might be thought to arise from the fact that it does
not follow the language
of the Convention, he continued:
‘The exclusion of persons of a race, colour or origin from the
enjoyment of a relevant right by reason of a law does not necessarily
involve
“racial discrimination” in that it may not amount to a distinction,
exclusion, restriction or preference “which
has the purpose or effect of
nullifying or impairing the recognition, enjoyment or exercise” of the
right “on an equal
footing”. Consequently, s. 10 should be read in
the light of the Convention as a provision which is directed to lack of
enjoyment
of a right arising by reason of a law whose purpose or effect is to
create racial discrimination.’
- A
further distinction between the sections might be thought to arise from the fact
that s 9 refers to human rights and s 10
refers only to rights.
However, in Mabo v Queensland [1988] HCA 69; (1988) 166 CLR 186 at 217 Brennan, Toohey
and Gaudron JJ said that ‘section 10 of the Racial Discrimination
Act is enacted to implement Art. 5 of the Convention and the
“rights” to which s 10 refers is, like the rights mentioned in
Art. 5, a human right - not necessarily a legal right enforceable under the
municipal law’.
- Additionally
it is to be noted that s 10 expressly addresses a law or a provision of a
law whereas s 9 addresses an act. I approach the sections primarily on the
basis that it is s 10 which must be considered in relation to the Reserves
Act and its provisions and that s 9 must be considered in relation to acts,
such as those of the Administrator. In case it is thought (as some of the
submissions appear to accept) that the reference to an
act in s 9 is to
include a reference to the passage of the Reserves Act, I have also considered
that position.
Effect
- In
Western Australia v Ward [2002] HCA 28; (2002) 213 CLR 1 at 99 Gleeson CJ, Gaudron,
Gummow and Hayne JJ said of s 10(1):
‘A number of points may be made at once. First, the sub-section does
not use the word “discriminatory” or cognate
expressions. Yet these
terms are used throughout the authorities in which s 10(1) has been considered.
That to which the sub-section
in terms is directed is the enjoyment of
rights by some but not by others or to a more limited extent by others; there is
an unequal enjoyment of rights that are or should
be conferred irrespective of
race, colour or national or ethnic origin. “Enjoyment”' of rights
directs attention to
much more than what might be thought to be the purpose of
the law in question. Given the terms of the Convention which the RDA implements
(the International Convention on the Elimination of all Forms of Racial
Discrimination) that is not surprising. The Convention's
definition of racial
discrimination refers to any distinction, exclusion, restriction or preference
based (among other things) on
race which has the purpose or effect of
nullifying or impairing (again among other things) the enjoyment of certain
rights. Further, the basic obligations undertaken
by States party to the
Convention include taking effective measures to nullify laws which have the
effect of creating or perpetuating racial discrimination (Art 2, s 1(c)). It
is therefore wrong to confine the relevant operation of the
RDA to laws whose
purpose can be identified as discriminatory (cf Waters v Public Transport
Corporation [1991] HCA 49; (1991) 173 CLR 349.)’
- In
Ward 213 CLR at [113] their Honours considered it was critical that there
had been a conclusion that the State law provided for differential
treatment of
land holding according to race. At [117] their Honours said that ‘it is
because native title characteristically
is held by members of a particular race
that interference with the enjoyment of native title is capable of amounting to
discrimination
on the basis of race, colour, or national or ethnic
origin.
Indirect discrimination
- The
relevance of the effect of racial discrimination brings into consideration the
distinction between direct and indirect discrimination.
R. Dubler in
‘Direct discrimination and a defence of reasonable justification’
(2003) 77 ALJ 514 at 517 describes the distinction as
follows:
‘The former is said to arise where the discriminatory conduct is
‘directly’ grounded upon the complainant’s
status or a
characteristic appertaining generally or generally imputed to the
complainant’s status. The latter occurs where
the respondent imposes an
avowedly neutral condition but it has in fact a disproportionately detrimental
impact on persons of the
status of the complainant that is
unreasonable.’
- A
highpoint of statutory expression of this in Australian law appears in s 6
of the Disability Discrimination Act 1992 (Cth) as
follows:
‘For the purpose of this Act, a person (discriminator) discriminates
against another person (aggrieved person) on the ground
of a disability of the
aggrieved person if the discriminator requires the aggrieved person to comply
with a requirement or condition:
(a) with which a substantially higher proportion of persons without the
disability comply or are able to comply; and
(b) which is not reasonable having regard to the circumstances of the case;
and
(c) with which the aggrieved person does not or is not able to
comply.’
- The
closest a provision of the RDA comes to this is in s 9(1A). That section
does not have any reference to proportionality
but rather, like s 6(1)(b)
of the Disability Discrimination Act, refers to the requirement to find
the reasonableness of the term, condition or requirement having regard to the
circumstances of
the case. This was considered by a Full Court (Black CJ,
Heerey and Sackville JJ) in Australian Medical Council v Wilson (1996) 68
FCR 46. Heerey J, with whom Black CJ generally agreed, traced the legislative
history of s 9(1A) at 52-55. At 55 his Honour said that the mutual
exclusivity construction should be applied in the present case to ss 9(1)
and 9(1A) of the RDA because such an approach was consistent with the language
of the provisions, their legislative history and the preponderance
of authority.
Sackville J at 74 agreed on the basis that it was a preferable course unless and
until the High Court specifically
considered the terms and legislative history
of the RDA. The consequence is that the Full Court was of the view that
s 9(1) was confined to direct discrimination. This was applied in
Commonwealth Bank of Australia v Human Rights and Equal Opportunity
Commission (1997) 80 FCR 78.
- In
Nguyen v Refugee Review Tribunal (1997) 74 FCR 311 at 318 Tamberlin J in
obiter dicta accepted that the language of s 10 of the RDA did not exclude
indirect discrimination. Also that the reasoning of Mason J in Gerhardy
[1985] HCA 11; 159 CLR 70 did not restrict s 10 to direct discrimination, focussing on the
‘purpose or effect’ of the law and so upon its operation. He
identified s 9(1A) of the RDA as the indirect discrimination provision in
that Act.
- His
Honour therefore concluded that in principle s 10 is capable of applying to
indirect discrimination so that it would not
be sufficient to dismiss an
application under s 10 by holding that a particular law, on its face,
applies equally to all individuals
if in fact there is discrimination by reason
of the operation of the law. The question must be whether the effect on
(relevantly)
Aboriginal people is so disproportionate in comparison with persons
of another race as to constitute discrimination. While that
is not reasoning in
a binding authority it seems to me that is a view which should receive
consideration in relation to the applicant’s
contentions.
- The
applicant does not place any reliance on s 9(1A) of the RDA. In the case
of s 9, it seems to me that I am required
to proceed on the basis that it
applies to direct discrimination, so that, in measuring effect, regard should be
had only to direct
effect. In the case of s 10(1), I should proceed on the
basis that it is capable of application to direct or indirect discrimination.
Therefore in measuring ‘effect’ under s 10 I should consider,
in addition to direct effect, whether an indirect
effect is established as a
consequence of the proportionality of impact on (relevantly) Aboriginal persons
of the Reserves Act or
a provision of it.
Justificatory measures
- In
Nguyen 74 FCR at 319 Tamberlin J
continued:
‘For a practice to amount to racial discrimination it must be
“not reasonable having regard to the circumstances of the
case”.
The availability of alternative, non-discriminatory methods is one of the
factors relevant to determining whether a
practice is reasonable in the
circumstances of the case: see Waters v Public Transport Corporation [1991] HCA 49; (1991) 173
CLR 349, per Dawson and Toohey JJ at 395. Other relevant factors will vary from
case to case.’
- The
Australian Law Reform Commission in its 1986 Report on Recognition of
Aboriginal Customary Law has endorsed an interpretation of the Convention as
prohibiting only invidious discrimination. The Report states that the
prohibition
of discrimination does not preclude reasonable measures responding
in a proportionate way to the special characteristics of particular
groups.
This reflects the international practice in which references to race become
discriminatory only where they lack an objective
and reasonable basis or a
legitimate purpose: McRae, Nettheim and Beacroft, Indigenous Legal Issues
(2nd edn, LBC Information Services, 1997) p324. In
Lithgow v United Kingdom (1986) 8 EHRR 329 at 389 it was stated in
reliance on Rasmussen v Denmark (1985) 7 EHRR 371 at [35] and [38] that a
difference of treatment is discriminatory if it ‘has no objective and
reasonable justification’,
that is, if it does not pursue a
‘legitimate aim’ or if there is not a ‘reasonable relationship
of proportionality
between the means employed and the aim sought to be
realised.’ This is mentioned because argument has been addressed in these
claims to whether the laws and acts of the first respondent were reasonable,
proportionate and legitimate.
WAS THE PURPOSE OF THE RESERVES ACT DISCRIMINATORY?
- Section 9
of the RDA expressly requires attention to the purpose and effect of the act
there I question. Although not expressly
an element in the wording of s 10
in relation to a law or a provision of a law, the purpose and effect of the
Reserves Act may
be examined as one of those elements identified as necessary to
establish the non-enjoyment of a right under s 10 of the RDA:
Gerhardy 159 CLR at 99 per Mason J. Accordingly, it is appropriate to
examine whether the purpose or effect of the Reserves Act was discriminatory.
- Evidence
is set out below under the heading ‘Was any deprivation not arbitrary
because it was reasonable, proportionate and
legitimate’ in support of the
respondents’ contention that the purpose of the Reserves Act was to
address issues of public
interest, namely the safety of women and children. The
government officials who provided that evidence consistently stated that
the
race of the applicants was irrelevant to the actions taken by themselves or the
respondents in enacting the Reserves Act. Rather,
their evidence was that the
purpose of the Reserves Act was to ensure the protection of women and children
associated with the Reserve.
- The
respondents also contend that the non-discriminatory purpose of the Reserves Act
was demonstrated by the Premier in his address
to Parliament on 14 May 2003 and
the Second Reading Speech of the Reserves Bill the following day. During the
Second Reading Speech
to Parliament the Premier stated
that:
‘... it has become abundantly clear that the SVC is no longer fit to
continue its management role of the reserve. This issue
is not about race; it is
about intimidation, violence and abuse. The safety of all our children must be
paramount, and it is incumbent
upon all Western Australians to uphold the right
of every child in this State to security and protection.’
- None
of this evidence was challenged in cross-examination and the only evidence from
the applicants that could be taken to suggest
racial discrimination was Robert
Bropho’s complaint that when a white girl was murdered and raped in
Canning Vale Shopping
Centre, the shopping centre was not closed down. That
evidence goes to proportionality and reasonableness, not to purpose.
- The
respondents argue that it must therefore be accepted that the purpose and motive
of the enactment of the Reserves Act, and the
exercising of powers under that
Act, was not based upon the race of the applicants but was to protect the women
and children resident
on the Reserve from violence and bodily harm as stated by
the respondents’ witnesses and evidenced by the addresses made by
the
Premier to Parliament.
- I
accept that the overwhelming effect of the evidence is that the purpose of the
Reserves Act was to address the human rights of the
women and children on the
Reserve irrespective of race. There was not any racially discriminatory purpose
of the Reserves Act.
WAS THE EFFECT OF THE RESERVES ACT DISCRIMINATORY?
The relevance of the Reserve being only for Aboriginal inhabitants
- It
is to the effect of the Reserves Act that the applicant’s case is
principally directed. She contends that whatever the purpose
of the Reserves
Act, its effect was discriminatory. This is said to follow from the fact that
the Reserves Act authorised acts which
in their actual application were limited
to a particular reserve, being a reserve for the use and benefit of Aboriginal
inhabitants,
so that the acts only affected Aboriginal inhabitants of the
Reserve and persons associated with them. It is said that the effects
on the
enjoyment of rights were by reason of the applicants’ race and that the
effect of the Reserves Act was to substantially
impair or nullify the capacity
of the Aboriginal inhabitants of the Reserve to enjoy those rights on an equal
footing with other
persons in the State.
- The
respondents agree that s 10 of the RDA only applies where the purpose or
the practical operation and effect of a law is to
create racial discrimination.
The respondents acknowledge that s 10 of the RDA is not confined in its
operation to laws that
have a clearly racially discriminatory purpose. That is,
the effect of a law is assessed independently of its apparent purpose.
Section
10 of the RDA operates against inequality in the enjoyment of a human right,
based on race. They contend that s 10
of the RDA is not engaged simply
because the applicants are Aboriginal and the Reserves Act has an effect on
their human rights.
This is said to be supported by Mason J in Gerhardy
159 CLR at 99, as referred to above, who relevantly stated that ‘the
exclusion of persons of a race, colour or origin from the
enjoyment of a
relevant right by reason of a law does not necessarily involve ‘racial
discrimination’ and that s 10 was
a provision directed to laws whose
‘purpose or effect was to create racial discrimination’. The
respondents argue that
s 10 could only be engaged if the Reserves Act
affected the applicants’ human rights by reason of their
Aboriginality (or by reason of an attribute which is an essential characteristic
of being Aboriginal). It is said there must
be a causal connection between
their Aboriginality and the alleged non-enjoyment of their human right.
- There
is general support for this in what was said by the Full Court (Carr, Sundberg
and North JJ) in Macabenta v Minister for Immigration and Multicultural
Affairs (1998) 90 FCR 202 at 213:
‘We think that it is important to have regard to the words “by
reason of” when construing s 10. They require the
practical application
of causation principles explained in March v E & MH Stramare Pty Ltd
[1991] HCA 12; (1991) 171 CLR 506, whilst at the same time according due
recognition to the beneficial purposes and objects of the RDA. The ambit of the
expression
“by reason of” is not confined to the absence or limited
extent of the enjoyment of the persons first mentioned in the
section, but must
extend right through to the point at which the section starts to do its deeming
work.’
The Reserves Act with related enactments
- The
respondents submit that if the effect of the Reserves Act is to be judged, it is
important that the courts have recognised that
in ascertaining the existence of
discrimination, it is necessary to have regard to all relevant instruments and
legislation read
together. In Bayside City Council v Telstra Corporation Ltd
[2004] HCA 19; (2004) 216 CLR 595, Gleeson CJ, Gummow, Kirby, Hayne and Heydon JJ held
that, in identifying discrimination against telecommunications carriers for
the
purposes of the Telecommunications Act 1997 (Cth), it was
appropriate to read State statutes in conjunction with levies imposed by local
authorities (at 631). Similarly, in
Commonwealth v South East Queensland
Aboriginal Corporation for Legal Services [2006] 1 Qd R 12, Muir J held
that, for the purposes of s 10 of the RDA, a provision of the Aboriginal
and Torres Strait Islander Commission Act 1989 (Cth) creating a statutory
qualification on a grant of property could not be read in isolation from the
provision permitting the
grant itself (at 28-29). It is contended that the
change in management order effected by the Reserves Act was expressly done in
accordance with s 50(2) of the LAA: see ss 4(2), 5(2), 5(5) and 6 of
the Reserves Act. Therefore, on its face, the Reserves
Act must be read in
conjunction with the LAA to determine its effect. I agree with this submission
and have already applied that
approach in considering whether the 2002
Management Order was in the public interest.
The Reserves Act in isolation
- Further
or alternatively, the respondents say that even if the Reserves Act is viewed in
isolation and not in the context of the LAA
and its effect on other reserves
generally, the fact that the Reserves Act happens to affect persons of a
particular race will not
necessarily lead to the conclusion that it affects them
by reason of their race (and hence have a discriminatory effect) if there
is
another true rationale or basis for the law.
- The
respondents contend that, for the purposes of s 10 of the RDA, the inquiry
into the effect of a law requires the correct
characterisation of the law and
the identification of its true basis of operation. Legislative or executive
objectives may often
be undertaken in a manner that incidentally interferes with
human rights, but nevertheless do not discriminate or are carried out
in a
reasonable manner to achieving the objective. Such action will therefore not be
unlawful: see, for example, Melkman v Commissioner of Taxation (1988) 20
FCR 331 at 336; Nguyen 74 FCR at 319 and Macabenta 90 FCR at
213.
- The
Reserves Act, viewed in isolation, does not have general application throughout
the State. It is directed at one specific area
of land and its management.
Therefore, the criterion on which the Reserves Act operates must be ascertained
by reference both to
its text and also to the expressed purpose for which it was
enacted. Thus the respondents contend the applicant cannot succeed simply
by
establishing that it was a characteristic of the Reserve that it was inhabited
by people who were, in the main, Aboriginal people.
- In
Purvis v New South Wales [2003] HCA 62; (2003) 217 CLR 92, the High Court held that the
actions of a school authority in removing a student who exhibited violent
tendencies as a result of
brain damage did not discriminate against that student
on the basis of his disability. Gleeson CJ held (at 102) that the
‘true
basis’, the ‘expressed and genuine basis’, for the
school authority’s actions was the authority’s responsibility
to
prevent violence. Similarly, McHugh and Kirby JJ held (at 134) that, where
racial discrimination is alleged, it is appropriate
to compare the treatment
that would be received by people of different races exhibiting the same
characteristic on which the law
is expressed to operate (such as
‘misbehaviour’). Gummow, Hayne and Heydon JJ held that (at 161):
‘It would be artificial to exclude (and there is no basis in the text
of the provision for excluding) from consideration some
of these circumstances
because they are identified as being connected with that person's
disability.’
- The
respondents contend it is also clear from the authorities that not all laws
effecting the unequal enjoyment of protected human
rights as between the people
of different races will fall within the operation of s 10 of the RDA. The
reason is that such
laws also have an effect that serves another purpose. It is
said that s 10 of the RDA thus has a qualified or balanced operation
with
respect to laws that may produce racial inequality in their effect. The State
must retain a capacity to legislate for genuine
purposes, see Smallwood v
State of Queensland [1985] 1 Qd R 477 at 481 per Kelly J. In that case the
equal application of the law (the Community Services (Aborigines) Act
1984 (Qld)) to all persons in certain locations, irrespective of race,
defeated the action under s 10 of the RDA (even though the Act’s
practical effect was undoubtedly greater in respect of Aboriginal than
non-Aboriginal people).
See also South East Queensland Aboriginal
Corporation for Legal Services [2006] 1 Qd R 12 at 29 per Muir J, Fulcher
v Hilt (1985) 61 ALR 359 at 367 per Wood J and Vanstone v Clark
[2005] FCAFC 189; (2005) 147 FCR 299 at 352 per Weinberg J.
- The
respondents therefore submit that where a law applies without racial distinction
to a thing, an activity, or to defined circumstances,
there is no basis for the
operation of s 10 of the RDA. They argue it is not sufficient for the
purposes of s 10 of the
RDA simply or only to show that such a law may be
more likely to affect persons of a particular race more than others. This
submission
does not sit with the concept of indirect discrimination, where the
effect of the operation of a law or a provision of it may disproportionally
impact on persons of one race so that in itself creates the reason for the
discrimination. In my view the law recognises that as
the dominating principle
where it applies because it subsumes the issue of causality by the fact of the
disproportional effect.
- The
respondents contend that in this case the evidence discussed demonstrates that
the Reserves Act was enacted because of particular
circumstances which existed
in relation to a particular reserve and that its effect upon the applicants was
not by reason of their
race. In particular, persons associated with the Reserve
were Aboriginal and non-Aboriginal, and both were affected by the Reserves
Act.
It is also said that the Reserves Act does not change the status of the land as
a reserve for the ‘Use and Benefit of
Aboriginal Inhabitants’ and
that the only change is in the identity of the management body. Accordingly,
even viewed in isolation,
it is said that the Reserves Act does not breach
s 10 of the RDA.
Reasoning
- I
have difficulty in being invited to make a judgment on whether the Reserves Act
was discriminatory in globo. This is for two reasons.
First, both ss 9
and 10 of the RDA apply with respect to a particular human right. Second, as
s 10 applies in relation
not only to laws as a whole but also to provisions
of a law, attention should be directed to the specific provisions of the
Reserves
Act in reaching a view whether, in relation to a particular human
right, there is not any inconsistency with the RDA. There are
a variety of
provisions in the Reserves Act. This is not a case where the law under scrutiny
is of such uniform effect that it can
be addressed globally.
- I
therefore propose to proceed on the basis of giving consideration to each of the
rights upon which the applicant seeks to rely and
then considering in relation
to each of them whether there is any inconsistency with either s 9 or
s 10 of the RDA. In
doing so I will have in mind and return to the
submissions of the parties on the relevance of the fact of the Reserve was
formerly
in the care, custody and control of the SVC and that, as a consequence,
the residents were Aboriginal
persons.
PART H: INCONSISTENCY OF
RESERVES ACT AND RDA s 10
- Consideration
of the existence of an inconsistency with s 10 of the RDA requires that the
Court find whether (1) by reason of
(2) a law (3) persons of a particular race
(4) do not enjoy or enjoy to more limited extent than persons of another race
(5) a right
(6) that is enjoyed by persons of another race.
- The
human rights which the applicant contends were not so enjoyed
are:
- (a) the right
to own property alone as well as in association with others, said to have been
nullified by the revocation of the vesting
order in favour of the SVC in whom a
property interest in the land had been vested: Art 5(d)(v) of the
Convention and Ward 213 CLR at [240]-[241].
- (b) the right
to freedom of movement and residence, including the freedom to choose to reside
on the Reserve, which was designated
solely for the use and benefit of the
Aboriginal inhabitants, said to have been nullified or impaired by s 7(3)
of the Reserves
Act; Art 5(d)(i) of the Convention;
- (c) the right
to equal treatment before tribunals, said to have been nullified by the
privative clause in s 11 of the Reserves
Act and the denial of natural
justice in s 8 of the Reserves Act in respect of Aboriginal inhabitants
seeking to exercise the
right in par (b) above and being prohibited from
doing so by an exercise of power pursuant to s 7(3) of the Reserves Act;
Art 5(a) of the Convention;
- (d) the right
to participate in public affairs at the level of the community, as a member of
the SVC making decisions about the management
of the Reserve, said to have been
nullified by the revocation by s 4(1) of the Reserves Act of the vesting
order in favour of
the SVC: Art 5(b) of the Convention. This is not a
matter which is pleaded in the amended substituted statement of claim.
