Chapter 7
THE RIGHT TO A FAIR TRIAL: PART II – FROM TRIAL TO FINAL JUDGEMENT
Learning Objectives
_ To familiarize course participants with some of the international legal rules
concerning the rights of persons charged with criminal offences throughout the
trial stage, and the application of these rules by international monitoring
organs;
_ To sensitize participants to the importance of applying these legal rules
in order to protect a broad range of human rights in a society based on the
rule of law;
_ To create an awareness among the participating judges, prosecutors and lawyers
of their primordial role in enforcement of the rule of law, including the right
to a fair trial in all circumstances, including crisis situations.
Questions
_ Are you already conversant with the international legal rules relating to
a fair trial?
_ Do these rules already form part of the national legal system within which
you are working?
_ If so, what is their legal status and have you ever been able to apply them?
_ In the light of your experience, do you have any particular concerns –
or have you experienced any specific problems – when ensuring a person’s
human rights at the pre-trial or trial stage?
_ If so, what were these concerns or problems and how did you address them,
given the legal framework within which you work?
_ Which issues would you like to have specifically addressed by the facilitators/trainers
during this course?
_ Would you have any advice to give to judges, prosecutors and lawyers exercising
their professional responsibilities in difficult situations, in order to help
them secure the application of fair trial rules?
Relevant Legal Instruments
Universal Instruments
_ International Covenant on Civil and Political Rights, 1966
_ Statute of the International Criminal Court, 1998
_ Guidelines on the Role of Prosecutors, 1990
_ Basic Principles on the Role of Lawyers, 1990
Regional Instruments
_ African Charter on Human and Peoples’ Rights, 1981
_ American Convention on Human Rights, 1969
_ European Convention on Human Rights, 1950
1. Introduction
This chapter, which is a logical continuation of Chapter 6, which dealt with
some of the fundamental human rights that must be guaranteed at the stage of
criminal investigations, will be devoted to the international legal rules that
apply to the trial stage. It will also deal with some important related issues,
such as the limits on
punishment, the right to appeal, the right to compensation in the event of miscarriage
of justice, and the question of fair trial and special tribunals. A brief reference
will also be made to the right to a fair trial in public emergencies, a subject
that will be considered in further depth in Chapter 16. What is important to
bear in mind throughout this chapter, however, are the two fundamental rules
that were dealt with in Chapter 6, namely, the right to equality before the
law and the right to presumption of innocence, which also condition the trial
proceedings from their beginning to the delivery of the final judgement. Lastly,
some issues considered in Chapter 6 will again surface in the present chapter,
owing to the fact that the pre-trial and trial stages are intrinsically linked.
However, overlapping has been kept to a strict minimum.
2. The Legal Provisions
The major legal provisions on fair trial are to be found in article 14 of the
International Covenant on Civil and Political Rights, article 7 of the African
Charter on
Human and Peoples’ Rights, article 8 of the American Convention on Human
Rights and article 6 of the European Convention on Human Rights. The relevant
provisions of these articles will be dealt with below under the appropriate
headings. Additional rules to which reference will be made below are, among
others, the Guidelines on the Role of Prosecutors, the Basic Principles of the
Role of Lawyers and the Statutes of the International Criminal Court and the
International Criminal Tribunals for Rwanda and the former Yugoslavia.
3. Human Rights during Trial
3.1 The right to be tried by a competent, independent and impartial tribunal
established by law
The right to be tried by an independent and impartial tribunal must be applied
at all times and is a right contained in article 14(1) of the International
Covenant on
Civil and Political Rights, which provides that “in the determination
of any criminal charge against him, or of his rights and obligations in a suit
at law, everyone shall be entitled to a fair and public hearing by a competent,
independent and impartial tribunal established by law”(emphasis added).
Although article 7(1) of the African
Charter on Human and Peoples’ Rights speaks only of a “competent”
(art. 7(1)(b)) or “impartial” (art. 7(1)(d)) court or tribunal,
article 26 of the Charter imposes a legal duty on the States parties also “to
guarantee the independence of the Courts”. Article 8(1) of the American
Convention refers to “a competent, independent, and impartial tribunal,
previously established by law”, and article 6(1) of the European Convention
on Human Rights to “an independent and impartial tribunal established
by law”. Lastly, article 40 of the Statute of the International Criminal
Court provides that “the judges shall be independent in the performance
of their functions” and that they “shall not engage in any activity
which is likely to interfere with their judicial functions or to affect confidence
in their independence”. However, since the question of independence and
impartiality of tribunals is considered in some depth in Chapter 4, it will
not be further examined here.
3.2 The right to a fair hearing
The notion of a “fair” hearing is contained both in article 14(1)
of the International Covenant on Civil and Political Rights and in article 6(1)
of the European
Convention on Human Rights, while article 8(1) of the American Convention on
Human Rights speaks of “due guarantees” (emphasis added). The African
Charter on Human and Peoples’ Rights provides no specification in this
respect, but it should be pointed out that, according to article 60 of the Charter,
the African Commission on Human and Peoples’ Rights “shall draw
inspiration” from other international instruments for the protection of
human and peoples’ rights, a provision that enables the Commission to
be inspired, inter alia, by the provisions of article 14 of the International
Covenant on Civil and Political Rights when interpreting the trial guarantees
laid down in article 7 of the Charter. Articles 20(2) and 21(2) of the respective
Statutes of the International Criminal Tribunals for Rwanda and the former Yugoslavia
both provide that the accused shall be entitled to a fair and public hearing
in the determination of charges against him or her, although with the proviso
that the protection of victims and witnesses may require measures which “shall
include, but shall not be limited to, the conduct of in camera proceedings and
the protection of the victim’s identity” (arts. 21 and 22 of the
respective Statutes). The rights of the accused as contained in these Statutes
are heavily inspired by article 14 of the International Covenant.
With regard to the minimum guarantees contained in article 14(3) of the Covenant
with respect to criminal proceedings, the Human Rights Committee has pointed
out in General Comment No. 13 that their observance “is not always sufficient
to ensure the fairness of a hearing as required by paragraph 1”1
of article 14, which may thus impose further obligations on the States parties.
In particular, when it comes to cases in which a capital sentence may be imposed,
“the obligation of States parties to observe rigorously all the guarantees
for a fair trial set out in article 14 of the Covenant admits of no exception”.2
Below, a few examples from universal and regional jurisprudence will show the
diversity of situations in the course of trial proceedings that may amount to
a violation of the right to a fair hearing. More details as to the fairness
of hearings will be given in subsection 3.2.2 regarding “The right to
equality of arms and adversarial proceedings”. The right to a fair trial
in article 14(1) of the Covenant was violated in a case where the trial court
failed “to control the hostile atmosphere and pressure created by the
public in the court room, which made it impossible for defence counsel to properly
cross-examine the witnesses and present” the author’s defence. Although
the Supreme
Court referred to this issue, it “failed to specifically address it when
it heard the author’s appeal”.3 The right to a
fair trial under article 14(1) was further violated in a case where the prosecutor
entered a nolle prosequi plea in a trial after the author had pleaded guilty
to manslaughter. The Committee considered that, in the circumstances of the
case, the “purpose and effect” of the nolle prosequi “were
to circumvent the consequences” of the author’s guilty plea, in
that rather than using it to discontinue the proceedings against the author,
it enabled the prosecution to bring a fresh prosecution against the author immediately
on exactly the same charge.4
The “Street Children” case: Fairness from the point of view of the
victims
The so-called “Street Children” case against Guatemala concerned
the abduction, torture and murder of four “street children”, the
killing of a fifth, and the failure of
State mechanisms to deal appropriately with these violations and provide the
victims’ families with access to justice. Criminal proceedings were instituted
but nobody was punished for the crimes committed. The Inter-American Court of
Human Rights concluded that the relevant facts constituted a violation of article
1(1) of the American Convention on Human Rights “in relation to its article
8”, since the State had “failed to comply with the obligation to
carry out an effective and adequate investigation of the corresponding facts”,
i.e. the abduction, torture and murder of the victims.5 According
to the Court, the domestic proceedings had “two types of serious defect”:
first, “investigation of the crimes of abduction and torture was completely
omitted”, and, second, “evidence that could have been very important
for the due clarification of the homicides was not ordered, practised or evaluated”.6
It was thus “evident” that the domestic judges had “fragmented
the probative material and then endeavoured to weaken the significance of each
and every one of the elements that proved the responsibility of the defendants,
item by item”, and that this contravened “the principles of evaluating
evidence, according to which, the evidence must be evaluated as a whole, ...
taking into account mutual relationships and the way in which some evidence
supports or does not support other evidence”.7 In this
case the Court also importantly emphasized that
“it is evident from article 8 of the Convention that the victims of human
rights violations or their next of kin should have substantial possibilities
of being heard and acting in the respective proceedings, both in order to clarify
the facts and punish those responsible, and to seek due reparation”.8
As can be seen, the due process guarantees thus also condition the very procedure
whereby domestic authorities investigate and prosecute human rights violations.
The right to be heard in person: The right to a fair trial as guaranteed by
article 6(1) of the European Convention on Human Rights was violated in the
case of
Botten, where the Supreme Court of Norway gave a new judgement, convicting and
sentencing the applicant, in spite of not having summoned or heard him in person.
This was so, although the proceedings before the Court had included a public
hearing at which the applicant was represented by counsel. In the view of the
European Court, the “Supreme Court was under a duty to take positive measures”
to “summon the applicant and hear evidence from him directly before passing
judgement”.9
The right to a fair trial was further violated in the Bricmont case, where
the applicant had been convicted on several criminal charges with the Court
of Appeal
relying on accusations of the civil party, a member of the royal family, who
had joined the criminal prosecution in order to seek damages. However, on some
of the charges on which the Court of Appeal found the applicant guilty, the
latter was convicted after proceedings which violated his defence rights as
guaranteed by article 6; indeed, the applicant had had no “opportunity,
afforded by an examination or a confrontation, to have evidence taken from the
complainant, in his presence, on all the charges”, there having been confrontation
only in respect of one count.10 The right to a fair trial
can be violated in many ways, but as a general
principle it has always to be borne in mind that the accused person must at
all times be given a genuine possibility of answering charges, challenging evidence,
cross-examining witnesses, and doing so in a dignified atmosphere. Failures
and shortcomings at the stage of criminal investigations may seriously jeopardize
the right to fair trial proceedings and thereby also prejudice the right to
be presumed innocent.
3.2.1 The right of access to a court or tribunal
With regard to the right of access to the courts, the European Court of Human
Rights has ruled that article 6(1) “secures to everyone the right to have
any claim relating to his civil rights and obligations brought before a court
or tribunal”; where a prisoner was refused permission by the United Kingdom
Home Secretary to
consult a solicitor in order to bring a civil action for libel against a prison
officer, this refusal constituted a violation of the applicant’s “right
to go before a court as
guaranteed by” article 6(1).11 The same issue arose
in the case of Campbell and Fell where the applicants complained of a delay
by the prison authorities in granting them permission to seek legal advice for
injuries they had sustained during an incident in a prison. Although they were
eventually granted the permission they sought, the Court emphasized that “for
evidentiary and other reasons speedy access to legal advice is important in
personal-injury cases” and that “hindrance, even of a temporary
character, may contravene the Convention”.12 It is also
of interest to point out that in cases where administrative authorities decide
administrative offences which amount to a “criminal charge” under
article 6(1) of the European Convention – such as cases of speeding on
motorways – and, if the
decisions taken by the administrative authorities do not themselves satisfy
the requirements of article 6(1) of the Convention, they “must be subject
to subsequent
control by a ‘judicial body that has full jurisdiction’”.13
This means that the judicial body must have “the power to quash in all
respects, on questions of law and fact”, the decision of the lower authority.14
If in these circumstances a Constitutional Court can examine only points of
law, it does not fulfil the requirements of article 6(1), and, similarly, if
the Administrative Court has no power to quash the decision “on questions
of fact and law”, it cannot, in the view of the European Court, be considered
as a “tribunal” for the purposes of article 6(1).15
In numerous other cases which will not be examined here, the European Court
has also found a violation of the right of access to courts to have one’s
civil rights and obligations, including property rights and the right of access
to one’s child, determined.16 Lastly, it should briefly
be recalled here that the right of access to the courts also means, for instance,
that men and women must have equal access thereto and that this equality might
require the granting of legal aid for the purposes of securing the effectiveness
of this right (cf. case-law under art. 14(1) of the International Covenant and
art. 6(1) of the European Convention as explained in Chapter 6).17
The right of access to the courts means that no one must be hindered either
by law, administrative procedures or material resources from addressing himself
or herself to a court or tribunal for the purpose of vindicating his or her
rights. Women and men are entitled to equal access to the courts.
3.2.2 The right to equality of arms and adversarial proceedings
The notion of equality of arms is an essential feature of a fair trial, and
is an expression of the balance that must exist “between the prosecution
and the defence”.18
With regard to the concept of “fair trial” in article 14(1) of the
International Covenant, the Human Rights Committee has explained that it “must
be interpreted as requiring a number of conditions, such as equality of arms
and respect for the principle of adversary proceedings”, and that “these
requirements are not respected where ... the accused is denied the opportunity
personally to attend the proceedings, or where he is unable properly to instruct
his legal representative”. In particular, “the principle of equality
of arms is not respected where the accused is not served a properly motivated
indictment”.19
The African Commission on Human and Peoples’ Rights has held that “the
right to fair trial involves fulfilment of certain objective criteria, including
the right to
equal treatment, the right to defence by a lawyer, especially where this is
called for by the interests of justice, as well as the obligation on the part
of courts and tribunals to conform to international standards in order to guarantee
a fair trial to all”. The Commission added that “the right to equal
treatment by a jurisdiction, especially in criminal matters, means, in the first
place, that both the defence and the public prosecutor shall have equal opportunity
to prepare and present their pleas and indictment during the trial”. They
must, in other words, be able to “argue their cases ... on an equal footing”.
Secondly, “it entails the equal treatment of all accused persons by jurisdictions
charged with trying them”. Although “this does not mean that identical
treatment should be meted out to all accused”, the response of the Judiciary
should be similar “when objective facts are alike”.20
Where, in a death penalty case, the Ngozi Court of Appeal in Burundi refused
to accede to the accused person’s plea for an adjournment of the proceedings
in the absence of a lawyer, although it had earlier accepted an adjournment
requested by the prosecutor, the African Commission concluded that the Court
of Appeal had “violated the right to equal treatment, one of the fundamental
principles of a right to a fair trial”.21
The European Court of Human Rights has explained the principle of equality
of arms as “one of the features of the wider concept of a fair trial”
as understood by
article 6(1) of the European Convention, which implies that “each party
must be afforded a reasonable opportunity to present his case under conditions
that do not
place him at a disadvantage vis-à-vis his opponent”; in this context,
“importance is attached to appearances as well as to the increased sensitivity
to the fair administration of justice”.22 The principle
of equality of arms was thus violated where, in his observations to the Supreme
Court, the Attorney-General had stated that he opposed the applicant’s
appeal; these observations were never served on the defence, which could not
comment on them.23 The European Court noted that “the
principle of the equality of arms does not depend on further, quantifiable unfairness
flowing from a procedural inequality”, and that “it is a matter
for the defence to assess whether a submission deserves a reaction. It is therefore
unfair for the prosecution to make submissions to a court without the knowledge
of the defence”.24 However, rather than referring to
the principle of equality of arms, the European Court has sometimes instead
emphasized the right to adversarial
proceedings in both criminal and civil proceedings, a right which “means
in principle the opportunity for the parties to a criminal or civil trial to
have knowledge of
and comment on all evidence adduced or observations filed, even by an independent
member of the national legal service, with a view to influencing the court’s
decision”.25 In the words of the Court, “various
ways are conceivable in which national law may secure that this requirement
is met”, but “whatever method is chosen, it should ensure that the
other party will be aware that observations have been filed and will get a real
opportunity to comment thereon”.26 Consequently, in
the Lobo Machado case, which concerned proceedings regarding social rights,
the Deputy Attorney-General advocated in an opinion – to which the applicant
had no access – that the appeal to the Supreme Court be dismissed; this
constituted a breach of article 6(1) which was “aggravated by the presence
of the
Deputy Attorney-General at the Supreme Court’s private sitting”.27
The case of Brandstetter In the case of Brandstetter, which concerned defamation
proceedings, the Vienna Court of Appeal had relied on submissions of the Senior
Public Prosecutor which had not been sent to the applicant and of which he and
his lawyer were not even aware. For the Court, it did not help in this case
that the Supreme Court had subsequently quashed the relevant appeal court judgement:
in its view an “indirect and purely hypothetical possibility for an accused
to comment on prosecution arguments included in the text of a judgement can
scarcely be regarded as a proper substitute for the right to examine and reply
directly to submissions made by the prosecution”. Furthermore, “the
Supreme Court did not remedy this situation by quashing the first judgment since
its decision was based on a ground entirely unrelated to the matter in issue”.28
The right to equality of arms or the right to truly adversarial proceedings
in civil and criminal matters forms an intrinsic part of the right to a fair
hearing and means that there must at all times be a fair balance between the
prosecution/plaintiff and the defence. At no stage of the proceedings must any
party be placed at a disadvantage vis-à-vis his or her opponent.
3.2.3 The detention of witnesses
The question of equality of arms arose under article 14 of the International
Covenant in the case of Campbell, where the author complained that he had not
had a
fair trial and where his ten-year-old son had been detained to ensure that he
would testify. The author was charged with assaulting his wife in connection
with a marital dispute, and at the trial his son at first testified that he
had not seen his father. According to the account given by the author, his son
did not change his story, and at the end of the first day of the trial he was
therefore taken to the police station, where he stayed overnight. The next day,
he finally “allegedly broke down and testified against his father”.29
However, after the end of the court proceedings, the son retracted his testimony
in a written statement. For the Human Rights Committee this was “a grave
allegation”, and it emphasized “that the detention of witnesses
in view of obtaining their testimony is an exceptional measure, which must be
regulated by strict criteria in law and in practice”.30
In this case it was “not apparent from the information ... that special
circumstances existed to justify the detention of the author’s minor child”,
and, moreover, “in the light of his retraction, serious questions”
arose “about possible intimidation and about the
reliability of the testimony obtained under these circumstances”. The
Committee therefore concluded that “the author’s right to a fair
trial was violated”.31 Under article 14(1) of the International
Covenant it is only lawful to resort to the detention of witnesses in exceptional
circumstances. It is uncertain to what extent such a measure would be acceptable
under the other treaties.
