Section 11 and the Form of a Request

September 19th, 2011 by Christopher Knight

Although not a decision which is likely to make front-page news anywhere, the Tribunal’s recent decision in Innes v Information Commissioner (EA/2011/0095) does contain a couple of points of practical utility. The request was for information relating to 11+ results and the appellant objected that he had requested that the information be supplied to him in the form of a Microsoft Excel spreadsheet file (other software is available). The public authority declined to do so on the basis that it was not obliged under s.11 FOIA to provide information in a particular format, and that in any event, the clarification that Excel was wanted was made after the request and so did not fall within s.11 on that basis either.

The Tribunal dismissed the appeal. It upheld the Commissioner’s practice of distinguishing between a “form” (as specified in s.11) and a ‘format’ (not specified). Requesting information be supplied electronically is a form, but requesting it in an Excel spreadsheet is a format, and a step too far. The Tribunal considered that this was the clear effect of the language of s.11(1) and that reference to Hansard was unnecessary. The Tribunal accepted that the Inner House of the Court of Session had come to a persuasively similar view in respect of the equivalent Scottish provisions: Glasgow City Council v Scottish Information Commissioner [2009] CSIH 73. The distinction is between permanent (i.e. paper) and another (i.e. electronic) form and not more specific than that.

The Tribunal confirmed that any preference must be expressed at the time of request, as clearly set out in the wording of s.11. The reasonable practicability test does not apply to this.

The Tribunal also reiterated its position that the requirements of s.16 FOIA and the accompanying Code of Practice do not extend to the public authority explaining the information it has provided to the requestor.

As noted at the outset, the case hardly sets the world alight, but it does provide a welcome clarification on what is covered by a preference for “form” in s.11(1) which is likely to be practically useful to public authorities faced with demands to supply information in a particular electronic format. The Commissioner’s public position on the point remains the clearest guidance. There is, of course, nothing to stop an authority complying with that request if it wishes to do so, but FOIA does not impose any obligation.

INTERNAL FIXTURES ARE NOT ‘LANDSCAPE’

September 19th, 2011 by Rachel Kamm

The Tribunal, in Black v Information Commissioner (EA/2011/0064), has considered the definition of environmental information in the Environmental Information Regulations 2004 (“the EIRs”). The heart of the definition is “information on the state of the elements of the environment, such as air and atmosphere, water, soil, land, landscape, and natural sites including wetlands, coastal and marine areas, biological diversity and its components, including genetically modified organisms, and the interaction among these elements”. 

It is of course important that public bodies spot when requested information falls within this definition, because any such request must be considered under the EIRs instead of the Freedom of Information 2000 (“FOIA”). It is fairly common for the requester and the public body to assume that a request has been made under FOIA, but to realise subsequently that the information should have been considered under the EIRs. The definition of environmental information is broad and sometimes surprises people by capturing information which does not appear to be environmental. For example, Robin Hopkins recently discussed on this blog how the “landscape” element of the definition has been interpreted broadly so as to include a monument. The Tribunal’s decision in Black is relatively unusual in that the appellant argued that all of the requested information fell within the EIRs, but the Tribunal rejected this submission. 

The appellant sought information on internal fixtures, such as fireplaces and chimney pieces, in English Heritage properties.  He relied on the Advocate General’s opinion in the case of Stichting Natuur en Milieu (Case C-266/09) to argue that buildings and structures were part of the landscape, which was not limited to the natural environmental. The appellant also argued that the EIRs had failed to properly implement the Directive. The Tribunal found that the opinion in Stichting Natuur en Milieu did not support the appellant’s submission and concluded that “On a plain reading of both the Directive and the EIR (which are identical in any event) the Tribunal finds that information relating to the internal fixtures of a building does not constitute “environmental information” within the definition, whether as landscape or otherwise”.   

Rachel Kamm

CUMULATING INTERESTS – EUROPEAN COURT DECISION IN THE OFCOM CASE

August 1st, 2011 by Rachel Kamm

Where multiple exemptions under the Environmental Information Regulations 2004 are engaged and there is some public interest in maintaining each exemption, should those public interests be considered cumulatively and weighed together against the public interest in disclosure? Or must the environmental information be disclosed unless the public interest is in favour of maintaining (at least) one particular exemption (considered separately from any others)?

We finally have an answer to this question, after decisions by the Information Tribunal, High Court and Court of Appeal, followed by a referral by the Supreme Court and an opinion by Advocate General Kokott. The answer is that we must cumulate/aggregate the public interests; the Court of Justice of the European Communities has given judgment in OFCOM v Information Commissioner  (Case C-71/10).