However,
the applicant contends that it is a matter of law which is not required to be
pleaded and is merely another legal basis
upon which to conclude that the
Reserves Act is inconsistent with s 10(1) of the RDA, as pleaded at [43] of the
amended substituted
statement of claim.
SUBPART 1: DEPRIVATION OF RIGHTS OF OWNERSHIP AND MANAGEMENT OF PROPERTY
THE NATURE OF PROPERTY
- In
addressing rights of the applicants in relation to ownership and management, the
applicant relies on a number of recent decisions
in which there has been dicta
describing the nature of ‘property’ at law both at general law and
in a human rights context.
- The
first is Mabo 166 CLR at 217 where Brennan, Toohey and Gaudron JJ
said:
‘Section 10 of the Racial Discrimination Act is enacted to
implement Art 5 of the Convention and the “right” to which s 10
refers is, like the rights mentioned in Art 5, a human right – not
necessarily a legal right enforceable under the municipal
law. The human rights
to which s 10 refer include the right to own and inherit
property...’
The passage continues:
‘Although the human right to own and inherit property (including a
human right to be immune from the deprivation of property)
is not in itself
necessarily a legal right, it is a human right the enjoyment of which is
peculiarly dependent upon the provisions
and administration of municipal law.
Inequality in the enjoyment of that human right may occur by discrimination in
the provisions
of the municipal law or by discrimination in the administration
of the municipal law or by both.’
- The
respondents say of these passages that their Honours did not say that the
property the subject of the right could be property
that exists otherwise than
under domestic law. They did say that ‘property’ in this context
must embrace rights of any
kind in or over the Murray Islands’, but went
on to explain that:
‘If the assumption be made that traditional rights survived the
annexation of the islands and were thereafter recognised by
the common law, and
if the effect of the 1985 Act be left aside, the general law of Queensland would
now recognise two categories
of legal rights to be enjoyed under the Crown in
and over the Murray Islands.... If we accord to the traditional rights of the
Miriam
people the status of recognised legal rights under Queensland law
(as we must in conformity with the assumption earlier made), the 1985 Act has
the effect of precluding the Miriam people from enjoying
some, if not all, of
their legal rights in and over the Murray Islands while leaving all other
persons unaffected in the enjoyment
of their legal rights in and over the Murray
Islands.’ (Emphasis added)
- Deane
J (at 228 and 230) similarly assumed for the purposes of deciding the demurrer
in that case the traditional proprietary rights
and interests of the Murray
Islanders survived the annexation of the Murray Islands to Queensland. On the
other hand, Mason CJ at
198-199, and Dawson J at 243, were unwilling to decide
the matter on the basis of an assumption that the traditional rights and
interests
asserted by the plaintiffs in that case constituted a right to own
property or a right to inherit property within the meaning of
the Convention
when no such rights were agreed or proved.
- At
229-230 Deane J stated:
‘... The word “right” is used in s. 10(1) in the same
broad sense in which it is used in the International
Convention, that is to say,
as a moral entitlement to be treated in accordance with standards dictated by
the fundamental notions
of human dignity and essential equality which underlie
the international recognition of human rights: cf., the preamble to the
International
Convention. In that sense, the moral entitlement to own property
alone as well as in association with others and the moral entitlement
to inherit
which are referred to in Art. 5 of the International Convention are
“rights” for the purpose of the guarantee
against racial
discrimination contained in s. 10 of the Commonwealth Act. Implicit in
those moral entitlements is the “right”
to enjoy immunity from being
“arbitrarily dispossessed of [one’s] property” which is
expressly recognized by Art. 17(2)
of the Universal Declaration of Human
Rights 1948. ...’
- Yanner
v Eaton [1999] HCA 53; (1999) 201 CLR 351 is the next relevant authority. There
Gleeson CJ, Gaudron, Kirby and Hayne JJ said at
[17]:
‘17. The word “property” is often used to refer to
something that belongs to another. But... “property”
does not refer
to a thing; it is a description of a legal relationship with a thing. It refers
to a degree of power that is recognised
in law as power permissibly exercised
over the thing. The concept of “property” may be elusive. Usually it
is treated
as a "bundle of
rights”.’
- Gummow
J in Yanner 201 CLR at [85]-[86] said:
‘85. Property is used in the law in various senses to describe a range
of legal and equitable estates and interests, corporeal
and incorporeal.
Distinct corporeal and incorporeal property rights in relation to the one object
may exist concurrently and be held
by different parties. Ownership may be
divorced from possession. At common law, wrongful possession of land might give
rise to an
estate in fee simple with the rightful owner having but a right of
re-entry ...
- Finkelstein J
recently pointed out that, to Hohfeld, property comprised legal relations not
things, and those sets of legal relations
need not be absolute or fixed. Hohfeld
said of “property”:
“Sometimes it is employed to indicate the physical object to which various
legal rights, privileges, etc., relate; then again
- with far greater
discrimination and accuracy - the word is used to denote the legal interest (or
aggregate of legal relations)
appertaining to such physical object. Frequently
there is a rapid and fallacious shift from the one meaning to the other. At
times,
also, the term is used in such a ‘blended’ sense as to convey
no definite meaning whatever.”’
- Of
this the respondents say that the High Court there held that a declaration in a
Queensland statute that the Crown held property
in all native fauna did not
confer beneficial ownership of such fauna in the Crown but merely a statutory
right of control (see especially
at [30]). They say that is not authority for
the converse proposition i.e. that a person upon whom is conferred a statutory
responsibility
of care, control and management may have property in something
‘even though the statute expressly declares that they do not’
(a
submission to which I will return).
- Mason
CJ, Brennan, Deane, Toohey, Gaudron and McHugh JJ in the Western Australia v
The Commonwealth Native Title Act Case [1995] HCA 47; (1995) 183 CLR 373 at 437, after
referring to the passages from Mabo 166 CLR at 217 and at 229-230, said:
‘“Property” in the context of human rights with which we
are concerned included land and chattels as well as interests
therein....’
- The
respondents draw attention to the full context of what was said by the members
of the High Court in the joint judgment, namely:
‘“Property” in the context of the human rights with which
we are concerned includes land and chattels as well as
interests therein.
Where, under the general law, the indigenous “persons of a
particular race” uniquely have a right to own and inherit property within
Australia arising
from indigenous law and custom but the security of enjoyment
of that property is more limited than the security enjoyed by others
who have a
right to own or to inherit other property, the persons of the particular race
are given, by s.10(1), security in the enjoyment of their property “to the
same extent” as persons generally have security in the enjoyment
of their
property’ (Emphasis added.)
A
similar passage appears in Ward 213 CLR at 103 [116].
- In
Ward [2002] HCA 28; 213 CLR 1 the judges joining in delivering joint reasons (Gleeson
CJ, Gaudron, Gummow and Hayne JJ) said at
[95]:
‘...The metaphor of “bundle of rights” which is so often
employed in this area is useful in two respects. It draws
attention first to the
fact that there may be more than one right or interest and secondly to the fact
that there may be several
kinds of rights and interests in relation to
land...’
In similar terms McHugh J in
Health Insurance Commission v Peverill [1994] HCA 8; (1994) 179 CLR 226 at 263-264
said:
‘Under the general law, the term “property” has ceased to
describe any res, or object of sense, at all, and has
become merely a bundle of
legal relations – rights, powers, privileges,
immunities.’
DID THE APPLICANT AND OTHERS HAVE PROPERTY RIGHTS CREATED BY STATUTE, BEING A
RIGHT TO MANAGE AND OTHERWISE EXERCISE OWNERSHIP RIGHTS?
[ISSUES 1-8 AND
13]
- In
examining the statutory sources of the applicants rights claimed in respect of
management and ownership, it follows that the words
property, ownership and
management must take their colour primarily from the relevant statute or
statutes.
- The
four possible sources of statutory rights of property for which the applicants
contend are Acts in connection with (1) the designation
of the Reserve; (2) the
1995 vesting of the Reserve in the SVC; (3) the transition of that vesting into
the 1998 Management Order;
and (4) the substitution of the 2002 Management
Order.
The relevant statutory provisions
- Section
29(1) of the Land Act 1933 provided:
‘The Governor may, subject to such conditions and limitations as he
thinks fit, reserve to Her Majesty, or dispose of in such
manner as for the
public interest may seem fit, any lands vested in the Crown and the purpose for
which any such lands are so reserved
or disposed of shall be specified in the
reservation or disposition.’
It is to be
noted that the effect of a reservation is, subject to conditions and
limitations, to create a reservation ‘to Her
Majesty’ and not to
create rights in others.
- Section
33(2) of the Land Act 1933 provided:
‘By Order the Governor may direct that any land shall vest in and be
held by any person for the designated purpose, subject
to such conditions and
limitations as the Governor shall deem necessary to ensure that the land is used
for the designated purpose...’
(as amended by the Acts Amendment
(Land Administration) Act 1987
s 60)
Section 33(1) was also amended to
include a definition of ‘designated purpose’ as meaning ‘the
purpose for
which land is reserved under this Act and any purpose ancillary, and
beneficial, to that purpose’.
- Section
34B(1) of the Land Act 1933 (as amended by the Land Act (Transmission of
Interests) Act 1992 (WA), s 4)
provided:
‘34B.
(1) The Governor may, by Order in Council published in the Gazette,
revoke an Order in Council made under section 33(2), whether before or
after the coming into operation of Part II of the Acts Amendment (Reserves)
Act 1982, and upon such publication every person in whom land is vested
pursuant to the Order in Council revoked is thereby divested of the
land but any
estate or interest lawfully granted over or caveat lodged in respect of the
whole or any part of the land shall continue,
in the case of land which –
(a) remains reserved under this Act;
(b) becomes Crown land; or
(c) having become Crown land, is subsequently reserved under this
Act,
subject to and in accordance with the terms of that estate or interest or
subject to that caveat as if –
(d) that land not being vested in another person under an Order made under
section 33(2), Her Majesty; or
(e) that land being vested in another person under an Order made under
section 33(2), the other person,
were the person in whom that land was so vested at the time when that estate
or interest was created or the estate or interest claimed
by that caveat was
created, as the case requires.’
- The
LAA replaced the Land Act 1933 with effect from 30 March 1998.
- Section
41 of the LAA provides that ‘subject to section 45(6) [which is not
relevant in this case], the Minister may by order
reserve Crown land to the
Crown for one or more purposes in the public interest’. Clause 14(2) of
the transitional provisions
in Sch 2 to the LAA provided that any land
reserved under s 29 of the Land Act 1933 and remaining so reserved
immediately
before 31 March 1998 (which is the case with the Reserve) is to be
taken to be land reserved under s 41 of the LAA.
- Section
46(1) of the LAA provides:
‘The Minister may by order place with any one person or jointly with
any 2 or more persons the care, control and management
of a reserve for the same
purpose as that for which the relevant Crown land is reserved under section 41
and for purposes ancillary
or beneficial to that purpose and may in that order
subject that care, control and management to such conditions as the Minister
specifies.’
Subsection 46(10) was added by
the Land Administration Amendment Act 2000 (WA) and provides:
‘In subsection (1), a reference to a person is a reference
to-
(a) a person having perpetual succession;
(b) ........................’
Subsection 46(5)
provides:
‘An order made under subsection (1)...does not create any interest in
Crown land in the relevant reserve in favour of the management
body of that
reserve.’
The designation of the Reserve
- The
Western Australian Government Gazette (Government Gazette) of
22 July 1994 at 3754-3755 stated:
‘Reserve No. 43131 comprising Swan Location 11942 with an area of
7.9699 hectares on Land Administration Plan 18524 for the
designated purpose of
“Use and Benefit of Aboriginal
Inhabitants”.’
The same Government
Gazette at 3751 stated:
‘Reserve No. 43131 (Swan Location 11942) vested in the Swan Valley
Nyungah Community Aboriginal Corporation for the designated
purpose of
“Use and Benefit of Aboriginal
Inhabitants”.’
In the Government
Gazette of 12 December 1995 at 6007 it was announced that the above
Order in Council of 22 July 1994
vesting the Reserve in the SVC had
been revoked under s 34B(1) of the Land Act 1933.
- Also
in the Government Gazette of 12 December 1995 at 6013-6014 was an
announcement that:
‘Reserve No. 43131 (Swan Location 11942) “Use and Benefit of
Aboriginal Inhabitants” to include Location 11966
as surveyed and shown
bordered red on Land Administration Plan 18524 and of its area being increased
to 8.8777 hectares accordingly.’
At
6002-6003 of the same Government Gazette it was advised that pursuant to
s 33(2) of the Land Act 1933:
‘Reserve No 43131 (Swan Location 11942 and 11966) vested in the Swan
Valley Nyungah Community Aboriginal Corporation for the
designated purpose of
“Use and Benefit of Aboriginal
Inhabitants”.’
- The
applicant submits that the fact that the land was reserved for the ‘Use
and Benefit of Aboriginal Inhabitants’ is
land which the Aboriginal
inhabitants have a right to use and so, within the concepts of property, is a
property right.
- The
respondents submit that the reservation of the relevant land for the purpose of
‘Use and Benefit of Aboriginal Inhabitants’
did not confer any
interest in the land upon any particular Aboriginal persons or Aboriginal
persons generally. In Ward 213 CLR at [221] the joint judgment of the
High Court said that the designation of land as a reserve for a purpose under
the Land
Act 1933 did not without more create any right in the public or any
section of the public so as to extinguish native title. At [219]
the majority
said that by reserving land the executive took to itself and asserted how the
land would be used. No different conclusion
arises under the LAA – see in
particular s 41 of the LAA referred to above.
- Consequently,
the designation of the Reserve cannot be understood as having in itself created
any right in the public. The designation
did not give rise to any identifiable
class with any interest of any kind in the Reserve.
The 1995 vesting of the Reserve in the SVC
- The
applicant contends that the applicants became beneficial owners of the land the
subject of the Reserve by reason of its vesting
in trust in the SVC on
12 December 1995 by Order in Council. It is said the vesting in trust
conferred the legal estate
of the land in the SVC: Ward 213 CLR at [240].
The effect of that vesting is said to have been that the Aboriginal inhabitants
acquired beneficial ownership as
a clearly defined section of the public. They
are persons who may exercise the rights of ‘use and benefit as of
right’
so that they have a ‘right, power or privilege’
sufficient to fall within the concept of ‘ownership of property’
in
s 10(2) of the RDA.
- The
joint judgment in Ward 213 CLR at [238]-[241], held that where the
purpose of a reserve was of a charitable nature, the effect of a vesting under
s 33
of the Land Act 1933 was the creation of a public charitable trust.
The respondents submit that the vestee did not thereby obtain
a beneficial
ownership of the land the subject of the Reserve.
- Attention
needs to be directed to the foundation of the reasoning of the joint judgment in
the High Court in Ward [2002] HCA 28; 213 CLR 1. The relevant form which s 33 of
the Land Act 1933 stood in relation to the issues there under consideration
was:
‘33. The Governor may by Order in Council published in the
Gazette –
(a) direct that any reserve shall vest in and be held by any municipality,
road board, body corporate, or persons to be named in the
order, in trust
for the like or other public purposes, to be specified in such order;
or
...’ (Emphasis added.)
That was the
foundation of the High Court’s reasoning of the existence of a trust in
the form of a charitable trust (although
not exclusively so: see at [241]). By
the Land Amendment Act 1948 (WA) s 5, s 33 was repealed and a
new section substituted reading:
‘...
(2) By order the Governor may direct that –
any land shall vest in and be held by any person for the purpose –
and by the same or any subsequent Order the Governor may, subject to such
conditions and limitations as the Governor shall deem necessary
to ensure that
the land is used for the purpose –
confer upon that person, power to lease for the purpose the whole or any
part of the land.’
That removed the
concept of trust previously associated with vesting under that legislation. The
concept of trust was not reintroduced
by amendments to s 33 in the Acts
Amendment (Reserves) Act 1982 (WA), s 8 or the Acts Amendment (Land
Administration) Act 1987 (WA) s 60(c).
- In
Ward 213 CLR at [234] the joint judgment stressed the importance of the
central inquiry being directed, not to the use of the reserved
land, but to the
rights created in others or asserted by the executive. At [228] they said the
relevant starting point is the legislation.
In the provisions of the Land Act
1933 as they relevantly stood on the vesting of the Reserve in the SVC, there
was no legislative
foundation for a conclusion that the vesting created a
charitable trust.
- What
the Land Act 1933, s 33 did on the vesting of the Reserve was to vest it in
the SVC to be held by it for the designated
purpose. Whether that is sufficient
to create a trust and whether any trust so created would be of a charitable
character has not
been argued. Assuming in the applicant’s favour that
such may be the case, I return to that argument.
- If,
as the applicant contends, the SVC held the legal estate in the Reserve as a
trustee of a public charitable trust for the purpose
of ‘Use and Benefit
of Aboriginal Inhabitants’, there could not be any individual
beneficiaries of the trust: see Attorney-General (N.S.W.) v Perpetual
Trustee Co (Ltd) [1940] HCA 12; (1940) 63 CLR 209 at 222 where Dixon and Evatt JJ said:
‘A charitable trust is a trust for a purpose, not for a person. The
objects of ordinary trusts are individuals, either named
or answering a
description, whether presently or at some future time. To dispose of property
for the fulfilment of ends considered
beneficial to the community is an entirely
different thing from creating equitable estates and interests and limiting them
to beneficiaries.
In this fundamental distinction sufficient reason may be
found for many of the differences in treatment of charitable and ordinary
trusts.’
- Furthermore,
if that were the case the trust would be for the use and benefit of the
Aboriginal inhabitants of the State (which is
the purpose of the Reserve), not
for the use and benefit of just the applicants or just the inhabitants of the
Reserve from time
to time. There are three reasons why this must be the case.
- First,
there may be no Aboriginal people inhabiting a reserve when it is created, or at
any particular time; and if the reserve is
only for the present inhabitants then
no other Aboriginal people could legitimately come to inhabit the reserve.
- Secondly,
such an interpretation is consistent with ss 4, 26, 31 and 32 of the
Aboriginal Affairs Planning Authority Act 1972 (WA), which provide that
any Aboriginal person may access a reserve for ‘Use and Benefit of
Aboriginal Inhabitants’ and
provide that an additional order may be made
limiting access to particular reserves to only Aboriginal people in that
locality.
Such an additional order would be unnecessary if a reserve for
‘Use and Benefit of Aboriginal Inhabitants’ only referred
to the
people actually on the reserve.
- Thirdly,
there cannot be a charitable trust just for a small number of specific
individuals and there could not be a non-charitable
trust the beneficiaries of
which were just the inhabitants of the Reserve from time to time since there is
no such defined class
of persons.
- Accordingly,
I do not consider the applicant can make out ownership in the applicants as a
consequence of vesting of the Reserve in
the SVC.
Transition of the 1995 vesting to the 1998 Management Order
- Under
cl 16 of the transitional provisions in the Second Schedule to the LAA, on
31 March 1998 the 1995 vesting under the
Land Act 1933 became the
1998 Management Order under the LAA. Transitional provision 16(1)
reads:
‘16.
(1) An order made under section 33 of the repealed Act and subsisting
immediately before the appointed day continues, subject to this
Act, to subsist
after the appointed day as if that order were a management order or an order
made under section 46(3) or 59(5), as
the case requires, of this
Act.’
- As
has been seen above in the examination of the relevant statutory provisions,
s 46(1) of the LAA empowers the Minister to place
the care, control and
management of a reserve with persons. Section 46(5) provides that an order
made under s 46(1) does
not create any interest in Crown land in the
relevant reserve in favour of the management body of that reserve. The
transition to
the 2002 Management Order did not therefore create any interest
for the SVC in the Reserve.
- The
question of whether s 46(5) and/or transitional provision cl 16(1) is
inconsistent with s 10 of the RDA is considered
below
Position under the 2002 Management Order
- Paragraph [20]
pleads that, by reason of the 2002 Management Order, the applicants are the
beneficial owners of the land the
subject of the Reserve which is vested in
trust in the SVC for their use and benefit as Aboriginal inhabitants of the
Reserve. Paragraph [29]
of the amended substituted statement of claim,
which pleads that the Reserves Act deprives the applicants ‘as members of
the
[SVC] and Aboriginal inhabitants of the Reserve’ of the ‘right
to manage and otherwise exercise ownership rights in relation
to the
Reserve’. I agree with the respondents that this latter pleading is
ambiguous as to whether the ownership is said to
arise:
- (a) on
the basis that SVC (as the management body) holds property in the Reserve and
the applicants, as members of the SVC, thereby
have a beneficial interest in the
corporation’s property; or
- (b) on
the basis that the applicants, as Aboriginal inhabitants of the Reserve, are the
beneficiaries for whom the property in the
Reserve is being held on trust by the
SVC as trustee,
or both.
- The
applicant maintains that care, control and management are property interests of
the kind referred to in Yanner 201 CLR at [17]-[20]; Peverill 179
CLR at 263-264 and Ward [2002] HCA 28; 213 CLR 1. As the applicants are members of the
SVC, it is contended the members are entitled to exercise the rights and
interests placed in
the SVC in accordance with its rules.
- As
has been seen above, s 46(5) of the LAA provides that a management order
under s 46(1) ‘does not create any interest
in [the Reserve] in
favour of the management body of that reserve’. Consequently (and subject
to any inconsistency with the
RDA) the 2002 Management Order which placed the
care, control and management of the Reserve with the SVC did not confer
‘any
interest’ in the Reserve upon the SVC. It cannot therefore be
said to be an owner of the Reserve (or to have any interest
in it by statute,
apart from the RDA) as a consequence of the making of the 2002 Management Order.
- I
regard the statutory provision in s 46(5) of the LAA as so categorical that
there is no need to form a view on the alternative
argument based on
consideration of general principles relating to a company having a separate
legal personality from its members.