3.2.4 Judge’s instructions to the jury
Several cases brought before the Human Rights Committee have concerned the alleged
inadequacy of judges’ instructions to the jury. In these cases the Committee
has consistently held that “it is generally for the appellate courts of
States parties to the Covenant to evaluate facts and evidence in a particular
case”, and it is not, therefore, “in principle”, for it “to
review specific instructions to the jury by the judge in a trial by jury, unless
it can be ascertained that the instructions to the jury were clearly arbitrary
or amounted to a denial of justice, or that the judge manifestly violated his
obligation of impartiality”.32
The Committee has however observed that “the judge’s instructions
to the jury must meet particularly high standards as to their thoroughness and
impartiality in
cases in which a capital sentence may be pronounced on the accused”, and
that “this applies, a fortiori, to cases in which the accused pleads legitimate
self-defence”.33 In most cases the Committee has found
no evidence that the trial judge’s instructions were arbitrary to the
extent of amounting to a denial of justice,34 in particular
when it appears clear that “the trial judge put the respective versions
of the prosecution and the defence fully and fairly to the jury”.35
However, in the case of Wright, who was convicted and sentenced to death for
murder, the judge’s omission was so serious as to amount to a denial of
justice contrary to article 14(1) of the Covenant. In this case, a post-mortem
showed that the shot from which the victim died had in fact been fired at a
time when the author was already in police custody; this expert conclusion was
not challenged and was available to the court.36 Given “the
seriousness of its implications”, the Committee was of the view that the
Court should have brought this information “to the attention of the jury,
even though it was not mentioned by counsel”.37 In trials
by jury, the judge’s instruction to the jury must be impartial and fair
in that both the case of the prosecutor and that of the defence must be presented
in such a way as to ensure the right to a fair hearing, which must be free from
arbitrariness. A violation of this essential duty amounts to a denial of justice.
3.3 The right to a public hearing
The right to a public hearing in both civil and criminal cases is expressly
guaranteed both by article 14(1) of the International Covenant on Civil and
Political
Rights and by article 6(1) of the European Convention on Human Rights, although
the press and public “may be excluded from all or part of” a trial
for certain specified reasons, namely, in the interest of morals, public order
or national security in a democratic society, in the interest of the parties’
private lives, or where the interest of justice otherwise so requires. To this
the European Convention also specifically adds “the interest of juveniles”
as a ground for holding court proceedings in camera. Article 8(5) of the American
Convention on Human Rights provides this right only with regard to criminal
proceedings, which “shall be public, except insofar as may be necessary
to protect the interests of justice”. Rule 79(A) in the identical versions
of the Rules of Procedure and Evidence of the International Criminal Tribunals
for Rwanda and the former Yugoslavia also refers to the possibility of the Trial
Chamber going into closed session for reasons of public order or morality, safety,
security or non-disclosure of the identity of a victim or witness as provided
in Rule 75, or for the protection of the interests of justice. However, “the
Trial Chamber shall make public the reasons for its order” (Rule 79(B)).
In General Comment No. 13, on article 14 of the Covenant, the Human Rights Committee
emphasized that “the publicity of hearings is an important safeguard in
the interest of the individual and of society at large”. Apart from the
“exceptional circumstances” provided for in article 14(1), “
a hearing must be open to the public in general, including members of the press,
and must not, for instance, be limited only to a particular category of persons”.38
Notwithstanding the non-publicity of the trial itself, “the judgement
must, with certain strictly defined exceptions, be made public” under
article 14 of the Covenant.39 The duty to hold suits of law
in public under article 14(1) is incumbent on the State, and “is not dependent
on any request, by the interested party ... Both domestic legislation and judicial
practice must provide for the possibility of the public attending, if members
of the public so wish”.40 This duty further implies
that “Courts must make information on time and venue of the oral hearings
available to the public and provide for adequate facilities for the attendance
of interested members of the public, within reasonable limits, taking into account,
e.g., the potential public interest in the case, the duration of the oral hearing
and the time the formal request for publicity has been made. Failure of the
court to make large courtrooms available does not constitute a violation of
the right to a public hearing, if in fact no interested member of the public
is barred from attending an oral hearing.”41 The principle
of publicity means that trials taking place in secret are contrary to article
14(1), such as in the case of eight former Zairian parliamentarians and one
businessman whose trial – among other shortcomings – was not held
in public and who were sentenced to fifteen years’ imprisonment, with
the exception of the businessman, who received a five-year prison sentence.42
Article 14(1) has naturally been violated in cases where the hearing has taken
place in camera when the State party has failed to justify this measure in accordance
with the terms of the Covenant.43
The African Commission on Human and Peoples’ Rights has held that, regardless
of the fact that the right to a public trial is not expressly provided for in
the
African Charter, it is empowered by articles 60 and 61 of the Charter “to
draw inspiration from international law on human and peoples’ rights and
to take into
consideration as subsidiary measures other general or special international
conventions, customs generally accepted as law, general principles of law recognized
by the African States as well as legal precedents and doctrine”. In support
of the notion of publicity of hearings, the Commission then invoked the above-quoted
terms of the Human Rights Committee’s General Comment No. 13 on article
14(1) of the Covenant.44 The African Commission next noted
that the “exceptional circumstances” which might justify exceptions
to the principle of publicity under article 14(1) of the Covenant are “exhaustive”.45
Where the respondent Government had made only “an omnibus statement in
its defence”, without specifying which exact circumstances prompted it
to exclude the public from a trial, the Commission concluded that the right
to a fair trial as guaranteed by article 7 of the African Charter had been violated.46
The principle of public proceedings as guaranteed by article 8(5) of the American
Convention on Human Rights was at issue in the case of Castillo Petruzzi et
al.,
where “all the proceedings in the case, even the hearing itself, were
held out of the public eye and in secret”, thus resulting in “a
blatant violation of the right to a public hearing recognized in the Convention”;
indeed, “the proceedings were conducted on a military base off limits
to the public”.47
Under article 6(1) of the European Convention, proceedings must, with the exceptions
mentioned above, be held in public. However, the application of this
provision “to proceedings before appellate courts depends on the special
features of the proceedings involved”, and “account must be taken
of the entirety of the
proceedings in the domestic legal order and of the role of the appellate court
therein”.48 The Court has thus consistently held that
“provided that there has been a public hearing at first instance, the
absence of ‘public hearings’ at a second or third instance may be
justified by the special features of the proceedings at issue. Thus proceedings
for leave to appeal or proceedings involving only questions of law, as opposed
to questions of fact, may comply with the requirements of Article 6 even when
the appellant was not given an opportunity of being heard in person by the appeal
or cassation court.”49
Applying this interpretation in the case of Bulut, the European Court found
no violation although the Supreme Court used summary proceedings unanimously
to
refuse consideration of an appeal for lacking merit. The European Court was
not satisfied that the grounds of nullity formulated by the applicant “raised
questions of fact bearing on the assessment of [his] guilt or innocence that
would have necessitated a hearing”.50 Nor did the absence
of a public hearing violate article 6(1) in the Axen case, where the German
Federal Court had decided to dispense with a hearing since it unanimously considered
the appeal on points of law to be ill-founded; before taking its decision it
had however “duly sought the views of the parties”.51
The case of Weber
The right to a public hearing was however violated in the Weber case concerning
breach of confidentiality of judicial investigation, where the President of
the Criminal Cassation Division of the Vaud Cantonal Court in Switzerland –
and then the Cassation Division itself – gave a judgement without such
a hearing. It was not sufficient in this case that the subsequent proceedings
in the Federal Court were public, since that Court “could only satisfy
itself that there had been no arbitrariness” and was not competent to
“determine all the disputed questions of fact and law”.52
3.3.1 The right to a public judgement
Article 14(1) in fine of the International Covenant provides that “any
judgement rendered in a criminal case or in a suit of law shall be made public
except
where the interest of juvenile persons otherwise requires or the proceedings
concern matrimonial disputes or the guardianship of children”. Article
6(1) of the European Convention stipulates that judgement “shall be pronounced
publicly”. Article 8(5) of the American Convention refers only to the
publicity of the proceedings as such, while article 7 of the African Charter
is silent on both issues. Articles 22(2) and 23(2) of the respective Statutes
of the International Criminal Tribunals for Rwanda and the former Yugoslavia
provide for the delivery “in public” of the judgement of the Trial
Chamber. Finally, according to article 74(5) of the Statute of the International
Criminal Court, the “decisions or a summary thereof shall be delivered
in open court”. As observed by the European Court, the object pursued
by article 6(1) with regard to the publicity of judgements is “to ensure
scrutiny of the judiciary by the public with a view to safeguarding the right
to a fair trial”.53 However, the Court has not adopted
a literal interpretation of the words “judgement shall be pronounced publicly”
but has instead taken into account, in its case-law, the “long-standing
tradition” of many States of the Council of Europe in making public the
decisions of some or all of their courts; such traditions may thus not necessarily
imply the reading out loud of the judgements concerned, but can consist in depositing
the judgements in a registry accessible to the public.54 The
European Court considers, therefore, “that in each case the form of publicity
to be given to the ‘judgement’ under the domestic law of the respondent
State must be assessed in the light of the special features of the proceedings
in question and by reference to the object and purpose” of article 6(1).55
The case of Pretto and Others In the case of Pretto and Others, where the Italian
Court of Cassation had made a ruling in civil proceedings which was not pronounced
publicly, the European Court took account “of the entirety of the proceedings
conducted in the Italian legal order and of the Court of Cassation’s role
therein”, noting that its role was “confined to reviewing in law
the decision of the Venice Court of Appeal”. The Court of Cassation “could
not itself determine the suit, but only, on this occasion, dismiss the applicant’s
appeal or, alternatively, quash the previous judgment and refer the case back
to the trial court”.56 After holding public hearings,
the Court of Cassation dismissed the appeal, whereupon the Appeal Court’s
judgement became final; the consequences for the applicant remained unchanged.
Although the judgement dismissing the appeal on points of law was not delivered
in open court, anyone could consult and obtain a copy thereof on application
to the court registry.57 In the opinion of the European Court
the object of article 6(1) to ensure public scrutiny of the Judiciary was “at
any rate as regards cassation proceedings, no less achieved by a deposit in
the court registry, making the full text of the judgement available to everyone,
than by a reading in open court of a decision dismissing an appeal or quashing
a previous judgement, such reading sometimes being limited to the operative
provisions”.58 It followed that the absence of public
pronouncement of the Court of Cassation’s judgement did not constitute
a breach of article 6(1) of the Convention.59 As a minimum,
every person charged with a criminal offence has the right to public proceedings
in the court of first instance and at all levels of appeal proceedings if the
appeal concerns an assessment of both facts and law including the question of
guilt. A judgement in a criminal case must be made public except in exceptional
circumstances. At the appeal stage, the duty to make a public pronouncement
of judgements may in some cases be satisfied by making the relevant judgements
available to the public at the court registry (Europe).
3.4 The right to be tried “without undue delay” or “within
a reasonable time”
According to article 14(3)(c) of the International Covenant and articles 20(4)(c)
and 21(4)(c) of the respective Statutes of the International Criminal Tribunals
for Rwanda and the former Yugoslavia, every person facing a criminal charge
shall have the right “to be tried without undue delay” (emphasis
added). In the words of article 7(1)(d) of the African Charter, article 8(1)
of the American Convention and article 6(1) of the European Convention, everyone
has the right to be heard “within a reasonable time” (emphasis added).
What it means to be tried “without undue delay”: In General Comment
No. 13, the Human Rights Committee stated that the right to be tried without
undue
delay is a guarantee that “relates not only to the time by which a trial
should commence, but also the time by which it should end and judgement be rendered;
all stages must take place ‘without undue delay’. To make this right
effective, a procedure must be available in order to ensure that the trial will
proceed ‘without undue delay’, both in first instance and on appeal.”60
This view has been further emphasized in the Committee’s jurisprudence,
according to which article 14(3)(c) and (5) “are to be read together,
so that the right to review of conviction and sentence must be made available
without delay”.61 It is noteworthy that the Committee
has also made it clear that “the difficult economic situation” of
a State party is not an excuse for not complying with the Covenant, and it has
emphasized in this respect “that the rights set forth in the Covenant
constitute minimum standards which all States parties have agreed to observe”.62
It is in principle for the State party concerned to show that the complexity
of a case is such as to justify the delay under consideration by the Committee,63
although a mere affirmation that the delay was not excessive is not sufficient;64
the Committee will also examine whether the delay, or part of it, can be attributed
to the authors, for instance when they decide to change lawyers.65
The case of Pratt and Morgan
In the case of Pratt and Morgan, the authors were unable to proceed to appeal
to the Privy Council because it took the Court of Appeal almost three years
and nine months to issue a written judgement. The Committee did not accept the
explanation of the State party that this delay “was attributable to an
oversight and that the authors should have asserted their right to receive earlier
the written judgement”; on the contrary, it considered that the responsibility
for this delay lay with the judicial authorities, a responsibility that “is
neither dependent on a request for production by the counsel in a trial nor
is non-fulfilment of this responsibility excused by the absence of a request
from the accused”.66 In reaching its conclusion that
this delay violated both article 14(3)(c) and (5), the Committee stated that
“it matters not in the event that the Privy Council affirmed the conviction
of the authors”, since “in all cases, and especially in capital
cases, accused persons are entitled to trial and appeal without undue delay,
whatever the outcome of those judicial proceedings turns out to be”.67
The Human Rights Committee has examined numerous other cases involving alleged
violations of this right, and only a few examples of its jurisprudence will
be highlighted here. In one case, the Committee concluded that a delay of 29
months from arrest to trial was contrary to article 14(3)(c); the mere affirmation
by the State party that such a delay was not contrary to the Covenant did not
constitute a sufficient explanation.68 A delay of two years
between arrest and trial was also considered to violate article 14(3)(c) (and
article 9(3)) of the Covenant, and it was therefore not necessary for the Committee
to “decide whether the further delays in the conduct of the trial [were]
attributable to the State party or not”.69 A fortiori,
proceedings that have lasted six70 or about ten years 71
to complete have been considered to violate article 14(3)(c). The outcome was
the same in a case where there was a delay of 31 months between conviction and
appeal.72 On the other hand, a delay of eighteen months from
the arrest to the opening of the author’s trial for murder was not considered
to constitute an “undue delay” in the case of Kelly, there being
“no suggestion that pre-trial investigations could have been concluded
earlier, or that the author complained in this respect to the authorities”.73
However, in the same case, article 14(3)(c) and (5) was violated since it took
the Court of Appeal almost five years to issue a written judgement, thereby
effectively preventing the author from petitioning the Privy Council.74
In a case concerning the author’s request to be reinstated in the Guardia
Civil in Peru, a “seemingly endless sequence of instances and repeated
failure to implement decisions” resulted in a delay of seven years that
was considered “unreasonable” by the Committee, thereby violating
“the principle of a fair hearing” in article 14(1) of the Covenant.
This case was not considered under article 14(3)(c).75
Under article 6(1) of the European Convention on Human Rights, the start of
the period to be taken into consideration can be the day a person is either
charged,
arrested, or committed for trial,76 for instance, and the
end of this period is normally when the judgement acquitting or convicting the
person or persons concerned
becomes final.77 On the question of reasonableness of the
length of the proceedings, whether civil or criminal, the European Court has
consistently held that
“it is to be assessed in the light of the particular circumstances of
the case, regard being had to the criteria laid down in the Court’s case-law,
in particular the complexity of the case, the applicant’s conduct and
that of the competent authorities”.78
As to the conduct of the applicant, it is worthy of note that the European Court
has held that article 6 “does not require a person charged with a criminal
offence
to cooperate actively with the judicial authorities”, and that, further,
it does not blame the applicant for taking “full advantage of the resources
afforded by national law in their defence”, although this may slow down
the proceedings to some extent.79 The case might however be
different if there is evidence showing that the applicant and his counsel have
displayed a “determination to be obstructive”.80
The judicial authorities were, however, responsible for the unreasonable delay
of the proceedings contrary to article 6 in the case of Yagci and Sargin, where,
contrary to national law, the courts had held only an average of one hearing
per month, and where they waited for almost six months before acquitting the
applicants on the basis of newly repealed articles of the Criminal Code which
had constituted part of the basis of the criminal charges against them. In all,
the proceedings lasted a little less than four years and eight months.81
It does not help in this respect that Governments invoke their international
responsibility to look carefully into all matters in serious cases of drug trafficking
in order to justify delays. In this respect the Court has unequivocally held
that it “is for the Contracting States to organize their legal systems
in such a way that their courts can meet” the requirement of reasonableness.82
Similarly, in civil proceedings, it is no defence for the State concerned to
argue that its Code of Civil Procedure leaves the initiative to the parties,
who are expected to carry out the procedural steps in the manner and within
the time prescribed. The European Court has held in this respect that such a
rule does not “dispense the courts from ensuring compliance with Article
6 as to the ‘reasonable time’ requirement”.83
The national judge does, in other words, have an obligation to intervene when
necessary to expedite proceedings so as not to jeopardize the “effectiveness
and credibility” of the administration of justice.84
Every person charged with a criminal offence has the right to be tried without
undue delay/within a reasonable time. All States have a duty to organize the
Judiciary in such a way that this right can be effectively ensured. The accused
cannot be blamed for delays caused by his or her making use
of the right not to speak or to cooperate with the judicial authorities. Judicial
delays can only be attributed to the accused in cases of deliberate obstructive
behaviour.
3.5 The right to defend oneself in person or through a lawyer of one’s own choice
Article 14(3)(d) of the International Covenant, article 7(1)(c) of the African
Charter on Human and Peoples’ Rights, article 8(2)(d) of the American
Convention on
Human Rights and article 6(3)(c) of the European Convention on Human Rights
all guarantee the right of anyone charged with a criminal offence to defend
himself in person or through legal assistance of his own choice. So do articles
20(4)(d) and 21(4)(d) of the respective Statutes of the International Criminal
Tribunals for Rwanda and the former Yugoslavia.