The reasoning is characteristically concise. The Court noted that disclosure should be the general rule and “grounds for refusal should therefore be interpreted restrictively, in such a way that the public interest served by disclosure is weighed against the interest served by the refusal” and that the Directive did not set out any particular procedure for Member States to examine the grounds for refusal where there are exceptions to the general rule.

Having set out that context, the Court analysed the text of the Directive and concluded that “ the second sentence of the second subparagraph of Article 4(2) is concerned with the weighing against each other of two overarching concepts, which means that the competent public authority may, when undertaking that exercise, evaluate cumulatively the grounds for refusal to disclose“. Whilst the Directive also emphasised the duty to weigh the interests involved “[i]n every particular case“, this was a reference to the need to weigh the interests “on the basis of an actual and specific examination of each situation“.

The Court noted that the interest in relation to separate exceptions may overlap. It further commented that if the process of cumulating interests were to result in a refusal to disclose, “it would need to be acknowledged that that restriction on access to the information requested is proportionate and accordingly justified in the light of the overall interest represented jointly by the interests served by refusal to disclose“. 

Whilst this decision opens the way to public bodies and Tribunals aggregating public interests under the Environmental Information Regulations 2004, they will need to do so very carefully if the information could not be withheld in reliance on one exemption considered in isolation. In particular, care must be taken to avoid any double-counting if there is any overlap in interests.

Rachel Kamm

CONSTRUCTION WORKER ‘BLACKLISTING’ DATABASE – NEW TRIBUNAL DECISION

July 29th, 2011 by Robin Hopkins

The Tribunal has this week given its decision in Ritchie v IC (EA/2010/0041). The case involved a “blacklist” which had been compiled and maintained by an organisation called the Consulting Association. The database consisted of the names and personal details of workers in the construction industry who had engaged in trade union or other activities in furtherance of employment rights. A number of major companies in the construction industry paid annual subscriptions and, as potential employers, were able to access individual records for a fee. The ICO investigated the matter, successfully prosecuted the proprietor of the Consulting Association and seized the database. It invited potentially affected workers to make subject access requests whereby they could receive information about them held in the database.

The General Secretary of the union UCATT subsequently requested from the ICO all files containing references to a number of named trade unions. This was one of the (relatively rare) cases in which the ICO was both the public authority and the regulator.

The ICO refused the request, relying on section 44 FOIA (disclosure prohibited under an enactment) in combination with section 59(1) DPA, which (to paraphrase and summarise) prohibits disclosure of information obtained by the Commissioner “under or for the purposes of the Information Acts” unless there is “lawful authority” for that disclosure. The Tribunal has upheld that refusal.

No commentary from me on this one, given my involvement in the case. I shall, however, point out that the decision covers the following issues: scope of the request; whether information is “publicly available”; the meaning of “lawful authority” under section 59(1) DPA; whether requests by unions are made with the “consent” of members; whether disclosure would be “necessary in the public interest”; personal data; Articles 9, 10 and 11 of the ECHR.

Robin Hopkins

THE EUROPEAN COOKIE MONSTER

July 19th, 2011 by Rachel Kamm

Here’s an update to my post of 5 June about the ICO’s guidance on obtaining the consent of users before ‘cookies’ can be placed on machines. The European Data Protection Supervisor, Peter Hustinx, gave a public lecture on 7 July 2011 on the privacy implications of online behavioural advertising. This included discussion of ‘cookies’. He commented that browser providers have developed opt-out solutions, whereas the ideal is to have privacy-by-default unless individual preferences are set using a “privacy wizard”. The lecture also suggested that recent speeches made by the European Commission’s Vice President, Neelie Kroes, raise doubts about the Commission’s position on the e-Privacy Directive’s requirements; the Commission has expressed support for initiatives which Mr Hustinx considers are in fact non-compliant.

Judicially Reviewing the Information Rights Tribunal

June 22nd, 2011 by Christopher Knight

The Supreme Court today handed down its long-awaited (at least by some) judgment in R (Cart) v The Upper Tribunal [2011] UKSC 28. The case concerns the circumstances in which the ordinary courts will entertain an application to judicially review a decision of the First-Tier or Upper Tribunals. Although the case did not directly involve a challenge to the Information Rights division of the Tribunals, the judgment is of general application.