- The
respondents contend that even if it were permissible to look beyond the express
provision in s 46(5) of the LAA to decide
whether a management body could
be said to have ‘property’ in a reserve, there is nothing in the LAA
or the general law
to support the applicants’ claim to have property in
the Reserve.
- In
The Queen v Toohey; Ex parte Meneling Station Pty. Ltd. [1982] HCA 69; (1982) 158 CLR
327 the High Court held that a grazing licence under Northern Territory Crown
land legislation was not an estate or interest in land
and therefore land the
subject of a grazing licence remained unalienated Crown land. Mason J at 342
(with whom Gibbs CJ and Brennan
J generally agreed on this issue) said that
no-one who has a merely personal interest in land can be said to have an estate
or interest
in the land. Mason J said that a grazing licence was not property
because it lacked the requisite degree of permanence (because
of the
Minister’s power to cancel the licence) and it was not assignable. At 344
Mason J concluded that, notwithstanding its
similarity to a profit a prendre, a
grazing licence was a ‘creature of statute forming part of a special
statutory regime governing
Crown land. See also Wilson J (with whom Murphy J
and Gibbs CJ agreed on this issue) at 353.
- The
respondents submit that the applicants’ relationship to the Reserve in
this case fails each of those criteria. First, it
is not definable or
identifiable by third parties. The Aboriginal people on the Reserve varied from
time to time, and the meaning
of the term ‘inhabitant’ is unclear.
Secondly, it is not assignable. That is, the SVC could not transfer its
management
order, nor could any one or more of the applicants possess (let alone
pass on) a right to decide who could or could not be an Aboriginal
inhabitant of
the Reserve. Furthermore, the non-assignability is inherent in the nature of
the management order. Thirdly, the 2002
Management Order could be cancelled by
the Minister by agreement, for breach of a condition of the management order or
in the public
interest; and the Reserve could be cancelled by the Minister at
any time.
- This
suggests that the applicants ‘interest’ arising from the 2002
Management Order was in the nature of a statutory responsibility,
taking its
content and colour from the LAA. In Hornsby Council v Roads and Traffic
Authority (NSW) (1997) 41 NSWLR 151 at 152-153 Mason P gave two possible
characterisations of the relationship arising from the placement of the
‘care, control
and management’ of land. The first was that of a
statutory responsibility, entirely outside the field of rights occupied by
the
group comprising the definition of ‘interest.’ The second was that
of a public trust, falling short of a proprietary
right that would sustain a
caveat: Municipal District of Concord v Coles [1905] HCA 35; (1906) 3 CLR 96 at 111 per
Barton J. On either of these possibilities, what the applicants held from the
2002 Management Order cannot be described
as coming within the concept of
‘property’ when the provisions of domestic statute law (apart from
the RDA) are taken
into account.
- That
position in relation to such domestic law is not improved for the applicants by
approaching the concept of property through the
dicta on which they rely from
Yanner [1999] HCA 53; 201 CLR 351, Peverill [1994] HCA 8; 179 CLR 226 and Ward [2002] HCA 28; 213 CLR
1. This is because the concepts of property there referred to cannot overcome
the effect of the provisions of the applicable statutes
considered above on this
issue and in particular s 46(5) of the LAA. Those statutory provisions are
determinative of the nature
of the legal relationship arising from the 2002
Management Order.
- Any
contention that s 46 of the LAA is wholly or partly inconsistent with
s 10 of the RDA is considered below.
WAS THERE AN INCONSISTENCY INVOLVING SS 46 AND 50 OF THE LAA AND
TRANSITIONAL PROVISION 16(1) WITH S 10 OF THE RDA
- I
do not consider that the applicant can succeed in establishing that either
ss 46 or 50 or transitional provision cl 16(1)
in the Second Schedule
to the LAA is inconsistent with s 10. This is because they all applied
equally to all reserves irrespective
of the race of the persons holding the
reserve. This was not a case where the LAA only affected reserves held for the
use and benefit
of persons of the Aboriginal race. Therefore the applicants did
not enjoy any proprietary or human right (if they relevantly had
them) in
relation to the Reserve to any lesser extent than persons of other races.
DID THE APPLICANTS HAVE A HUMAN RIGHT OF OWNERSHIP OVER THE RESERVE RECOGNISED
BY THE RDA? [ISSUE 12]
- It
is common ground that a human right for the purposes of s 10 of the RDA
need not necessarily be a legal right enforceable
in the general law and that
s 10 of the RDA is not confined to the rights mentioned in Art 5 of
the Convention: s 10(2)
of the RDA. However, the question nevertheless
arises whether such rights as the applicants may have had in relation to the
Reserve
qualify as human rights within that ambit.
Applicant’s submissions
- In
contending for the existence of a human right of management and ownership the
applicant initially relies upon a number of authorities
said to show the breadth
and flexibility of the concept of property in the Convention and the RDA,
particularly Mabo 166 CLR at 217 per Brennan, Toohey and Gaudron JJ (see
also Deane J at 229); Yanner 201 CLR at [17]-[20] per Gleeson CJ,
Gaudron, Kirby and Hayne JJ and per Gummow J at [85]-[86]; Native
Title Act Case 183 CLR at 437 and Ward 213 CLR at 95. These
authorities have been examined above.
- Additionally
the applicant argues that beneficial legislation should be interpreted
consistently with its beneficial purpose: Brennan v Comcare (1994) 50 FCR
555 at 561; Northern Territory of Australia v Alyawarr, Kaytetye,
Warumungu, Wakaya Native Title Claim Group [2005] FCAFC 135; (2005) 145 FCR 442 at [187];
Bull v Attorney-General for New South Wales [1913] HCA 60; (1913) 17 CLR 370 at 384
and Pearce DC and Geddes RS Statutory Interpretation in Australia
(4th ed, Butterworths, 1996) at p 222. Therefore
the applicant submits there is no reason to conclude that the term
‘property
owned’ (appearing in s 10(3) in the RDA) was intended
to be interpreted as applying only to one of the narrow uses of the words
‘owned’ and ‘property’
which might be adopted by the
common law or statute law from time to time: see Coles 3 CLR at 111;
Hornsby 41 NSWLR at 152-153; Commissioner of Stamp Duties (NSW) v
Yeend [1929] HCA 39; (1929) 43 CLR 235 and Peverill 179 CLR at 243-244. Gibbs CJ in
Gerhardy 159 CLR at 86, stated that:
‘The words of the Convention, and those of the Racial Discrimination
Act which are taken from the Convention are vague and
elastic.’
Tamberlin J in Nguyen 74
FCR at 317 noted that:
‘All members of the Court [in Gerhardy [1985] HCA 11; 159 CLR 70] considered
that section 10 should receive a liberal interpretation and should not be read
in a technical narrow sense.’
They were
echoing the words of Deane J in Mabo 166 CLR at 230: ‘...the
section [s 10] is not to be given a legalistic or narrow
interpretation’.
- The
applicant also contends that the effect of this case law and the Convention is
that there is no reason to interpret the use of
the phrase ‘property
owned’ in s 10(3) of the RDA narrowly to exclude the legal
relationship which the Aboriginal inhabitants have with the Reserve. The
question is therefore
whether the legal relationship of the applicants to the
Reserve, although not qualifying as ‘property’ in the general
law
(apart from the RDA), can nevertheless qualify as ‘property’ for the
purposes of the RDA and the Convention. The
applicant submits that the effect
of the above-mentioned case law is that the concept of ‘property’
for the purposes
of the RDA is not limited to interests which are recognised by
the general domestic law, as contended by the respondents.
Respondents’ submissions
- The
respondents submit that when [29] of the amended substituted statement of claim
pleads a ‘right to manage and otherwise
exercise ownership rights in
relation to the Reserve’, it fails to plead the basis of the right. It is
also argued that it
is not anywhere pleaded that such a right is a right within
the meaning of s 10 of the RDA.
- The
respondents contend that the RDA is concerned only with rights fundamental to
the individual’s existence as a human being
and the rights and freedoms
protected by s 10(1) of the RDA do not encompass every right which a person
has under the domestic laws of a country or every other right a person may
claim: see Gerhardy 159 CLR at 124 and 126; Mabo 166 CLR at 217
and 229; Secretary, Department of Veteran's Affairs v P (1998) 79 FCR 594
at 599-600; Trau v Repatriation Commission (1998) 88 FCR 349; and
Ebber v Human Rights and Equal Opportunity Commission (1995) 129 ALR 455
at 476. In Department of Veteran’s Affairs v P 79 FCR 594 and in
Trau 88 FCR 349, there were alleged rights to certain war veteran’s
benefits which were found not to be fundamental rights or freedoms recognised
under the RDA. In Ebber 129 ALR at 477 acceptance of a German
educational qualification to allow a person to work as an architect was held not
to be a fundamental
human right or freedom.
- The
respondents submit that the case law on the scope and meaning of the word
‘property’, as relied on by the applicant
and set out above,
provides no basis for a finding that the applicants have property in the
Reserve. Again in the respondents’
submission, it does not follow from
the proposition that property can be a bundle of rights that any bundle of
activities undertaken
on land establishes the existence of a property right.
Thus in Simpson v United Kingdom (1986) DR 274 (European Commission of
Human Rights, 14 May 1986) at [5] the Commission said that the fact a person had
been living
in a house for a period of time with no legal title could not found
a claim based on Art 1 to Protocol No. 1 to the European
Convention
for the Protection of Human Rights and Fundamental Freedoms (which provided that
‘every... person is entitled to
the peaceful enjoyment of his
possessions’).
- Other
submissions of the applicant and respondents are considered in the reasoning
which follows.
Reasoning in relation to human right of management and exercise of ownership
rights as part of the human right to own property
- Article
5(d)(v) contains the only use of the word ‘property’ in the
Convention:
‘The right to own property alone as well as in association with
others.’
- From
examination of the authorities and dicta set out above the language of the
Convention must be understood in its reference to
‘property’ to not
only encompass property as recognised in domestic law but also the human right
to property (and that
is not in dispute). Further that the word
‘property’ as there used is to be taken as referring to a bundle of
rights.
This directs attention to the character of the rights (if any) existing
between the grantor and the grantee in relation to the relevant
property
interest. In this case the relevant right is to care, control and manage the
Reserve.
- The
nature of the human right recognised by the RDA in relation to property is that
– as Art 5(d)(v) requires – it
must be ‘property’
which is ‘owned’. The juxtaposition of these requirements of
‘property’ and
ownership is emphasised by s 10(3) of the RDA,
which operates only where management occurs in relation property owned by
Aboriginal persons. Even if the dicta of the
High Court to which attention has
been directed can support a concept of ‘property’ which is wider
than property recognised
by domestic law (apart from the RDA), it nevertheless
must be ‘property’ which is ‘owned’.
- This
is not to deny that the word ‘own’ should itself receive a
beneficial interpretation. However, in Koowarta v Bjelke-Petersen (1982)
153 CLR 168 Gibbs CJ at 184, with whom Aickin and Wilson JJ agreed at 243 and
244 (in dissent in the result) said that: ‘although
the word
‘own’ in Art 5(d)(v) should no doubt be given a wide meaning, it
seems to be going too far to hold that the
right to ‘own’ property
includes a right to mere possession under a licence to occupy’. Hence
even if a mere right
of occupation was encompassed within the claimed right to
manage, a right to property under the Convention could not be made out.
A
fortiori where there is no right of occupation. On the other hand, Brennan J in
Koowarta 153 CLR at 266 said that the enjoyment of a licence to use
property is a civil right within the meaning of Art 5(d) of the Convention.
- It
is not the case that the Convention brings its own definition of
‘own’ into play or that the use of that word in s 10(3) of the
RDA is required by that Act to be understood in any special way other than that
indicated by the members of the High Court
in Koowarta 153 CLR 168.
Consequently it becomes necessary to consider whether whatever qualifies as
property in the bundle of rights under
consideration is capable of being
‘owned’.
- The
question of what is ‘owned’ can only be resolved by looking to the
effect of other domestic law determining issues
of ownership, ownership being a
private right recognised by the domestic law. For the reasons set out in the
previous section, the
applicants do not have an interest in the Reserve and so
do not have any ownership interest in it. A right granted by statute must
be
interpreted in accordance with the domestic law which created it.
- In
Mabo [1988] HCA 69; 166 CLR 186 there were a different set of circumstances
because the rights claimed there were rights outside domestic law. They became
recognised
by common law only after the Court had identified the legal relations
that could be seen to exist from the evidence led. That is
not the position
here.
- It
is not that the grantee may not have ‘property’ in such a reserve
within the wide Convention concepts; rather that
such property simply cannot be
one of ‘ownership’ because the right is a statutory one not
encompassing ownership. Likewise
it cannot be said that rights in the nature of
a bare licence or a non-charitable public trust can qualify as property
‘owned’.
In the case of the ‘property’ here in issue,
it cannot be the case that it can exist as an human right independently
of its
statutory origins.
Other reasons why right to manage is not ‘property’
- In
the respondents’ submission there are further reasons why a right to
manage and otherwise exercise ownership of a public
reserve which neither the
applicants as Aboriginal inhabitants, nor the SVC as the management body, own,
cannot be recognised as
a human right for the purposes of the RDA.
- First,
they say that recognition of such a right would be inconsistent with the general
(non-discriminatory) regime for the management
of public reserves established by
the LAA. Management of a reserve by a management body is created and defined by
statute, not inherent
common law or international human rights principles.
Recognition of private human rights would be inconsistent with the nature of
a
vesting or a management order. Recognition of such a right held by individuals
(in this case, the applicants) would also be inconsistent
with the statutory
conferral of care, control and management on a nominated management body which
has a separate legal personality
and is required to operate according to the LAA
and the ACA Act.
- Secondly,
any such right is incapable of definition. For example, does it arise
immediately, or only after a period of years of occupation,
and if so, how many
years? Do individuals have the right, or groups? In either case, what if
different individuals or groups wish
to exercise their rights to manage the
Reserve in ways which are inconsistent? Does the same right arise in respect of
other Aboriginal
reserves, and in respect of other reserves for other purposes;
and what are the facts or matters that are relevant to determining
those
questions? If the right only arises in respect of the Reserve, or only in
respect of particular Aboriginal reserves, then
is there a comparable right in
respect of other reserves or other areas of land, and if so, what is it? It is
necessary to answer
these questions because the RDA only operates in the context
where persons of a particular race do not enjoy a right which is enjoyed
by
other persons of other races (or enjoy it to a lesser extent).
- I
record these submissions but rest my view on the effect of the statutory
regime.
WAS THERE A LACK OF ENJOYMENT BY THE APPLICANT OF THE RIGHT TO MANAGE AND
OTHERWISE EXERCISE OWNERSHIP RIGHTS UNDER s 10 OF
THE RDA BY REASON OF
THEIR RACE? [ISSUES 14, 15, 16]
- The
applicant contends that the enjoyment of the right to own property alone as well
as in association with others was affected by
the revocation of the vesting
order in favour of the SVC in whom a property interest in the land had been
vested.
- I
have reached the view above that the vesting order cannot be a foundation of the
applicant’s claim for a right because the
mode of its revocation was not
inconsistent with s 10 of the RDA in that the revocation applied equally to
all persons in whom
a reserve was vested under the Land Act 1933 without regard
to race. The right claimed is also not made out as a human right. This
renders
the further consideration of this issue unnecessary. Simply put, there could
not have been a lack of enjoyment of a particular
right under s 10(1) of the RDA
if no such right existed. However, in order to give full effect to the
arguments that have been presented,
I proceed to consider the principal
submissions on the issue.
- Section 10
of the RDA requires the applicant to establish that by reason of the Reserves
Act the inhabitants of the Reserve do
not enjoy or enjoy to a more limited
extent the particular right (in this instance, the right of management and
ownership) which
is available to the other persons.
- The
applicant and the respondents have both contended that the comparison between
the extent of the rights enjoyed by the inhabitants
of the Reserve and persons
of another race, colour or national or ethnic origin is not limited solely to
one in respect only of this
particular Reserve. The respondents have contended
that such a comparison extends not only to this Reserve but to ‘other
comparable
reserves’, whilst the applicant has focused more broadly on
‘other reserves and other lands’.
- The
applicant argues that a causal connection between race and the non-enjoyment of
a right is established if the effect of the Reserves
Act upon a racial group is
that the group does not enjoy a right and the law does not have that effect on
other racial groups: see
Mabo 166 CLR at 218 and Ward 213 CLR at
99-102. It is contended by the applicant that the Reserves Act did not have any
effect upon the property rights of any
people other than Aboriginal inhabitants
of the Reserve (and those associated with the Aboriginal inhabitants). It is
said that
the particular sui generis rights of management and ownership which
the applicants held as Aboriginal inhabitants of the Reserve
(with the capacity
as members of the SVC to enjoy the control of the management of the land) were
peculiar to them as people of a
particular race. It is also contended that,
pursuant to the ACA Act, only Aboriginal people control the management of the
corporation
and the applicants in this case were Aboriginal people managing a
reserve vested in that corporation for the use and benefit of Aboriginal
inhabitants.
- The
respondents contend the fact that the purpose of the Reserve is for the
‘Use and Benefit of Aboriginal Inhabitants’
does not mean that
rights in respect of the Reserve (including any ownership rights that might be
thought to exist) are characteristically
held by Aboriginal people. For
example, the management body for a reserve for the ‘Use and Benefit of
Aboriginal Inhabitants’
may be a non-Aboriginal person, or a corporation
controlled by non-Aboriginal people (such as a church group running a mission).
Occupation of and access to a reserve for ‘Use and Benefit of Aboriginal
Inhabitants’ is not necessarily limited to
Aboriginal people, but may
include non-Aboriginal spouses, community workers, nurses and such. It follows
from this that any rights
of these people, being people of another race, colour
or national or ethnic origin, would have been equally affected by the Reserves
Act. The respondents submit that persons associated with the Reserve were both
Aboriginal and non-Aboriginal and that both groups
were affected by the Reserves
Act. The applicants, then, were not treated any differently from other persons
(Aboriginal or non-Aboriginal)
in relation to the Reserve, nor any differently
from other persons or management bodies in respect of other reserves.
- To
apply s 10(1) of the RDA in these circumstances of assumed proof by the
applicant of a right to management and ownership,
involves the following
steps:
(i) selection of the comparator persons of (relevantly)
another race who enjoy a right of management and ownership over a reserve.
In
Wilson 68 FCR 46 Heerey J at 63 said the comparison was essential to
ascertain whether the purpose or effect was discriminatory when it was
apparently
so. He continued at 64:
‘In Banovic the High Court had to consider s 24(1) and (3) of
the Anti-Discrimination Act which for practical purposes are
indistinguishable from s 5(1) and (2) of the Sex Discrimination Act. In
dealing with the equivalent of s 5(2)(a) Dawson J said (at 187):
“But a proportion must be a proportion of something, so that it is
necessary to determine the appropriate grouping or pool
within which to
calculate the proportions which are to be compared. The English cases have
discussed in detail the problems associated
with the determination of an
appropriate base group. Two main contrasting approaches can be identified. One
seeks to narrow the base
group to the particular group of persons to whom the
requirement is directed, while the other seeks to establish a broader base
beyond
the immediate context.
...
the contextual approach will provide different answers depending upon the
circumstances of each case.
...”’
He concluded at 64:
‘It is clear that the base group is a group which is affected by the
term, condition or requirement in question; ... the particular
section of the
public “upon whose lives the impact of the relevant requirement or
condition has to be measured”.’
On
the other hand Black CJ said at 48:
‘The Act gives effect to the International Convention on the
Elimination of all Forms of Racial Discrimination. In this context
the concept
used in s 9(1) and in s 9(1A) of impairing the enjoyment of a right on
an equal footing must be taken to be
a broad one that involves looking at the
footing upon which rights are enjoyed by those sections of the community at
large who do
not suffer from the racial discrimination and the other like types
of discrimination that the Act aims to
eliminate.’
Sackville J did not consider
Australian Iron and Steel Pty Ltd v Banovic [1989] HCA 56; (1989) 168 CLR 165 provided
support for a conclusion in relation to s 9(1A)(c). He said at 81:
‘In my opinion, the language used in s 9(1A)(c) is satisfied if
the effect of a requirement to comply with a particular
condition is to impair
the exercise of a human right by persons of the same group as the complainant,
on an equal footing with members
of other groups, regardless of whether or not
those other groups are required to comply with the same
condition.’
Of course their Honours were
considering s 9(1A) rather than s 10, although I consider the above
reasoning gives some guide
to the difficult issues arising in choosing a
comparator. Although the applicant’s submissions on this issue lack
specificity
in identifying the persons of ‘another’ race, it is
clear from the views of Brennan, Toohey and Gaudron JJ in Mabo 166 CLR at
217-218 that the persons compared to were variously referred to as ‘other
members of the community’, ‘any
other Australian’ and
‘those whose rights... did not take their origin from the laws and customs
of the Miriam people.’
In the light of this there does not appear to be
any proper basis upon which to confine the comparators to holders of comparable
reserves.
(ii) assessment of whether the right is not enjoyed (which on the assumption
would be the case) or was enjoyed to a more limited extent
than such other
persons. It is at this point that regard must be had to the effect of the
relevant provisions of the Reserves Act
upon the Aboriginal inhabitants. It is
clear that, if they had held the right of management and ownership, ss 4
and 5 of the
Reserves Act would have occasioned the right not to be enjoyed by
the SVC and, to the extent if any in which they were involved in
the exercise of
the right, the applicants.
This raises the issue how much the effect on the SVC is an effect on the
applicants. It is an issue not able to be resolved on the
evidence. The
connection between the SVC and the applicants was not such that the rights of
the applicants would have been necessarily
affected by any measure impacting on
the SVC. I have earlier found that the applicant’s submission that the
SVC was a charitable
trust in favour of the applicants cannot be made out in the
relevant law. The evidence shows that following the enactment of the
Reserves
Act and the substitution of the AAPA for the SVC, (1) the Administrator had the
option not to require the Aboriginal inhabitants
to leave although he intended
to do so; and (2) they left in anticipation of such action by the Administrator.