In its General Comment No. 13 on article 14, the Human Rights Committee emphasized
that “the accused or his lawyer must have the right to act diligently
and
fearlessly in pursuing all available defences and the right to challenge the
conduct of the case if they believe it to be unfair. When exceptionally for
justified reasons trials in absentia are held, strict observance of the rights
of the defence is all the more necessary”.85 The right
of access to legal assistance must be effectively available, and, where this
has not been the case, the Human Rights Committee has concluded that article
14(3) has been violated.86 This was the case where a person
did not have access to legal assistance during the first ten months of his detention
and, in addition, was not tried in his presence.87 Where the
domestic law has not authorized the author to defend himself in person, the
Committee has also found a violation of article 14(3)(d), which allows the accused
to choose whether he or she wishes to defend him or herself – be it through
an interpreter – or to have the defence conducted by a lawyer.88
The right to have a lawyer of one’s own choice was violated in the case
of López Burgos where the victim was obliged to accept the ex officio
appointment of a colonel as his legal counsel.89 On the other
hand, the right to choose under article 14(3)(d) “does not entitle the
accused to choose counsel provided free of charge”, but, in spite of this
restriction, “measures must be taken to ensure that counsel, once assigned,
provides effective representation in the interest of justice”, this including
“consulting with, and informing, the accused if he intends to withdraw
an appeal or to argue, before the appellate instance, that the appeal has no
merit”.90 Although counsel is entitled to recommend
that an appeal should not proceed, he should continue to represent the accused
if the latter so wishes. Otherwise, the accused should have the opportunity
to retain counsel at his own expense.91 It is thus essential
under article 14(3)(d) that the domestic court “should ensure that the
conduct of a case by the lawyer is not incompatible with the interests of justice”,
and the Committee will itself examine whether there are any indications to show
that the lawyer “was not using his best judgement in the interests of
his client”.92
The Inter-American Court of Human Rights concluded that article 8(2)(c), (d)
and (e) had been violated in the case of Suárez Rosero, where the victim
had been held in incommunicado detention for 36 days, during which time he was
unable to consult any lawyer. After the end of his incommunicado detention he
was allowed to receive visits from his lawyer although he was “unable
to communicate with him freely and privately”, the interviews being conducted
in the presence of police officers.93 Article 8(2)(d) was
also violated in the case of Castillo Petruzzi where “the victims were
not allowed legal counsel between the time of their detention and the time they
gave their statements” to the police, when they “were assigned court-appointed
lawyers”. When they were finally allowed “legal counsel of their
choosing, the latter’s role was peripheral at best” and they were
only allowed to have access to the case file the day before the ruling of the
court of first instance.94
With regard to article 6(1) taken in conjunction with article 6(3)(c) of the
European Convention, the European Court has held that “it is of capital
importance
that a defendant should appear, both because of his right to a hearing and because
of the need to verify the accuracy of his statements and compare them with those
of the victim – whose interests need to be protected – and of the
witnesses”.95 Accordingly, the “legislature must
... be able to discourage unjustified absences”.96 Without
deciding “whether it is permissible in principle to punish such absences
by ignoring the right to legal assistance”, the Court concluded in the
Poitrimol case that there was a breach of article 6, since the applicant had
been deprived of his right to appeal to the Court of Appeal because he had provided
no valid excuse for not attending the hearing. In the view of the European Court,
the suppression of the right to legal assistance “was disproportionate
in the circumstances”, in which the applicant was not even allowed to
be represented by his legal counsel.97 In conclusion it can
be said that, under article6(3)(c) of the European Convention, an accused who
deliberately avoids appearing in person still retains his or her right to be
defended by a lawyer.98 Moreover, in the Pelladoah case the
Court emphasized that “everyone charged with a criminal offence has the
right to be defended by counsel”, but that “for this right to be
practical and effective, and not merely theoretical, its exercise should not
be made dependent on the fulfilment of unduly formalistic conditions: it is
for the courts to ensure that a trial is fair and, accordingly, that counsel
who attends trial for the apparent purpose of defending the accused in his absence,
is given the opportunity to do so”.99
The case of Kamasinski
In the case of Kamasinski, where the applicant had a legal aid counsel appointed
to represent him in court proceedings concerning fraud and misappropriation,
the
European Court observed that “‘a State cannot be held responsible
for every shortcoming on the part of a lawyer appointed for legal aid purposes’”,
and that it
“follows from the independence of the legal profession from the State
that the conduct of the defence is essentially a matter between the defendant
and his counsel,
whether counsel be appointed under a legal aid scheme or be privately financed”.
In the view of the Court “the competent national authorities are required
under article 6 § 3 (c) to intervene only if a failure by legal aid counsel
to provide effective representation is manifest or sufficiently brought to their
attention in some way”.100 In this case, the Court
carefully examined the applicant’s complaints concerning his legal aid
counsel but concluded that there was “no indication ... that in the pre-trial
stage the Austrian authorities had cause to intervene as concerns the applicant’s
legal representation” and that it could not be found on the evidence before
the Court that the domestic authorities had “disregarded the specific
safeguard of legal assistance” under article 6(3)(c) “or the general
safeguard of a fair trial under paragraph 1”.101 However,
during the trial itself a dispute occurred between the applicant and his lawyer
with the result that the latter asked the court to be discharged from the case,
a request the court refused. Although “the Austrian judicial authorities
were thus put on notice that, in Mr Kamasinski’s opinion, the conditions
for the conduct of the defence were not ideal”, the European Court concluded
that article 6(1) and (3)(c) had not been violated.
3.5.1 The right to effective legal assistance in death penalty cases
As consistently held by the Human Rights Committee, it is “axiomatic that
legal representation must be made available in capital cases”, and this
not only “at the
trial in the court of first instance, but also in appellate proceedings”.
Moreover, the “legal assistance to the accused in a capital case must
be provided in ways that
adequately and effectively ensure justice”.103 According
to the Committee’s jurisprudence under article 14(3)(d): “The court
should ensure that the conduct of a case by a lawyer is not incompatible with
the interests of justice. While it is not for the Committee to question counsel’s
professional judgement, the Committee considers that in a capital case, when
counsel for the accused concedes that there is no merit in the appeal, the Court
should ascertain whether counsel has
consulted with the accused and informed him accordingly. If not, the Court must
ensure that the accused is so informed and given an opportunity to engage other
counsel.”104 In the case of Morrison, the author should
consequently “have been informed that legal aid counsel was not going
to argue any grounds in support of the appeal, so that he could have considered
any remaining options open to him”. Since this was not done, article 14(3)(d)
was violated.105 Article 14(3)(d) was violated in the similar
Reid case where the author had a court-appointed lawyer but had indicated that
he wanted to be present himself during the appeal proceedings. This possibility
was denied him since he had a lawyer; however, his lawyer subsequently decided
that there was no merit in the author’s appeal and
advanced no legal arguments in favour of it being granted, “thus effectively
leaving him without legal representation”.106 In the
view of the Committee, and considering that this was “a case involving
the death penalty”, the State party “should have appointed another
lawyer for [the author’s] defence or allowed him to represent himself
at the appeal proceedings”.107 In the McLeod case,
the legal aid representative had in fact consulted with the author prior to
the appeal, but, unbeknown to him, had decided that he would argue no grounds
of appeal. There was no indication in this case that the Appeal Court had taken
any steps to ensure that the author’s right to be duly informed was respected,
and the Committee therefore concluded that his rights under both article 14(3)(b)
and article 14(3)(d) had been violated.108
Article 14(3)(d) was further violated in a capital case where the author had
indicated that he wished to be present in person during the appeal proceedings
and that
he did not want legal aid. This wish was ignored and the appeal was pursued
in the presence of a legal aid attorney, who argued the appeal on a ground that
the author had not wished to pursue. The Committee noted “with concern
that the author was not informed with sufficient advance notice about the date
of the hearing of his appeal”, a delay that “jeopardized his opportunities
to prepare his appeal and to consult with his court-appointed lawyer, whose
identity he did not know until the day of the hearing itself”. His “opportunities
to prepare the appeal were further frustrated by the fact that the application
for leave to appeal was treated as the hearing of the appeal itself, at which
he was not authorized to be present”.109
Failure of lawyer to appear in court: The case of Robinson
This situation arose in the Robinson case, where the trial had been postponed
several times because the prosecution had problems locating its chief witness.
When the witness was finally located and the trial began, the author’s
lawyers were not present in court, yet the trial was allowed to proceed and
the author had to defend himself. He was convicted of murder and sentenced to
death.110 The Committee based itself on the terms of article
14(3)(d), according to which everyone shall have legal assistance assigned to
him, in any case where the interests of justice so require.111
It reiterated that “it is axiomatic that legal assistance be available
in capital cases”, and that this is so “even if the unavailability
of private counsel is to some degree attributable to the author himself, and
even if the provision of legal assistance would entail an adjournment of proceedings”;
moreover, this “requirement is not rendered unnecessary by efforts that
might otherwise be made by the trial judge to assist the author in handling
his defence in the absence of counsel”.112 It followed
that in this case “the absence of counsel constituted unfair trial”.113
The case of Domukovsky et al.
In the case of Domukovsky et al., the four authors complained that they had
not had a fair hearing after they had been removed from the court room and were
subsequently absent from the proceedings, which ended in a death sentence being
imposed in two cases; they were also refused lawyers of their choice. The Committee
considered that article 14(3)(d) had been violated in respect of each author,
emphasizing that “at a trial in which the death penalty can be imposed,
which was the situation for each author, the right to a defence is inalienable
and should be adhered to at every instance and without exception. This entails
the right to be tried in one’s presence, to be defended by counsel of
one’s own choosing, and not to be forced to accept ex-officio counsel.”114
Since the State party had not in this case shown that it had taken “all
reasonable measures to ensure the authors’ continued presence at the trial,
despite their alleged disruptive behaviour”, and considering that it had
not ensured “that each of the authors was at all times defended by a lawyer
of his own choosing”, the Committee concluded that article 14(3)(d) had
been violated.115
The African Commission on Human and Peoples’ Rights concluded that Burundi
had violated the right to a defence in article 7(1)(c) of the African Charter
on
Human and Peoples’ Rights in a case where the courts had refused to designate
a defence lawyer to an accused person who was eventually sentenced to death.
The Commission “emphatically” recalled that “the right to
legal assistance is a fundamental element of the right to fair trial”,
in particular in cases “where the interests of justice demand it”.
Given “the gravity of the allegations brought against the accused”
person in this case “and the nature of the penalty he faced, it was in
the interests of justice for him to have the benefit of the assistance of a
lawyer at each stage of the case”.116 Article 7(1)(c)
of the African Charter was also violated in a death penalty case against Nigeria
where the defence counsel for the seven complainants “was harassed and
intimidated to the extent of being forced to withdraw from the proceedings.
In spite of this forced withdrawal of counsel, the tribunal proceeded to give
judgement in the matter, finally sentencing the accused to death”. In
the view of the Commission the defendants were thus “deprived of their
right to defence, including their right to be defended by counsel of their choice”
contrary to article 7(1)(c) of the African Charter.117
3.5.2 The right to free legal aid
Article 14(3)(d) provides that in the determination of any criminal charge,
everyone shall be entitled “to have legal assistance assigned to him,
in any case where
the interests of justice so require, and without payment by him in any such
case if he does not have sufficient means to pay for it”. Article 6(3)(c)
of the European
Convention on Human Rights also provides for the right of a person not having
“sufficient means to pay for legal assistance, to be given it free when
the interests of
justice so require”. Article 8(2)(e) of the American Convention refers
back to the provisions of national law in this respect, while the African Charter
on Human and Peoples’ Rights is silent on the question of free legal aid.
Articles 20(4)(d) and 21(4)(d) of the respective Statutes of the International
Criminal Tribunals for Rwanda and the former Yugoslavia have provisions similar
to article 14(3)(d) of the International Covenant. For the granting of free
legal aid, article 14(3)(d) of the International Covenant and article 6(3)(c)
of the European Convention set two conditions: first, the unavailability of
sufficient funds to pay for a lawyer and, second, that the interests of justice
require such aid. As seen in the preceding subsection, the interests of justice
would require the granting of legal aid in capital punishment cases where the
accused wishes for such aid and cannot pay for it himself. Other less dramatic
cases involving the interests of justice may of course also require the granting
of free legal aid.
In a case concerning a constitutional appeal, the Human Rights Committee thus
held that “where a convicted person seeking constitutional review of irregularities
in a criminal trial has insufficient means to meet the costs of legal assistance
in order to pursue his constitutional remedy and where the interests of justice
so [require], legal assistance should be provided by the State”; such
review would require a fair hearing and consistency with article 14(3)(d) of
the Covenant.118 Consequently, article 14 was violated in
a case where “the absence of legal aid ... denied the author the opportunity
to test the irregularities of his criminal trial in the Constitutional Court
in a fair hearing”.119
The European Court has observed with respect to article 6(3)(c) of the European
Convention that “the right of an accused to be given, in certain circumstances,
free legal assistance constitutes one aspect of the notion of a fair trial in
criminal proceedings”.120 In determining whether the
interests of justice require the
granting of free legal aid, the European Court has regard to various criteria,
such as “the seriousness of the offence” committed, “the severity
of the sentence” the accused person risks and “the complexity of
the case”.121 Where the maximum sentence was three
years’ imprisonment for a drug offence, the Court concluded that “free
legal assistance should have been afforded by reason of the mere fact that so
much was at stake”.122 Since the alleged offence had
occurred when the applicant was on probation, an additional factor was “the
complexity of the case”, the domestic Court having “both to rule
on the possibility of activating the suspended sentence and to decide on a new
sentence”.123 Consequently, there was a breach of article
6(3)(c) of the Convention. The European Court has held, furthermore, that the
manner in which article 6(1) and (3)(c)of the European Convention “...
is to be applied in relation to appellate or cassation courts depends upon the
special features of the proceedings involved; account must be taken of the entirety
of the proceedings conducted in the domestic legal order and of the role of
the appellate or cassation court therein”.124 The case
of Granger, where legal aid had been refused, concerned appeal proceedings against
a conviction for perjury following which the applicant was sentenced to five
years’ imprisonment. As noted by the European Court, there could “thus
be no question as to the importance of what was at stake in the appeal”.125
After having examined the proceedings before the appeal court, the European
Court also found that the applicant had not been “in a position fully
to comprehend the pre-prepared speeches submitted to” the High Court of
Justiciary by the Solicitor General, “or the opposing arguments submitted
to the court”, and that it was “also clear that, had the occasion
arisen, he would not have been able to make an effective reply to those arguments
or to questions from the bench”.126 As it turned out,
one of the grounds for appeal “raised an issue of complexity and importance”
that was in fact so difficult that the High Court had to adjourn its hearing
“and called for a transcript of the evidence given at the applicant’s
trial, so as to be able to examine the matter more thoroughly”.127
In the light of this situation, the European Court of Human Rights concluded
that “some means should have been available to the competent authorities,
including the High Court of Justiciary in exercise of its overall responsibility
for ensuring the fair conduct of the appeal proceedings, to have the refusal
of legal aid reconsidered”. In the view of the Court “it would have
been in the interests of justice for free legal assistance to be given to the
applicant” at least at the stage following the adjournment of the proceedings,
since such a course “would in the first place have served the interests
of justice and fairness by enabling the applicant to make an effective contribution
to the proceedings”, and, secondly, would have enabled that Court to have
“the benefit of hearing ... expert legal argument from both sides on a
complex issue”.128 The Court concluded, consequently,
that there had been a violation of article 6(3)(c) taken together with article
6(1) of the Convention.
The Pakelli case
In the case of Pakelli, article 6(3)(c) was violated since the applicant was
refused legal aid in order to be represented in the Federal Court which was
going to hold an oral hearing in his case, a course it took only in exceptional
cases. In the view of the European Court the personal presence of the applicant
could not compensate for the lack of a legal practitioner to examine the legal
issues arising, which inter alia concerned the application of a new version
of the Code of Criminal Procedure. Consequently, the applicant was deprived
of “the opportunity of influencing the outcome of the case”.129
It is noteworthy that, in the view of the European Court, “the existence
of a violation is conceivable even in the absence of prejudice”, and that
to require proof that the lack of effective assistance prejudiced the applicant
in interpreting article 6(3)(c) “would deprive it in large measure of
its substance”.130 Lastly, it is important to note
that the available legal assistance must be “effective”, and that
consequently it is not sufficient for the purposes of complying with article
6(3)(c) that a legal counsel has been merely nominated.131
3.5.3 The right to privileged communications with one’s lawyer
The right to privileged communications with one’s lawyer was dealt with
in section 6.4 of Chapter 6 concerning “The right to legal assistance”.
This right is of
course also applicable at the stage of trial and appeal proceedings, during
which the accused must be ensured adequate time and facilities for consulting
with his or her lawyer confidentially. Everyone has the right to defend himself
or herself in person or to appoint a lawyer of his or her own choice in order
to ensure an efficient defence. The right to legal assistance must be effectively
available, in particular in capital punishment cases. The domestic courts have
a duty to ensure that the accused enjoys an effective defence. Incommunicado
detention violates the right to effective access to one’s lawyer. If lacking
sufficient means to pay for a lawyer, and if the interests of justice so require,
a person accused of a criminal offence has the right to free legal aid. The
interests of justice relate to such aspects as the severity of the crimes and
potential sentence that might be imposed and the complexity of the case. The
accused must have adequate time and facilities to communicate with his or her
legal counsel. Their communications are privileged and must be confidential.
3.6 The right to be present at one’s trial
Article 14(3)(d) of the Covenant on Civil and Political Rights, and articles
20(4)(d) and 21(4)(d) of the respective Statutes of the International Criminal
Tribunals
for Rwanda and the former Yugoslavia provide that everyone has the right to
“be tried in his [or her] presence”. Where the State party has failed
to substantiate its denial of the alleged violation of this right by, for instance,
submitting a copy of the trial transcript, the Committee has concluded that
this right has been violated.132
While article 6(1) of the European Convention on Human Rights does not expressly
mention a person’s right to participate in his or her trial, the European
Court
of Human Rights has held that the existence of this right is “shown by
the ‘object and purpose of the article taken as a whole’”.133
Where there was no evidence that the applicant had intended to waive his right
to participate in his trial and where, inter alia, the President of the Savona
Regional Court had not sought to notify him in person of the summons to appear
before his court so that he was tried in absentia, it found that the trial had
not been fair within the meaning of article 6(1) of the Convention.134
3.6.1 Trials in absentia
Although the international monitoring organs have not yet developed any theory
around trials in absentia, it appears that they might accept that such trials
may be
held in special circumstances. This is at least clear with regard to the International
Covenant on Civil and Political Rights, from the Committee’s General Comment
No. 13 on article 14, which states that “when exceptionally for justified
reasons trials in absentia are held, strict observance of the rights of the
defence is all the more necessary”.135 Consequently,
while such trials do not ipso facto constitute a violation of article 14 of
the Covenant, the basic requirements of a fair trial must be maintained; a trial
in absentia is thus only compatible with article 14 when the accused has been
summoned “in a timely manner and informed of the proceedings against him”
and the State party itself “must” in such cases show that the principles
of a fair trial were respected.136 Where the State party
merely “assumed” that the author had been summoned in a timely manner,
the Committee considered that this was “clearly insufficient to lift the
burden placed on the State party if it is to justify trying an accused in absentia”;
it was “incumbent on the court that tried the case to verify that the
author had been informed of the pending case before the proceeding to hold the
trial” in his absence, but, failing any evidence that the court did so,
the Committee concluded “that the author’s right to be tried in
his presence was violated”.137
As noted above, the European Court of Human Rights has emphasized that “the
object and purpose” of article 6 of the European Convention “taken
as a whole
show that a person ‘charged with a criminal offence’ is entitled
to take part in the hearing”.138 In the case of Colozza
and Rubinat, the Italian authorities had held a trial by default since they
were unable to trace the applicant who had moved without leaving his address.
He was eventually classified as a latinante, i.e. a person who is wilfully evading
the execution of a warrant issued by a court. A court-appointed lawyer failed
to appear at the trial, which had to be postponed, a procedure repeated since
the second court-appointed lawyer also failed to appear. The trial was eventually
concluded after the court had appointed, during the sitting, another official
defence lawyer. The applicant was convicted and sentenced to six years’
imprisonment. A few months later he was arrested at his home in Rome. He filed
a “late appeal” that was dismissed. The European Court agreed with
the Government that “the impossibility of holding a trial by default may
paralyse the conduct of criminal proceedings, in that it may lead, for example,
to dispersal of the evidence, expiry of the time-limit for prosecution or a
miscarriage of justice. However, in the circumstances of the case, this fact
does not appear to the Court to be of such a nature as to justify a complete
and irreparable loss of the entitlement to take part in the hearing. When domestic
law permits a trial to be held notwithstanding the absence of a person ‘charged
with a criminal offence’ who is in Mr. Colozza’s position, that
person should, once he becomes aware of the proceedings, be able to obtain,
from a court which has heard him, a fresh determination of the merits of the
charge.”139 The Court importantly added that “the
resources available under domestic law must be shown to be effective and a person
‘charged with a criminal offence’ who is in a situation like that
of Mr. Colozza must not be left with the burden of proving that he was not seeking
to evade justice or that his absence was due to force majeure”.140
An accused person has the right to be present at his or her trial. Trials in
absentia may be acceptable in special circumstances but must preserve the rights
of an effective defence. Once an accused who has not wilfully tried to avoid
justice is aware of the proceedings, he or she should be entitled to a new determination
of the merits of the charge.