The Upper Tribunal is a “superior court of record” by virtue of section 3(5) of the Tribunals, Courts and Enforcement Act 2007. Under section 13, there is a right of appeal to the Court of Appeal from the Upper Tribunal, subject to permission being granted by either body, unless the decision falls within the category of excluded decisions. The most generally relevant excluded decision is a refusal of permission to appeal from the First-Tier Tribunal to the Upper Tribunal by the Upper Tribunal. Where permission is refused that is, in the eyes of the 2007 Act structure, the end of the line. Unless one can judicially review the decision to refuse permission.

The Divisional Court roundly rejected the argument that the designation of the Upper Tribunal as a superior court of record rendered it immune from judicial review ([2009] EWHC 3052 (Admin); [2010] 2 WLR 1012) and the absolutist position was not resurrected on appeal. The Court of Appeal agreed with the Divisional Court that judicial review should be available only in circumscribed cases ([2010] EWCA Civ 859; [2011] 2 WLR 36). The Supreme Court unanimously dismissed the appeal, but for different reasons.

The leading judgment of the Supreme Court was given by Lady Hale, with whom the rest of their Lordships more or less completely agreed, albeit in their own words. Rejecting the application of an unrestricted judical review jurisdiction over all decisions in the Tribunal structure, and the application of an exceptional circumstances test limited to an excess of jurisdiction and denial of fundamental justice, the Court settled on a more easily described approach. Where an application is made for judicial review of a Tribunal decision the High Court should apply the second appeals criteria, namely that (a) the proposed case would raise some important point of principle or practice, or (b) there is some other compelling reason for the court to hear the case.

It was considered by Lady Hale and the other members of the Court that this test was a proportionate and rational restriction on the availability of judicial review which nonetheless recognised the importance of correcting errors in the Tribunal’s case load. The exceptionality test would have been too narrow, and applying judicial review without limitation would have lead to the courts being swamped with applications in respect of a system designed to make the process easier, quicker and cheaper (especially in the light of its application to immigration and asylum cases).

Interestingly, there were a number of comments from Lady Hale, Lord Phillips, Lord Clarke and Lord Dyson to the effect that the situation would be made clearer by an amendment to the CPR remove the potential four stages of judicial review permission applications in these quasi-second appeal cases. Whether the Rules Committee is paying attention remains to be seen.

The upshot of the decision in Cart is that if the Upper Tribunal refuses permission to appeal to it, that decision can be judicially reviewed, but only on the restrictive second appeals criteria. The tenor of the judgments as a whole do not provide much appetite for leave to be readily granted, and in both cases under appeal the Supreme Court roundly rejected their compliance with the second appeal test.

For those reading north of the border, the Supreme Court applied the same approach to the Tribunal structure in Scotland in Eba v Advocate General for Scotland [2011] UKSC 29.

PERSONAL DATA, REPEAT AND VEXATIOUS REQUESTS AND INVESTIGATIONS

June 7th, 2011 by Rachel Kamm

In Jeffery Lampert v IC and Financial Services Authority EA/2010/0203, the appellant was involved in a long running dispute with a bank, which had called on his guarantee of a loan and commenced bankruptcy proceedings against him. His MP had raised the matter with the FSA and the appellant believed that this had led to at least one investigation of the bank. The appellant subsequently made a freedom of information request for information held by the FSA recording the outcome of investigations into the bank about the matter and the calculation of the bank’s loss. The Information Commissioner found that any information falling within the scope of the request was the appllant’s personal data and therefore absolutely exempt from disclosure under FOIA. The First-Tier Tribunal found that:

  • there had been no investigation by the FSA of the bank and there was no document in existence which contained a calculation of the bank’s loss;
  • any information falling within the scope of the request would not have been the appellant’s personal data; applying Durantthe Commissioner was wrong to decide, in effect, that, merely because the information requested arose from the appellant’s complaints, it all constituted his personal data;
  • the FSA was entitled to rely on section 14(1) FOIA, in that this was a repeat request and a reasonable interval had not elapsed since the previous substantially similar request; and, further
  • there was ample material from which it could be found that the appellant’s request was vexatious.