It was the anticipated
actions of the Administrator on behalf of the AAPA which
determined whether they were to have continuing residence; not the removal
of
the SVC. To make out their claim the applicants would have to overcome these
obstacles which I do not consider their case has
done.
(iii) there remains the question whether any such cessation of any assumed
rights of the applicants through the SVC would have been
‘by reason
of’ the race of the applicants. The provisions themselves are neutral.
Therefore account must be taken of
the effect of the provisions. The direct
effect of the provisions was to cause the rights of the SVC to cease. On the
respondents’
view the evidence is clear that such effect was not ‘by
reason of’ the race of those leading the SVC or the race of the
applicants. Rather it was ‘by reason of’ the assessment made by
Parliament of the lack of requisite quality in management
of the Reserve by the
SVC with consequent jeopardy to the human rights of certain women and children
being Aboriginal inhabitants
of the Reserve. On the applicant’s case, the
diminution would have impacted detrimentally to a disproportionate degree on
the
Aboriginal inhabitants so as to be unreasonable. For reasons given in
Part L below, I do not consider that such disproportionality
and
unreasonableness can be made out. (In reaching this and like conclusions in
relation to other rights I rely not only on the
general and specific findings
above but also on the evidence and findings in Part L relating to Justificatory
Contentions).
- If
the right had been made out, it would also be necessary to consider whether the
justificatory contentions resulted in this prima
facie position being set
aside.
SUBPART 2: RIGHT NOT TO BE ARBITRARILY DEPRIVED OF THE RIGHT TO MANAGE AND
OTHERWISE EXERCISE OWNERSHIP RIGHTS
DID THE APPLICANT RECEIVE NOTICE AND A RIGHT TO BE HEARD OR OTHER FAIR PROCESS
ON THE ENACTMENT OF THE RESERVES ACT? [ISSUES 20
AND 21]
- Margaret
Jeffery deposed that the SVC did not receive any notice or communication from
the Government that any person or group of
people would have to leave the
Reserve or would not be allowed back on to it once they had left, apart from
media publicity. Therefore
the applicant submits that there was no identified
process by which she and those she represents had any prior notice of the
content
of the Reserves Act or any opportunity to be heard before the enactment
of it.
- The
applicant contends that notice of an intention to enact legislation pertaining
to the subject matter and a Parliamentary process
for the enactment of the
legislation does not constitute a fair process for the deprivation of property
such as to make it otherwise
than arbitrary. She states that an analogous
process of deprivation of property by legislation was held to be arbitrary by
three
judges in Mabo 166 CLR at 216-219 per Brennan, Toohey and Gaudron
JJ. She contends that a fair process would be one analogous to that provided
for under the Lands Acquisition Act 1989 (Cth), which requires
publication of a pre-acquisition declaration (s 23) or a certificate as to
urgent necessity laid before both Houses of Parliament (s 24), a right for
an affected person to obtain a re-consideration of a pre-requisition declaration
(ss 26 and 27) and a review of that by the Administrative Appeals Tribunal
(s 28) and an entitlement to just compensation (ss 52 and 55) and a
detailed process for the claim to, and determination and payment of,
compensation (Pt VII, Divs 4, 5 and 6). Alternatively
under the LAA, which
provides for notice of an intention to take interests in land (s 170),
power to lodge an objection within
60 days in relation to the taking
(s 175), an entitlement to compensation for an interest taken (s 202)
including compensation
for the loss of use of structures erected and
improvements made by a management body under a management order (s 204) and
a
procedure for applying for and obtaining compensation (ss 207 to 257).
- The
rules of natural justice require that a person whose interests are likely to be
affected by an exercise of power must be given
an opportunity to deal with
relevant matters adverse to his interests which the repository of the power
proposes to take into account
in deciding upon its exercise: Kioa v West
[1985] HCA 81; (1985) 159 CLR 550 at 628. As Mason J said in the same case at 584,
‘where the decision in question is one for which provision is made by
statute,
the application and content of the doctrine of natural justice or the
duty to act fairly depends to a large extent on the construction
of the
statute’.
- The
relevant statutory authority here is the LAA. Under that Act, no particular
process is required to be followed before a management
order is revoked in the
public interest (i.e. there is no express requirement for notice or a right to
object). The relevant requirements
of procedural fairness are those which arise
at common law.
- The
statutory analogies upon which the applicant relies are referrable to interests
of a proprietary character. I have earlier found
that the nature of the
applicants’ interest is not of the same character. The applicants’
interests are not analogous
to the interests upon which the applicant relies to
advance the contention of the requirement for prior notice of enactment of the
Reserves Act.
- In
any event, the rules of natural justice at common law are in any particular case
fact specific. Here the respondents had actual
knowledge of the proposal to
revoke the 2002 Management Order and to replace it with a new management order
in favour of the AAPA,
and made submissions to the first respondent about that
proposal. That actual knowledge appears from the facts earlier set out.
In
short, they were the Premier’s statement to Parliament on
14 May 2003 of the intention to introduce legislation
in relation to
the Reserve; the introduction of the Reserves Bill on 15 May 2003; the
letter dated 20 May 2003
from the SVC to the Premier; and a press
conference held by the SVC on 25 May 2003 to state its opposition to
the Reserves
Bill. In the context of the provisions of the LAA and these
particular circumstances, there cannot therefore be any practical injustice
to
the applicants.
- The
respondents plead justificatory conduct in defence of any deprivation and this
is considered later in these reasons.
SUBPART 3: RIGHT OF FREEDOM OF MOVEMENT AND RESIDENCE WITHIN THE BORDERS OF THE
STATE
WHETHER DEPRIVATION OF RIGHT OF FREEDOM OF MOVEMENT AND RESIDENCE WITHIN THE
BORDERS OF THE STATE [ISSUES 25-28]
The terms of the right
- Article
5(d) of the Convention lists ‘other civil rights, in
particular:
‘(i) The right to freedom of movement and residence within the border
of the State.’
- There
are three matters that attract observation. The first is that the paragraph
refers to ‘right’ in the singular and
refers to ‘movement and
residence’ in conjunction. However, judicial authority to which reference
will be made permits
the addressing of movement or residence as separate
components where appropriate. The second is that the right is one existing
‘within
the border of the Convention State.’ It would appear these
latter words are included, not to give emphasis to the obvious
limits of
jurisdiction of the Convention State, but to emphasise that the right is one
co-extensive with the territory of the Convention
State.
- The
third is that in relation to the freedom of residence, the right is open to
being understood in two ways. The first is with reference
to the actual place
of residence of a person. The second is as a right within the Convention state
but without reference to any
particular place within that limit.
- It
is common ground that the applicants have the right to freedom of movement and
residence in the borders of Australia as the Convention
State.
Whether such right on the Reserve
- The
applicant submits that the applicants have a right of freedom of movement and
residence within the Reserve arising out of the
fact that the Reserve forms part
of the State and the Reserve is reserved for the use and benefit of Aboriginal
inhabitants. It
is said the applicants therefore have a right of freedom of
movement within the Reserve so that a restriction on its exercise within
the
Reserve would be a curtailment of a fundamental freedom of the applicants.
[Issue 26]
- The
respondent argues that the fact the Reserve is reserved for the use and benefit
of Aboriginal inhabitants does not mean that any
particular Aboriginal persons,
or indeed any Aboriginal persons, can as of right enter or reside upon the land.
While the Reserve
is for the use and benefit of all Aboriginal people, the
management body may from time to time determine how the Reserve should be
used
and how Aboriginal people will benefit from it. I agree with this submission of
the respondents. It has earlier been seen
that the designation of the Reserve
alone without more did not confer any interest on any Aboriginal persons.
- The
evidence is not clear on how the Aboriginal inhabitants each became residents of
the Reserve. The implication from the evidence
is that the SVC determined who
became a resident and who was no longer to be a resident. That is consistent
with the SVC being a
community. This is so even though examination of the terms
of the 2002 Management Order (being the order in place before the enactment
of
the Reserves Act) do not disclose any provisions relating to management of
residents. I infer in the circumstances that any right
of residence and
movement on the Reserve which may have been held by any of the Aboriginal
inhabitants was derivative from but not
dependent on the fact of the management
being held by the SVC, the community to which they belonged. Alternatively that
the Aboriginal
inhabitants of the Reserve at the time of the enactment of the
Reserves Act were persons permitted by the management body (the SVC)
to reside
on the Reserve and so also to exercise their freedom of movement in relation to
the Reserve at that time.
Scope of recognised limitations on the right
- In
Gerhardy 159 CLR at 86 Gibbs CJ said:
‘...the Convention is not concerned with rights that are purely
private, such as the right of a landowner to decide for himself
what persons he
will allow on his land when they are not open to use by the public...The words
of the Convention, and those of the
Racial Discrimination Act which are taken
from the Convention, are vague and elastic and in applying them one is likely to
get more assistance from the realities
of life than from books of jurisprudence.
The right, given by statute, of access to an area so large that it constitutes
more than
one-tenth of the State, seems to me to be a right in a field of public
life...’.
Mason J at 102 said:
‘In broad terms the concept [of freedom of movement] may be said to
embrace a claim to immunity from unnecessary restrictions
on one's freedom of
movement and a claim to protection by law from unnecessary restrictions upon
one's freedom of movement by the
State or by other individuals. It extends,
generally speaking, to movement without impediment throughout the State, but
subject
to compliance with regulations legitimately made in the public interest,
such as traffic laws, and subject to the private and property
rights of others.
And it would include a right of access to facilities necessary for the enjoyment
of freedom of movement, subject
to legitimate regulation of those facilities...
Despite the lack of universal consensus on content, it is no doubt correct to
say
that, in general, freedom of movement does not extend to access to property
in private ownership.’
- At
103-104 his Honour said that in exceptional circumstances freedom of movement
may include access to privately owned land, such
as where the purpose and effect
of vesting extensive tracts of land in private ownership and denying a right of
access to non-owners
was to impede or defeat the freedom of movement across a
State by persons of a particular race.
- Murphy
J at 107 similarly held that the exercise of the power to exclude in that case
was an exercise of public power due to the size
of the area involved and the
fact that it was exercised by a body vested with particular statutory authority.
See also Deane J at
145.
- In
the light of this authority the applicant accepts that freedom of movement and
residence within particular areas of the State is
necessarily restricted by
private ownership and the general law: Gerhardy 159 CLR at 86 per Gibbs
CJ and Mason J at 102-103; and R v Secretary of State, Ex parte
McQuillan [1995] 4 All ER 400 at 421-422. However the applicant contends
that no such restrictions applied to the applicants in relation to the
Reserve.
- The
respondents submit that there is no absolute right to freedom of movement and
residence within the Reserve. They say that as
Mason J recognised in
Gerhardy 159 CLR at 102, the Convention right of freedom of movement (and
residence) must be subject to regulations legitimately made in the
public
interest. They contend this is consistent with the fact that Art 5(f) of
the Convention recognises a ‘right of
access to any place or service
intended for use by the general public such as transport, hotels, restaurants,
cafes, theatres and
parks’. That is some areas are by their nature to be
open to access by the general public, while other areas, even if not
private
property, are nevertheless not intended for access and use by the general
public. The respondents say a reserve for a scout
hall, a nursing home, or a
rifle range are examples of reserves that are clearly not intended to be freely
available for movement
and residence. Similarly, for example, access to
schools, hospitals, government offices, museums etc located on public reserved
land is restricted for reasons of safety and security. The conferral of care,
control and management of a reserve upon a management
body gives that body the
power to decide how the land will be used, including who may enter and reside on
the land (if indeed anyone
is to reside on the land). Such a power is inherent
in the statutory conferral of care control and management; and see s 267(2)
of the LAA (which provides that residence on any Crown land without lawful
excuse is prohibited).
- Furthermore,
the respondents say many Crown reserves in Western Australia are subject to a
range of legislative restrictions upon
freedom of movement and residence. For
example:
- Aside
from the possibility of the Reserves Act, the only limitation on any right of
freedom of movement and residence on the Reserve
brought to attention by the
parties arises from the LAA.
- The
applicant draws attention to s 267(1)(a) of the LAA which makes it an
offence for a person to reside (and engage in various
other activities) on Crown
land ‘without either the permission of the Minister or reasonable
excuse’. It is said that
prohibition does not affect a general right to
freedom of movement on the Reserve. It is further submitted that the
prohibition
in relation to residence was not in effect in relation to the
Aboriginal inhabitants of the Reserve at the time of the enactment
of the
Reserves Act. The provision appears in the LAA as reprinted as at
22 June 2001 and there is no evidence of it having
been repealed
before the Reserves Act was enacted. It was proclaimed to come into effect in
January 1997, some years before
the passage of the Reserves Act. It was
therefore a major limitation on the right of residence on Crown land.
- The
applicant contends that prior to the enactment of the Reserves Act the effect of
the placing or vesting of the Reserve in the
SVC and its reservation for the use
and benefit of the Aboriginal inhabitants had the effect of providing either the
implicit permission
of the Minister or a reasonable excuse for the applicants to
exercise and enjoy residence on the Reserve as of right. I accept that
had any
of the Aboriginal inhabitants been charged with an offence against
s 267(1)(a) of the LAA, a court would have accepted
a defence of either
Ministerial permission or reasonable excuse, based on the fact of the
Minister’s grant of the 2002 Management
Order to the SVC.
- The
consequence is that at the time the Administrator acted to require some
Aboriginal inhabitants to leave the Reserve and to prevent
any person entering
the Reserve, the Aboriginal inhabitants were lawfully resident upon the Reserve.
- The
other limitation arising from the LAA was that contained in s 50(2). That
gave to the Minister the power, in the absence
of agreement or non-compliance,
and if considered by the Minister to be in the public interest, to revoke the
management order.
So far as the right to residence on the Reserve and movement
on it was derivative from the fact of a community being appointed as
manager,
the power to revoke such appointment was a potential limitation on the right to
freedom of movement and residence. Furthermore,
the 2002 Management Order
expressly provided in cl 8(b) that nothing in the Order limited in any way
the powers or rights of
the Minister under the LAA. So far as the Aboriginal
inhabitants right of residence on the Reserve and movement within it was
dependent
upon their community being the manager of the Reserve, it was
vulnerable to the Minister’s exercise of the power to revoke
the
appointment of the Manager.
Did the Reserves Act also have a limiting effect?
- The
applicant submits the Reserves Act authorised the deprivation of the right to
freedom of movement and residence within the border
of the Convention State by
authorising the deprivation of the applicants’ freedom of movement and
residence in the Reserve.
[Issue 27]
- The
applicant says acts authorised by ss 5(1), 7(3), (5), (6), (7), (9) and
(10) of the Reserves Act all comprise acts which
resulted in the applicants not
enjoying the right of freedom of movement and residence within the Reserve. The
Reserves Act authorised
a deprivation of those rights in a manner which had not
previously existed in relation to the Reserve. The SVC as the management
body
under the 2002 Management Order prior to the enactment of the Reserves Act only
had the power to restrict freedom of movement
and residence within the Reserve
in accordance with any rights of private ownership and the general law that may
have existed. To
the extent that the respondents are successful in arguing that
there were no private ownership rights in relation to the Reserve,
the SVC had
no power in that regard. The SVC could not exercise such power as it had (a)
without according procedural fairness;
(b) in its absolute discretion; (c) with
immunity from judicial review; and (d) with immunity from any action in tort, as
provided
for in the Reserves Act ss 8, 9, 11 and 12. The applicant submits
that to the extent of the substantial difference between
the powers of a
management body under the LAA and the AAPA or a person appointed by the AAPA
under the Reserves Act, the Reserves
Act authorised a substantial deprivation of
the applicants’ rights.
- The
applicant contends the Reserves Act resulted in the applicants not enjoying the
right to freedom of movement and residence that
is enjoyed by persons of other
races. This, it is argued, is because the Reserves Act resulted in the powers
under ss 7(3)(a)
and (b) being exercised resulting in the applicants not
enjoying the right not to be arbitrarily deprived of freedom of movement.
[Issue 28]
- The
respondents contend that in this case the enactment of the Reserves Act did not
of itself have any effect upon anyone’s
freedom of movement and residence
on the Reserve. For example, it did not make it a criminal offence for anyone,
or anyone of a
particular race, to enter or remain on the Reserve: cf
Gerhardy [1985] HCA 11; 159 CLR 70. Nor did it result in the Reserve being in any way
fundamentally different from any number of other Crown reserves in Western
Australia
with respect to the applicants’ (and the public’s) freedom
of movement and residence. For this reason, and given the
existing power of a
management body under the LAA, the existence of s 7 of the Reserves Act did
not have any greater effect
upon the applicants’ freedom of movement and
residence upon the Reserve than was the case before the enactment of the
Reserves
Act and s 10 of the RDA could have no application. Any breach of
the RDA could therefore only arise in respect of the exercise
of the power in
s 7 of the Reserves Act if it contravened s 9 of the RDA.
- The
respondents argue that, as demonstrated above, the powers in s 7 of the
Reserves Act are not dissimilar to powers conferred
under other legislation in
respect of other reserves. It did not affect a large area of land, nor did it
prescribe where the applicants
or anyone else could or could not go outside the
Reserve. Access to the Reserve was possible with permission of the second
respondent
and there was no evidence that such permission was unreasonably
withheld. Hence the Reserves Act simply does not affect any right
of freedom of
movement and residence (any more than granting the land the subject of the
Reserve to another person in freehold would
do so).
- The
respondents conclude by submitting that if, contrary to the above submissions,
the applicants’ right of freedom of movement
and residence has been
affected by the Reserves Act then it was only affected by the existence and
exercise of the power in ss 7,
8 and 9 of the Reserves Act.
Sections 4, 5 and 6 of the Reserves Act did not of themselves restrict the
applicants’ freedom
of movement and residence on the Reserve in
circumstances where the Reserve remained for the ‘Use and Benefit of
Aboriginal
Inhabitants’ and the second respondent was obliged to continue
to manage it for that purpose. Hence the respondents say in
those circumstances
the Reserves Act would only be invalid (assuming it was discriminatory, as to
which see elsewhere in these reasons)
to that extent.
- I
agree with the respondents that the Reserves Act itself did not in its terms
have any effect on the freedom of movement and residence
of anyone.
Sections 4, 5 and 6 did not in terms have that effect. The enactment of
ss 7, 8 and 9 did not have that effect.
Therefore the Reserves Act as a
law does not create an inconsistency with s 10 of the RDA in relation to
such freedom nor does
any provision of it do so. It cannot be concluded that
either ‘by reason of’ the enactment of the Reserves Act or of
a
provision of it there was created any whole or limited enjoyment of the right of
freedom of movement and residence. The enactment
of s 7 raised the
possibility that the Administrator may act so as to effect the freedom of
movement and residence of the persons
on the Reserve. However, without that
‘act’ being taken, there was no operative causal link.
- Further,
the revocation of the 2002 Management Order by s 4(1) of the Reserves Act
took effect as if it were a revocation under
s 50(2) of the LAA. The
revocation is therefore to be understood as the act of the Minister, not of the
enactment of the Reserves
Act.
- What
the enactment of ss 4 and 5 of the Reserves Act did was to remove from the
management of the Reserve the SVC from which
the Aboriginal inhabitants’
right of freedom of movement and residence was derivative. It did not as such
curtail that right.
It was open to the new manager (the AAPA) to continue to
recognise such rights, if any, as existed.
- The
freedom of movement and residence of the Aboriginal inhabitants was not touched
until the Administrator acted in reliance on s 7(3)
of the Reserves Act.
Those were acts which require consideration later in relation to s 9 of the
RDA.
- If
this view does not reflect a correct application of s 10 there are other
obstacles in the way of the applicant.
The issue of size of the area of the contested limitation
- In
Gerhardy [1985] HCA 11; 159 CLR 70 the High Court considered that a right of freedom of
movement could be infringed in respect of an area of private property where
that
private property was sufficiently large (in that case, over ten percent of the
State). Conversely in the respondents’
submission, a right of freedom of
movement and residence within the borders of a state is not infringed just
because occupation upon
and use of a small and discrete area of Crown land
(amounting to 8 hectares) is restricted. As Gibbs CJ said in that case, the
concept
of freedom of movement and residence is vague and elastic and must be
considered in the context of the realities of life. Furthermore,
it must be
considered in the context of freedom of movement and residence ‘within the
border of the State’.
- The
respondents submit that the realities of life are that the Reserve was for many
years private property and therefore an area in
which Aboriginal people did not
have freedom of movement and residence, except at the discretion of the
landowner. It was then a
Crown reserve for purposes not associated with
Aboriginal people. It is said that the applicants, and persons associated with
them,
had been living in the area of the Reserve only since the mid-1970s.
While the SVC was the management body, only certain Aboriginal
people were
permitted or chose to live on and enter the Reserve.
- Given
the dicta in Gerhardy [1985] HCA 11; 159 CLR 70, this submission requires careful
consideration. However, that case concerned the freedom of movement. When the
freedom of residence
is principally involved it is difficult to see why size
should be determinative. The place of residence is necessarily confined.
It
therefore do not rely on this submission of the respondents.
WHETHER ARBITRARY DEPRIVATION OF RIGHT OF FREEDOM OF MOVEMENT AND
RESIDENCE
- This
issue falls to be resolved in accordance with the reasons given below in
Part L in relation to whether any deprivation was
arbitrary.
SUBPART 4: RIGHT TO EQUAL TREATMENT BEFORE TRIBUNALS ADMINISTERING JUSTICE
DID THE RESERVES ACT DEPRIVE THE APPLICANTS OF THE RIGHT TO EQUAL TREATMENT
BEFORE TRIBUNALS ADMINISTERING JUSTICE [COMPARE ISSUES
14, 15 AND 19]
- Section
11 of the Reserves Act, commonly know as a privative clause, denies the right to
equal treatment before tribunals by nullifying
the rights which ordinarily apply
to citizens to apply to the courts for judicial review of decisions of the
executive government:
see Craig v South Australia [1995] HCA 58; (1995) 184 CLR 163;
NAAV v Minister for Immigration and Multicultural and Indigenous Affairs
[2002] FCAFC 228; (2002) 123 FCR 298 at [380] and [461]-[474] per French J; Plaintiff
S157/2002 v Commonwealth of Australia (2003) 211 CLR 476.