3.7 The right not to be compelled to testify against oneself or to confess guilt
The prohibition on self-incrimination was dealt with in subsection 6.5 of Chapter
6 in view of its specific importance during criminal investigations. However,
the right not to be compelled to testify against oneself does of course remain
equally valid throughout the judicial proceedings. It is recalled that article
14(3)(g) of the International Covenant provides that “in the determination
of any criminal charge against him”, every person has the right “not
to be compelled to testify against himself or to confess guilt”. According
to article 8(2)(g) of the American Convention, everyone has “the right
not to be compelled to be a witness against himself or to plead guilty”,
and article 8(3) further specifies that “a confession of guilt by the
accused shall be valid only if it is made without coercion of any kind”.
While the African Charter and the European Convention contain no similar provision,
both article 55(1)(a) of the Statute of the International Criminal Court and
articles 20(4)(g) and 21(4)(g) of the respective Statutes of the International
Criminal Tribunals for Rwanda and the former Yugoslavia contain protection against
self-incrimination.
In its General Comment No. 13 on article 14 of the International Covenant, the
Human Rights Committee stated that, in considering this safeguard contained
in
subparagraph (3)(g), articles 7 and 10(1) of the Covenant “should be borne
in mind”,141 these articles respectively outlawing
torture and other cruel, inhuman or degrading treatment and stipulating that
“all persons deprived of their liberty shall be treated with humanity
and with respect for the inherent dignity of the human person”. As emphasized
by the Committee, “in order to compel the accused to confess or to testify
against himself, frequently methods which violate these provisions are used.
The law should”, however, “require that evidence provided by means
of such methods or any other form of compulsion is wholly unacceptable”.142
Moreover, “judges should have authority to consider any allegations made
of violations of the rights of the accused during any stage of the prosecution”.143
It is recalled in this respect that Guideline 16 of the Guidelines on the Role
of Prosecutors also provides that prosecutors shall refuse
evidence that has been obtained by recourse to unlawful methods.144
The Committee has further held that the guarantee “that no one shall be
‘compelled to testify against himself or to confess guilt’, must
be understood in terms of the absence of any direct or indirect physical or
psychological pressure from the investigating authorities on the accused, with
a view to obtaining a confession of guilt”.145 The
Committee has thus found violations of article 14(3)(g) in cases where the persons
accused have been compelled to sign statements incriminating themselves,146
or where attempts have been made – including through recourse to torture
or duress – to compel them to do so.147 However, where
various issues relating to alleged self-incrimination under duress have not
been brought to the attention of the trial judge either by the author himself
or his privately retained lawyer, the Committee has concluded that the State
party could not be held responsible under article 14(1) [sic] for the purportedly
negative outcome of this failure.148
With regard to article 8(3) of the American Convention on Human Rights, the
American Court of Human Rights found in the case of Castillo Petrzzi et al.
that it had not been proven that this provision had been violated. Although
it was clear that the accused “were urged to tell the truth” during
the preliminary testimony before the Judge of the Special Military Court of
Inquiry, nothing in the record suggested “that any punishment or other
adverse legal consequence was threatened if they did not tell the truth”;
nor was there “any evidence to suggest that the accused were required
to testify under oath or to swear to tell the truth, either of which would have
violated their right to choose between testifying and not testifying”.149
3.7.1 Prohibition on the use of evidence obtained through unlawful means/treatment
In Chapter 6 reference was made to Guideline 16 of the Guidelines on the Role
of Prosecutors, according to which prosecutors shall refuse to use evidence
which
they “know or believe on reasonable grounds” to have been “obtained
through recourse to unlawful methods, which constitute a grave violation of
the suspect’s
human rights”, in particular when such methods have involved recourse
to torture or other human rights abuses.
Other pertinent international provisions on this issue are to be found in article
15 of the Convention against Torture and Other Cruel, Inhuman or Degrading
Treatment or Punishment and article 10 of the American Convention to Prevent
and Punish Torture. The former provides that “each State Party shall ensure
that any statement which is established to have been made as a result of torture
shall not be invoked as evidence in any proceedings, except against a person
accused of torture as evidence that the statement was made”. With a similar
proviso, the latter provision also declares inadmissible, “as evidence
in a legal proceeding”, evidence obtained through torture. Article 69(7)
of the Statute of the International Criminal Court is drafted in less categorical
terms in that “evidence obtained by means of a violation of this Statute
or internationally recognized human rights shall not be admissible if: (a) The
violation casts substantial doubt on the reliability of the evidence; or (b)
The admission of the evidence would be antithetical to and would seriously damage
the integrity of the proceedings.” It is not yet possible to know how
this provision will be interpreted by the International Criminal Court, but
it would in any event appear to provide a possibility for it to consider evidence
obtained by unlawful means, provided there was no doubt as to the reliability
of such evidence and its admission would not be “antithetical to”
the integrity of the proceedings. In the light of the clear statements elsewhere,
inter alia in article 15 of the Convention against Torture, it might, however,
be presumed that evidence obtained by torture would be an example par excellence
of evidence that is unreliable, the use of which would indeed be antithethical
to the integrity of the
proceedings. Lastly, it is important to note in this context that the Human
Rights Committee has stated that “it is important for the discouragement
of violations under article 7 [of the International Covenant] that the law must
prohibit the use of admissibility in judicial proceedings of statements or confessions
obtained
through torture or other prohibited treatment”.150
The right of an accused not to be compelled to testify against himself or herself
remains valid throughout the trial proceedings. It means that there must be
an absence of both direct and indirect physical or psychological pressure from
the investigating authorities for the purposes of obtaining a confession. An
accused who has confessed guilt after such undue pressure must bring the matter
before the competent authorities, including the judge(s) in the trial court,
failing which he or she runs the risk of not having this undue compulsion considered
in connection with the determination of the criminal charge. Judges and prosecutors
must be attentive to any sign of unlawful compulsion related to confessions
and are not allowed to invoke such confessions against the accused. The use
of evidence and confessions obtained by torture is unlawful and should be expressly
prohibited by national law.
3.8 The right to call, examine, or have examined, witnesses
Article 14(3)(e) of the International Covenant provides that, in the determination
of any criminal charge against him, everyone shall be entitled to “examine,
or have examined, the witnesses against him and to obtain the attendance and
examination of witnesses on his behalf under the same conditions as witnesses
against him”. Article 6(3)(d) of the European Convention on Human Rights
contains an identically worded provision, while article 8(2)(f) of the American
Convention on Human Rights contains the “right of the defence to examine
witnesses present in the court and to obtain the appearance, as witnesses, of
experts or other persons who may
throw light on the facts”. Article 20(4)(e) and article 21(4)(e) of the
respective Statutes of the International Criminal Tribunals for Rwanda and the
former Yugoslavia both also have wording similar to the International Covenant
in this respect.
According to the Human Rights Committee, article 14(3)(e) “does not provide
an unlimited right to obtain the attendance of witnesses requested by the accused
or his counsel”, and where there is no evidence that the court’s
refusal to call a certain witness does not violate the principle of equality
of arms – for instance, if the
evidence is not part of the case under consideration – there has been
no violation of article 14(3)(e).151 As to the question whether
the State party can be held responsible for a defence lawyer’s failure
to call witnesses, the Committee has held that it “cannot be held accountable
for alleged errors made by [the lawyer] unless it was or should have been manifest
to the judge that the lawyer’s behaviour was incompatible with the interests
of justice”.152 In a case where it was “uncontested
that no effort was made to have three potential alibi witnesses testify on the
author’s behalf during the trial”, the Committee noted that it was
“not apparent from the material before [it] and the trial transcript that
counsel’s decision not to call witnesses was not made in the exercise
of his professional judgement”. In these circumstances, the failure to
examine witnesses on the author’s behalf could not be attributed to the
State party and there was no violation of article 14(3)(e).153
In general, it can be said that, where (1) there is no indication that either
the author or his or her legal counsel has complained to the trial judge that
the time or facilities for the preparation of the defence have been inadequate,
and (2) there is no evidence “that counsel’s decision not to call
witnesses was not in the exercise of his professional judgement, or that, if
a request to call witnesses was made, the judge disallowed it”, the Committee
is reluctant to conclude that either article 14(3)(b) or (e) has been violated.154
The case of Reid
In the case of Reid, the State party had “not denied the author’s
claim that the court failed to grant counsel sufficient minimum time to prepare
his examination of
witnesses” and the Committee thus found a violation of article 14(3)(e).
The author had alleged that the legal aid attorney was only assigned to him
on the day his trial opened and that the trial judge refused a postponement
to enable the lawyer to discuss the case with his client; according to the author,
the lawyer “was wholly
unprepared” and had told him “that he did not know which questions
to pose to the witnesses”.155 Article 14(3)(e) and
(5) of the Covenant was also violated in a case where the domestic court had
refused “to order expert testimony of crucial importance to the case”.156
Invoking the case-law of the European Court of Human Rights, the Inter-American
Court of Human Rights has held that “one of the prerogatives of the accused
must be the opportunity to examine or have examined witnesses against him and
to obtain the attendance and examination of witnesses on his behalf, under the
same conditions as witnesses against him”.157 Thus,
in the case of Castillo Petruzzi et al., article 8(2)(f) of the American Convention
was violated since the law applied in the legal proceedings concerned “did
not allow cross-examination of the witnesses whose testimony was the basis for
the charges brought against the alleged victims. The problem created by disallowing
cross-examination of the police and military agents was compounded ... by the
fact that the suspects were not allowed the advice of counsel until they had
made their statements to the police”, a situation that “left the
defence attorneys with no means to refute the evidence compiled and on record
in the police investigation report”.158
With regard to article 6(3)(d) of the European Convention on Human Rights, the
European Court held in the Delta case that “In principle, the evidence
must be produced in the presence of the accused at a public hearing with a view
to adversarial argument. This does not mean, however, that in order to be used
as evidence statements of witnesses should always be made at a public hearing
in court: to use as evidence such statements obtained at the pre-trial stage
is not in itself inconsistent with paragraphs 3 (d) and 1 of Article 6, provided
the rights of the defence have been respected. As a rule, these rights require
that an accused should be given an adequate and proper opportunity to challenge
and question a witness against him, either at the time the witness makes his
statement or at some later stage of the proceedings...”.159
Consequently, in the Delta case, where the applicant was convicted on the basis
of testimony given by witnesses at the police-investigation stage whose credibility
neither the applicant nor his legal counsel had been able to challenge, the
European Court found a violation of the right to a fair trial in article 6(1)
and (3)(d) of the Convention.160
The case of Unterpertinger
In the case of Unterpertinger, the applicant had been convicted of causing bodily harm to his step-daughter and former wife in two separate incidents. Both victims refused to give evidence in court although their statements were read out during the trial. The European Court observed that, although the reading out of their statements was not inconsistent with article 6(1) and (3)(d) of the Convention, “the use made of them as evidence must nevertheless comply with the rights of the defence, which it is the object and purpose of article 6 to protect”. This was especially so since the applicant had “not had an opportunity at any stage in the earlier proceedings to question the persons whose statements [were] read out at the hearing”.161 Since the applicant was prevented from having his former wife and step-daughter examined, or from having them examined on their statements in order to challenge their credibility, and given that the Court of Appeal treated their statements “as proof of the truth of the accusations made by the women”, the applicant did not have a fair trial and there was a breach of both article 6(1) and 3(d) of the Convention.162
However, where the reading out of witness statements did not constitute the
only item of evidence on which the national court based its decision, the Court
has
found that the applicant was not deprived of a fair trial contrary to article
6(1) and (3)(d) taken together.163 It is noteworthy that,
according to the jurisprudence of the European Court, the term “witness”
in article 6(3)(d) is “to be given an autonomous interpretation”,
and can thus also comprise, for instance, statements given to police officers
by people who do not give “direct evidence” in court.164
An accused person has the right to call and examine or have examined witnesses
against him or her under the same conditions as the prosecution. Consequently,
in order to guarantee a fair trial the domestic court must provide for the possibility
of adversarial questioning of witnesses. The right to call witnesses does not
mean that an unlimited number of witnesses may be called. Witnesses to be called
must be likely to be relevant to the case. Domestic courts must give the accused
and his or her lawyer adequate time to prepare for the questioning of witnesses.
The national judge must be attentive to manifest deficiencies in the defence
lawyer’s professional conduct, and, where necessary, intervene in order
to ensure the right to a fair trial, including equality of arms.
3.8.1 Anonymous witnesses
The issue of anonymous witnesses is not regulated in the human rights treaties
considered in this Manual, but Rule 69 of the Rules of Procedure and Evidence
of the International Criminal Tribunals for Rwanda and for the former Yugoslavia
deals with “Protection of Victims and Witnesses”. In the case of
the Rwanda Tribunal, Rule 69 reads: “(A) In exceptional circumstances,
either of the parties may apply to a Trial Chamber to order the non-disclosure
of the identity of a victim or witness who may be in danger or at risk, until
the Chamber decides otherwise. (B) In the determination of protective measures
for victims and witnesses, the Trial Chamber may consult the Victims and Witnesses
Support Unit. (C) Subject to Rule 75, the identity of the victim or witness
shall be disclosed in sufficient time prior to the trial to allow adequate time
for preparation of the prosecution and the defence.”
Rule 69 of the Rules of Procedure and Evidence of the Tribunal for the former
Yugoslavia is slightly differently worded: “(A) In exceptional circumstances,
the Prosecutor may apply to a Trial Chamber to order the non-disclosure of the
identity of a victim or witness who may be in danger or at risk until such person
is brought under the protection of the Tribunal. (B) In the determination of
protective measures for victims and witnesses, the Trial Chamber may consult
the Victims and Witnesses Section. (C) Subject to Rule 75, the identity of the
victim or witness shall be disclosed in sufficient time prior to the trial to
allow adequate time for
preparation of the defence.” Rule 75(A) of the Rules of Procedure of the
Court for the former Yugoslavia concerns “Measures for the Protection
of Victims and Witnesses”, and allows a Judge or a Chamber “proprio
motu or at the request of either party, or of the victims or witness concerned,
or of the Victims and Witnesses Section [to] order appropriate measures for
the privacy and protection of victims and witnesses, provided that the measures
are consistent with the rights of the accused” (emphasis added). Rule
75(A) of the Rwanda Court is almost identical, but instead refers to the “privacy
and security” of the victims and witnesses (emphasis added). Paragraph
(B) of Rule 75 in each case deals with measures that the Court may adopt in
camera for the purpose of protecting the right
to privacy and protection/security of the victims and witnesses. Such measures
include:
_ the deletion of names and identifying information from the Chamber’s/Tribunal’s
public records;
_ the non-disclosure to the public of any records identifying the victim;
_ the giving of testimony through image- or voice- altering devices or closed-circuit
television;
_ the assignment of a pseudonym;
_ closed sessions; and
_ appropriate measures to facilitate the testimony of vulnerable victims and
witnesses, such as one-way closed-circuit television. As can be seen from the
Rules of Procedure of these two Tribunals, the guiding principle is that measures
for the protection of victims and witnesses must be “consistent with the
rights of the accused”, and that, to this end, they do not foresee permanent
anonymity either of victims or of witnesses as between the parties themselves,
their identity having to be disclosed in sufficient time prior to the trial
to allow adequate time for the preparation of the trial. The approach adopted
by the International Criminal Tribunals provides an interesting solution to
difficult problems of security, while at the same time safeguarding to right
to an effective defence.
Recourse to anonymous witnesses was to the fore in the case of Kostovski examined
under article 6(1) and (3)(d) of the European Convention on Human Rights,
where two such witnesses had been heard by the police and, in one case, also
by the examining magistrate, but were not heard at the applicant’s trials.
Not only were the witnesses “not heard at the trials but also their declarations
were taken ... in the absence of Mr Kostovski and his counsel” and, therefore,
“at no stage could they be questioned by him or on his behalf”.165
The defence had, inter alia, the possibility of submitting written questions
“indirectly through the examining magistrate”, but “the nature
and scope of the questions it could put ... were considerably restricted by
reason of the decision that the anonymity of the authors of the statements should
be preserved”.166 This fact “compounded the difficulties
facing the applicant”, because, “if the defence is unaware of the
identity of the person it seeks to question, it may be deprived of the very
particulars enabling it to demonstrate that he or she is prejudiced, hostile
or unreliable”. In the view of the European Court, “the dangers
inherent in such a situation are obvious”.167 Another
aspect was that “each of the trial courts was precluded by the absence
of the said anonymous persons from observing their demeanour under questioning
and thus forming its own impression of their reliability”.168
The applicant, who had a long criminal record, was convicted of holding up a
bank, and the Government defended the use of anonymous witnesses by citing the
need to balance the interests of society, the accused and the witnesses themselves,
in view of the increasing frequency of intimidation of witnesses in the Netherlands.
In this particular case, the authors of the statements on which the applicant’s
conviction was based “had good reason to fear reprisals”.169
Although the Court admitted that the Government’s line of argument was
“not without force”, it was “not decisive”, and it went
on to make the following statement, which merits quoting in extenso:
“Although the growth in organized crime doubtless demands the introduction
of appropriate measures, the Government’s submissions appear to the Court
to lay insufficient weight on what the applicant’s counsel described as
‘the interest of everybody in a civilised society in a controllable and
fair judicial procedure’. The right to a fair administration of justice
holds so prominent a place in a democratic society ... that it cannot be sacrificed
to expediency. The Convention does not preclude reliance, at the investigation
stage of criminal proceedings, on sources such as anonymous informants. However,
the subsequent use of anonymous
statements as sufficient evidence to found a conviction, as in the present case,
is a different matter. It involved limitations on the rights of the defence
which were irreconcilable with the guarantees contained in Article 6. In fact,
the Government accepted that the applicant’s conviction was based ‘to
a decisive extent’ on the anonymous statements.”170It
followed that article 6(3)(d) taken together with article 6(1) of the European
Convention had been violated in this case. Testimony of anonymous victims and
witnesses during trial is unlawful, but can in exceptional cases be used in
the course of criminal investigations. The identity of anonymous victims and
witnesses must be disclosed in sufficient time prior to the beginning of the
court proceedings to ensure a fair trial.
3.9 The right to free assistance of an interpreter
According to article 14(3)(f) of the Covenant and article 6(3)(e) of the European
Convention, everyone shall be entitled to “have the free assistance of
an interpreter if he cannot understand or speak the language used in court”.