In Public Prosecution Service for Northern Ireland v IC and John Collins EA/2010/0109, Mr Collins requested the PPS documentation (excluding names and addresses) relating to a particular criminal damage case. It was not in dispute that section 30(1) FOIA was engaged and the only issue for the First-Tier Tribunal was whether the public interest in maintaining the exemption outweighed the public interest in disclosure. The Tribunal accepted that it had to take into account the need for prosecutors to have a safe space in which to decide whether or not a case met the threshold for pursuing a prosecution, without fear of frank assessments being publicised after the event. Eroding this safe space would undermine the independence of prosecution authorities, compromise the quality of decision making, potentially deter witnesses from co-operating and undermine (without good reason) public confidence in those authorities. The Tribunal held that these factors attracted very substantial weight. The Tribunal found, having considered the disputed information, that there was no reason to suspect that the prosecuting authority had made substantial mistakes in this case. The public interest in maintaining the exemption therefore clearly outweighed the public interest in disclosure.

COOKIE MONSTER

June 5th, 2011 by Rachel Kamm

The Privacy and Electronic Communications (EC Directive) (Amendment) Regulations 2011 came into force on 26 May 2011 and amend the Privacy and Electronic Communications (EC Directive) Regulations 2003, which cover direct marketing by electronic means and the use of cookies.  

The amendments give the Information Commissioner new powers to  serve a monetary penalty on an organisation when very serious breaches of the 2003 Regulations occur and to investigate breaches of the 2003 Regulations by obtaining information from certain third party organisations.

They also introduce an additional requirement where a website uses ‘cookies’, which are small files of letters and numbers downloaded on to a device when the user accesses certain websites, which allow the website to recognise the device. Except where a ‘cookie’ is strictly necessary, websites will now have to obtain the consent of the user or subscriber before ‘cookies’ can be placed on machines.  The Information Commissioner has published guidance on the change to the rules. Organisations have 12 months from 26 May 2011 to make sure they comply with the new rules.  

The Information Commissioner has issued this statement about how he intends to approach enforcing the new rules and using the new powers.

SOME REFLECTIONS ON SUPER-INJUNCTIONS AND PARALLEL UNIVERSES

May 23rd, 2011 by Robin Hopkins

The Committee on Super-injunctions, established in April 2010 in the wake of the Trafigura and Terry cases, was made up largely of judges and practising lawyers, but also included legal representatives from the Guardian and Trinity Mirror. Nonetheless, the media have not received its report, “Super-Injunctions, Anonymised Injunctions and Open Justice” warmly. The Independent has commented on the “absurdity” of the current situation, while the Daily Mail called the report “a chilling exercise in judicial activism, self-delusion and – most worrying – a constitutional attack on Parliamentary sovereignty and free speech”.

Tensions have escalated since the publication of the report on Friday, and reached a head today. Footballer “CTB” (as his injunction order refers to him) has obtained a disclosure order requiring Twitter (based in California) to divulge the names of the “persons unknown” (resident, of course, in jurisdictions unknown) who have referred to his identity in their tweets. Scotland’s Sunday Herald flouted the order of the High Court of England and Wales in publishing the player’s name. This has apparently prompted calls for the Attorney-General to take action against the journalist responsible, a course of action which in the view of SNP leader Alex Salmond would be unwise. Mr Salmond neatly articulated the jurisdictional (and devolutionary) difficulties of this issue, by arguing on this morning’s Today programme that anyone wishing an injunction to be effective in Scotland should apply to a court in Scotland. Fred Goodwin was “outed” in the Lords last week, and John Hemming MP has moments ago outed CTB himself.

And so it goes on. It has been announced in the past few minutes that a joint parliamentary committee will be established to consider privacy law reform. Against this backdrop, I set out a few (rapidly evolving) thoughts on four of the thorny issues raised by the report, the accompanying press conference given by Lords Neuberger and Judge and the general aftermath. On each of these four issues, my sense at the moment is that matters may develop in favour of openness rather than privacy – despite the failure this afternoon to overturn CTB’s injunction.

First though, a synopsis of the report’s thrust and limited terms of reference.

The report: procedure, not substance

As regards its subject matter, the committee distinguished between super-injunctions (where the order states that neither the named applicant’s private information nor the existence of the order can be published), anonymous injunctions (the order does not name the applicant or parties involved) and “so-called hyper-injunctions” (the order prohibits individuals from discussing matters with third parties).

It sees no legal barrier to any of these types of injunction taking effect. It thinks all such injunctions are very rare, but recommends that statistics be maintained on the granting of injunctions so that their prevalence can be monitored.

The report proposes a tidying up of the procedure for obtaining these injunctions. The committee gives a firm “no” to the use of specialist judges to hear these kinds of application. It says that Practice Guidance should be issued, which should include model orders and the process for expediting appeals against the granting of such orders.

Overall, however, the report is not about substantive law reform: that is a matter for parliament. In fact, it is now an urgent matter for parliament. In my view, some of the key issues to be considered are as follows.