- In
its terms s 11 of the Reserves Act applies the denial to any person
affected by the actions of the Administrator under s 7
and wishing to
challenge them. The Administrator is defined by s 7(1) to mean a person
engaged under a contract of services
under s 7(2)(a) or nominated as an
officer referred to in the Aboriginal Affairs Planning Authority Act
s 15(1) under s 7(3)(b) of the Reserves Act, in each case to
enable the AAPA to perform effectively its functions in relation to the
Reserve.
- It
is contended by the applicant that s 11 of the Reserves Act had a special
effect upon the rights of the applicants because
of their race. It is said
their right to enter and remain on the Reserve was a right which was peculiar to
them because of their
racial status as Aboriginal persons. The Reserve was
declared to be for the use and benefit of Aboriginal inhabitants. The applicant
argues that the right to challenge in the courts an exercise of the authority
granted under s 7 of the Reserves Act to prevent
Aboriginal inhabitants
from accessing the Reserve and so affecting their ability to exercise those
rights is one which Aboriginal
people (and those associated with those
Aboriginal persons, by reason of that association) are denied the enjoyment of
by the operation
of s 11 of the Reserves Act to an extent which does not
apply to other persons in relation to their exercise of property rights:
see
Mabo [1988] HCA 69; 166 CLR 186. Other persons are said not to be denied the right to
the full range of judicial review in relation to the exercise of the rights
which they may have in relation to the use and enjoyment of land.
- Therefore
the applicant says the Reserves Act was inconsistent with s 10(1) of the
RDA and Art 5(d)(i) of the Convention
by reason of the matters set out
earlier in these reasons on that issue.
- The
respondents say that the human right recognised by Art 5(a) of the Convention is
a right to equal treatment before tribunals administering
justice and not a
right of access to tribunals. They also note that the application of s 7 of the
Reserves Act could be towards
and was used in respect of non-Aboriginal people
as well, including Margaret Jeffery, Sharon Davies, and Gregory Stratton.
- The
respondents also contend that even if a right to access tribunals administering
justice existed, s 11 of the Reserves Act did
not wholly remove the right of
access, as evidenced by R v Hickman; Ex parte Fox [1945] HCA 53; (1945) 70 CLR 598 and
Plaintiff S157/2002 211 CLR 476. The Hickman principle is to the
effect that if legislation purports to impose limits on authority and contains a
privative clause, there is a
question of interpretation of the whole legislative
instrument whether transgression of the limits, so long as done bona fide and
bearing on its face every appearance of an attempt to pursue the power,
necessarily spells invalidity. This admits of an attempt
to reconcile the
apparently conflicting legislative provisions. Where the decisions in question
do not upon their face exceed the
authority and do amount to a bona fide attempt
to exercise the powers and relate to the subject matter of the authority, they
will
not be invalid: Plaintiff S157/2002 211 CLR at 501. The position in
relation to privative clauses in enactments by States in this respect was
described as follows by
Gaudron and Gummow JJ in Darling Casino Ltd v NSW
Casino Control Authority [1997] HCA 11; (1997) 191 CLR 602 at
633:
‘... the special character of s 75 of the Constitution, ..., means
that considerations which apply to privative clauses intended to protect
decisions and orders of State officers acting
pursuant to valid State laws are
somewhat different from those which apply in the case of Commonwealth law. The
operation of a State
privative clause is purely a matter of its proper meaning
ascertained in its legislative context. However, privative clauses, whether
in
State or Commonwealth legislation, are construed “by reference to
presumption that the legislature does not intend to deprive
the citizen of
access to the courts, other than to the extent expressly stated or necessarily
to be applied”. Thus, a clause
which merely provides that a decision is
to be final and conclusive is construed as not excluding certiorari for error of
law on
the face of the record. So, too, a clause which provides only that a
decision may not be called into question in a court of law
is construed as not
excluding review on the ground that the decision involved jurisdiction error, at
least in the sense that it involved
a refusal to exercise jurisdiction or that
it exceeded the jurisdiction of the decision-maker. However and provided the
intention
is clear, a privative clause in a valid State enactment may preclude
review for errors of any kind. And if it does, the decision
in question is
entirely beyond review so long as it satisfies the Hickman
principle.’ (Footnotes excluded.)
- The
respondent repeats the argument that the Reserves Act was in the public interest
and reasonably appropriate and adapted to a legitimate
end and so
non-discriminatory.
- I
do not agree with the submission of the respondents that Art 5(a) of the
Convention is confined to appearance before tribunals and
not access to them.
The paragraph falls for interpretation in the light of the preamble to it, which
cites the goal of equality
before the law. That context suggests that
‘the right to equal treatment’ should be read inclusively and not
narrowly
and so be read to include equal right to access to tribunals as well as
equal right to treatment before tribunals. This view receives
support from what
was said by N Lerner, Group Rights and Discrimination in International
Law, International Studies in Human Rights, 2nd
edn, Martin Nijhoff Publishers, 2003 at p 59 based on the width of the opening
words of Art 5 of the Convention.
- That
is not to say that any human right to equal treatment before tribunals is a
guarantee of access to a tribunal administering justice
in respect of every
government action. It could only be a guarantee of access where the law permits
such access and does so on a
non-discriminatory basis.
- I
also do not agree that the fact that s 11 does not wholly remove access to
the Courts assists the respondents. The jurisdiction
which remains under the
Hickman principle is one which applies as a matter of law and
irrespective of race and like considerations. The issue is whether what was
removed creates an inconsistency with s 10 of the RDA.
- Turning
to the issue of the application of s 10(1) to the right in question, the
considerations are as follows:
(i) the selection of comparators
should be on the same basis as posited in relation to the assumed right of
management and ownership;
that is generally in relation to other reserves and
lands. The relevant comparison may therefore be found not within the limited
confines of the Reserve but in relation to other reserves and hence to a wider
spectrum of non-Aboriginal persons than those on the
Reserve. There is no
evidence that those persons on other reserves are similarly constrained in
respect of the reserves which they
hold.
(ii) assessment must be made of whether the right is not enjoyed (which on
the facts is the case) when the right is enjoyed by comparators.
Section 11 sought to bring immunity from judicial supervision in respect of
any decision or act done or purported to be done
under s 7. The powers in
s 7 were exercisable in relation to (a) persons entering the Reserve and
(b) persons leaving
the Reserve. The powers in s 7 were in fact exercised
by the Administrator (1) to direct all persons other than listed service
persons
not to enter the Reserve, in circumstances where most of the Aboriginal
inhabitants had departed the Reserve; (2) to direct
in writing two Aboriginal
persons to depart the Reserve and to direct orally three non-Aboriginal
non-resident persons to do so.
The applicant contends that to the extent that the Reserves Act may affect
persons who are not Aboriginal persons, that effect is
by reason of the
association of those persons with Aboriginal persons and so the effect is still
said to be by reason of the race
of the Aboriginal persons. Section 10 of
the RDA requires only that regard be had to the race of persons concerned and
not
to other factors, such as those sought to be relied upon by the applicant.
For the purposes of the application of that section,
regard must be had to the
race of each of those persons.
The non-Aboriginal non-residents were Margaret Jeffery, Gregory Stratton,
Lynda Nutter, Paul Allardyce and Sharon Davies. There is
no evidence that these
had any interest in the Reserve or contractual engagement (although being a
volunteer) with the SVC so that
they do not appear to have had any obvious
interest for bringing a claim against the Administrator of the type referred to
in s 11
of the Reserve Act. Nevertheless it is open to posit that the
manner in which the Administrator executed his actions might have
allegedly
impacted on some of them in some adverse way so that they sought relief of that
type and been precluded by an application
of s 11.
The direct effect of the provision (s 11) was purportedly to bring
immunity from judicial supervision in respect of any of the
remedies stated in
the section where those remedies were sought by any person affected by an act of
the Administrator. This direct
effect was not as such discriminatory.
However, indirect discrimination will be established where there is a
disproportionately detrimental impact on (relevantly) Aboriginal
persons. I
consider that is the case in relation to the application of s 11 of the
Reserves Act to the persons on the Reserve.
The non-Aboriginal persons involved
with the Reserve were few in number. The impact of s 11 was on the
Aboriginal inhabitants,
who were the holders of the right of residence if it was
found to exist. As a consequence considerably more persons of the Aboriginal
race were affected by s 11 than of any other race, so that it was persons
of the Aboriginal race who did not enjoy the right
of equal access to tribunals
than persons of any other race. There was a clear disproportionality of effect
on the Aboriginal inhabitants,
detrimental in leading to the loss of their right
when the right is enjoyed by other races.
(iii) because of the indirect discrimination so resulting, it was ‘by
reason of’ a provision of the Reserves Act, namely
s 11, that the
Aboriginal inhabitants did not enjoy their right to equal treatment before
tribunals when that right was enjoyed
by persons of another race in comparator
positions, including reserves.
- That
is the prima facie position. It remains to consider the effect of the
justificatory contentions on that position in Part L
below
SUBPART 5: RIGHT TO PARTICIPATE IN PUBLIC AFFAIRS
- The
claim appears to be that the provisions of the Reserves Act deprived the
Aboriginal inhabitants of the right to participate in
political affairs. This
is a reference to s 4 of the Reserves Act revoking the 2002 Management
Order and s 5 placing the
management with the AAPA in substitution for the
SVC. While the applicants have listed this as a human right relevant to their
claim
they have not pressed the right in any further submissions nor has it been
pleaded. I do not consider that the claim in this respect
has been made
out.
PART I: INCONSISTENCY OF
RESERVES ACT AND RDA s 9
- Reference
to s 9 requires that consideration be directed to whether there is (1) an
act (2) involving a distinction, exclusion,
restriction or preference based on
race, colour, descent or national or ethnic origin (3) which has the purpose or
effect of (4)
nullifying or impairing the recognition, enjoyment or exercise, on
an equal footing, of any human right or fundamental freedom in
the political,
economic, social, cultural or any other field of public life. This contrasts
with s 10 of the RDA which is concerned
with the effect of a law or a
provision of a law.
SUBPART 1: RIGHTS OF OWNERSHIP AND MANAGEMENT
DEPRIVATION OF RIGHT TO MANAGE AND OTHERWISE EXERCISE OWNERSHIP RIGHTS IN
RELATION TO THE RESERVE [ISSUES 11, 12, 14, 15 AND 19]
- The
applicant submits the Reserves Act involves a distinction, exclusion,
restriction or preference based on race; or authorises a
person to do an act
which involved a distinction, exclusion, restriction or preference based on race
in respect of the right of the
applicants to enter and remain on the Reserve.
It is contended this was a right peculiar to them because of their racial status
as Aboriginal persons. The Reserve was declared to be for the use and benefit
of Aboriginal inhabitants. The causal connection
is established between race
and not enjoying a right, if the effect of the Reserves Act upon a racial
group is that the racial group does not enjoy a right and the Reserves Act does
not have that effect
upon other racial groups: see Mabo [1988] HCA 69; 166 CLR 186
and Ward 213 CLR at [105]. In that way it is said s 9 operates in the
same way as s 10. The discriminatory result may arise under s 9 from
either the
‘purpose or effect’ of the act. Regardless of the motive or intent
of the act, if the effect is to nullify
or impair the recognition, enjoyment or
exercise on an equal footing of a human right, then s 9 is infringed. The
‘intention,
motive or purpose...do not carry the matter far [if the act
is] inherently or essentially discriminatory’: per Lockhart J in
Commonwealth of Australia v Human Rights and Equal Opportunity Commission
[1993] FCA 547; (1993) 46 FCR 191 at 204; Macedonian Teachers’ Association of Victoria
Inc v Human Rights and Equal Opportunity Commission [1998] FCA 1650; (1998) 91 FCR 8 at 26.
- I
regard it as unlikely that the Reserves Act is an ‘act’ to which
s 9 is applicable. This is because s 10
expressly addresses the
effect of a law or a provision of a law. Construing s 9 in that context
shows that s 9 is directed
to actions of persons, in contrast to
enactments.
In any event from the reasoning earlier set out in
relation to this right and s 10, it is apparent that I do not consider the
applicant can make out this aspect of her claims. That is because I have
earlier concluded that the rights in relation to management
and ownership of
property which the applicants claim and which the SVC had (namely, the care,
control and management of the Reserve)
do not have the status of human rights or
fundamental freedoms. Specifically they are not human rights in relation to the
ownership
of property, even understanding those terms in the Convention context.
- In
the event the Reserves Act was an ‘act’ within s 9 of the RDA
and the applicants had rights of management and
ownership, the apparently
disproportionate impact on them would not have given rise to relevant indirect
discrimination because it
is only in the circumstances of s 9(1A) of the
RDA that it can arise and that section is not relied upon by the
applicants.
RIGHT NOT TO BE ARBITRARILY DEPRIVED OF THE RIGHT TO MANAGE AND OTHERWISE
EXERCISE OWNERSHIP RIGHTS IN RELATION TO THE RESERVE [ISSUES
20-24]
- The
issue of arbitrary deprivation is considered in Part L below.
- The
applicant also contends that to the extent the LAA in ss 46 and 50
purported to permit the revocation of the vesting order
which vested a legal
estate in the SVC, it comprised an arbitrary deprivation of the property
interests of the applicants as Aboriginal
inhabitants and members of the SVC and
was invalid pursuant to s 109 of the Commonwealth of Australia
Constitution Act 1900 (Imp) (the Constitution) to the extent of its effect
on the rights of the applicants because of its inconsistency with s 9 of
the RDA. Again I consider it unlikely that s 9 is intended to apply in
respect of enactments. In any event, this contention cannot be made out in
relation to the deprivation or
the existence of property rights. The effect of
cl 16 of the transitional provisions of the LAA has been considered in
relation
to the effectiveness of the 1995 vesting. It applied without involving
any distinction, exclusion, restriction or preference. The
same reasoning is
applicable to the sections relied on here by the
applicant.
SUBPART 2: RIGHT OF FREEDOM OF MOVEMENT AND RESIDENCE
DEPRIVATION OF RIGHT OF FREEDOM OF MOVEMENT AND RESIDENCE WITHIN THE BORDERS OF
THE STATE [ISSUES 26-31]
- The
starting point on this right is again that it is agreed that the Aboriginal
inhabitants enjoyed the right of freedom of movement
and residence within the
borders of Australia.
The acts of the Administrator
- This
requires consideration of the exercise of the power by the Administrator under
s 7 and whether his acts restricted freedom of movement and residence in
its application to the Aboriginal inhabitants of the Reserve.
- As
the evidence has shown, the large number of Aboriginal inhabitants left the
Reserve, not as the result of any act of the Administrator,
but because of their
perception that such an act might be undertaken. Those facts do not enliven the
provisions of s 9 in relation to those persons. This is because the
section is only applicable when an act is done (and is of the type which
involves
the prohibited distinction, exclusion, restriction or preference based
relevantly on race).
- The
direction of the Administrator of 13 June 2003 directed that certain people
(police, security, cleaners and the like) could enter
and leave the Reserve for
the purpose of assisting him in the performance of his obligations as
Administrator. This exercise of
the power in s 7 evidences (in the listed
persons entitled to enter and leave) a non-discriminatory basis of selection.
In its reference to members
of ATSIC and to others, the direction applied in
that respect to Aboriginal and non-Aboriginal persons in the listed
categories.
- The
principal impact of the direction derived from its provision that persons not so
listed (‘excluded persons’) were
not permitted to enter the Reserve
without the Administrator’s express authority. That applied in respect of
any person of
any race who was outside the Reserve. It was neutral in its terms
and applied to the Aboriginal inhabitants as well as the non-Aboriginal
supporters who had left the Reserve or to any other person than a listed
person.
- Likewise
relevant to the applicant’s case on this issue are the written directions
of the Administrator made in reliance on
s 7(3)(b) of the Reserves Act on
13 June 2003 to Robert Bropho and Iva Hayward-Jackson and the oral exercises to
non-Aboriginal
non-inhabitants (M/s Jeffery; M/s Davies; and Mr Stratton) to the
same effect.
Applying the elements of s 9 of the RDA
(i) The most
far-reaching acts of the Administrator were the acts of exclusion. However, the
exclusionary acts did not in their terms
involve a distinction, whether based on
race or otherwise. The acts applied to all persons in relation to their
entering the Reserve.
(ii) There was no distinction based on race involved in the acts of the
Administrator giving notice (written or oral) to the persons
who remained on the
Reserve on 13 June 2003. The notice was given to Aboriginal and non-Aboriginal
persons alike, both resident
and non-resident.
(iii) The effect of the acts was to nullify the enjoyment on an equal footing
of the human right of freedom of movement and residence
of all those to whom the
acts of the Administrator applied. The objective was to do so in order to
remove the effects of the SVC
and the associated community upon the persons
whose rights had been adversely affected.
(iv) The act of the Administrator in excluding persons from the Reserve
impacted disproportionately upon the Aboriginal inhabitants.
This is so because
the Reserve had been their place of residence. However, for reasons given
earlier, under s 9 of the RDA
considerations of indirect discrimination are
confined to application in the circumstances addressed in s 9(1A) of the
RDA which
is not relied on by the applicant. Therefore no conclusions can be
drawn in this instance of discriminatory character of the acts
from
disproportionate impact on the Aboriginal inhabitants in these
circumstances.
ARBITRARY DEPRIVATION OF RIGHT OF FREEDOM OF MOVEMENT AND RESIDENCE [ISSUES 12,
14, 15 AND 19]
- Whether
or not any deprivation of the applicants’ right of freedom of movement and
residence (if such had occurred) was arbitrary
will depend on whether it was
reasonably undertaken. That is examined below in Part L.
SUBPART 3: RIGHT TO EQUAL TREATMENT BEFORE TRIBUNALS
- Section 9
of the RDA is referrable to ‘any act’ which involves a distinction,
exclusion, restriction or preference
based on race. There is no relevant act in
the evidence by which the right to equal treatment before tribunals was the
object of
such action. Consequently no inconsistency with s 9 can be made
out. To establish a breach of this right under s 9 it
is not enough that
there are actions which might arise under s 7 of the Reserves Act in
relation to which s 11 of the
Reserves Act precludes equal treatment before
tribunals. The inconsistency to which s 9 directs attention is between one
involving
a racial distinction which itself nullifies or impairs the right to
equal treatment before tribunals. It is s 11 which arguably
does that
rather than any act, so that the relevant inconsistency (if any) is arguable
only in relation to s 10 of the RDA where
the effect of a law or a
provision of a law is material.
SUBPART 4: RIGHT TO PARTICIPATE IN PUBLIC AFFAIRS
- This
claim is not made out in the applicant’s
case.
PART J: CONTRAVENTION OF THE
RDA BY ACTS OF THE ADMINISTRATOR
SECTION 9 OF THE RDA AND ACTS OF THE ADMINISTRATOR [ISSUES 30-32]
- These
have been considered above in relation to s 9. It remains to consider
those acts in relation to the justificatory considerations
referred to below.
- It
is agreed that, if the Administrator breached s 9 of the RDA, the first and
second respondents would be vicariously liable
for the acts of the
Administrator.
SECTION 12(1)(D) OF THE RDA: REFUSAL TO PERMIT OCCUPATION
[ISSUES 32-34]
- It
is agreed that, if the Administrator breached s 12(1)(d) of the RDA, the first
and second respondents are vicariously liable for
the acts of the
Administrator.
- The
applicant argues that the Administrator refused to permit the applicants to
occupy the Reserve by directing some of them to leave
the Reserve and directing
all persons, including all of them, not to enter the Reserve and did so
‘by reason of their race’.
- She
also contends that the right to occupy the Reserve was only accorded to
Aboriginal inhabitants by the terms of the reservation.
Her argument is that
the refusal to permit the applicants to occupy the Reserve effected by
directions under the Reserves Act affected
only the rights of Aboriginal persons
and so operated by reason of their race: Mabo [1988] HCA 69; 166 CLR 186 and
Ward 213 CLR at [105].
- The
effect of the Administrators’ direction of 13 June 2003 in
excluding all persons from the Reserve amounted to
a refusal to permit a person
to occupy land or residential accommodation because it excluded the Aboriginal
inhabitants. Was it
‘by reason of the race’ of the Aboriginal
inhabitants?
- The
weight of the evidence is heavily against a finding that the Administrator did
so ‘by reason of’ the race of the applicants.
His patent reason was
to bring about the exclusion of the entire community represented by the SVC from
the circumstances considered
by the AAPA and Parliament to have been and to be
inducive to the loss of human rights of certain women and children resident on
the Reserve.
- The
question remains whether the applicants can make out that the acts of the
Administrator were ‘by reason of’ their
race because they impacted
unreasonably and disproportionately upon them as the Aboriginal inhabitants of
the Reserve. Aside from
the words ‘by reason of’, there are no
words in s 12(1)(d) inviting examination of a comparison in that respect,
such as appear in s 10 of the RDA. The focus of s 12(1)(d) is upon
the relevant act of ‘refusal’ as such.
In the absence of any
authority, such as the obiter remarks of Tamberlin J in Nguyen 74 FCR 311
in relation to the application of indirect discrimination under s 10 of the
RDA, I do not consider it has application to s 12(1)(d).
- If
the position is otherwise, I do not consider the unreasonableness and
disproportionality can be made out for the reasons given
in Part L
below.
PART K: TRESPASS
DEPRIVATION OF POSSESSION [ISSUES 35-38]
- Subject
to one possible exception, the short point to be made here is that because the
applicants did not have a right of ownership
(amounting to exclusive possession)
of the Reserve, they cannot succeed in an action for trespass.
- The
applicants do not have a proprietary interest in the Reserve recognised at law
(as I have previously found in these reasons).