Article 8(2)(a) of the American Convention guarantees “the right of the
accused to be assisted without charge by a translator or interpreter, if he
does not understand or does not speak the language of the tribunal or court”.
Articles 20(4)(f) and 21(4)(f) of the respective Statutes of the International
Criminal Tribunals for Rwanda and the former Yugoslavia also provide for the
right to “free assistance of an interpreter” of an accused not understanding
or speaking the language of these Tribunals.
In the words of the Human Rights Committee, the free assistance of an interpreter
is a right that is “of basic importance in cases in which ignorance of
the language used by a court or difficulty in understanding may constitute a
major obstacle to the right of defence” and it is moreover a right that
“is independent of the outcome
of the proceedings and applies to aliens as well as to nationals”.171
However, the services of an interpreter must be available only “if the
accused or the defence witnesses have difficulties in understanding, or in expressing
themselves in the court language”.172 It is not a violation
of article 14 that the States parties make provision for the use of only one
official court language, and the requirement of a fair hearing does not “mandate
States parties to make available to a citizen whose mother tongue differs from
the official court language, the services of an interpreter, if this citizen
is capable of expressing himself adequately in the official language”.173
It follows that neither the right to a fair trial in article 14 nor article
14(3)(f) had been violated where a French citizen of Breton mother tongue, but
who also spoke French, was refused the services of an interpreter during court
proceedings against him in France. In this case, the author had “not shown
that he, or the witnesses called on his behalf, were unable to address the tribunal
in simple but adequate French”.174 The
Committee explained that the right to a fair trial in article 14(1) as read in conjunction with article 14(3)(f) of the Covenant “does not imply that the accused be afforded the possibility to express himself in the language which he normally speaks or speaks with a maximum of ease”; on the contrary, “if the court is certain”, as it was in this case, “that the accused is sufficiently proficient in the court’s language, it is not required to ascertain whether it would be preferable for the accused to express himself in a language other than the court language”.175
The European Court of Human Rights has held with regard to article 6(3)(e) of
the European Convention that the term “free” denotes “once
and for all exemption
or exoneration”.176 In its view, “it would run
counter not only to the ordinary meaning of [the term] free”, but also
“to the object and purpose” of article 6, and in particular of article
6(3)(e), “if this latter paragraph were to be reduced to the guarantee
of a right to provisional exemption from payment – not preventing the
domestic courts from making a convicted person bear the interpretation costs
–, since the right to a fair trial which Article 6 seeks to safeguard
would itself be adversely affected”.177 Article 6(3)(e)
as construed in the context of the right to a fair trial as guaranteed by article
6(1), consequently “signifies that an accused who cannot understand or
speak the language used in court has the right to the free assistance of an
interpreter for the translation or interpretation of all those documents or
statements in the proceedings instituted against him which it is necessary for
him to understand in order to have the benefit of a fair trial”.178
Consequently, where the courts of the Federal Republic of Germany had attributed
the costs of the interpretation to the applicants, article 6(3)(e) of the Convention
was found to have been violated.179 An accused person not
able to speak and understand the language used by the authorities in the course
of the criminal proceedings against him or her has the right to free interpretation
and translation of all documents in these proceedings. This right is independent
of the final outcome of the trial.
3.10 The right to a reasoned judgement
Although not expressly mentioned in the four main human rights treaties, the
right to a reasoned judgement is inherent in the provisions regarding a “fair
trial”,
including the right to a public judgement. Article 22(2) and article 23(2) of
the respective Statutes of the International Criminal Tribunals for Rwanda and
the former Yugoslavia both stipulate that the judgements of these Tribunals
“shall be accompanied by a reasoned opinion in writing, to which separate
or dissenting opinions may be appended”. According to article 74(5) of
the Statute of the International Criminal Court, the decisions of the Trial
Chamber “shall be in writing and shall contain a full and reasoned statement
of the Trial Chamber’s finding on the evidence and conclusions”.
The Human Rights Committee has examined numerous complaints concerning the failure
of courts to issue a reasoned judgement. These complaints have been examined
under article 14(3)(c) and (5) of the Covenant, which “are to be read
together, so that the right to review of conviction and sentence must be made
available without delay”. According to the Committee’s case-law
under article 14(5), “a convicted person is entitled to have, within reasonable
time, access to
written judgements, duly reasoned, for all instances of appeal in order to enjoy
the effective exercise of the right to have conviction and sentence reviewed
by a higher tribunal according to law”.180 In the case
of Francis, for instance, where the author had received a death sentence, the
Court of Appeal had failed to issue a written judgement more than nine years
after it dismissed his appeal, a delay that quite evidently was not reasonable
and violated article 14(3)(c) and (5) of the Covenant.181
The delay in the submission of written judgements has in many cases implied
that prisoners in Jamaica have not been able to pursue their right to appeal
to the Privy Council.
According to the established case-law of the European Court of Human Rights,
which reflects “a principle linked to the proper administration of justice,
judgments of courts and tribunals should adequately state the reasons on which
they are based”. However, the “extent to which this duty to give
reasons applies may vary
according to the nature of the decision and must be determined in the light
of the circumstances of the case”.182 Furthermore,
although article 6(1) of the European
Convention on Human Rights “obliges courts to give reasons for their decisions,
it cannot be understood as requiring a detailed answer to every argument”.183
Consequently, a court may thus, “in dismissing an appeal, ... simply
endorse the reasons for the lower court’s decision”.184
In the case of García Ruiz, the applicant complained that the Madrid
Audiencia Provincial failed to give him any reply to his arguments. However,
the European Court noted that the applicant “had the benefit of adversarial
proceedings” and that, at the various stages of those proceedings “he
was able to submit the arguments he considered relevant to his case”;
thus both the “factual and legal reasons for the first-instance decision
dismissing his claim were set out at length”.185 As
to the judgement on appeal of the Audiencia Provincial, it “endorsed the
statement of the facts and the legal reasoning set out in the judgment at first
instance in so far as they did not conflict with its own findings” and,
consequently, the applicant could not “validly argue that this judgment
lacked reasons, even though in the present case a more substantial statement
of reasons might have been desirable”.186 In a case
that was examined under article 6(1) and (3)(b) of the European Convention on
Human Rights, the applicant complained that he did not have available a copy
of the complete written judgement of the first-instance court at the time when
he had to decide whether or not to lodge an appeal. The European Court of Human
Rights concluded that this failure did not violate the Convention. A copy of
the judgement in abridged form was available for inspection at the registry
of the Regional Court, and a copy would have been made available to the defence
had it so requested; at least the
operative part of the judgement was read out in public in the presence of the
applicant’s defence counsel. The Court expressed no views on the practice
as such in the Netherlands with regard to judgements in abridged form which
would be supplemented with an elaborated version only if an appeal was lodged.
In the
circumstances of the present case it concluded basically that the issues on
which the applicant based his defence were addressed in the judgement in its
abridged form (a fact that the applicant had not denied) and that it could not
therefore be said that the applicant’s defence rights had been “unduly
affected by the absence of a complete judgment”.187
3.10.1 The lack of a reasoned judgement and capital punishment cases
The Human Rights Committee has consistently affirmed “that in all cases,
and especially in capital cases, the accused is entitled to trial and appeal
proceedings without undue delay, whatever the outcome of the judicial proceedings
may turn out to be”,188 and, as seen above, where the
lack of a reasoned judgement had prevented the author from proceeding with his
appeal, article 14(3)(c) and (5) was found to have been violated. The violation
of these provisions has the further consequence of violating the right to life
as protected by article 6 of the Covenant, since, according to General Comment
No. 6, it follows from the express terms of article 6 that the death penalty
“... can only be imposed in accordance with the law in force at the time of the commission of the crime and not contrary to the Covenant. The procedural guarantees therein prescribed must be observed, including the right to a fair hearing by an independent tribunal, the presumption of innocence, the minimum guarantees for the defence, and the right to review by a higher tribunal. These rights are applicable in addition to the particular right to seek pardon or commutation of the sentence.”189 Consequently, where “the final sentence of death” has been “passed without having met the requirements” of article 14, there is also a violation of article 6 of the Covenant, which provides in its second paragraph that a sentence of death may not be imposed “contrary to the provisions of the present Covenant”.190
The African Commission on Human and Peoples’ Rights has likewise held
that the execution of 24 soldiers constituted an “arbitrary deprivation”
of their right to
life as guaranteed by article 4 of the African Charter on Human and Peoples’
Rights, since their trial had violated the due process guarantees laid down
by article 7(1)(a) of the Charter.191 Courts must at all
times give reasons for their decisions, although they may not have to answer
each argument made by the accused.
The convicted person is entitled to receive a reasoned judgement within a reasonable
time; such judgement is essential for the purpose of lodging appeals. The strict
enforcement of these rights is particularly important in capital punishment
cases.
3.11 Freedom from ex post facto laws/ The principle of nullum crimen sine lege
Article 15(1) of the International Covenant, article 7(2) of the African Charter,
article 9 of the American Convention, article 7(1) of the European Convention
and
article 22 of the Statute of the International Criminal Court all guarantee
– in slightly different terms – the right not to be held guilty
on account of any act or omission that did not constitute a criminal offence
at the time it was committed. Article 15(1) of the Covenant and article 7(1)
of the European Convention refer to “national and international law”
in this respect, while article 9 of the American Convention speaks only of “the
applicable law”. Article 22 of the Statute of the International Criminal
Court relates to crimes “within the jurisdiction of the Court”.
The prohibition on retroactivity of criminal law is fundamental in a society
governed by the rule of law, one aspect of which is to ensure legal predictability
or foreseeability, and thus, legal security for individuals. Experience shows
that, in the course of severe crisis situations, there has often been a temptation
to penalize certain behaviour retroactively, but, as can be seen in article
4(2) of the International Covenant, article 27(2) of the American Convention
and article 15(2) of the European Convention, the right to freedom from ex post
facto laws has been made non-derogable, and must therefore apply with full force
even in the direst of emergencies.
The Human Rights Committee found a violation of article 15(1) of the Covenant
in a case where the author had been sentenced to eight years’ imprisonment
for “subversive association”, although the acts concerned were lawful
when committed.192
In the case of Media Rights Agenda and Others against Nigeria, the African Commission
on Human and Peoples’ Rights had to consider the compatibility of
Newspaper Decree No. 43 of 1993 with article 7(2) of the African Charter. This
Decree, which had retroactive effect, inter alia made it an offence punishable
with a heavy fine and/or a long term of imprisonment for a person to own, publish
or print a newspaper not registered under the Decree. The Commission condemned
“the literal, minimalist interpretation” of the Charter provided
by the Government, which had argued that there had been no violation of article
7(2) since the retroactive aspect of the Decree had not been enforced. In the
view of the Commission, however, article 7(2) “... must be read to prohibit
not only condemnation and infliction of punishment for acts which did not constitute
crimes at the time they were committed, but retroactivity itself. It is expected
that citizens must take the
laws seriously. If laws change with retroactive effect, the rule of law is undermined
since individuals cannot know at any moment if their actions are legal. For
a law-abiding citizen, this is a terrible uncertainty, regardless of the likelihood
of eventual punishment.”193
The Commission added, furthermore, that “unfortunately” it could
not be totally confident that no person or newspaper had as yet suffered under
the retroactivity of Decree No. 43. In its view potential “prosecution
is a serious threat” and “an unjust but un-enforced law undermines
... the sanctity in which the law should
be held”. Consequently, Decree No. 43 violated article 7(2) of the African
Charter.194
The European Court has dealt with a number of varied cases under article 7(1).
However, only the basic principles of the Court’s interpretation of this
article can
be dealt with here. To the European Court, article 7(1) not only prohibits “the
retrospective application of the criminal law to an accused’s disadvantage”
but also
“embodies, more generally, the principle that only the law can define
a crime and prescribe a penalty (nullum crimen, nulla poena sine lege), as well
as the principle that the criminal law must not be extensively construed to
an accused’s detriment, for instance, by analogy”.195
This important qualification implies that “an offence must be clearly
defined in law”, a condition which is “satisfied where the individual
can know from the wording of the relevant provision and, if need be, with the
assistance of the courts’ interpretation of it, what acts and omissions
will make him liable”.196 The Court has also held that,
where new provisions of a Criminal Code had been applied to the advantage rather
than the detriment of the accused person, article 7(1) of the Convention had
not been violated.197
3.12 The principle of ne bis in idem, or prohibition of double jeopardy
Article 14(7) of the International Covenant contains the prohibition of double
jeopardy, or the principle of ne bis in idem, according to which “no one
shall be liable to be tried or punished again for an offence for which he has
already been finally convicted or acquitted in accordance with the law and penal
procedure of each country”. Article 8(4) of the American Convention guarantees
this principle in the following words: “An accused person acquitted by
a nonappealable judgement shall not be subjected to a new trial for the same
cause” (emphasis added). Protocol No. 7 to the European Convention provides
in its article 4(1) that “no one shall be liable to be tried or punished
again in criminal proceedings under the jurisdiction of the same State for an
offence for which he has already been finally acquitted or convicted in accordance
with the law and penal procedure of that State”. However, according to
article 4(2) of the Protocol, these provisions “shall not prevent the
re-opening of the case ... if there is evidence of new or newly discovered facts,
or if there has been a fundamental defect in the previous proceedings, which
would affect the outcome of the case”. The principle of ne bis in idem
is non-derogable under the European Convention (cf. art. 4(3) of
Protocol No. 7).
Lastly, articles 9 and 10 of the respective Statutes of the International Criminal
Tribunals for Rwanda and the former Yugoslavia, as well as article 20 of the
Statute of the International Criminal Court, also provide protection against
double jeopardy for crimes within the jurisdiction of the respective courts.
However, under the Statutes of the Tribunals for Rwanda and the former Yugoslavia,
exceptions exist for persons having been tried by national courts for an act
characterized as “an ordinary crime” rather than a “serious”
violation of international humanitarian law and, further, if “the national
court proceedings were not impartial or independent, were designed to shield
the accused from international criminal responsibility, or the case was not
diligently prosecuted” (see art. 9(2) and art. 10(2) of the respective
Statutes). Article 20(3) of the Statute of the International Criminal Court
also provides for exceptions for such other court proceedings which had the
“purpose of shielding the person concerned from criminal responsibility
for crimes within the jurisdiction of the Court”, or if such proceedings
were otherwise “not conducted independently or impartially in accordance
with the norms of due process recognized by international law and were conducted
in a manner which, in the circumstances, was inconsistent with an intent to
bring the person concerned to justice”. Article 14(7) of the Covenant
– like the European Convention – only
prohibits double jeopardy “with regard to an offence adjudicated in a
given State”; it does not guarantee ne bis in idem “with regard
to the national jurisdictions of two or more States”.198
It is clear that, when a domestic appellate court has already quashed a second
indictment, thus vindicating the principle of ne bis in idem, there has been
no violation of, for instance, article 14(7) of the Covenant.199
With regard to the principle of ne bis in idem as guaranteed by article 8(4) of the American Convention on Human Rights, the Inter-American Court of Human Rights has explained that it “is intended to protect the rights of individuals who have been tried for specific facts from being subjected to a new trial for the same cause”, but, unlike “the formula used by other international rights protection instruments, ... the American Convention uses the expression ‘the same cause’, which is amuch broader term in the victim’s favour”.200 This means, for instance, that, if a person has been acquitted by military courts on charges of treason, it is contrary to article 8(4) of the Convention subsequently to try that person in the civil courts, on the same facts, albeit with a different qualification such as terrorism.201 Indeed, in the case of Loayza Tamayo, the Court also held that the Decree Laws containing the crimes of “terrorism” and “treason” were in themselves contrary to article 8(4), since they referred “to actions not strictly defined” which could be “interpreted similarly within both crimes” as was done in that particular case.202 In other words, they gave rise to unacceptable legal insecurity.
The principle of ne bis in idem in article 4 of Protocol No. 7 to the European
Convention was violated in the case of Gradinger, concerning an applicant who
had
already been convicted by an Austrian Regional Court for causing death by negligence
while driving his car. According to the Regional Court, which based itself on
the Criminal Code, the applicant’s alcohol level was not such that it
would have constituted an aggravating factor.203 However,
the District Attorney disagreed with the conclusion and, invoking the Road Traffic
Act, imposed a fine on the applicant “with two weeks’ imprisonment
in default, for driving under the influence of drink”.204
The European Court was of the view that, although the Criminal Code and the
Road Traffic Act differed both as to “the designation of the offences”
and “their nature and purpose”, “the impugned decisions were
based on the same conduct” thereby constituting a violation of the principle
of ne bis in idem.205
In the case of Oliveira, however, the outcome was different. The applicant had
been driving on a road covered with ice and snow when her car veered onto the
other side of the road, hitting one car and colliding with a second car whose
driver was seriously injured. A police magistrate subsequently convicted the
applicant on the basis of Sections 31 and 32 of the Federal Road Traffic Act
of “failing to control her vehicle, as she had not adapted her speed to
the road conditions”; she was sentenced to a fine of 200 Swiss francs
(CHF).206 Subsequently, the District Attorney’s Office
issued a penal order fining the applicant CHF 2000 “for negligently causing
physical injury” contrary to article 125 of the Swiss Criminal Code; on
appeal this fine was reduced to CHF 1,500, and, after deduction of the first
fine of CHF 200, to CHF 1,300.207 Before the European Court
of Human Rights, the applicant complained of a violation of article 4 of Protocol
No. 7, arguing that the same incident had led to her being convicted twice,
first for failing to control her vehicle and then for negligently causing physical
injury.208
In the view of the European Court this is “a typical example of a single
act constituting various offences (concours idéal d’infractions)”,
and the “characteristic feature of this notion is that a single criminal
act is split up in two separate offences”; in such cases “the greater
penalty will usually absorb the lesser one”.209 In
the view of the Court, however, “there is nothing in that situation which
infringes article 4 of Protocol No. 7 since that provision prohibits people
being tried twice for the same offence whereas in cases concerning a single
act constituting various offences (concours idéal d’infractions)
one criminal act constitutes two separate offences”.210
The Court added, however, that it “would admittedly have been more consistent
with the principles governing the proper administration of justice for sentence
in respect of both offences, which resulted from the same criminal act, to have
been passed by the same court in a single set of proceedings”; however,
the fact that this was not done in this case was “irrelevant as regards
compliance with” article 4 of Protocol No. 7, “since that provision
does not preclude separate offences, even if they are part of a single act,
being tried by different courts, especially where, as in the present case, the
penalties were not cumulative, the lesser being absorbed by the greater”.211
The Oliveira case was “therefore distinguishable from the case of Gradinger,
... in which two different courts came to inconsistent findings on the applicant’s
blood alcohol level”.212 There had not, consequently,
been a violation of article 4 of protocol No. 7 in this case. Everyone has the
right not to be convicted for conduct that did not constitute a criminal offence
at the time it was committed. This right applies at all times and can never
be derogated from. The prohibition of ex post facto laws is essential in order
to ensure legal predictability, which means that laws must be clear enough to
guide the conduct of the individual, who must be able to know, possibly with
some legal help, what conduct is criminal and what is not. The right not to
be tried twice for the same criminal offence is guaranteed by international
law, as a minimum within one and the same State. In Europe, the principle of
ne bis in idem does not rule out a person’s being tried for separate offences
originating in a single criminal act.