Issue 1: media presence at injunction hearings

Parliament’s committee will, like the reporting committee, take Article 10 ECHR very seriously (for a very recent example of Article 10 affecting the interpretation of FOIA, see my post here). The report observes that “it will be a very rare case where advance notice of such an application to media organisations, which are likely to be affected by any order, can be justifiably withheld”. It proposes that the press be allowed to attend application hearings – bound of course by confidentiality agreements and non-disclosure orders. This would allow the media to be properly informed of the matters on which they may not report, and would also equip them to appeal against orders where they deem this appropriate.

This is doubtless a step in the right direction in terms of Article 10. As the committee recognises, however, there are real practical difficulties with the proposal. First, interim injunction hearings are often so rushed that there is no real prospect of a blanket invitation to the media. Secondly, how does one determine who the “media” are who are allowed to attend such hearings? As Lord Judge put it “we know who you [the media attending the release of the report] are, we’re familiar with you, but someone comes along and says, “I’m from the Argyll and Orkney Express” but how do we know? Do we really expect to have cards issued? Can you imagine the bureaucracy?”.

Part of the problem is this: either anyone with an interest in reporting the matter is allowed to attend, or only the “establishment” (this is my term, but seems the sentiment reflected in Lord Judge’s rhetorical question) is allowed, even though the aim is to make everyone subject to the order, establishment or not. The former option exponentially increases the risk of leaks and disclosures on Twitter. The latter option draws distinctions which are impracticable and problematic in terms of Article 10 and fairness in a broader sense. My view is that the former option will prevail, and that we will see a very broad net of media attendees at future super-injunction hearings. This in itself might serve as a deterrent to making such applications in the first place.

Issue 2: Twitter and other “modern technology”

There has been a flexing of judicial muscle as regards Twitter. Though he described “modern technology” as “totally out of control”, Lord Judge took hope from efforts to combat online child pornography. He said this:

“Are were really going to say that someone who has a true claim of privacy, perfect well made, which the media and newspapers can’t report, has to be at the mercy of someone using modern technology? At the moment that may seem to be the case but I am not giving up on the possibility that people who in effect peddle lies about others by using modern technology may one day be brought under control, maybe through damages – very substantial damages – maybe even through injunctions to prevent the peddling of lies”.

The language of “peddling lies” is curious. That is a concept belonging to libel law, rather than privacy. Those seeking super-injunctions tend not to say the underlying material consists of lies, but simply that it is private. The damage lies not in the falsity of the material, but in the fact that people talk about it.

This distinction is important in at least two respects. First, if an applicant wants to prevent people talking about the matter, but many people have already done so (for example, on Twitter), then his or her case for an ongoing injunction is weakened; it begins to look more a matter for damages than for injunctive relief.

Secondly, foreign jurisdictions may be even less cooperative about orders from England and Wales protecting private (but often true) material than they often are about similar orders concerning libel (see for example the United States’ Speech Act of 2010). Countries co-operate against copyright infringement and child pornography because they think it important to do so in a civilised society. They may be less inclined to think that about, say, Andrew Marr’s sex life. In other words, there is a good chance that legal action, whether for injunctive relief or damages, taken in England and Wales against foreign reporters may simply be impotent.

Contrast this likely impotence with measures for after illegal file-sharers through their internet service providers, proposed under the UK’s Digital Economy Act 2010 (on which, see my discussion here in advance of BT’s judicial review of that Act): unlike Twitter, ISPs often have a commercial footing in the UK which they are concerned to protect; international (including EU) legal protection is far more advanced than for copyright than for privacy; even under the Digital Economy Act’s proposal, infringing users are to be given a number of warnings before their details are handed over to those seeking damages, unlike the old Norwich Pharmacal model being utilised in the footballer’s action against Twitter.

Issue 3: granting and maintaining super-injunctions

The report emphasises that super-injunctions are not to be permanent, but should be granted only for very short periods of time. If anyone notices a super-injunction being granted with no return date, they should complain about it, as was done in the Zac Goldsmith/Jemima Kahn case. So far so good: allowing the media to be present for application hearings would help on this front, as would minimising the time between the interim injunction and the return date.

As regards the grounds on which a super-injunction should be granted, the report’s mood music suggests that some may have been granted too readily. It stresses that “in seeking to minimise derogations from the principle of open justice, the committee envisaged that super-injunctions will only be granted in very limited circumstances”. Other than to emphasise exceptionality and Article 10, there is probably little to be said (either by the committee or by parliament) in terms of guidance to judges on granting such injunctions – this is, and will remain, largely a case-by-case business.