They also have no proprietary
right that the law would protect against a trespass. Trespass is a tortious
action that came in to
being to protect the legal relationships a person has
with land. Without a recognisable and definable legal relationship (in this
case between the applicant and the Reserve) there can be no trespass by another
person for which the applicant can seek relief from
the Court. It must be
remembered that where a proprietary interest is granted by statute the right or
interest created is consequentially
limited by that grant. At no stage can it
be said that the applicant was granted an exclusive right to possession of the
land.
- The
possible exception arises from reasoning Manchester Airport Plc v
Dutton [2000] 1 QB 133. There Laws LJ said at
150:
...the true principle is that a licensee not in occupation may claim
possession against a trespasser if that is a necessary remedy
to vindicate and
give effect to such rights of occupation as by contract with his licensor he
enjoys. This is the same principle
as allows a licensee who is in de facto
possession to evict a trespasser.
At 151 Kennedy LJ said:
The plaintiff does have a right to possession of the land granted to it by
the licence. It is entitled ‘to enter and occupy’ (my
emphasis) the land in question. The fact that it has only been granted the
right to enter and occupy for a limited purpose ...and
that...the grant does not
create an estate in land giving the plaintiff a right to exclusive possession
does not seem to me to be
critical.
Chadwick LJ
dissented.
- In
Georgeski v Owners Corporation SP49833 [2004] NSWSC 1096; (2004) 62 NSWLR 534 Barrett J gave
extensive consideration to the reasoning of the majority in Manchester
Airport [2000] 1 QB 133. At 561 he
said:
‘The House of Lords has not been called upon to consider the majority
decision in Manchester Airport Plc v Dutton, except in the limited
context of an application for leave to appeal. Later cases in which the Court
of Appeal’s decision
has been cited have been disposed of without any need
to analyse the reasoning of the majority: see Countryside Residential (North
Thames) Ltd v Tugwell (2001) 81 P & CR 2; Alamo Housing Co-operative
Ltd v Meredith [2003] EWCA 495. That reasoning has, however, been criticised
by several commentators: see P Birts, “Trespass and possession: no loosing
of
the chains” (2000) 144 Solicitors Journal 316; M Wonnacott,
“Flawed judgment” (1999) Estates Gazette 165 (Issue 9911, 20
March 1999); E Paton and G Seabourne, “Unchained Remedy: Recovery of Land
by Licensees” (1999) Conveyancer and Property Lawyer 535; W
Swadling, “Opening the numerus clausus” (2000) 116 Law Quarterly
Review 354.’
Barrett J reviewed each of the critical articles and continued:
‘I must prefer the approach taken by Chadwick LJ in dissent. To do
otherwise would be to fail to accept principles about the
nature of trespass to
land which are deeply rooted in Australian law and have been recognised by the
High Court. The issue that
the majority in Manchester Airport Plc v Dutton had
with the traditional approach to trespass was some perceived illogical
distinction
between a licensee in possession and a licensee out of possession.
But focus on the licensee’s bare rights overlooks the nature
of the wrong
of trespass and its foundation in possession.
Trespass to land is sometimes said to be an unlawful interference with
one’s property, but more particularly it is an interference
with
possession. A right of possession of the kind enjoyed by a lessee will support
an action in trespass. Possession in fact may
also be sufficient, at least as
against a defendant having no right of possession. Such a defendant, unless
entering with the authority
of the owner or lessee, may not plead that
person’s right to possession as a defence and, for that reason, may be
unable to
resist an action by a plaintiff whose possession is possession in fact
only. But possession in fact is by no means the equivalent
of occupation, even
sole occupation. It may be found to exist where, as Wonnacott put it (see at
562 [102] supra), a person “is,
as a matter of observable fact, enjoying
the rights and incidents of an estate or interest in land”. Mere physical
presence
or physical use can never satisfy that
test.’
- I
do not see any reason not to follow the reasoning of Barrett J. In my view the
reliance which the applicant places on the majority
reasoning in Manchester
Airport [2000] 1 QB 133 finds no support in Australian law and should not be
followed here.
- In
the event that the position was to the contrary it would be necessary to
consider the effect of s 12 of the Reserves Act.
That would on its face
preclude review by a court of the actions of the Administrator who acted in good
faith in the performance
of the functions bestowed upon him by the Reserves Act,
subject to the Hickman principle. It would then be necessary to consider
a further contention of the applicant that s 12 of the Reserves Act was
itself
inconsistent with the RDA in so far as it denied the applicants the right
to equality before the law.
PART L:
JUSTIFICATORY CONTENTIONS
WAS ANY DEPRIVATION NOT ARBITRARY BECAUSE IT WAS REASONABLE, PROPORTIONAL
[ISSUE 23] AND LEGITIMATE [ISSUES 17 AND 18]?
- A
deprivation will occur where a person is dispossessed of a possession or denied
the future enjoyment of a right: The New Shorter Oxford English Dictionary
(Clarendon Press, Oxford, 1993) at 639. Whether a deprivation is arbitrary
will depend on whether the possession or right admits
of its deprivation and in
what circumstances.
Applicant’s contentions
- Section
8 of the Reserves Act provided that the rules of natural justice did not apply
to a direction to a person not to enter or
to leave the Reserve. Section 9
provided that the exercise of discretion was absolute and not required to be
exercised in any
particular way. The applicant contends those provisions
provide a substantial basis for concluding that the deprivation of the rights
to
manage and otherwise exercise property rights on the Reserve (and the rights to
freedom of movement and to reside within Australia)
occasioned by the operation
of the Reserves Act was arbitrary. She argues that a decision which prevents a
person from exercising
property rights is arbitrary in the sense used in
Art 17 of the Universal Declaration of Human Rights because when, as
in this case, it is without notice, without any hearing or other fair process or
any right to compensation for the
loss of the right. Likewise, a decision is
arbitrary if, as a result of the juxtaposition of the operation of ss 7, 8
and 9
of the Reserves Act, it is not based on some pre-existing criteria which
are general in their application and provide an opportunity
to comply with those
criteria: MacCormick v Federal Commissioner of Taxation [1984] HCA 20; (1984) 158 CLR
622 at 639; Dilatte v MacTiernan [2002] WASCA 100.
- The
respondents plead that the deprivation of rights to manage and otherwise own
property was not arbitrary because it was reasonable.
That leads to
consideration of the question whether the enactment of the Reserves Act was a
reasonable response to the first respondent’s
concerns about the
management of the Reserve and about unlawful conduct by persons on the Reserve
and, as the applicant puts it,
interference with the human rights of Aboriginal
inhabitants of the Reserve.
Whether defence of reasonable justification
- The
applicant submits that the RDA provides a code concerning the
circumstances in which unlawful racial discrimination will be found to exist.
Section 8, in particular
provides for the exceptions to the application of the
part of the Act in which ss 9, 10 and 12 appear. It is argued by the applicant
it does not permit of what is described as a general ill-defined defence of
‘reasonable justification’.
- If,
which the applicant denies, reasonableness is relevant to whether or not a
deprivation of property is arbitrary, the test of whether
the deprivation was
unreasonable is an objective one, requiring the Court to weigh the nature and
extent of the discriminatory effect
against the reasons advanced in favour of
the measure taken: Secretary, Department of Foreign Affairs and Trade v
Styles [1989] FCA 342; (1989) 23 FCR 251, per Bowen CJ and Gummow J at 263. In
Commonwealth Bank v HREOC 80 FCR at 112 Sackville J
said:
‘The presence of a logical and understandable basis is a factor –
perhaps a very important factor – in determining
the reasonable basis or
otherwise of a particular condition or requirement. But it is necessary to take
account of both the nature
and the extent of the discriminatory effect of the
condition or requirement... and the reasons advanced in its favour. A decision
may be logical and understandable by reference to the assumptions upon which it
is based. But those assumptions may overlook or discount
the discriminatory
impact of the decision.’
Evidence of lack of reasonableness of respondents in forming opinion on
concerns
- The
applicant contends that the Court’s task is to decide objectively whether
the actual facts of the situation warranted the
discriminatory measure. She
contends the respondents have not pleaded any actual facts as being the reason
for the deprivation of
property, only pleading ‘reasonable
concerns’. The applicant’s submission is that there is no factual
or evidentiary
basis upon which the Court could conclude that the deprivation of
property was objectively reasonable and not arbitrary.
- The
applicant argues the concerns of the respondents were not reasonable because
they were not based upon a reasonable or sufficient
inquiry into the
circumstances upon which they were based. Reliance is placed in support on
affidavits and the evidence given by
the deponents in answer to questions in
cross-examination which it is said disclose the process by which information was
collated
in the form of incomplete and second and third hand reports and
conjecture and linking of events to the SVC which had no relevant
connection to
the manner of management of the SVC or, in some cases, even to the Reserve, in
order to arrive at the concerns expressed.
The affidavits are those of Caroline
Brazier, Roland Bayman and David Pedler.
- The
applicant states that the evidence of Caroline Brazier and Roland Bayman
confirmed that the Government had no evidence to support
assertions that
(i) residents were not free to access government services, (ii)
intimidatory tactics prevented the reporting
of incidents, or (iii)
communication between children and women and government officers was being
hampered by the community management.
On the contrary, it is argued they
conceded in evidence that residents had access to government services which they
chose to access,
that government agencies had access to the Reserve and that
there were only issues of contention concerning access by officers of
one office
out of several of the DCD (i.e., Midland) and one medical service (the AMS) as a
result of historical events which had
caused the SVC members to lose faith in
the nature of the service provided to the Community by that particular office
and service.
- This
is said to be confirmed by the Draft Report on Service Provision to the SVC of
the Working Group of April 2003 (exhibit P80)
which reported in detail on the
provision of services by relevant Departments. It stated, in
summary:
‘The service providers, with the support of the interagency group, have
kept a focus on the normalisation of relationships and
the wellbeing of the
residents, and a range of initiatives and services have been delivered by
service providers in the Midland area,
or accessed by residents of SVNC. These
are detailed in attachment 1.
Departmental service providers reported a divergence of views in terms of
ease of access to the residents, and in how to improve relationships
with
management to provide the residents freedom of access to local services. Most
departments have developed, or are developing
agreed protocols with the
management of SVNC for individual
services.’
- However,
this quotation must be contrasted with the following statements which are
contained further on in the same report:
‘Departments report that positive development at SVNC remains limited
whilst issues such as intimidation of residents, lack
of confidentiality of
health issues, the lack of a supportive environment for victims of domestic
violence or child abuse to seek
assistance, or lack of freedom for residents to
leave camp and contact service providers still remain.
...
For any service provider a degree of trust has to be built and although this
is happening for individual contacts with residents of
the camp, overall there
remains real concerns for the ongoing safety of the women and children. There is
some doubt that continuing
the current levels of time consuming negotiations
with camp management for access to residents or cooperation in collaborative
approaches
would result in the effective levels of access or cooperation
required. Service providers are not confident that the residents are
safe and
are free to seek and receive assistance without bias or
intimidation...’
- Additionally
it is submitted that other affidavits of persons directly involved in the events
in question reveal the degree of inaccuracy
and error in the assumptions of fact
made by senior public servants which might have been discovered if a reasonable
or sufficient
inquiry had been made before providing advice to the Government.
Here reliance is placed on the affidavits of Margaret Jeffery,
Bella Bropho,
Denise Sambo, Sharon Davies, Dorothy Bropho, Naomi Bropho, Charlotte Bropho,
Paul Allardyce and Tina Jackson.
- The
applicant also contends that there is no evidence that access and residence on
the Reserve was ‘restricted’ to Robert
Bropho and his family. It is
said the evidence is that the Aboriginal inhabitants of the Reserve, at least in
recent times, were
largely persons who were part of or affiliated with the
Bropho family. That does not result in any conclusion that the Reserve was
not
managed for the benefit of the Aboriginal inhabitants. Aboriginal people are at
liberty to choose to live on any of the many
reserves set aside for the use and
benefit of Aboriginal people throughout the State. It is hardly surprising that
Aboriginal people,
in exercising that liberty, may tend to inhabit reserves
where others with whom they are affiliated reside.
- The
applicant’s submissions continue by stating there is no evidence that the
SVC did not take all reasonable steps within its
power and capacity to manage
the Reserve for the benefit of Aboriginal people. The fact that Aboriginal
inhabitants of the Reserve
suffered significant adverse social circumstances
resulting in substance abuse, deaths and criminal activity on the Reserve was
not
as a result of any failure of the SVC to take all reasonable steps within
its power to manage the Reserve for the benefit of Aboriginal
people.
- Furthermore
it is argued there was no evidence from which to draw the conclusion that
anything which the SVC did or failed to do caused
or contributed to any of the
deaths on the Reserve. One of the deaths (Arthur Edward Bropho) relied on by
the respondents did not
occur on the Reserve. It is argued that the death of
Susan Taylor on the Reserve was fortuitous and could equally have occurred
at
Herne Hill, where she lived. Morgan Spratt’s death was as a result of
toluene abuse despite serious attempts by Paul Allardyce,
acting on behalf of
the SVC to secure a psychiatric hospital placement for him: see the affidavits
of Margaret Jeffery and Paul Allardyce
and the evidence of Caroline Brazier.
- Additionally
the applicant argues there was no evidence that anything done or not done by the
SVC caused or contributed to the commission
of criminal offences on the Reserve
or condoned criminal conduct among its members. It is said the fact that Robert
Bropho and Bella
Bropho made it clear in their evidence that they do not accept
Robert Bropho’s convictions of offences of indecent dealing
and that
special leave to appeal those convictions is being sought does not detract from
that proposition.
- It
is submitted that where individual members of the SVC have committed offences,
that may amount to sufficient cause to disqualify
such individuals from a
management role in the SVC but it is not sufficient cause to justify revocation
of the 2002 Management Order
in favour of the SVC.
- Further
the applicant says that the DCD and other instrumentalities of Government did
not demonstrate that they could have taken any
steps which the SVC failed to
take to reduce the risk of violence being visited on the inhabitants of the
Reserve. Indeed, the evidence
of Roland Bayman and Caroline Brazier for the DCD
was that there was no assistance which the DCD could offer in relation to the
management
of toluene abuse, which is acknowledged as one of the highly
prevalent and significant root causes of violence and death which occurred
within the Reserve.
- Therefore
the applicant says the weight of evidence leads to the conclusion that the
management of the SVC did not deliberately or
unreasonably frustrate any
attempts by government officers to improve the provision of government services
to the Aboriginal inhabitants
of the Reserve. The applicant accepts it is
certainly the case that the SVC did not readily accept government services in
whatever
form the government chose to deliver them. It accepted services from a
range of government agencies, but had a history of having
rejected certain
services or having put a stop to certain activities by government agents on the
Reserve. Its judgment in doing
so may have been questionable in certain
instances. However, the applicant contends it did not amount to a general
frustration of
attempts by government officers to improve services to Aboriginal
inhabitants of the Reserve. Rather the applicant argues that the
SVC (perhaps
unlike other Aboriginal communities) sought to engage with the Government in
determining the nature and form of services
provided. It might be said that an
engagement between the service provider and the recipient in fashioning the
nature of the service
provided is generally a desirable process which would
usually result in the service being tailored to better suit the needs of the
recipient. The SVC engaged with government services in a manner which kept in
mind the need to balance the provision of services
with the maintenance of the
autonomy and privacy of individuals and the group. The Gordon Inquiry reported
in relation to the issue
of access to the SVC and other Aboriginal
communities:
‘The guiding principle, in the interests of sensible relations between
government service providers and Aboriginal communities,
lies in negotiation,
understanding and mutual respect and trust.
Indeed, the submission of the SVNC to the State Coroner appeared to recognise
these principles in the following way:
‘Government Departments and Community Service Organisations ought to
recognise that Aboriginal communities are entitled to have
their rights to
personal privacy recognized... In circumstances where the unique nature of a
community suggests that service providers
and guardians of law, order and
welfare, require special arrangements to gain access to a community in order to
perform their functions
and members of the community require their services,
then such agencies should negotiate a protocol for entry which satisfactorily
allows them to perform their necessary and desired function, while respecting
the rights of members of the community’ (Hope:
34-35)
Alternative solutions
- The
applicant submits that a proportionate response may have been to identify
individuals who were threatening the security of the
person of Aboriginal
inhabitants of the Reserve and to apply the coercive powers of the existing
criminal law or existing legislation
which enables protective restraining orders
to be made in respect of persons and places, or enact special legislation which
might
provide protective measures which were adapted to protection of the
security of the person of a similar kind to those types of provision.
For
example, there are powers outside of the operation of the Reserves Act for law
enforcement officers and the courts to remove
persons and prevent them from
returning to places where they pose a threat to the safety of women and children
(Restraining Orders Act 1997 (WA), s 13). Those powers can be
exercised where there is a demonstrated risk of the kind said to be in issue
here.
- It
is argued that another form of proportionate response might have been that which
was recommended by the Gordon Inquiry as
follows:
‘The Inquiry recommends that urgent steps be taken to develop
Memorandum [sic] of Understanding between the Swan Valley Nyungah
Community and those government agencies which may reasonably seek access to that
community...’
Absence of comparators
- Instead,
the Reserves Act has indiscriminately affected a class of persons, which
includes the potential victims and perpetrators
of breaches of the right of
security of the person, each in the same way, by depriving them of their homes
against their will. The
application of such a measure to any other community
group or section of the public would be regarded as a fundamental breach of
human rights. It is contended that there is no sufficient reason to view the
Aboriginal inhabitants of the Reserve any differently.
Issue concerning possibility of injunctions
- Another
justification for the enactment of the Reserves Act contended for by the
respondents is that the revocation of the 2002 Management
Order otherwise than
by the Reserves Act could have resulted in an interlocutory injunction being
granted, leaving at risk the safety
of women and children on the Reserve. The
applicant says this contention completely disregards the basis upon which an
interlocutory
injunction might be granted. It fails to take into account the
fact that an interlocutory injunction would not be granted unless
the balance of
convenience favoured it. It accords no credit to the capacity of the judicial
process to balance the risk to which
women and children might be exposed with
any potential loss of property rights in determining whether or not an
interlocutory injunction
ought to be granted.
Reasonableness and proportionality of the solution
- Further,
the applicant contends that the Reserves Act changed the vesting of the Reserve
from a vesting in a corporation of which
the Aboriginal inhabitants were members
to a vesting in a State instrumentality. It created powers in the agent of the
State instrumentality
to direct persons including the Aboriginal inhabitants to
leave or not enter the Reserve and denied natural justice and judicial
review to
those persons in relation to the exercise of those powers. The powers in the
Reserves Act were then used to make a general
direction which had the effect of
excluding all Aboriginal inhabitants from the Reserve. It is argued that the
effect of that general
direction on Aboriginal inhabitants was different from
its effect upon others because only the Aboriginal inhabitants used and enjoyed
the Reserve as of right and the direction affected the exercise of that right.
- The
submission continues to the effect that the enactment of the Reserves Act
grossly exceeded what might have been a response which
was reasonably
appropriate and adapted or proportional to what can be recognised as a
legitimate end, namely, as suggested, protecting
Aboriginal persons requiring
protection in order to ensure such individual’s equal enjoyment or
exercise of the right to security
of person and protection by the State against
violence or bodily harm. The Reserves Act did not in any direct sense address
that
end or address the cause of any infringement of such rights. It is said by
the applicant to have been a grossly
ill-adapted, inappropriate and
disproportionate measure to protect rights of that kind. She contends its
immediate effect was to
indiscriminately dislocate a whole community of
Aboriginal persons from the security of their homes and the right to freely
pursue
their economic, social and cultural development: International
Covenant on Civil and Political Rights, Art 1.
- The
Reserves Act is said by the State to be justified because it removed any
uncertainty as to the power of the management body to
remove persons from the
Reserve who posed a risk to the safety of women and children on the Reserve.
The applicant argues that the
difficulty with this justification for the
Reserves Act is that the Reserve remains reserved for the use and benefit of
Aboriginal
people. The applicant contends that the Reserves Act goes beyond the
usual provisions of the law and purports to empower an arbitrary
exercise of the
power of removal, without any reasonable basis being required for its exercise
(Reserves Act ss 9 and 10), without
recourse to judicial review of such an
exercise of power being available (Reserves Act s 11) and without any obligation
to accord
procedural fairness (s 8). The consequence, it is contended, is that
the Reserves Act has an effect upon the Aboriginal inhabitants
of the Reserve in
exercising their rights as Aboriginal people to use and enjoy the Reserve, which
subjects them to a law which operates
in a way which no other law operates to
deny them rights which apply to other citizens in relation to their ability to
exercise those
rights over property. In other words, if any other person is
threatening a woman or child with violence in a place which the first
person has
a right to occupy, then that person cannot be removed from the place and
prevented from returning without there being
a reasonable basis for doing so, a
process which is either the subject of a judicial decision or is open to
judicial review and the
right to procedural fairness in relation to the exercise
of the power.
- The
applicant therefore submits that, in all the circumstances, the enactment of the
Reserves Act was not a reasonable response to
the identified problem. They
claim that while the goal of protection of women and children was undoubtedly a
reasonable goal to
adopt, the judgment as to the means to be adopted for
achieving that goal can be seen, for the reasons expressed above, to be
‘manifestly
without reasonable foundation’: James 8 EHRR at
142. There must be a ‘reasonable relationship of proportionality between
the means employed and the aim pursued’:
Mellacher 12 EHRR 391;
Coleman v Powers [2004] HCA 39; (2004) 220 CLR 1 per McHugh J at [100].
Respondents’ contentions
- The
respondents submit that the protection of children and other vulnerable members
of the community from violence, sexual abuse and
neglect is manifestly a
legitimate end. Given the concerns, for which the evidence shows there was a
foundation, that the SVC was
itself an obstacle to the provision of the
requisite protection, and given the viability of the alternatives proposed by
the applicant,
the respondents submit it cannot be concluded that the Reserves
Act was disproportionate or unreasonable.