4. Limits on Punishment
4.1 The right to benefit from a lighter penalty
Article 15(1) of the International Covenant and article 9 of the American Convention
outlaw the imposition of a penalty heavier than the one that was applicable
at the time when the criminal offence was committed, and provide that if, subsequent
to the commission of the offence, provision is made by law for the imposition
of a lighter penalty, the offender shall benefit therefrom. These provisions
cannot be derogated from even in public emergencies (cf. article 4(2) of the
International
Covenant and article 27(2) of the American Convention). The African Charter
is silent on these questions, while article 7(1) of the European Convention
is limited to the proscription of recourse to penalties that are heavier than
those applicable at the time the crime was committed; this provision too is
non-derogable (cf. art. 15(2) of the European Convention).
The question of preventive measures:The case of Welch
The case of Welch was examined under article 7(1) of the European Convention
and concerned an applicant who had received a long prison sentence for drug
offences and who, in addition, had been the subject of a confiscation order
based on a law that had entered into force after the commission of the offences
concerned. Failure to pay the money would have made the applicant liable to
serve a consecutive sentence of two years’ imprisonment. Recalling that
the term “penalty” is an “autonomous” notion under the
Convention and “looking behind appearances to the realities of the situation”,
the European Court concluded that article 7(1) had been violated in this case,
since “the applicant faced more far-reaching detriment as a result of
the order than that to which he was exposed at the time of the commission of
the offences for which he was convicted”.213 This conclusion
did not mean that the Court opposed the recourse to severe confiscatory measures
“in the fight against the scourge of drug trafficking”, only that
it stigmatized the retroactive application thereof.214 4.2
Consistency with international legal standards Other limits on the right to
impose penalties in connection with criminal convictions flow from the terms
of international human rights law in general, and
concern, most particularly, the prohibition on corporal punishment and the severe
restrictions on, and outlawing of, recourse to capital punishment.
4.2.1 Corporal punishment
It will be recalled that inter alia article 7 of the International Covenant,
article 5 of the African Charter, article 5(2) of the American Convention and
article 3 of the
European Convention all outlaw recourse to torture, cruel and/or inhuman or
degrading treatment or punishment. This prohibition is valid at all times and
allows for
no limitations. The Human Rights Committee has observed that the prohibition
in article 7 “relates not only to acts that cause physical pain but also
to acts that cause mental suffering to the victim” and that, moreover,
“the prohibition must extend to corporal punishment, including excessive
chastisement ordered as punishment for a crime or as an educative or disciplinary
measure”.215 It is not clear, however, what the Committee
here means by “excessive chastisement”; but to judge from the Committee
members’ questions and recommendations to the States parties in connection
with consideration of the periodic reports, they regard the use of corporal
punishment as an inappropriate form of chastisement that is contrary to article
7 and should be abolished.216
The case of Tyrer brought under the European Convention on Human Rights concerned
the imposition of three strokes with a cane on an adolescent, a punishment
ordered by a juvenile court in the Isle of Man. The caning “raised, but
did not cut, the applicant’s skin and he was sore for about a week and
a half afterwards”.217 The European Court concluded
that “the element of humiliation attained the level inherent in the notion
of ‘degrading punishment’” and was therefore contrary to article
3 of the European Convention.218 The Court expressed its
view on judicial corporal punishment in the following terms: “The very
nature of judicial corporal punishment is that it involves one human being inflicting
physical violence on another human being. Furthermore, it is institutionalised
violence, that is in the present case violence permitted by the law, ordered
by the judicial authorities of the State and carried out by the police authorities
of the State. ... Thus, although the applicant did not suffer any severe or
long-lasting physical effects, his punishment – whereby he was treated
as an object in the power of the authorities – constituted an assault
on precisely that which it is one of the main purposes of Article 3 to protect,
namely a person’s dignity and physical integrity.”219
4.2.2 Capital punishment
In international human rights law, recourse to capital punishment is surrounded
by numerous safeguards aimed at limiting and eventually abolishing its use.
For instance, article 6(2) of the International Covenant on Civil and Political
Rights allows the imposition of the death penalty only “for the most serious
crimes”, a
provision that has led the Human Rights Committee to conclude that, where the
death penalty was imposed for a conviction of aggravated robbery, the mandatory
death sentence violated article 6(2); this was so since the domestic court could
not take into consideration mitigating circumstances such as the fact that the
use of firearms in this case “did not produce the death or wounding of
any person”.220 Other safeguards contained in article
6 of the Covenant relate to the prohibition both on imposing death sentences
“for crimes committed by persons below eighteen years of age” and
on the carrying out of such sentences on pregnant women. Further, as described
above, according to article 6(2) of the Covenant, death sentences cannot be
imposed “contrary to the provisions of the ... Covenant”, which
means that all the due process guarantees must have been respected in the trial
leading to the death sentence. The Second Optional Protocol to the Covenant
aims at the abolition of the death penalty and entered into force on 11 July
1991. As of 8 February 2002 there were 46 States parties to this Protocol.221
Article 4 of the American Convention also contains safeguards against abusive
recourse to capital punishment and it cannot, for instance, “be reestablished
in
states that have abolished it” (art. 4(3)). Further, “in no case
shall capital punishment be inflicted for political offences or related common
crimes”, a limitation that is
particularly important in public emergencies. In addition, the penalty shall
not be inflicted on persons who committed the crime below the age of eighteen
or over
seventy years of age, nor shall it be carried out on pregnant women. On 8 June
1990, the Protocol to the American Convention on Human Rights to Abolish the
Death Penalty was adopted and, as of 9 April 2002, it had eight ratifications.222
According to article 2 of this Protocol the States parties may, however, when
ratifying or acceding to the Protocol, “declare that they reserve the
right to apply the death penalty in wartime, in accordance with international
law, for extremely serious crimes of a military nature”.
The European Convention on Human Rights per se allows for the death penalty;
this follows from article 2(1), which provides that “no one shall be deprived
of
his life intentionally save in the execution of a sentence of a court following
his conviction of a crime for which this penalty is provided by law”.
However, according to article 1 of Protocol No. 6 to the Convention, “the
death penalty shall be abolished” and “no one shall be condemned
to such penalty or executed”. Yet article 2 of the Protocol makes provision
for the use of the death penalty “in respect of acts committed in time
of war or of imminent threat of war”. Once into force, Protocol No. 13
to the Convention will, however, outlaw the death penalty at all times. Signed
on 3May 2002 in Vilnius, Protocol No. 13 had, as of 14 May 2002, 3 of the 10
ratifications required for its entry into force.223
Neither the International Criminal Court nor the International Criminal Tribunals
for Rwanda and the former Yugoslavia can impose the death penalty (see
art. 77 of the Statute of the International Criminal Court and arts. 23 and
24 of the respective Statutes of the International Criminal Tribunals for Rwanda
and the former Yugoslavia). Under international human rights law, a heavier
penalty cannot be imposed than that applicable at the time of the commission
of the offence.
If a lighter penalty has been introduced since the commission of the offence,
the convicted person shall, however, benefit therefrom. Punishments must be
consistent with international human rights standards. They must in no circumstances
amount to torture, inhuman, cruel or degrading treatment or punishment. Corporal
chastisement is unlawful to the extent that it amounts to such treatment. Such
chastisement is in general considered inappropriate by the international monitoring
organs. The use of the death penalty is strictly circumscribed under international
human rights law; if permissible at all, it is limited to the most serious crimes;
and cannot be imposed for crimes committed by persons under eighteen years of
age. Many countries are now legally committed not to resort to the use of capital
punishment in times of peace.
5. The Right of Appeal
Article 14(5) of the Covenant provides that “everyone convicted of a crime
shall have the right to his conviction and sentence being reviewed by a higher
tribunal
according to law”. The existence of a right to appeal is a right guaranteed
by the Covenant itself and its existence is thus not in theory dependent on
domestic law; the reference to “according to law” refers here exclusively
to “the modalities by which the review by a higher tribunal is to be carried
out”.224 Article 7(1)(a) of the African Charter on
Human and Peoples’ Rights provides that “every individual shall
have the right to have his cause heard”, a right which includes “the
right to an appeal to competent national organs against acts violating his fundamental
rights as recognized and guaranteed by conventions, laws, regulations and customs
in force”. Article 8(2)(h) of the American Convention on Human Rights
stipulates that in criminal proceedings “every person is entitled, with
full equality [to] the right to appeal the judgment to a higher court”.
Article 6 of the European Convention does not, per se, guarantee a right of
appeal,225 but this right is contained in article 2 of Protocol
No. 7 to the Convention, although it “may be subject to exceptions in
regard to offences of a minor character, as prescribed by law, or in cases in
which the person concerned was tried in first instance by the highest tribunal
or was convicted following an appeal against acquittal” (art. 2(2) of
the Protocol).
The African Commission on Human and Peoples’ Rights has held that the
“foreclosure of any avenue of appeal to competent national organs in a
criminal case
attracting punishment as severe as the death penalty clearly violates”
article 7(1)(a) of the African Charter. In the view of the Commission, the lack
of appeal in such cases also falls short of the standard contained in paragraph
6 of the United Nations Safeguards guaranteeing protection of the rights of
those facing the death penalty, which provides that “anyone sentenced
to death shall have the right to appeal to a court of higher jurisdiction ...”.226
Article 7(1)(a) was thus also violated where the Nigerian Government had passed
the Civil Disturbances Act whereby it excluded any review by any court of law
of the “validity of any decision, sentence, judgment ... or order given
or made, ... or any other thing whatsoever done under this Act”.227
In the particular case involving the Constitutional Rights Project acting on
behalf of seven men sentenced to death, the fundamental rights involved were
the rights to life and to liberty and security as guaranteed by articles 4 and
6 of the African Charter. The Commission held that, while “punishments
decreed as the culmination of a carefully conducted criminal procedure do not
necessarily constitute violations of these rights, to foreclose any avenue of
appeal to ‘competent national organs’ in criminal cases bearing
such penalties clearly violates” article 7(1)(a) of the Charter, “and
increases the risk that even severe violations may go unredressed”.228
In the case of Forum of Conscience concerning the trial and subsequent execution
of 24 soldiers, the Commission concluded that the deprivation of the right to
appeal constituted a violation of article 7(1)(a) and that this failure to provide
due process amounted to an arbitrary deprivation of their lives contrary to
article 4 of the Charter.229 The right to appeal in article
7(1)(a) of the African Charter does not, however, appear to be limited to criminal
proceedings as such in that it allows for appeals “to competent national
organs” against acts violating one’s “fundamental rights”
in general.
5.1 The right to full review
The Human Rights Committee has made it clear that, regardless of the name of
the remedy or appeal in question, “it must meet the requirements for which
the
Covenant provides”,230 which implies that the review
must concern both the legal and material aspects of the person’s conviction
and sentence. In other words, in
addition to pure questions of law, the review must provide “for a full
evaluation of the evidence and the conduct of the trial”.231
In the case of Gómez, the author complained of a violation of article
14(5); since the Spanish Supreme Court could not re-evaluate evidence, his judicial
review had thus been incomplete. The State party was not able to refute this
allegation and the Committee consequently concluded that “the lack of
any possibility of fully reviewing the author’s conviction and sentence,
... the review having been limited to the formal or legal aspects of the conviction,
means that the guarantees provided for in article 14, paragraph 5, of the Covenant
have not been met”.232 In yet another case against
Spain, the same provision was violated since there was no lawyer available to
submit any grounds of appeal and, therefore, the authors’ appeal “was
not effectively considered by the Court of Appeal”.233
With regard to leave to appeal, the Committee has however accepted that “a
system not allowing for automatic right to appeal may still be in conformity
with” article 14(5) of the Covenant “as long as the examination
of an application for leave to appeal entails a full review, that is, both on
the basis of the evidence and of the law, of the conviction and sentence and
as long as the procedure allows for due consideration of the nature of the case”.234
5.2 The availability of a judgement As seen in subsections 3.10 and 3.10.1 above,
for the right of appeal to be effectively available, a convicted person is entitled
to have, within a reasonable time, access to duly reasoned written judgements;
failing the availability of such judgement, article 14(5) of the International
Covenant has been violated. Article 14(5) has also been violated in cases where
the defence lawyers have abandoned all grounds of appeal, and where the domestic
court has not ascertained that this was done in accordance with the wishes of
the client. However, this jurisprudence does not apply to cases where it appears
that the relevant domestic court “did ascertain that the applicant had
been informed and accepted that there were no arguments to be made on his behalf”.235
5.3 Transcripts of the trial
The right to appeal can also be affected by a delay in producing the transcripts
of the trial. Because of such delay in the Pinkney case, the author’s
leave to appeal was not heard until 34 months after he had applied for leave
to appeal, a delay that “was incompatible with the right to be tried without
undue delay” contrary to article 14(3)(c) and (5) of the International
Covenant.236
5.4 Preservation of evidence
The Committee has further recognized “that in order for the right to review
of one’s conviction to be effective, the State party must be under an
obligation to preserve sufficient evidential material to allow for” an
effective review of one’s conviction.237 However, it
does not see “that any failure to preserve evidential material until the
completion of the appeals procedure constitutes a violation of” article
14(5), but only “where such failure prejudices the convict’s right
to a review, i.e. in situations where the evidence in question is indispensable
to perform such a review”. Moreover, in its view, “this is an issue
which it is primarily for the appellate courts to consider”.238
Consequently, where the State party’s “failure to preserve the original
confession statement was made one of the grounds of appeal” and the court
dismissed the appeal since it had no merit and “without giving further
reasons”, the Committee considered that it was “not in a position
to re-evaluate the ... findings on this point” and concluded that article
14(5) had not been violated.239
5.5 The right to legal aid
The Committee has consistently held that “it is imperative that legal
aid be available to a convicted prisoner under sentence of death, and that this
applies to all
stages of the legal proceedings”.240 In the case of
LaVende, the author had been denied legal aid for the purpose of petitioning
the Judicial Committee of the Privy Council, and, in the opinion of the Committee,
this denial constituted a violation not only of article 14(3)(d), but also of
article 14(5), since it effectively barred him from obtaining a review of his
conviction and sentence.241
The right to appeal as guaranteed by article 8 (2)(h) of the American Convention
on Human Rights was violated in the case of Castillo Petruzzi et al. where the
victims had only been able to file an appeal with the Supreme Court of Military
Justice against the judgement of the lower military court. As noted by the Inter-American
Court of Human Rights, the right to appeal the judgement as guaranteed by the
Convention “is not satisfied merely because there is a higher court than
the one that tried and convicted the accused and to which the latter has or
may have recourse”; on the contrary, for “a true review of the judgment,
in the sense required by the Convention, the higher court must have the jurisdictional
authority to take up the particular case in question”.242
In this case, where the victims had been tried by a military court with an appeal
possible to the Supreme Court of Military Justice, “the superior court
was part of the military structure and as such did not have the independence
necessary to act as or be a tribunal previously established by law with jurisdiction
to try civilians”; consequently, “there were no real guarantees
that the case would be reconsidered by a higher court that combined the qualities
of competence, impartiality and independence that the Convention requires”.243
Although the right to appeal is not guaranteed as such by article 6 of the European
Convention on Human Rights, the European Court has consistently held
that “a Contracting State which sets up an appeal system is required to
ensure that persons within its jurisdiction enjoy before appellate courts the
fundamental
guarantees” of that article; yet “the manner of application of Article
6 to proceedings before such courts depends on the special features of the proceedings
involved” and “account must be taken of the entirety of the proceedings
in the domestic legal order and of the role of the appellate court therein”.244
As previously noted, the right to appeal is, however, included in article 2
of Protocol No. 7. International human rights law guarantees the right to appeal
against a conviction. The appeal proceedings must provide a full review of the
facts and the law. Inter alia, the effective exercise of the right to appeal
requires, as a minimum, access within a reasonable time to the written judgement.
It may also require the transcript of the trial, access to evidential material,
and the granting of free legal aid. It is not sufficient that the right to appeal
is exercised before a higher court; this court must be independent and impartial
and administer justice in accordance with the rules of due process of law.
6. The Right to Compensation in the Event of a Miscarriage of Justice
Of the main human rights treaties examined in this chapter, only the International
Covenant on Civil and Political Rights provides expressis verbis for compensation
in case of a miscarriage of justice. Article 14(6) thereof reads: “When
a person has by a final decision been convicted of a criminal offence and when
subsequently his conviction has been reversed or he has been pardoned on the
ground that a new or newly discovered fact shows conclusively that there has
been a miscarriage of justice, the person who has suffered punishment as a result
of such conviction shall be compensated according to law, unless it is proved
that the non-disclosure
of the unknown fact in time is wholly or partly attributable to him.”
As is clear from this text, a pardon must be based on the fact that a miscarriage
of justice has taken place, and, consequently, where a presidential pardon was
instead motivated by considerations of equity, no question of compensation arises
under article 14(6) of the Covenant.245 Under the International
Covenant on Civil and Political Rights a person has the right to compensation
in case of conclusive evidence that he or she has been the victim of a miscarriage
of justice. The victim must not have contributed to the miscarriage of justice.
Pardons based on equity do not
give rise to any ground for compensation.
7. The Right to a Fair Trial and Special Tribunals
In General Comment No. 13, the Human Rights Committee stated with regard to
the creation of military and other special tribunals that “The provisions
of article 14 apply to all courts and tribunals within the scope of that article
whether ordinary or specialized. The Committee notes the existence, in many
countries, of military or special courts which try civilians. This could present
serious problems as far as the equitable, impartial and independent administration
of justice is concerned. Quite often the reason for the establishment of such
courts is to enable exceptional procedures to be applied which do not comply
with normal
standards of justice. While the Covenant does not prohibit such categories of
courts, nevertheless the conditions which it lays down clearly indicate that
the trying of civilians by such courts should be very exceptional and take place
under conditions which genuinely afford the full guarantees stipulated in article
14.”246
Without explaining what aspect of the proceedings was not in conformity with
article 14, the Human Rights Committee concluded that the Nicaraguan Peoples’
Tribunals (Tribunales Especiales de Justicia) “did not offer the guarantees
of a fair trial provided for” in that article. In the case in question
the author had been sentenced to 30 years’ imprisonment on account of
his outspoken criticism of the Marxist orientation of the Sandinistas.247
It is clear from the case-law of the African Commission on Human and Peoples’
Rights that the provisions of article 7 of the African Charter should be considered
to be non-derogable and that all tribunals, including military courts, must
be impartial and ensure fair legal proceedings at all times.248
The Inter-American Court of Human Rights concluded that the military courts
permitted to try civilians for treason in Peru violated article 8(1) of the
American
Convention on Human Rights because they were not independent and impartial and
because, since the judges were “faceless”, the defendants had no
possibility of knowing their identity and of assessing their competence.249
The European Court of Human Rights held in several cases that National Security
Courts trying civilians in Turkey lacked the independence and impartiality required
by article 6(1) of the European Convention on Human Rights and could not, consequently,
guarantee the applicants’ right to a fair hearing. The reason why the
National Security Courts failed to comply with the requirements of article 6(1)
in this respect was that one of their three members was a military judge belonging
to the army and subject to military discipline and assessment reports; further,
the term of office of National Security Court judges was only a renewable period
of four years.250
What follows from these few examples of the international case-law on this
matter is that all courts trying civilians, whether ordinary or special, including
military
tribunals, must be independent and impartial so as to be able to guarantee a
fair hearing to the accused at all times. All courts trying civilians, whether
ordinary or special courts, must at all times be independent and impartial and
respect due process guarantees.
