RECENT TRIBUNAL RULINGS – RISKS FOR APPELLANTS

July 15th, 2010 by Anya Proops

The Tribunal has recently issued a ruling highlighting the dangers for a public authority if it submits an inadequately reasoned notice of appeal. In Westminster City Council v IC (EA/2010/0096), the Council had submitted a notice of appeal against the Commissioner’s decision notice within the 28 day time limit allowed for under rule 22 of the Tribunal Procedure (First Tier Tribunal) (General Regulatory Chamber) Rules 2009 (“the Rules”). However, the notice of appeal merely asserted that the Commissioner had erred in deciding that the EIR 2004 rather than the FOIA applied to the disputed information. The notice did not contain any grounds for this assertion. Thereafter, the Tribunal ordered the Council to provide grounds for its appeal. The Council was given a week to provide the relevant grounds. The Council missed that deadline. Moreover, it did so in circumstances where it had not notified the Tribunal that it needed an extension of time for lodging the grounds. The Council invited the Tribunal to overlook the three day delay in submitting the grounds. It alleged that the delay was due to staffing difficulties; the need to take legal advice; a failure to understand the tribunal procedures and a failure properly to record the date set by the Tribunal for submission of the grounds. The Tribunal refused to accept these arguments. It held that the Council was a large authority with a specialised in-house FOIA department; that an alleged lack of resources was not a valid excuse and that advice should have been sought at an earlier stage. Accordingly, the Tribunal refused to accept the grounds. There are two lessons to be derived from this ruling. First, an appellant which fails adequately to particularise its case in its notice of appeal or otherwise to follow up the notice promptly with fully reasoned grounds may well end up losing the right of appeal altogether. Second, where there are concerns that a tribunal deadline may be missed, the affected party should always consider notifying the tribunal of that fact and seeking an extension of time.

In a separate development, the Tribunal recently decided in Thackeray v IC (EA/2010/0088) that an appellant would not be allowed to proceed with his appeal in view of his refusal to provide the Tribunal with a postal address. Mr Thackeray had provided an email address in his notice of appeal but refused to provide a postal address, allegedly because he was concerned that he would face harassment if the address was disclosed. Mr Thackeray argued that provision of an email address was sufficient in order to meet the requirements of rule 22(a) and (c) of the Rules. The Tribunal decided that the notice of appeal would be invalid in the absence of the provision of a postal address. The Tribunal took the view that a postal address was a pre-requisite not least in view of: (a) the fact that parties may want, for reasons of security, to deliver documents directly rather than by email; and (b) a postal address would be required to protect the position of the other parties in the event that costs were awarded against the appellant. Unfortunately, neither of these rulings can at present be found on the Tribunal website.

PREPARATION OF WITNESS STATEMENTS – SOME DOs AND DONTs

July 12th, 2010 by Anya Proops

In a paper which I delivered at the 11KBW Information Law seminar in May 2010, I identified a number of tips designed to assist parties in preparing for hearings before the information tribunal – the paper can be found here. Very recently, the tribunal has handed down a decision which highlights the dangers to a public authority if it fails to ensure that any witness statements generated for the purposes of the tribunal hearing are sufficiently full and illuminating: Metropolitan Police Service v IC (EA/2010/0006).

The MPS case involved a request made to the MPS for disclosure of information as to how much money Croydon Police had spent on paying informants in the preceding three years. The MPS refused disclosure of the requested information relying on a range of exemptions, including s. 30 (criminal investigations) and s. 31 (law enforcement). The Commissioner upheld the applicant’s complaint against the refusal notice. In the course of the appeal to the tribunal, the MPS produced witness statements in support of its case on appeal. However, as it happened, the significant evidence given by these witnesses was only obtained through the process of cross-examination. The tribunal voiced serious concerns about the fact that the MPS had not included such evidence in its witness statements (which had been exchanged some time before the hearing) but had, instead, effectively ambushed the Commissioner by giving such evidence orally at the hearing. The tribunal noted that this was not the first time the MPS had adopted such a course in proceedings before the tribunal and that ‘there may be cost consequences for the MPS in future cases’ (see paragraphs 16-17). What this judgment highlights is the importance of generating witness statements which contain, so far as possible, the core evidential points upon which the authority wishes to rely in advancing its case. If parts of the evidence are highly sensitive, this does not justify withholding the evidence. Instead, it merely means that the authority should structure the witness statements so that any sensitive, confidential elements are dealt with in the closed statements (which are then considered in closed session.