The thorny issue of the moment, however, is this: if a matter has been very widely disclosed on Twitter and other websites, is it fair to maintain an injunction the effect of which is to prevent the establishment media from reporting it? If, as I suggested above, the damage comes from people knowing about what you have done, hasn’t the horse bolted in such circumstances? If people wish to reject your job application or shun you at parties, they will probably do so regardless of how they learnt about your indiscretions. Part of what seemed to concern David Cameron in his ITV interview this morning is this prejudicial effect on the establishment as compared with “newer” media, which commentators have described over the weekend as existing in “parallel universes”.

Lords Neuberger and Judge both suggested on Friday that, to the extent that there are differential effects on newspapers as compared to Twitter, that difference is justified. To a degree, they are correct: rightly or wrongly, we tend to expect more noble and sophisticated ethics from mature brands of journalism than we do from little-known blogs, and applicants no doubt suffer incremental damage from the public seeing matters reported in print headlines or on major news websites which they would otherwise have had to seek out on Twitter. There must come a point, however, where the media’s interests (including under Article 10) outweigh this combination of incremental harm and ethical expectation. That too is probably a matter for case-by-case determination, but it is something parliament’s joint committee will surely wish to consider. It may well side with the media over the privacy-seeking individual if forced to give guidance on a hypothetical case.

Issue 4: parliamentary privilege and contempt of court

The constitutional stakes are highest in this strand of the current debate.

The committee was very clear that no super-injunction or any other court order could conceivably restrict or prohibit parliamentary debate or proceedings. It also recognised that, in defamation proceedings, the reproduction of extracts from Hansard attracts attaches to, while honest, fair and accurate reporting of parliamentary proceedings attracts qualified privilege. It is unclear, however, whether the same would apply in contempt proceedings. In fact, “the law relating to Contempt of Court when it comes to reporting what is said in Parliament is astonishingly unclear”, as Lord Neuberger put it. The extent to which parliamentary privilege attaches to conversations between an MP and his or her constituents (some of whom may of course be journalists) is also unclear.

Lord Judge, however, explicitly disapproved of members of either house using parliamentary privilege to circumvent super-injunctions:

“But you do need to think, do you not, whether it’s a good idea for our lawmakers, to be in effect to be flouting a court order just because they disagree with the order or for that matter because they disagree with the law of privacy which parliament has created”.

John Hemming MP clearly takes a different view.

Again, there is much of interest in Lord Judge’s remark, such as the reference to parliament having created the law of privacy, and the implicit distinction between parliament flouting a court order and an individual member doing so. It would be very surprising, however, if parliament’s joint committee were to propose a constrained version of parliamentary privilege. If that committee is robust in defence of the houses’ privileges, the door may be opened to future “outings”, such as that of Fred Goodwin or CTB. Mindful of this, the reporting committee proposed a softer form of control than the restriction of parliamentary privilege. It suggested that:

“House authorities should consider the feasibility of a streamlined system for answering sub judice queries from the Speakers’ offices. Such a communication system will require the creation of a secure database containing details of super-injunctions and anonymised injunctions held by Her Majesty’s Courts and Tribunals Service, which could be easily searchable following any query from the House authorities”.

Parliament’s committee may well endorse this as the approach best suited to preserving a balance of respect (as opposed to contempt) between parliament, the courts, the media and individuals fearful of their privacy being overridden on political platforms.

On this issue, as with so much of the UK’s constitution, the answer may turn out to be a tense but workable network of understandings, rather than hard law. Perhaps this would calm matters only temporarily. But it might also provide breathing room for the public to evolve our expectations about privacy and freedom in both establishment and “modern technology” media, without bringing the latter under any undue “control”.

Robin Hopkins

SHAMELESS FUNDRAISING PLUG

May 11th, 2011 by Timothy Pitt-Payne QC

The London Legal sponsored walk takes place next Monday (16th May), and 11KBW are fielding a team of 16 walkers. We are raising funds for the London Legal Support Trust which funds Law Centres and pro bono agencies in and around London. We know from our own pro bono work that these agencies do a fantastic job in preventing homelessness, resolving debt problems, gaining care for the elderly and disabled and fighting exploitation.  In the current economic climate their work is more important than ever.

It would be great if readers of this blog could sponsor us here.  If you’ve found the blog useful or helpful over the last 2 years, and would like to show your appreciation, then now is the time!