8. The Right to a Fair Trial in Public Emergencies
The right to due process in public emergencies will be dealt with in Chapter
16. Suffice it to point out here that, although the articles on fair trial in
the International
Covenant and the American and European Conventions do not, as such, form part
of the list of non-derogable rights in article 4(2) of the Covenant, article
27(2)of the American Convention and article 15(2) of the European Convention,
this in no way means that these provisions can be derogated from at will.
With regard to the International Covenant on Civil and Political Rights, the
Human Rights Committee has stated in its General Comment No. 13 that “If
States parties decide in circumstances of a public emergency as contemplated
by article 4 to derogate from normal procedures required under article 14, they
should ensure that such derogations do not exceed those strictly required by
the exigencies of the actual situation, and respect the other conditions in
paragraph 1 of article 14.”251
The Committee has also made it abundantly clear that the “right to be tried by an independent and impartial tribunal is an absolute right that may suffer no exception”.252 It is further beyond doubt that the basic fair trial guarantees laid down in article 14 must be ensured even in severe crisis situations, although the Committee has accepted “that it would simply not be feasible to expect that all provisions of article 14 can remain fully in force in any kind of emergency”.253 However, it has not yet defined what aspect, or aspects, of the fair trial guarantees might possibly not be applicable in public emergencies threatening the life of the nation.
Since, as already noted above, the African Commission on Human and Peoples’
Rights considered that article 7 of the African Charter on Human and Peoples’
Rights should be considered non-derogable, it follows that the fair trial guarantees
contained therein must be ensured at all times.254
The Inter-American Court has emphasized that “the guarantees to which
every person brought to trial is entitled must be not only essential but also
judicial”, a
conception that implies “the active involvement of an independent and
impartial judicial body having the power to pass on the lawfulness of measures
adopted in a state of emergency”.255 In the case of
Castillo Petruzzi “the military tribunals that tried the alleged victims
for the crimes of treason did not meet the requirements implicit in the guarantees
of independence and impartiality” that article 8(1) “recognizes
as essentials of due process of law”.256 More details
about the interesting inter-American jurisprudence relating to article 27 of
the American Convention will be given in Chapter 16 of this Manual. The right
to enjoy a fair trial must also be guaranteed in public emergencies threatening
the life of the nation, although possibly some aspects thereof may be subject
to limited enforcement. The right to be tried by an independent and impartial
tribunal must be guaranteed at all times, including in public emergencies threatening
the life of the nation.
9. Concluding Remarks
This chapter has explained the principal rights that must be effectively ensured
to accused persons in the determination of any criminal charges against them,
rights which must be protected from the beginning of the trial proceedings until
conviction or acquittal. It has also shown the indispensable role played by
domestic
judges in the fair administration of justice, a role which runs like a thread
through Chapters 4 onwards. The essential role both of prosecutors and of defence
lawyers has also been emphasized whenever relevant. But the national judge is
not only responsible for his or her own actions stricto sensu. He or she is
also to some extent responsible for those of prosecutors and defence lawyers,
to the extent that, where the judge has any indication that the prosecutor has
erred in the course of the criminal inquiry by resorting to unlawful means of
investigation, or that the defence lawyer has not duly consulted with his or
her client or simply has not acted professionally, that judge has a duty to
intervene to correct those errors or insufficiencies, since such action may
be essential in order to guarantee a fair
hearing and equality of arms between the prosecution and the defence. The rights
dealt with in this chapter are manifold and it is difficult, or even impossible,
to single out some as being more important than others. These rights indeed
form a whole, and, together with the rights dealt with in Chapters 4 to 6, constitute
the foundation on which a society respectful of human rights in general, including
the rule of law, is built.
_______________
Notes
1. United Nations Compilation of General Comments, p. 123, para.
5.
2. Communication No. 272/1988, A. Thomas v. Jamaica (Views
adopted on 31 March 1992), in UN doc. GAOR, A/47/40, p. 264, para. 13.l; emphasis
added.
3. Communication No. 770/1997, Gridin v. Russian Federation
(Views adopted on 20 July 2000), in UN doc. GAOR, A/55/40 (vol. II), p. 176,
para. 8.2. The author alleged inter alia that the court room was crowded with
people who were screaming that he should be sentenced to death; ibid., p. 173,
para. 3.5.
4. Communication No. 535/1993, L. Richards v. Jamaica (Views
adopted on 31 March 1997), in UN doc. GAOR, A/52/40 (vol. II), p. 43, para.
7.2.
5. I-A Court HR, Villagrán Morales et al. Case (The “Street Children” Case) v. Guatemala, judgment of November 19, 1999, Series C, No. 63, p. 198, para. 233.
6. Ibid., p. 196, para. 230; for more details see ibid., pp. 196-198, paras. 231-232.
9. Eur. Court HR, Case of Botten v. Norway, judgment of 19 February 1996, reports 1996-I, p. 145, para. 53.
10. Eur. Court HR, Bricmont Case, judgment of 7 July 1989, Series A, No. 158, pp. 30-31, paras. 84-85.
11. Eur. Court HR, Golder Case v. the United Kingdom, judgment of 21 February 1975, Series A, No. 18, p. 18, para. 36 and p. 19, para. 40 at p. 20.
12. Eur. Court HR, Case of Campbell and Fell, judgment of 28 June 1984, Series A, No. 80, p. 46, para. 107.
13. Eur. Court HR, Case of Palaoro v. Austria, judgment of 23 October 1995, Series A, No. 329-B, p. 40, para. 41.
14. Ibid., p. 41, para. 43; emphasis added.
16. Eur. Court HR, Case of Allan Jacobsson v. Sweden, judgment of 25 October 1989, Series A. No. 163, pp. 19-21, paras. 65-77 (property right); and Eur. Court HR, Case of Eriksson v. Sweden, judgment of 22 June 1989, Series A, No. 156, pp. 27-29, paras. 73-82 and p. 31, paras. 90-92 (question of access to children) .
17. See also Chapter 15 of this Manual with regard to the
availability of effective domestic remedies for violations of human rights and
fundamental freedoms.
18. Communication No. 307/1988, J. Campbell v. Jamaica (Views
adopted on 24 March 1993), in UN doc. GAOR, A/48/40 (vol. II), p. 44, para.
6.4.
19. Communication No. 289/1988, D. Wolf v. Panama (Views adopted
on 26 March 1992), in UN doc. GAOR, A/47/40, pp. 289-290, para. 6.6.
20. ACHPR, Avocats Sans Frontières (on behalf of Gaëtan Bwampamye) v. Burundi, Communication No. 231/99, decision adopted during the 28th Ordinary session, 23 October – 6 November 2000, paras. 26-27 of the text of the decision as published at http://hrlibrary.law.umn.edu/africa/comcases/231-99.html (emphasis added).
22. Eur. Court HR, Case of Bulut v. Austria, judgment of 22 February 1996, Reports 1996-II, p. 359, para. 47.
24. Ibid., pp. 359-360, para. 49.
25. Eur. Court HR, Case of Lobo Machado v. Portugal, judgment of 20 February 1996, Report 1996-I, para. 31 at p. 207.
26. Eur. Court HR, Case of Brandstetter v. Austria, judgment of 28 August 1991, Series A, No. 211, pp. 27-28, para. 67; emphasis added.
27. Eur. Court HR, Case of Lobo Machado v. Portugal, judgment of 20 February 1996, Report 1996-I, pp. 206-207, paras. 31-32.
28. Eur. Court HR, Case of Brandstetter v. Austria, judgment of 28 August 1991, Series A, No. 211, p. 28, para. 68.
29. Communication No. 307/1988, J. Campbell v. Jamaica (Views adopted on 24 March 1993), in UN doc. GAOR, A/48/40 (vol. II), p. 42, para. 2.3.
30. Ibid., p. 44, paras. 6.3-6.4.
32. Communications Nos. 226/1987 and 256/1987, M. Sawyers and M. and D. McLean v. Jamaica (Views adopted on 11 April 1991), in UN doc. GAOR, A/46/40, p. 233, para. 13.5; emphasis added.
33. Communication No. 232/1987, D. Pinto v. Trinidad and Tobago
(Views adopted on 20 July 1990), in UN doc. GAOR A/45/40 (vol. II), p. 73, para.
12.3.
34. See e.g. ibid., loc. cit. and Communication No. 283/1988,
A. Little v. Jamaica (Views adopted on 1 November 1991), in UN doc. GAOR, A/47/40,
p. 282, para. 8.2.
35. Communication No. 232/1987, D. Pinto v. Trinidad and Tobago
(Views adopted on 20 July 1990), in UN doc. GAOR A/45/40 (vol. II), p. 73, para.
12.4.
36. Communication No. 349/1989, C. Wright v. Jamaica (Views
adopted on 27 July 1992), in UN doc. GAOR, A/47/40, p. 315, para. 8.3.
38. United Nations Compilation of General Comments, pp. 123-124, para. 6.
40. Communication No. 215/1986, G. A. van Meurs v. the Netherlands (Views adopted on 13 July 1990), in UN doc. GAOR, A/45/40 (vol. II), p. 59, para. 6.1.
42. Communication No. 138/1983, N. Mpandanjila et al. v. Zaire
(Views adopted on 26 March 1986), in UN doc. GAOR, A/41/40, p. 126, para. 8.2.
43. Communication No. 74/1980, M. A. Estrella v. Uruguay (Views
adopted on 29 March 1983), in UN doc. GAOR, A/38/40, p. 159, para. 10.
44. ACHPR, Media Rights Agenda (on behalf of Niran Malaolu) v. Nigeria, Communication No. 224/98, decision adopted during the 28th session, 23 October – 6 November 2000, para. 51 of the text of the decision as published at http://hrlibrary.law.umn.edu/africa/comcases/224-98.html.
47. I-A Court HR, Castillo Petruzzi et al. case v. Peru, judgment of May 30, 1999, Series C, No. 52, p. 211, paras. 172-173
48. Eur. Court HR, Case of Bulut v. Austria, judgment of 22 February 1996, Reports 1996-II, p. 357, para. 40.
51. Eur. Court HR, Case of Axen v. Federal Republic of Germany, judgment of 8 December 1983, Series A, No. 72, p. 12, para. 28.
52. Eur. Court HR, Case of Weber v. Switzerland, judgment of 22 May 1990, Series A, No. 177, p. 20, para. 39.
53. Eur. Court HR, Case of Pretto and Others v. Italy, judgment of 8 December 1983, Series A, No. 71, para. 27 at p. 13; emphasis added.
54. Ibid., p. 12, paras. 25-26.
56. Ibid., pp. 12-13, para. 27.
59. Ibid., p. 13, para. 28. See also Eur. Court HR, Sutter case v. Switzerland, judgment of 22 February 1984, Series A, No. 74, pp. 14-15, paras. 31-34.
60. United Nations Compilation of General Comments, p. 124, para. 10; emphasis added.
61. Communications Nos. 210/1986 and 225/1987, E. Pratt and I. Morgan v. Jamaica (Views adopted on 6 April 1989), in UN doc. GAOR, A/44/40, p. 229, para. 13.3.
62. Communication No. 390/1990, B. Lubuto v. Zambia (Views adopted on 31 October 1995), in UN doc. GAOR, A/51/40 (vol. II), p. 14, para. 7.3.
63. Communication No. 336/1988, A. Fillastre v. Bolivia (Views
adopted on 5 November 1991), in UN doc. GAOR, A/47/40, p. 306, para. 6.6.
64. Communication No. 639/1995, W. Lawson Richards and T. Walker
v. Jamaica (Views adopted on 28 July 1997), in UN doc. GAOR, A/52/40 (vol. II),
p. 189, para. 8.2.
65. Communication No. 526/1993, M. and B. Hill v. Spain (Views adopted on 2 April 1997), in UN doc. GAOR, A/52/40 (vol. II), p. 17, para. 12.4.
66. Ibid., p. 230, para. 13.4.
68. Communication No. 564/1993, J. Leslie v. Jamaica (Views
adopted on 31 July 1998), in UN doc. GAOR, A/53/40 (vol. II), p. 28, para. 9.3.
69. Communication No. 672/1995, C. Smart v. Trinidad and Tobago
(Views adopted on 29 July 1998), in UN doc. GAOR, A/53/40 (vol. II), p. 149,
para. 10.2.
70. Communication No. 159/1983, Cariboni v. Uruguay (Views adopted on 27 October 1987), in UN doc. GAOR, A/43/40, p. 184 and pp. 189-190, paras. 9.2 and 10.
72. Communication No. 702/1996, C. McLawrence v. Jamaica (Views adopted on 18 July 1997), in UN doc. GAOR, A/52/40 (vol. II), p. 232, para. 5.11.
73. Communication No. 253/1987, P. Kelly v. Jamaica (Views adopted on 8 April 1991), in UN doc. GAOR, A/46/40, p. 248, para. 5.11.
75. Communication No. 203/1986, R. T. Muñoz Hermoza v. Peru (Views adopted on 4 November 1988), in UN doc. GAOR, A/44/40, p. 204, para.11.3.
76. Eur. Court HR, Case of Kemmache v. France, judgment of 27 November 1991, Series A, No. 218, p. 27, para. 59 (date of charge); and Eur. Court HR, Case of Yagci and Sargin v. Turkey, judgment of 8 June 1995, Series A, No. 319-A, p. 20, para 58 (date of arrest); Eur. Court HR, Case of Mansur v. Turkey, judgment of 8 June 1995, Series A, No. 319-B, p. 51, para. 60 (committal for trial).
77. See e.g. Eur. Court HR, Case of Yagci and Sargin v. Turkey, judgment of 8 June 1995, Series A, No. 319-A, p. 20, para 58.
78. Eur. Court HR., Case of Kemmache v. France, judgment of 27 November 1991, Series A, No. 218, p. 20, para. 50 (criminal); and Eur. Court HR, Martins Moreira Case v. Portugal, judgment of 26 October 1988, Series A, No. 143, p. 17, para. 45 (civil); emphasis added.
79. Eur. Court HR, Case of Yagci and Sargin v. Turkey, judgment
of 8 June 1995, Series A, No. 319-A, p. 21, para. 66.
80. Ibid., loc. cit.
81. Ibid., p. 22, paras. 67-70.
82. Eur. Court HR, Case of Mansur v. Turkey, judgment of 8 June 1995, Series A, No. 319-B, p. 53, para. 68; emphasis added.
83. Eur. Court HR, Vernillo Case v. France, judgment of 20 February 1991, Series A, No. 198, para. 30 at p. 13.
84. Cf. ibid., p. 14, para. 38 read in conjunction with p. 14, para. 36. Owing inter alia “to the parties’ responsibilities in the conduct of the trial” the relevant periods in this case were not so long as to constitute a violation of the requirement of reasonableness, see ibid., p. 15, para. 39.
85. United Nations Compilation of General Comments, p. 125, para. 11.
86. See among many cases, Communication No. R.2/8, B. Weismann Lanza and A. Lanza Perdomo v. Uruguay (Views adopted on 3 April 1980), in UN doc. GAOR, A/35/40, p. 118, para. 16; and Communication No. R.1/6, M. A. Millán Sequeira v. Uruguay, (Views adopted on 29 July 1980), ibid., p. 131, para. 16.
87. Communication No. R.7/28, I. Weinberger v. Uruguay (Views adopted on 29 October 1980), in UN doc. GAOR, A/36/40, p. 119, para. 16.
88. Communication No. 526/1993, M. and B. Hill v. Spain (Views adopted on 2 April 1997), in UN doc. GAOR, A/52/40 (vol. II), p. 18, para. 14.2.
89. Communication No. R.12/52, S. R. López Burgos v. Uruguay (Views adopted on 29 July 1981), in UN doc. GAOR, A/36/40, p. 183, para. 13.
90. Communication No. 356/1989, T. Collins v. Jamaica (Views adopted on 25 March 1993), in UN doc. GAOR, A/48/40 (vol. II), p. 89, para. 8.2.
91. Ibid., loc. cit. See also Communication No. 461/1991, G. Graham and A. Morrison v. Jamaica (Views adopted on 25 March 1996), in UN doc. GAOR, A/51/40 (vol. II), pp. 48-49, para. 10.5.
92. Communication No. 708/1996, N. Lewis v. Jamaica (Views adopted on 17 July 1997), in UN doc. GAOR, A/52/40 (vol. II), pp. 251-252, para. 8.4.
93. I-A Court HR, Suárez Rosero case v. Ecuador, judgment of November 1997, in OAS doc. OAS/Ser.L/V/III.39, doc. 5, 1997 Annual Report I-A Court HR, p.301, para. 83 read in conjunction with p. 292, para. 34.g and h.
94. I-A Court HR, Castillo Petruzzi et al. case v. Peru, judgment of May 30, 1999, Series C, No. 52, pp. 203-204, paras. 146-149 read in conjunction with p. 202, para. 141.
95. Eur. Court HR, Case of Poitrimol v. France, judgment of 23 November 1993, Series A, No. 277-A, p. 15, para. 35.
98. Eur. Court HR, Case of Pelladoah v. the Netherlands, judgment of 22 September 1994, Series A, No. 297-B, para. 40 at p. 35 and Eur. Court HR, Case of van Geyseghem v. Belgium, judgment of 21 January 1999, Reports 1999-I, pp. 140-141, paras. 35-36.
99. Eur. Court HR, Case of Pelladoah v. the Netherlands, judgment of 22 September 1994, Series A, No. 297-B, p. 35, para. 41.
100. Eur. Court HR, Kamasinski Case, judgment of 19 December 1989, Series A, No. 168, pp. 32-33, para. 65.
103. Communication No. 232/1987, D. Pinto v. Trinidad and Tobago (Views adopted on 20 July 1990), in UN doc. GAOR, A/45/40, p. 73, para.12.5.
104. Communication No. 663/1995, M. Morrison v. Jamaica (Views adopted on 3 November 1998), in UN doc. GAOR, A/54/40 (vol. II), p. 155, para. 8.6.
105. Ibid., loc. cit. For a similar case, see also Communication No. 572/1994, H. Price v. Jamaica (Views adopted on 6 November 1996), in UN doc. GAOR, A/52/40 (vol. II), pp. 155-156, para. 9.2.
106. Communication No. 250/1987, C. Reid v. Jamaica (Views adopted on 20 July 1990), in UN doc. GAOR, A/45/40 (vol. II), p. 91, para. 11.4.