Appropriateness of defence of reasonable justification
- The
respondents contend that any deprivation of the right to manage and otherwise
exercise ownership rights cannot be arbitrary if
it is a reasonable response to
reasonable concerns.
- The
respondents plead in their defence and submit that the identification of the
true or actual basis for the operation of a law may
be ascertained by the
application of the test of reasonable proportionality. That is, if the reason
for the treatment of persons
of a particular race differently from other persons
of other races (if that were found to be the case) is reasonably appropriate
and
adapted (or proportional) to a legitimate end (i.e. one which is not racially
discriminatory) then the difference in treatment
cannot be said to be by reason
of race and does not itself constitute discrimination.
- In
Castlemaine Tooheys Ltd v South Australia [1990] HCA 1; (1990) 169 CLR 436 at 472 per
Mason CJ, Brennan, Deane, Dawson and Toohey JJ analysed the question of
indirect or incidental discrimination for
the purposes of s 92 of the
Constitution as follows:
‘In determining what is relevantly discriminatory in the context of s
92, we must take account of the fundamental consideration that, subject to the
Constitution, the legislature of a State has power to enact legislation for the
well-being of the people of that State. In that context, the freedom
from
discriminatory burdens of a protectionist kind postulated by s 92 does not deny
to the legislature of a State power to enact legislation for the well-being of
the people of that State unless the
legislation is relevantly discriminatory.
Accordingly, interstate trade, as well as intrastate trade, must submit to such
regulation
as may be necessary or appropriate and adapted either to the
protection of the community from a real danger or threat to its welfare
or to
the enhancement of its welfare.’
- The
respondents contend that the competing considerations identified in
Castlemaine [1990] HCA 1; 169 CLR 436 are applicable in formulating the correct
approach to indirect discrimination for the purposes of s 10 of the RDA.
Similarly, they say that for the purposes of s 117 of the Constitution, a
law that discriminates between residents of a State would not be
unconstitutional provided that it served a legitimate purpose
and was
‘appropriate and adapted’ to that purpose: Leeth v Commonwealth
[1992] HCA 29; (1992) 174 CLR 455 at 489 (per Deane and Toohey JJ).
- Where,
as here, the underlying legal inquiry is to identify the actual purpose of a
particular law or measure, the ‘appropriate
and adapted test’ is
employed to assess the ‘faithful pursuit of the purpose’:
Cunliffe v Commonwealth [1994] HCA 44; (1994) 182 CLR 272 at 296 (per Mason CJ).
- Where
it is alleged that a law or measure interfered with a human right said to be
protected by the Constitution itself (such as freedom of movement or
association), the courts have applied a test of whether the law or measure is
‘appropriate
and adapted to achieving’ another legitimate purpose:
Kruger v Commonwealth [1997] HCA 27; (1997) 146 ALR 126 at 205 and
211-212 per
Gaudron J.
- In
dealing with questions of discrimination generally, the respondents say it is
therefore necessary to assess the ‘relevance,
appropriateness or
permissibility’ of the basis on which the law operates; but
‘questions of degree may be involved’
and the particular context in
which it arises may also be relevant: Bayside 216 CLR at [40] (per
Gleeson CJ, Gummow, Kirby, Hayne and Heydon JJ).
- The
requirements of this test therefore afford significant discretion to the
legislature. There must be a ‘reasonable relationship’
between the
measure and the purpose, but a measure will not be invalid simply because it
could be characterised as ‘unfair’: Minister of State for
Resources v Dover Fisheries Pty Ltd [1993] FCA 366; (1993) 43 FCR 565 at 575.
- See
also: Gerhardy 159 CLR at 127 per Brennan J; Sportodds Systems Pty Ltd
v New South Wales [2003] FCAFC 237; (2003) 202 ALR 98 at [29]- [36] in relation to
‘discrimination’ as used in s 92 of the Constitution; Lithgow
8 EHRR at [116] and [176]-[177]; Simpson v United Kingdom DR 274 at
[7]; and R Dubler, ‘Direct discrimination and a defence of reasonable
justification’ (2003) 77 ALJ 514 in particular at 526 –
529.
Reasonableness and proportionality in relation to property rights
- The
respondents also submit that if there was property in the Reserve,
ss 9 and 10 of the RDA have no operation because the Reserves Act did
not cause a deprivation of that property (i.e. it did not affect the human
rights to own and inherit property, if there were such). They argue that if
anyone had property in the Reserve by reason of it being
a reserve for the
‘Use and Benefit of Aboriginal Inhabitants’, that property is not
owned by the applicants but by all
the Aboriginal inhabitants of the State. If
the relationship had been one of trust, that beneficial ownership was not
affected by
a change in the management body (i.e. the trustee).
- Likewise,
the respondents say that even if the applicants were the only persons who came
within the class of Aboriginal inhabitants,
the change in management body still
did not affect their beneficial ownership.
- Further
the respondents contend that if the applicants claim property by reason of their
membership of the management body for the
Reserve (the SVC), the nature of that
property was such that it was inherently susceptible to removal in the public
interest so that
its removal in the public interest does not constitute a
deprivation of property. Thus in Minister for Primary Industry and Energy v
Davey (1993) 47 FCR 151 the Full Court held that an amendment to the
Northern Prawn Fishery Plan (NPF Plan) which reduced the amount fishing licence
holders
could catch, was not an acquisition of property. At 165 Black CJ
and Gummow J said:
‘... [the units] confer only a defeasible interest, subject to valid
amendments to the NPF Plan under which they are issued.
The making of such
amendments is not a dealing with the property; it is the exercise of powers
inherent at the time of its creation
and integral to the property
itself.’
- See
similarly Bienke v Minister for Primary Industries and Energy
(1996) 63 FCR 567 at 581-585; Peverill 179 CLR at 237 and 263;
Commonwealth v WMC Resources Ltd [1998] HCA 8; (1998) 194 CLR 1 per Brennan CJ at
[15]-[17], Gaudron J at [78], McHugh J at [145]-[146] and Gummow J at
[195]-[198].
- The
respondents contend that in all the circumstances the Reserves Act was a
reasonably appropriate and adapted response to the respondent’s
reasonable
concerns in that:
- (a) the 2002
Management Order did not result in the applicants managing the Reserve for the
benefit of Aboriginal people as anticipated
by the first respondent. The
applicants continued to fail to address the concerns of the first respondent
regarding the management
of the Reserve;
- (b) revocation
of the 2002 Management Order otherwise than by the Reserves Act could have
resulted in a person challenging the validity
of the revocation under the LAA
and seeking an interlocutory injunction preventing a change in the management of
the Reserve, thus
leaving at risk the safety of women and children on the
Reserve;
- (c) the
Reserves Act removed any uncertainty concerning the power of the management body
to remove persons from the Reserve who posed
a risk to the safety of women and
children on the Reserve.
Evidence of reasonableness
- The
respondents’ submissions direct attention to other evidence of how it was
that the Reserves Act came to be enacted.
- Caroline
Brazier stated that her advice to Government during March to June 2003 was that
action needed to be taken to change the management
of the Reserve, in order to
better protect the safety of women and children associated with the Reserve. In
giving that advice,
she was aware that child abuse, violence and intimidation
were not restricted to the SVC. However Ms Brazier believed that what
made
complaints about the SVC different from other Aboriginal or non-Aboriginal
communities was the hindering of departmental officers
exercising their
statutory responsibilities. The SVC was not readily accessible to officers from
the DCD and in Ms Brazier’s
belief this did not change after the
Government registered the 2002 Management Order over the Reserve.
- Ms
Brazier gave evidence that her advice to the Government to take action to change
the management of the Reserve, and her support
within the government for the
Reserves Bill, was motivated solely by her concerns for the welfare of women and
children associated
with the Reserve. It had nothing to do with the
Aboriginality of members of the SVC. Ms Brazier stated that her actions and
advice
would have been exactly the same if the persons concerned were
non-Aboriginal.
- Ms
Brazier’s concerns and those of the Directors General of DOH and DIA were
recorded at the time in a draft media release.
It was put to Ms Brazier in
cross-examination that the media release was drafted with a political motive,
but Ms Brazier denied
this and said that ‘its not often I think that
Directors General actually join in one voice about an issue and this was an
issue we believed of sufficient import to do that in relation to, that was our
motive’. Her compelling evidence and demeanour
in re-examination spoke
eloquently of her sincerity in this regard.
- In
his oral evidence Grahame Searle stated that the Reserves Act was enacted
because the Premier and the Government were concerned
that they were unable to
guarantee the safety of the people residing on the Reserve and the actions
available to them under the LAA
to revoke the Management Order held by the SVC
would result in unnecessary delay. In Mr Searle’s view the decision
to
enact the Reserves Act ‘was made in the public interest and was the
right decision ... [t]he Parliament of the day made a decision
that that was an
appropriate thing to do’.
- Lynsey
Warbey gave evidence that the focus in Government was always, and only, on
protecting the women and children associated with
the Reserve from intimidation,
physical violence and sexual and emotional abuse and the need for the Government
to take firm action
consistent with its commitment that it would act against
family violence and child abuse, including in Aboriginal communities. In
Ms
Warbey’s view the outcome of the Reserves Act met her expectations and
achieved what she understood to be its purpose, namely
to protect the women and
children associated with the Reserve from physical abuse and to enable
government service providers to work
with them.
- In
his evidence David Pedler stated that throughout his involvement in the events
leading up to 13 June 2003, and subsequently, he
had never seen or heard
anything from anyone in Government that suggested the Reserves Act was passed
for any reason other than because
of concerns for the safety of the women and
children associated with the SVC.
- In
Mr Pedler’s view whilst other urban Aboriginal communities have similar
problems to the SVC, compared to the SVC the residents
of other Aboriginal
communities generally have open access to government services and do not
experience the same degree of domination
and intimidation by management as
appeared to be the case with the SVC. Consequently it was necessary for the
Government to treat
the SVC as a special case and no decision has been made by
the Government that any other urban Aboriginal community should be closed.
- The
Reserves Bill was also supported by ATSIC who issued a press release supporting
the Government’s intention to ‘close’
the SVC, stating that
ATSIC did not wish to see claims of racism cloud a very serious issue. The
press release also stated that
the Reserves Bill was ‘about basic human
rights and the safety of young Indigenous Australians’. ATSIC believed
that
the leaders of the SVC had not sought to engage with the Government
responsibly to address the issues and had demonstrated that they
lacked the
necessary leadership to provide a safe living environment for community
members.
- The
respondents submit that in all the circumstances the Reserves Act was a
reasonable response to those reasonable concerns. They
say firstly that the
2002 Management Order had not resulted in the applicants managing the Reserve
for the benefit of Aboriginal
people. That is, there was evidence that the
applicants continued to fail to address the concerns of the first respondent
regarding
that management. Secondly, revocation of the 2002 Management Order
otherwise than by the Reserves Act could have resulted in a person
challenging
the validity of the revocation under the LAA and obtaining an interlocutory
injunction preventing a change in the management
of the Reserve, thereby leaving
at risk the safety of the women and children on the Reserve. Thirdly, the
Reserves Act removed any
uncertainty concerning the power of the management body
to remove persons from the Reserve who posed a risk to the safety of the
women
and children on the Reserve.
- The
respondents also submit that the fact that they could have reasonably responded
in other ways does not mean that the approach
adopted was not reasonable.
- The
reasonableness of the first respondent’s response is also said to be
demonstrated by the evidence in relation to the provision
of alternative
housing. It was generally, and in the respondents’ submission,
reasonably, agreed within Government that leaving
the families to live on the
Reserve following the enactment of the Reserves Act was not a viable option
because of the risk that
the same social problems (including those arising from
‘bungeemen’ coming onto the Reserve) would continue.
- However
it was also agreed within Government that families would not be moved from the
Reserve straight away but that there would
be a period of transition after the
enactment of the Reserves Act during which time the families’ needs and
aspirations would
be ascertained and they would be relocated to other suitable
accommodation.
- Immediately
following the discovery on 4 June 2003 that the women and children had left the
Reserve, officers within Government established
protocols with the service
providing government agencies so that they could keep track of any assistance
provided to former residents
of the Reserve and so that they could be given
priority assistance.
- In
the respondents’ submission the relevant government agencies went to great
lengths to provide the residents of the Reserve
with alternative accommodation
in a timely and efficient manner. Between July and September 2003 the first
respondent provided emergency
accommodation and/or public housing to a number of
Aboriginal inhabitants of the Reserve.
The availability of alternative measures
- The
respondent submits that the State, in addressing such a serious and urgent
problem, fundamental to its duty to the community,
is afforded particular
discretion. It is said that the availability of other measures to address the
problem is only material to
the question of whether a measure is appropriate and
adapted where those alternatives are shown to be as efficacious as the impugned
measure (Castlemaine 169 CLR at 476-477 per Mason CJ, Brennan, Deane,
Dawson and Toohey JJ). In the present case, although the applicants have
proposed
alternative measures that the State could have adopted, those measures
were not efficacious for reasons which now follow.
- The
respondents submit that utilisation of the criminal law would have been an
entirely inappropriate and inadequate response in light
of the concerns held by
the first respondent.
- Firstly,
the criminal law can only address problems after they have occurred and it may
take many years to secure a conviction. In
such a circumstance the safety and
security of those residing on the Reserve could not be guaranteed. The
respondents, in acting
responsibly in their duty to protect children and other
vulnerable people on the Reserve, could not ignore the substantial body of
information addressed above and leave the matter to the workings of the criminal
law.
- Secondly,
the applicants, in their affidavit evidence and their oral testimony before this
Court, have clearly demonstrated an unwillingness
to accept that incidents of
violence and abuse have occurred on the Reserve (even when verified by lawful
convictions). For example:
- (a) even though
Robert Bropho has been convicted of child abuse in a criminal court of competent
jurisdiction and the matter has been
appealed and reviewed in the Court of
Criminal Appeal, Bella Bropho, Margaret Jeffery and Robert Bropho himself
maintained that Mr
Bropho was innocent of those charges and would not accept
that the incident occurred;
- (b) Denise
Sambo, de-facto partner of Harvey Bropho, gave evidence that despite knowing
Harvey had an extensive criminal record for
violence, to Ms Sambo’s
knowledge, Harvey had never assaulted or threatened anyone and she had never
seen him commit any of
these acts on the Reserve, or elsewhere;
- (c) the Coroner
in his report into the death of Susan Taylor accepted that after Susan Taylor
had been indecently and physically assaulted
by her uncle Richard Bropho on the
Reserve she had gone to Robert Bropho’s place where he did little or
nothing to investigate
her concerns. The applicants believe that Susan Taylor
was being abused elsewhere than at the Reserve; and
- (d) there were
also an overwhelming number of events of domestic violence, assault and sexual
abuse recorded by government officials
to which the applicants have simply
denied any knowledge.
- Thirdly,
those who did make complaints of abuse and violence on the Reserve were often
intimidated and threatened, leading to any
criminal charges that were pressed
being withdrawn. Alternatively, the fear of being threatened or intimidated
often made it difficult
for government officials to pursue their inquiries or
provide assistance to those who required it. For example:
- (a) following a
complaint made by Lena Spratt that she had been sexually assaulted by Robert
Bropho, the DCD officers were advised
that substantial pressure was put on the
Spratt family to withdraw the charge, including drivebys by Bropho family
members, telephone
threats and family members were threatened with weapons;
- (b) Herbert
Bropho was not convicted of an assault on Natasha Bropho because Natasha went to
South Australia and did not appear to
give evidence. Bella Bropho,
Natasha’s mother, denied that was because she was scared to give evidence
against Herbert, but
the respondents say her evidence in that regard was
unconvincing;
- (c) Robert
Bropho threatened a Crown Prosecutor, Patti Chong, that he would sue her for
racial discrimination and defamation for her
handling of the prosecution of
Timothy Bropho for the sexual assault of a two year child whilst on the Reserve.
Robert Bropho was
also antagonistic during Ms Chong’s preparation for the
trial; and
- (d) when
Clinton Pickett was interviewed regarding allegations of sexual abuse that he
had made he refused to repeat the allegation
or speak about anything happening
on the Reserve. Officers involved in conducting the interview considered that
Clinton was afraid
to speak out.
- Fourthly,
the respondents say the evidence demonstrates that access to the Reserve by
Government was problematic because of the intimidating
and obstructionist
attitude of the SVC management. The applicants disputed that access to, and
residency on, the Reserve was controlled
solely by Robert Bropho. Regardless of
that dispute, it is clear that the SVC management, including Robert Bropho and
his sons Herbert
and Harvey, Iva Hayward-Jackson, and other non-Aboriginal
supporters including Margaret Jeffery, regulated the conditions of access
by
government officers to the Reserve and to persons on the Reserve, and that they
showed no genuine intention of working with the
Government to improve conditions
on the Reserve.
- For
example:
- (a) from
approximately 1995 the Service had been banned by Robert Bropho from entering
the Reserve;
- (b) in 1996
Robert Bropho denied the DCD access to the Reserve to discuss a program aimed at
keeping children safe from abuse;
- (c) in mid 1997
Robert Bropho again ordered the DCD off the Reserve during an investigation into
claims of sexual abuse made by a
child on the Reserve. Subsequent to this,
officers from the DCD Midland office did not seek to access the Reserve;
- (d) in October
1997 Robert Bropho ordered the teacher appointed to the school on the Reserve
off the premises. The DOE later withdrew
the teachers from the Reserve’s
school due to concerns about violence on the Reserve;
- (e) since 1995,
following an incident in which a police vehicle was damaged in an incident on
the Reserve, it became police procedure
to call ahead to Robert Bropho before
entering the Reserve and as a general rule two vehicles would enter the campsite
together;
- (f) the draft
management plan developed by the SVC contained statements that new and
unannounced visitors were to come to the office
to visit where they would be
directed to those they needed to see and that as a common courtesy, visitors
should ring ahead. It
was the view of Government that officials needed to be
able to make unannounced visits and have unimpeded contact with individual
families and children at the Reserve; and
- (g) efforts by
government officials to improve local service provision to the Reserve was
consistently met with obstruction on the
part of the SVC. The management of the
SVC often refused to meet with the officials or, when they did, wished only to
discuss broader
political or governance issues and not the improvement of local
service provision.
- In
the respondents’ submission conduct of the applicants reasonably gave rise
to a belief on the part of the State that the
Reserve had become a closed
community. The fact that the applicants may have allowed some particular
agencies, or some particular
government officials, access to the Reserve does
not detract from the veracity of that overall assessment. In the
respondents’
submission access to the Reserve by government officials was
dependent upon whether the SVC viewed the service being provided by
the official
as a beneficial one. Consequently, whilst DIA had regular contact and access
with people on the Reserve for heritage
and cultural issues, those departments
such as the police or the DCD who were involved in the investigation of violence
and abuse
on the Reserve were met with obstruction by members of the SVC.
Services, such as those concerned with child protection which most
people would
see as positive services, were not necessarily viewed as such by the community
at the time.
- In
circumstances where criminal allegations had been made in relation to certain
people in authority on the Reserve it was entirely
inappropriate for those same
people to control access to the Reserve, or to decide the time, place and manner
in which the Government
would investigate its concerns or provide services to
the most vulnerable members of the Reserve.
- In
such an environment the powers given to government officers to enter the Reserve
under the existing laws of the State proved to
be ineffective. For example,
Caroline Brazier explained that the power to enter private property under the
Child Welfare Act was not an appropriate mechanism for accessing the
Reserve because the power related to a specific child and the DCD wished to be
able to have free access to women and children on the Reserve to form
relationships with them. Ms Brazier also explained that children
and young
people will provide information in certain environments in which they feel safe
and in other environments they will retract
or not be prepared to talk about
those matters.
- Accordingly,
reliance upon the provision of the current criminal law was an inadequate
response in light of the reasonable concerns
held by the respondents.
- The
respondents say that in circumstances, such as those detailed above, where the
Government held grave concerns for the safety of
women and children resident on
the Reserve and where the SVC was unwilling to engage with local service
providers and allow them
access to residents of the Reserve, there is no reason
to believe that a MOU would have proved effective. The issue of a MOU detracted
the attention of the SVC away from the provision of basic local services to
members of the Reserve, which was the State Government’s
priority. The
broad policy and governance issues sought to be raised by the applicants for
inclusion in a MOU did not adequately
address the more pressing concerns of the
Government in relation to the safety of women and children on the
Reserve.
Reasoning
- I
consider it beyond contention that in the determination of issues relating to
discrimination, including alleged racial discrimination,
regard may be had to
the reasonableness of the enactment or action in question. This in turn
includes, particularly in cases of
alleged indirect discrimination, regard being
had to the proportionality of the matter in question. The authorities cited in
the
submissions of the respondent on the present issue along with those
considered in the consideration earlier in these reasons of the
nature of
discrimination provide the necessary support for this view.
- It
must be accepted, as the applicant submits, that the measures provided for in
the Reserves Act and the implementation of them were
far-reaching and beyond
what may have been the usual response to issues involving the legal and human
rights of women and children.
The question whether they were disproportionate
and thus unreasonable must be considered objectively in all the
circumstances.
- The
starting point in the evidence is the availability of alternative measures. It
is quite clear that the alternative of a memorandum
of understanding had not
worked in the circumstances. It was a principal objective of the 2002
Management Order, which had been
introduced with a view to advancing the
recommendation of the Gordon Inquiry to that end. It had not elicited a
response from the
SVC addressing the matters requiring attention in such a
memorandum so that no understanding had been reached.
- As
to the criminal law, the respondents’ submissions are powerful and are
supported in the evidence. The submission answers
the applicant’s
submission that the criminal law was a reasonable alternative.
- Additionally,
it is not the case that the existence of a judicial discretion to grant or
refuse an application for injunctive relief
is a reason why that remedy may not
have been an obstacle to the introduction of measures of reform to the Reserve.
It was the fact
that the remedy could have led to the grant of an injunction in
circumstances where the condition of some women or children required
immediate
assistance that presented an obstacle in the circumstances.