The tribunal went on to hold that the disputed information was in fact exempt from disclosure under s 24 (the national security exemption – as to which see my earlier post below). The point to be noted here is that the case may never have come before the tribunal had the MPS: (a) identified that s. 24 was in issue at a much earlier stage; and (b) been full and frank with the Commissioner as to the reasons why the information was exempt under s. 24. 11KBW’s Ben Hooper was instructed on behalf of the Commissioner.

APPLICATION OF NATIONAL SECURITY EXEMPTION TO AIRPORT SECURITY INFORMATION

July 12th, 2010 by Anya Proops

As might be expected, FOIA contains a specific exemption designed to safeguard national security, see the exemption provided for under s. 24. In essence, the s. 24 exemption is engaged if the exemption ‘is required for the purposes of safeguarding national security’. Perhaps somewhat surprisingly, the section 24 exemption is a qualified exemption (see s. 2(3) FOIA). This means that, even if the exemption is required in respect of particular information to safeguard national security, the information may still be disclosable on an application of the public interest test provided for under s. 2 FOIA. In Kalman v IC & Department for Transport (EA/2009/0111), the Tribunal was for the first time called upon to consider the substantive application of s. 24 (i.e. how it applied to specific information – cf. Baker v IC & Ors EA/2006/0045, where the tribunal considered the application of the national security exemption in the context of the duty to confirm or deny whether the information was held). The Kalman case involved an application for disclosure of information relating to airport security arrangements. The DfT refused to disclose the information on the basis that there was a real risk that the information, if disclosed, would be exploited by terrorist organisations. The Commissioner largely rejected Mr Kalman’s complaint against the DfT’s decision. Mr Kalman appealed to the Tribunal. There were two issues at stake in the appeal. First, whether s. 24 was engaged in respect of the disputed information and, second, if it was engaged, whether the public interest balance nonetheless weighed in favour of disclosure.

During the course of the hearing, the DfT conceded that some of the disputed information could be disclosed, not least because it was already effectively the stuff of public knowledge. The Tribunal went on to hold that there was other information which ought to have been disclosed for much the same reason. With respect to the remainder of the information, the tribunal accepted that s. 24 was engaged and that the public interest weighed in favour of maintaining the exemption. Notably, the tribunal held that the nature of the risk posed by the disclosure was so serious in this case (i.e. potential significant loss of life due to terrorists exploiting weaknesses in the airport security system) that, even if the risk was relatively slight, there would have to be an extremely strong public interest in disclosure to avoid the information being lawfully withheld. In reaching this conclusion, the tribunal adopted a similar analysis to the one which it had previously adopted in PETA v IC & Oxford University (EA/2009/0076) (case involving the application of the health and safety exemption in a case involving risk of attack by animal extremists).

WATCH THIS SPACE

June 30th, 2010 by Timothy Pitt-Payne QC

The Coalition’s Programme for Government contains a great deal that is of interest to information lawyers: see here.  But when and how will any of this be given legislative effect?

The Queen’s Speech was delivered on 25th May 2010. The website of the Prime Minister’s office gives a list of the proposed Bills , with further information about each one. Three of the proposed Bills have potential implications for information law.

(i) The Public Bodies (Reform) Bill will enhance the transparency and accountability of quangos: though it is not clear as yet whether enhanced information access rights will play a role in this.

(ii) The Decentralisation and Localism Bill will (among other matters) require public bodies to publish online the job titles of every member of staff and the salaries and expenses of senior officials.

(iii) The Freedom (Great Repeal) Bill is intended to cover a wide range of subjects, to be announced in due course: it may include an extension to the scope of FOIA, and also various provisions in relation privacy (e.g. relating to CCTV cameras, and the DNA database).

Of these Bills, it is the third that is likely to be much the most significant. 