108. Communication No. 734/1997, A. McLeod v. Jamaica (Views adopted on 31 March 1998), in UN doc. GAOR, A/53/40 (vol. II), pp. 216-217, para. 6.3. See also e.g. Communication No. 528/1993, M. Steadman v. Jamaica (Views adopted on 2 April 1997), in UN doc. GAOR, A/52/40 (vol. II), pp. 26-27, para. 10.3.
109. Communication No. 338/1988, L. Simmonds v. Jamaica (Views adopted on 23 October 1992), in UN doc. GAOR, A/48/40 (vol. II), p. 82, para. 8.4. See also a case where the lawyer failed to follow the accused’s instructions: Communication No. 248/1987, G. Campbell v. Jamaica (Views adopted on 30 March 1992, in UN doc. GAOR, A/47/40, p. 247, para. 6.6.
110. Communication No. 223/1987, F. Robinson v. Jamaica (Views adopted on 30 March 1989), in UN doc. GAOR, A/44/40, pp. 244-245, para. 10.2.
111. Ibid., p. 245, para. 10.3.
114. Communications Nos. 623, 624, 626, 627/1995, V. P. Domukovsky et al. v. Georgia (Views adopted on 6 April 1998), in UN doc. GAOR, A/53/40 (vol. II), p. 111, para. 18.9; emphasis added.
116. ACHPR, Avocats Sans Frontières (on behalf of Gaëtan Bwampamye) v. Burundi, Communication No. 231/99, decision adopted during the 28th Ordinary session, 23 October – 6 November 2000, para. 30 of the text of the decision as published at the following web-site: http://hrlibrary.law.umn.edu/africa/comcases/231-99.html.
117. ACHPR, Constitutional Rights Project (on behalf of Zamani Lekwot and six Others) v. Nigeria, Communication No. 87/93, decision adopted during the 16th session, October 1994, para. 29 of the text of the decision as published at the following web-site: http://www.up.ac.za/chr/ahrdb/acomm_decisions.html.
118. Communication No. 707/1996, P. Taylor v. Jamaica (Views adopted on 14 July 1997), in UN doc. GAOR, A/52/40 (vol. II), p. 241, para. 8.2.
120. Eur. Court HR, Case of Quaranta v. Switzerland, judgment
of 24 May 1991, Series A, No. 205, p. 16, para. 27.
121. Ibid., p. 17, paras. 32-34; emphasis added.
124. Eur. Court HR, Case of Granger v. the United Kingdom, judgment of 28 March 1991, Series A, No. 174, p. 17, para. 44; emphasis added.
128. Ibid., para. 47 at p. 19.
129. Eur. Court HR, Case of Pakelli v. Federal Republic of Germany, judgment of 25 April 1983, Series A, No. 64, p. 18, para. 39.
130. Eur. Court HR, Case of Artico v. Italy, judgment of 13 May 1980, Series A, No. 37, para. 35 at p. 18.
131. Ibid., para. 33 at p. 16.
132. Communication No. 289/1988, D. Wolf v. Panama (Views adopted on 26 March 1992), in UN doc. GAOR, A/47/40, p. 289, para. 6.5.
133. Eur. Court HR, Brozicek Case v. Italy, judgment of 19 December 1989, Series A, No. 167, p. 19, para. 45.
134. Ibid., p. 19, paras. 45-46.
135. United Nations Compilation of General Comments, p. 125, para. 11.
136. Communication No. 699/1996, A. Maleki v. Italy (Views
adopted on 15 July 1999), in UN doc. GAOR, A/54/40 (vol. II),
p. 183, paras. 9.2-9.3.
137. bid., pp. 183-184, para. 9.4.
138. Eur. Court HR, Case of Colozza v. Italy, judgment of 12 February 1985, Series A, No. 89, p. 14, para. 27.
140. Ibid., para. 30 at p. 16.
141. United Nations Compilation of General Comments, p. 125, para. 14.
144. See Principle 16 quoted in extenso in Chapter 6 above, subsection 6.2.
145. Communication No. 330/1988, A. Berry v. Jamaica (Views adopted on 7 April 1994), in UN doc. GAOR, A/49/40 (vol. II), p. 28, para. 11.7; emphasis added.
146. Communication No. R.12/52, S. R. López Burgos v. Uruguay (Views adopted on 29 July 1981), in UN doc. GAOR, A/36/40, p. 183, para. 13; and Communication No. R.18/73, M. A. Teti Izquierdo v. Uruguay (Views adopted on 1 April 1982), in UN doc. GAOR, p. 186, para. 9.
147. Communication No. 74/1980, M. A. Estrella v. Uruguay (Views adopted on 29 March 1983), in UN doc. GAOR, A/38/40, p. 159, para. 10; and Communication No. 328/1988, R. Z. Blanco v. Nicaragua (Views adopted on 20 July 1994), in UN doc. GAOR, A/49/40 (vol. II), p. 18, para. 10.4.
148. Communication No. 330/1988, A. Berry v. Jamaica (Views adopted on 7 April 1994), in UN doc. GAOR, A/49/40 (vol. II), p. 27, para. 11.3.
149. I-A Court HR, Castillo Petruzzi et al. case v. Peru, judgment of May 30, 1999, Series C, No. 52, p. 210, paras. 167-168.
150. See General Comment No. 20, in United Nations Compilation of General Comments, p. 141, para. 12; emphasis added.
151. Communication No. 237/1987, D. Gordon v. Jamaica (Views adopted on 5 November 1992), in doc. GAOR, A/48/40 (vol. II), p. 10, para. 6.3.
152. Communication No. 610/1995, Henry v. Jamaica (Views adopted on 20 October 1998), in UN doc. GAOR, A/54/40 (vol. II), p. 50, para. 7.4; emphasis added.
153. Communication No. 615/1995, B. Young v. Jamaica (Views adopted on 4 November 1997), in UN doc. GAOR, A/53/40 (vol. II), pp. 74-75, para. 5.5.
154. Communication No. 356/1989, T. Collins v. Jamaica (Views adopted on 25 March 1993), in UN doc. GAOR, A/48/40 (vol. II), pp. 88-89, para. 8.1.
155. Communication No. 250/1987, C. Reid v. Jamaica (Views adopted on 20 July 1990), in UN doc. GAOR, A/45/40 (vol. II), p. 91, para. 11.3 as read in conjunction with p. 87, para. 4.
156. Communication No. 480/1991, J. L. García Fuenzalida v. Ecuador (Views adopted on 12 July 1996), in UN doc. GAOR, A/51/40 (vol. II), p. 55, para. 9.5.
157. I-A Court HR, Castillo Petruzzi et al. case v. Peru, judgment of May 30, 1999, Series C, No. 52, p. 205, para. 154; for the European case-law see Eur. Court HR, case of Barberà, Messegué and Jabardo, judgment of 6 December 1998, Series A, No. 146 and Eur. Court HR, Bönisch case, judgment of 6 May 1985, Series 92.
158. I-A Court HR, Castillo Petruzzi et al. case v. Peru, judgment of May 30, 1999, Series C, No. 52, p. 205, paras. 153 and 156.
159. Eur. Court HR, Delta Case v. France, judgment of 19 December 1990, Series A, No. 191-A, p. 16, para. 36.
161. Eur. Court HR, Case of Unterpertinger v. Austria, judgment of 24 November 1986, Series A, No. 110, pp. 14-15, para. 31.
162. Ibid., p. 15, paras. 32-33.
163. Eur. Court HR, Asch Case v. Austria, judgment of 26 April 1991, Series A, No. 203, p. 11, paras. 30-31.
164. See e.g. Eur. Court HR, Windisch Case v. Austria, judgment of 27 September 1990, Series A, No. 186, pp. 9-10, para. 23.
165. Eur. Court HR, Kostovski Case v. the Netherlands, judgment of 20 November 1989, Series A, No.166, p. 20, para. 42.
171. General Comment No. 13 (Article 14), in United Nations Compilation of General Comments, p. 125, para. 13.
172. Communication No. 219/1986, D. Guesdon v. France (Views adopted on 25 July 1990), in UN doc. GAOR, A/45/40 (vol. II), p. 67, para. 10.2.
176. Eur. Court HR, Case of Luedicke, Belkacem and Koç, judgment of 28 November 1978, Series A, No. 29, para. 40 at p. 17.
177. Ibid., para. 42 at p. 18.
179. Ibid., pp. 20-21, paras. 49-50.
180. Communication No. 320/1988, V. Francis v. Jamaica (Views adopted on 24 March 1993), in UN doc. GAOR, A/48/40 (vol. II), p. 66, para. 12.2; emphasis added.
181. Ibid., loc. cit. See also e.g. Communication No. 282/1988, L. Smith v. Jamaica (Views adopted on 31 March 1993), ibid., p. 35, para. 10.5.
182. Eur. Court HR, Case of García Ruiz v. Spain, judgment of 21 January 1999, Reports 1999-I, p. 97, para. 26.
183. Ibid., para. 26 at p. 98.
187. Eur. Court HR, Case of Zoon v. the Netherlands, judgment of 7 December 2000, paras. 39-51 of the text of the judgment as published on the Court’s web-site: http://www.echr.coe.int/.
188. Communication No. 356/1989, T. Collins v. Jamaica (Views adopted on 25 March 1993), in UN doc. GAOR, A/48/40 (vol. II), p. 89, para. 8.3.
189. United Nations Compilation of General Comments, pp. 115-116, para. 7. See also Communication No. 356/1989, T. Collins v. Jamaica (Views adopted on 25 March 1993), in UN doc. GAOR, A/48/40 (vol. II), p. 89, para. 8.4.
190. Communication No. 356/1989, T. Collins v. Jamaica (Views adopted on 25 March 1993), in UN doc. GAOR, A/48/40 (vol. II), p. 89, para. 8.4.
191. ACHPR, Forum of Conscience (on behalf of 24 soldiers) v. Sierra Leone, Communication No. 223/98, decision adopted during the 28th Ordinary session, 23 October – 6 November 2000, para. 19 of the text of the decision published at http://hrlibrary.law.umn.edu/africa/comcases/223-98.html.
192. Communication No. R.7/28, I. Weinberger v. Uruguay (Views adopted on 29 October 1980), in UN doc. GAOR, A/36/40, p. 119, para. 16.
193. ACHPR, Media Rights Agenda and Others v. Nigeria, Communications Nos. 105/93, 128/94, 130/94 and 152/96, decision adopted on 31 October 1998, paras. 58-59 of the text of the decision as published at http://hrlibrary.law.umn.edu/africa/comcases/105-93_128-94_130-4_152_96.html.
195. Eur. Court HR, Case of Kokkinakis v. Greece, judgment of 25 May 1993, Series A, No. 260-A, p. 22, para. 52.
197. Eur. Court HR, Case of G. v. France, judgment of 27 September 1995, Series A, No. 325-B, p. 38, paras. 24-26.
198. Communication No. 204/1986, A. P. v. Italy (Decision adopted on 2 November 1987), in UN doc. GAOR, A/43/40, p. 244, para. 7.3.
199. Communication No. 277/1988, Teran Jijón v. Ecuador (Views adopted on 26 March 1992), GAOR, A/47/40, p. 272, para. 5.4.
200. I-A Court HR, Loayza Tamayo Case v. Peru, judgment of September 17, 1977, OAS doc. OAS/Ser.L/V/III.39, doc. 5, 1997 Annual Report I-A Court HR, p. 213, para. 66.
201. Ibid., pp. 213-215, paras. 66-77.
203. Eur. Court HR, Case of Gradinger v. Austria, judgment of 23 October 1995, Series A, No. 328-C, p. 66, para. 55.
206. Eur. Court HR, Case of Oliveira v. Switzerland, judgment of 30 July 1998, Reports 1998-V, p. 1994, para. 10; emphasis added.
207. Ibid., paras. 11-12; emphasis added.
208. Ibid., p. 1996, para. 22.
209. Ibid., p. 1998, para. 26.
212. Ibid., para. 28. For other cases concerning the principle of ne bis in idem see e.g. Eur. Court HR, Case of Franz Fischer v. Austria, judgment of 29 May 2001; for the text see http://hudoc.echr.coe.int; and Eur. Court HR, Ponsetti and Chesnel v. France, decision of 14 September 1999, Reports 1999-VI
213. Eur. Court HR, Case of Welch v. the United Kingdom, judgment of 9 February 1995, Series A, No. 307-A, p. 14, para. 35.
214. I. bid., pp. 14-15, para. 36.
215. General Comment No. 20 (Art. 7) , United Nations Compilation
of General Comments, p. 139, para. 5; emphasis added.
216. See recommendations as to the Jamaican Flogging Regulation
Act, 1903 and the Jamaican Crime (Prevention of) Act, 1942, GAOR, A/53/40 (vol.
I), p. 17, para. 83; as to flogging, amputation and stoning in the Sudan, see
ibid., p. 23, para. 120. See also questions asked with regard to Australia,
in UN doc. GAOR, A/38/40, p. 29, para. 144; and, as to Saint Vincent and the
Grenadines, GAOR, A/45/40 (vol. I), p. 61, para. 280.
217. Eur. Court HR, Case of Tyrer v. the United Kingdom, judgment of 25 April 1978, Series A, No. 26, p. 7, para. 10.
220. Communication No. 390/1990, B. Lubuto (Views adopted on 31 October 1995), in UN doc. GAOR, A/51/40 (vol. II), p. 14, para. 7.2.
221. UN doc. GAOR, A/55/40 (vol. I), p. 8, para. 5.
222. See the OAS web-site: http://www.oas.org/juridico/english/treaties.html.
223. See http://conventions.coe.int/.
224. Communication No. R.15/64, C. Salgar de Montejo v. Colombia (Views adopted on 24 March 1982), in UN doc. GAOR, A/37/40, p. 173, para. 10.4.
225. Eur. Court HR, Case of Tolstoy Miloslavsky v. the United Kingdom, judgment of 13 July 1995, Series A, No. 316-B, para. 59 at p. 79.
226. ACHPR, Civil Liberties Organisation and Others v. Nigeria,
Communication No. 218/98, decision adopted during the 29th Ordinary session,
23 April – 7 May 2001, para. 33 of the text of the decision as published
at http://hrlibrary.law.umn.edu/africa/comcases/218-98.html; the relevant United
Nations resolution was approved by Economic and Social Council resolution 1984/50
of 25 May 1984.
227. ACHPR, Constitutional Rights Project, (on behalf of Zamani Lekwot and six Others) v. Nigeria, Communication No. 87/93, decision adopted during the 16th session, October 1994, paras. 26-27 of the text of the decision as published at: http://www.up.ac.za/chr/.
229. ACHPR, Forum of Conscience (on behalf of 24 soldiers) v. Sierra Leone, Communication No. 223/98, decision adopted during the 28th Ordinary Session, 23 October – 6 November 2000, para. 19 of the decision as published at http://hrlibrary.law.umn.edu/africa/comcases/223-98.html.
230. Communication No. 701/1996, Gómez v. Spain (Views
adopted on 20 July 2000), in UN doc. GAOR, A/55/40 (vol. II), p. 109, para.
11.1.
231. Communications Nos. 623, 624, 626, 627/1995, V. P. Domukovsky
et al. v. Georgia (Views adopted on 6 April 1998), in UN doc. GAOR, A/53/40
(vol. II), p. 111, para. 18.11.
232. Communication No. 701/1996, Gómez v. Spain (Views adopted on 20 July 2000), in UN doc. A/55/40 (vol. II), p. 109, para. 11.1.
233. Communication No. 526/1993, M. and B. Hill v. Spain (Views adopted on 2 April 1997), in UN doc. GAOR, A/52/40 (vol. II), p. 18, para. 14.3.
234. Communication No. 662/1995, P. Lumley v. Jamaica (Views adopted on 31 March 1999), in UN doc. GAOR, A/54/40 (vol. II), p. 145, para. 7.3.
235. Communication No. 731/1996, M. Robinson v. Jamaica (Views adopted on 29 March 2000), in UN doc. GAOR, A/55/40 (vol. II), p. 129, para. 10.5.
236. Communication No. R.7/27, L. J. Pinkney v. Canada (Views adopted on 29 October 1981), in UN doc. GAOR, A/37/40, p. 113, para. 35, read in conjunction with p. 103, para. 10.
237. Communication No. 731/1996, M. Robinson v. Jamaica (Views adopted on 29 March 2000), in UN doc. GAOR, A/55/40 (vol. II), p. 130, para. 10.7; emphasis added.
238. Ibid., loc. cit.; emphasis added.
240. Communication No. 554/1993, R. LaVende v. Trinidad and Tobago (Views adopted on 29 October 1997), in UN doc. GAOR, A/53/40 (vol. II), p. 12, para. 5.8; emphasis added.
241. Ibid., pp. 12-13, para. 5.8.
242. I-A Court HR, Castillo Petruzzi et al. case v. Peru, judgment of May 30, 1999, Series C, No. 52, p. 208, para. 161
244. Eur. Court HR, Case of Tolstoy Miloslavsky v. the United Kingdom, judgment of 13 July 1995, Series A, No. 316-B, p. 79, para. 59.
245. Communication No. 89/1981, P. Muhonen v. Finland (Views adopted on 8 April 1985), in UN doc. GAOR, A/40/40, pp. 169-170, paras. 11.2-12.
246. United Nations Compilation of General Comments, p. 123, para. 4.
247. Communication No. 328/1988, R. Z. Blanco v. Nicaragua (Views adopted on 20 July 1994), in UN doc. GAOR, A/49/40 (vol. II), p. 18, para. 10.4.
248. See e.g. ACHPR, Civil Liberties Organisation and Others v. Nigeria, Communication No. 218/98, decision adopted during the 29th Ordinary session, 23 April – 7 May 2001, p. 3 of the decision as published at http://hrlibrary.law.umn.edu/africa/comcases/218-98.html.
249. I-A Court HR, Castillo Petruzzi et al. judgment of May 30, 1999, Series C, No. 52, pp. 196-197, paras. 129-134.
250. Eur. Court HR, Case of Çiraklar v. Turkey, judgment of 28 October 1998, Reports 1998-VII, pp. 3072-3074, paras. 37-41.
251. United Nations Compilation of General Comments, p. 123, para. 4.
252. Communication No. 263/1987, M. González del Río v. Peru (Views adopted on 28 October 1992), in UN doc. GAOR, A/48/40 (vol. II), p. 20, para. 5.2; emphasis added.
253. See UN doc. GAOR, A/49/40 (vol. I), p. 5, para. 24. This was prompted by a request by the Sub-Commission on Prevention of Discrimination and Protection of Minorities that a new optional protocol be elaborated to include, inter alia, article 14 in the list of non-derogable rights.
254. See e.g. ACHPR, Civil Liberties Organisation and Others v. Nigeria, Communication No. 218/98, decision adopted during the 29th Ordinary session, 23 April – 7 May 2001, p. 3 of the decision as published at http://hrlibrary.law.umn.edu/africa/comcases/218-98.html.
255. I-A Court HR, Castillo Petruzzi et al. case v. Peru, judgment of May 30, 1999, Series C, No. 52, p. 197, para. 131; emphasis added.