- There
were two further factors of considerable significance. The Aboriginal
inhabitants were not resident on private land owned by
them. They were resident
on a public reserve for which the Minister under the LAA had responsibility to
see was well managed by
the appointment of an appropriate manager. In the
absence of a negotiated solution being found and/or of the criminal law to
provide
the protection required for vulnerable women and children, there were no
other available remedies to provide that protection.
- Additionally,
the vulnerable women and children were among Aboriginal inhabitants of a
community charged with the management of the
Reserve, in relation to which the
view had been reasonably (that is, based on evidence) formed was a dysfunctional
community unable
to provide the necessary protection either immediately or in
the longer term. The evidence showed that the view had been formed
that the SVC
through some of its members had become the leader of a closed community,
impervious to any of the measures taken to
alleviate the position of women and
children on the Reserve who alleged their human and other rights were in
jeopardy. It is only
in that context that the choice of the remedy of closing
the community at Lockridge can be understood. Such closure would not
necessarily
be a course to be embarked upon in other circumstances. The choice
of that course is a measure of the sense of despair by those
in authority at
their inability to address and alleviate the occurrence of conduct gravely
affecting women and children on the Reserve.
- It
is in these circumstances that the objective finding of the reasonableness and
proportionality of the Reserves Act must be made.
What else could a responsible
government have done in the circumstances? In my view, despite the unusual and
far-reaching character
of the measure, the enactment of the Reserves Act and the
actions taken under it must be found to have been both reasonable and
proportionate.
- In
reaching that view it should be stated, as has been stated in other sections of
these reasons, it is not for the Court to rework
or remake the decisions of
Parliament and Government. The function of the Court is confined to whether, in
all the circumstances,
it was objectively reasonable for certain actions to have
been taken. That requires the Court being satisfied that there was a foundation
in fact for the decisions made, not that those decisions were, in the view of
the Court, the best ones to have been taken at the
time. If there was a
foundation so that the decisions were reasonable, it is for Government to decide
the course of action. I consider
there clearly was such a foundation. It is
not to the point that there may have been other views to have been taken of the
evidence
if in fact the evidence at the time provided a foundation for the
action which was taken.
WAS ANY DEPRIVATION NOT ARBITRARY BECAUSE THE ENACTMENT OF THE RESERVES ACT WAS
IN THE PUBLIC INTEREST? [ISSUE 24]
- The
respondents raise this issue in defence to the applicant’s claim of
arbitrary deprivation. They say that a deprivation
of property in the public
interest cannot be characterised as arbitrary.
- The
applicant argues that there was no reasonably identified public interest in
enacting the Reserves Act. She accepts the Second
Reading Speech in relation to
the Reserves Bill identified the public interest in and the ‘fundamental
responsibility of the
Western Australian Government to provide a safe and secure
environment for all its citizens, particularly its children’. While
that
is a reasonable objective, it is submitted the Reserves Act did not contribute
to the provision of such an environment. It
is said by the applicant that the
action taken was not reasonably connected to the stated public interest. Rather
it had the opposite
effect of dislocating citizens from their homes. It did not
provide any safer environment.
- The
evidentiary base on which this issue arises is that already set out in relation
to proportionality, reasonableness and legitimacy.
- Weighing
the evidence upon which the applicant relies in the context of the evidence on
which the respondents rely, it is apparent
that the applicant’s
contentions that there was no public interest involved in the enactment of the
Reserves Act cannot be
upheld. The purpose of the leading players in the
enactment was entirely one of public interest, namely, the safety of women and
children. It is not for the Court, by reference to the evidence upon which the
applicant relies on this issue, to rework the exercise
of discretions made by
the witnesses as parliamentarians or senior public servants in determining where
the public interest lay.
Not only did they think that the Reserves Act was in
the public interest, but there was evidence upon which they were entitled to
rely to reach that view.
- In
reaching this view I take into account the authorities previously set out in
relation to whether the 2002 Management Order was
in the public interest
concerning the scope at law of the phrase ‘in the public
interest’.
WAS THE RESERVES ACT A SPECIAL MEASURE [ISSUE 19]
- The
respondents also rely on the ‘special measure’ defence. As has
earlier been set out, a special measure is one ‘taken
for the sole purpose
of securing adequate advancement of certain racial or ethnic groups or
individuals requiring such protection
as may be necessary in order to ensure
such groups or individuals equal enjoyment or exercise of human rights and
fundamental freedoms’
(Convention, Art 1(4)). The Convention
provides that such a measure shall not be deemed racial discrimination provided
that
it does not, as a consequence, ‘lead to the maintenance of separate
rights for different racial groups and that they shall
not be continued after
the objectives for which they were taken have been achieved.’
Section 8(1) provides that Pt II
does not apply to, or in relation to
the application of, special measures other than measures to which s 10(3)
applies.
- In
Gerhardy 159 CLR at 133 Brennan J said:
‘A special measure (1) confers a benefit on some or all members of a
class, (2) the membership of which is based on race, colour,
descent, or
national or ethnic origin, (3) for the sole purpose of securing adequate
advancement of the beneficiaries in order that
they may enjoy and exercise
equally with others human rights and fundamental freedoms, (4) in circumstances
where the protection
given to the beneficiaries by the special measure is
necessary in order that they may enjoy and exercise equally with others human
rights and fundamental freedoms.’
In
Pareroultja v Tickner [1993] FCA 465; (1993) 42 FCR 32 at 47 Lockhart J, with whom
O’Loughlin and Whitlam JJ agreed, accepted that a special measure must
have the sole purpose of
securing advancement and that the need for the measure
to be taken must match the purpose.
- It
is to be noted that a special measure may be for the advancement not only of
racial or ethnic groups but also of racial or ethnic
individuals.
The advancement and human rights claimed to be protected
- The
respondents contend that the evidence outlined above as general and specific
findings of fact clearly establishes that the Reserves
Act was enacted for the
sole purpose of securing adequate advancement of certain individuals (i.e.
Aboriginal women and children
inhabiting the Reserve) requiring such protection
as may be necessary in order to ensure those individuals’ equal enjoyment
or exercise of human rights and fundamental freedoms i.e. the human right in
Art 5(b) of the Convention - the right to security
of person and protection
by the State against violence or bodily harm, whether inflicted by government
officials or by any individual,
group or institution.
- The
respondents submit that in all of the circumstances detailed above the
respondents held, and were justified in holding, concerns
regarding the safety
of women and children residing on the Reserve, including concerns
that:
- (a) the
applicants were not managing the Reserve for the benefit of Aboriginal people by
reason that access to and residence on the
Reserve was restricted to Robert
Bropho and members of his family and persons associated with them and that
attempts by government
officers to improve the provision of government services
to the Aboriginal inhabitants of the Reserve were frustrated by the management
of the SVC;
- (b) unlawful
conduct was occurring on the Reserve including substance abuse, that persons
residing or visiting the Reserve, especially
women and children, may be
assaulted, including indecently assaulted and sexually assaulted and may attempt
suicide; and
- (c) the human
rights of Aboriginal inhabitants of the Reserve may be interfered with,
including that some Aboriginal inhabitants,
especially women and children may be
subjected to physical and sexual abuse and intimidation, contrary to their human
right to security
of person and denied assistance by government service
providers, contrary to their human right to protection by the State against
violence or bodily harm.
The curial approach to the provision
- In
Gerhardy [1985] HCA 11; 159 CLR 70 members of the High Court addressed the proper curial
approach to the issues raised by the special measure defence. Drawing from
the
jurisprudence concerning constitutional facts, Gibbs CJ held that ‘the
fact must be ascertained by the court as best it
can, when the court is called
upon to pronounce upon validity’ and that in doing so the Court may have
regard to material before
it and to facts that are notorious (at 87-88).
- Mason
J gave weight to the expressed views of the Government in introducing the
legislation (at 104):
‘The substantial question raised by Art. 1.4 is whether it embraces a
legislative measure such as the State Act, the object
of which is to vest in a
body corporate for the benefit of the people of a particular race or races,
title to land with which they
have been traditionally associated, the title
being inalienable and access to others being restricted. In considering this
question
we need to recall that the object of legislation of this kind is not
merely to restore to an Aboriginal people the lands which they
occupied
traditionally, but also to provide that people with the means to protect and
preserve their culture. So much is made clear in the case of the State Act by
the Minister's Second Reading Speech on the introduction of the Bill in the
South Australian House of Assembly: Hansard, House of Assembly, 23 October 1980,
p 1387.’ (Emphasis added.)
- Wilson
J also gave weight to the attitude of the Government (at
113):
‘The emphasis upon traditional ownership and the functions of Anangu
Pitjantjatjaraku set out in s 6(1) are plainly directed
to enabling the
Pitjantjatjaras to protect and preserve their culture, a culture which, as the
Premier observed in the House of Assembly
in the course of the Second Reading
Speech (see Hansard, House of Assembly, 23 October 1980, p 1387) ‘is still
largely intact’.
In his speech, the Premier refers to the extensive
discussions and negotiations with the Aboriginal leaders of the relevant tribes
that preceded the preparation of the Bill. The result is a measure directed to
securing for the Pitjantjatjaras such advancement
as will enhance their capacity
to experience the full and equal enjoyment of human rights and fundamental
freedoms.’
- Deane
J held that so long as a measure is ‘reasonably considered to be
appropriate and adapted to achieving’ the purpose
of the advancement of a
disadvantaged racial group, it will be characterised as a special measure (at
149, also at 153).
- Dawson
J held that (at 161-162):
‘The question whether the Pitjantjatjaras are a racial or ethnic
group requiring protection must ultimately be a matter for the legislature
and, provided that they are capable of being so regarded, then it is not for
this Court to inquire further. From the terms of the
Act and those facts which,
upon the evidence or otherwise, the Court is entitled to take into account, I am
of the view that it is
a conclusion which the legislature might properly have
reached.’ (Emphasis added.)
- Brennan
J in Gerhardy [1985] HCA 11; 159 CLR 70 noted that the characterisation of a measure as
a ‘special measure’ was largely a matter for the other branches of
government
(at 138):
‘... the character of a special measure depends in part on a political
assessment that advancement of a racial group is needed
to ensure that the group
attains effective, genuine equality and that the measure is likely to secure the
advancement needed. When
the character of a measure depends on such a political
assessment, a municipal court must accept the assessment made by the political
branch of government which takes the measure. It is the function of a political
branch to make the assessment. It is not the function
of a municipal court to
decide, and there are no legal criteria available to decide, whether the
political assessment is correct.
The court can go no further than determining
whether the political branch acted reasonably in making its assessment.’
- Brennan
J also noted, however, that ‘the wishes of the beneficiaries of the
measure are also of great importance in satisfying
the element of
advancement’. That dicta was not supported by the other justices and is
not consistent with the general principles
expressed in the case.
- The
respondents say that in the present case, the beneficiaries of the measure are,
in particular, the children who lived in the Reserve.
Ascertaining the wishes
of these children was problematic, in significant part due to the difficulties
in obtaining access to those
children. In such circumstances, they argue it
would defeat the purpose of the RDA and the ‘special measure’
provisions
were the wishes of the adult members of the SVC, including those
responsible for the violence and abuse that occurred on the Reserve,
to be
determinative. This submission does not address the fact that the beneficiaries
of the measure were also expressly stated
to be the women who lived on the
Reserve, who were subjected to physical and domestic abuse. A large number of
these women did not
agree with the enactment of the Reserves Act and indeed
presented a open letter to the Premier to that effect, stating that they
were
‘completely free’ to act as they wished. If the above dicta by
Brennan J was to be given weight, a consideration
of the wishes of the women
might suggest that the measure was not to be taken for the purpose of securing
their advancement. However,
as the dicta of Brennan J in this respect has no
apparent judicial support, I cannot place weight on that aspect of his
reasoning.
- The
views expressed in Gerhardy [1985] HCA 11; 159 CLR 70 as to the significant
weight that is to be given to the judgment of the elected government as to
questions of policy are consistent
with general legal and constitutional
principle and with the position under international conventions: James 8
EHRR at [46] the European Court of Human Rights considered the meaning of the
sentence: ‘No one shall be deprived of his possessions
except in the
public interest’, in Art 1 of Protocol No. 1 to the European
Convention on Human Rights. At [46] the
Court said:
‘...the notion of 'public interest' is necessarily extensive. In
particular, as the Commission noted, the decision to enact
laws expropriating
property will commonly involve considerations of political, economic and social
issues on which opinion within
a democratic society may reasonably differ
widely. The Court, finding it natural that the margin of appreciation available
to the
legislature in implementing social and economic policies should be a wide
one, will respect the legislature's judgment as to what
is 'in the public
interest' unless that judgment be manifestly without reasonable
foundation.’
This was followed in
Mellacher 12 EHRR at [45].
- Against
the background of this authority, it is apparent the Court must objectively
determine whether the Reserves Act was solely
a protective measure of the
required type when it was made. The applicant accepts the first
respondent’s enactment of the
Reserves Act on the basis of a concern in
relation to possible breaches of human rights is a matter which the Court is
entitled to
determine as a constitutional fact ‘as best it can’ from
the evidence, including Ministerial statements in the Parliament
and the
Court’s knowledge recognised judicially of the circumstances in which
Aboriginal people find themselves generally living
on Reserves: Gerhardy
159 CLR at 143.
- However,
she argues an expression of government as to the reasons for introducing
legislation into the Parliament does not prevent
an objective analysis of the
words of the statute so as to determine whether they go beyond a particular
purpose: cf R v Toohey; Ex parte Northern Land Council [1981] HCA 74; (1981) 151 CLR 170
at 187-188. I accept that although the Court will ordinarily accept the view of
the government that a particular measure is taken
for the advancement of a
disadvantaged group or individuals, that will not be the case where the Court is
not objectively satisfied
that it was reasonable for the government or
legislature to have reached the view which it did. That is, that there is
evidence
of a proper foundation for the view which government has adopted. It
is not for the Court to determine whether the political assessment
was correct
when made or whether the assessment of disadvantage was in fact fulfilled by the
measure adopted. It has already been
determined above that the Reserves Act
was, in the particular circumstances, objectively to be seen as reasonable and
proportionate
and hence legitimate.
The sole purpose of the government view
- There
is no dispute on what the government view was in this matter. The
Premier’s Second Reading Speech to the Reserves Bill
stated ‘there
is only one course of action that will secure for the children and women of the
Swan Valley Nyungah Community
the protection and safety they deserve and halt
the cycle of abuse and violence; that is, the current management order must be
revoked,
and the Swan Valley reserved be vested in the Aboriginal Affairs
Planning Authority...’. He referred to ‘systemic sexual
and
physical abuse, substance abuse, family violence and intimidation that has
occurred’ and the fact that ‘grave concerns
continue to be held
about the safety of children and women living in the Swan Valley
Community’. The evidence on this has
been set out more fully under
general findings of fact.
- The
applicant submits that no objective analysis of the Reserves Act could reach the
conclusion that it constituted a ‘special
measure’ of the kind
contemplated by Art 1(4) of the Convention. It is contended by the
applicant that the Court might
find that, although the first respondent’s
concern about the human rights of Aboriginal inhabitants of the Reserve to be
secure
in their person was genuine, it was not a reasonable response to enact
the Reserves Act, revoking the 2002 Management Order which
was in favour of the
SVC.
- The
respondents argue that it is notorious that Aboriginal people are a
disadvantaged group and that one of the ways in which this
disadvantage
manifests is violence and substance abuse, with a particular effect on children.
They say the Government acted for the
advancement of this community in this
respect and the Court should accept the Government’s determination that
this was an appropriate
policy measure.
- Close
attention must be given to the evidence considered under the headings ‘was
any deprivation not arbitrary because it was
reasonable?’ and ‘was
any deprivation not arbitrary because the enactment of the Reserves Act was in
the public interest?’
appearing above. That examination makes apparent
that there was evidence upon which the Government could rely as a foundation for
the view which it formed. As has there been found, it cannot in those
circumstances be concluded that the view of Government and
then of Parliament
was unreasonably held. It follows in accordance with authority that I should
accept the view of Government that
the Reserves Act was enacted for the sole
purpose of the advancement of a number of disadvantaged individuals, namely some
Aboriginal
inhabitants of the Reserve who were women and
children.
Absence of separate rights for different racial groups and discontinuance
- The
Reserves Act did not lead to the maintenance of separate rights for different
racial groups and it only applied for a period of
2 years from its enactment
(which was a sufficient time to achieve the objectives for which it was
enacted): s 13 of the Reserves
Act. Consequently the proviso in Art 1(4)
of the Convention does not have any application.
The Act as a special measure
- Returning
to the list of elements in Art 1(4) set out by Brennan J in Gerhardy 159
CLR at 133, I consider the position to be as follows:
- (1) the Act
conferred a benefit upon some of the Aboriginal inhabitants who were women and
children by removing the manager being
the community believed by Government to
be the source of failure to protect them and by empowering an Administrator to
take steps
to remove the threatening environment. The benefit conferred upon
them was to establish a system which would enable them to access
such protection
as they may require in common with the access enjoyed by Aboriginal or
non-Aboriginal persons living outside the
Reserve. The advancement conferred
was the removal of what was reasonably perceived by Government to be the
impediment to their
equal enjoyment of their human rights and fundamental
freedoms.
- (2) the class
from which the individuals the subject of the measure came was based on race,
namely the Aboriginality of the inhabitants
of the Reserve. (This is a
different question to whether the Reserves Act contains provisions addressed to
both Aboriginal and non-Aboriginal
persons or to whether the effect of the Act
is disproportional in its impact on Aboriginal persons so as to give rise to
indirect
discrimination).
- (3) the sole
purpose of the Act was to secure adequate advancement of the beneficiaries in
order that they could enjoy and exercise
equally with others their human rights
and fundamental freedoms.
- (4) the
enactment occurred in circumstances where the protection given to the
beneficiaries by the special measure was necessary in
order that they may enjoy
and exercise equally with others their human rights and fundamental
freedoms.
- I
therefore conclude the Reserves Act is correctly characterised as a special
measure. This has the consequence that even if I were
to conclude that the
Reserves Act was in some way racially discriminatory because of an inconsistency
with ss 9 or 10 of the
RDA, the Reserves Act would be upheld as valid in
the inconsistent respect because it qualifies as a special measure.
- For
reasons which now follow, the exception in s 10(3) is not
applicable.
THE EXCEPTION TO SPECIAL MEASURE: s 10(3) OF THE RDA
[ISSUE 19]
- It
is agreed that the Reserves Act authorised the Reserve to be managed by another
person (the AAPA) without the consent of the applicants
(s 10(3)(a) of the
RDA).
- It
is agreed that the Reserves Act prevented or restricted the applicants from
terminating the AAPA’s management of the Reserve
(s 10(3)(b) of the
RDA).
- The
applicant argues that the Reserves Act is invalid by reason of inconsistency
with ss 10(3)(a) and (b) of the RDA. It is
said the public interest which
the respondents assert in revoking the 2002 Management Order in favour of the
SVC does not eliminate
the effect of the Reserves Act in denying or limiting the
enjoyment by the applicants of their human rights on an equal footing with
persons of another race, taking into account the effect which the Reserves Act
had on the exercise of those.
- As
I have already determined, the applicants had no right of ownership over the
Reserve nor did they have a human right to that effect.
As s 10(3) clearly
relates to a situation whereby the property in question is owned by an
Aboriginal or Torres Strait Islanders,
then it is plain that the claims of the
applicant in this regard cannot succeed.
- Were
this not the case the respondents would contend that s 10(3) of the RDA
does not apply where the provisions in question
(being the provision in
ss 4 and 5 of the Reserves Act which authorises property owned by an
Aboriginal to be managed by another
person without their consent) applies to
persons generally without regard to their race, colour or national or ethnic
origin. I
have already determined that if the applicants had property in the
Reserve as Aboriginal inhabitants of the Reserve then ss 46
and 50 of the
LAA inherently provided for that property to be managed by a management body
chosen by the Minister, and that applied
generally to all reserves (and
therefore to persons generally, without regard to race). Hence it is argued
s 10(3) has no application.
If the applicants had property in the Reserve
as members of the SVC the respondents would contend s 10(3) of the RDA can
have
no application because, on their own case, the Reserves Act did not result
in that property being managed by other persons; rather
they say the removal of
the SVC as management body deprived them of the property altogether. As I
consider the sub-section cannot
apply, consideration of these additional
arguments is
unnecessary.
CONCLUSION
- The
applicant’s claim has raised many issues and I have endeavoured in these
reasons to address them all. However the fundamental
difficulty with the claim
as I apprehend it is that it does not have a foundation of a right to property
in domestic law or a human
right to the ownership of property. What the
applicants had in relation to the Reserve was the care, control and management
under
the 2002 Management Order. In my view examination of the nature of that
right discloses that it is not enough to sustain the claims
which have been
brought.
- Even
if that seminal difficulty could be overcome, I do not think that the applicant
has made out a case that the Reserves Act or
actions taken under it were
‘by reason of’ race or involved a distinction, exclusion,
restriction or preference ‘based
on race’. Additionally I have
found that in the circumstances where there were no viable alternatives, the
measures adopted
were, although unusual, reasonable and proportionate. Further
it has been established that the Reserves Act and the actions were
taken for the
sole purpose of securing adequate advancement of individuals requiring such
protection to ensure equal enjoyment of
human rights and fundamental freedoms
and so was a special measure to which ss 9 and 10 of the RDA do not have
application.
- Accordingly,
for the above reasons I consider the claims should be
dismissed.
I certify that the preceding five hundred and
eighty-nine (589) numbered paragraphs are a true copy of the Reasons for
Judgment herein
of the Honourable Justice Nicholson.
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Associate:
Dated: 13 April 2007
Counsel for the
Applicant:
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Solicitor for the Applicant:
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Counsel for the Respondents:
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G Tannin SC, S Wright and A Warren
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Solicitor for the Respondents:
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Date of Hearing:
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4, 5, 6 and 7 September 2006
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Date of Judgment:
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URL: http://www.austlii.edu.au/au/cases/cth/FCA/2007/519.html