UNFINISHED BUSINESS

June 30th, 2010 by Timothy Pitt-Payne QC

Various changes were made to FOIA by the Constitutional Reform and Governance Act 2010, which was passed during the “wash up” at the end of the last Parliament.  See section 46 of and Schedule 7 to the Act. In particular:

• The exemption in section 37(1) of FOIA (relating to communications with the Sovereign and with other members of the Royal Family) was extended. In relation to the Sovereign and the heir to the Throne, the exemption was made absolute .

• The period at which a record becomes a “historical record” was altered (this is often referred to as the “30 year rule”). Under FOIA as originally enacted, a record became a historical record at the end of 30 years beginning with the year following that in which it was created: see FOIA section 62(1). Information contained in a historical record could be exempt by virtue of sections 28, 30(1), 32, 33, 35, 36, 37(1)(a), 42 or 43: see FOIA section 63(1). Under the 2010 Act the period of 30 years is reduced to 20 years . Provision is made for a 10 year transitional period in introducing this change . However, in respect of section 36 (so far as it relates to certain information concerning Northern Ireland), section 28, or section 43, the time after which these exemptions can no longer be relied upon will remain 30 years not 20 years .

The reforms to the 30 year rule followed the Dacre Review, published on 29th January 2009 (see our earlier post here).

As yet it remains unclear when, or whether, these amendments will be brought into force.  This is a significant piece of unfinished business left over from the last Parliament.

LATE EXEMPTIONS – THE LATEST TWIST

June 30th, 2010 by Anya Proops

The question of whether a public authority can seek to rely on exemptions at a late stage in proceedings is one which arises in many tribunal appeals. Certainly, it is not at all unusual for a public authority to argue before the tribunal that it now wants to rely on exemptions which have never previously been identified. Historically, the Tribunal has taken the view that it has a discretion to refuse late reliance on exemptions and, in practice, it has tended to refuse late reliance save where there are exceptional circumstances (see further earlier paper on this issue which you can find here and see also an earlier post here). However, one tribunal has very recently taken a rather different view of the matter. In particular in Home Office v IC (EA/2010/0011), the tribunal held that in fact it had no discretion to refuse late reliance, particularly in view of the way in which the exemptions had been provided for under FOIA. This departure from tribunal orthodoxy is no doubt going result in a significant amount of debate, not least because there are now competing tribunal decisions on the issue of late exemptions. It may be that the matter will be resolved as and when the appeal in the case of DEFRA v IC & Birkett is heard in the Upper Tribunal. However, this remains to be seen. So watch this space.

WITHHOLDING INFORMATION HELD FOR PURPOSES OF JOURNALISM

June 25th, 2010 by Anya Proops

The BBC is an organisation which is subject to the duties imposed under FOIA only in respect of information held ‘for purposes other than those of journalism, art or literature’ (Part VI of Schedule 1 to FOIA). On Wednesday, the Court of Appeal handed down a judgment which considered the question of how information held by the BBC should be approached if it was held for a number of different purposes, including but not limited to journalistic purposes – see the judgment here. The Court of Appeal held, irrespective of whether the information was held for multiple purposes, provided that one of the purposes included a genuine journalistic purpose, the information was exempt from the application of the duties embodied in FOIA. In reaching this conclusion, the Court of Appeal rejected the proposition that the question whether the information should be disclosed should be decided by reference to the ‘dominant purpose’ for which the information was held. The Court of Appeal also gave guidance on the meaning of the concept of ‘journalism’. In particular, it agreed with the tribunal that the three elements of functional journalism were (a) the collection, writing and verification of material; (b) the editing and presentation of material for publication; (c) the upholding of journalistic standards by supervision, training and review of journalists and their work. The Court of Appeal went on to hold that the BBC had been entitled to treat a report examining the BBC’s coverage of events in the Middle East as falling within the journalism exemption. In reaching this conclusion, the Court of Appeal confirmed that the fact that the report had been used by the BBC for strategic managerial purposes did not prevent it falling within the journalism exemption.

VEXATIOUS REQUESTS

June 24th, 2010 by Timothy Pitt-Payne QC

FOIA requesters can be very difficult to deal with. Some may bombard public authorities with requests, to the point where they disrupt the authority’s ordinary work, perhaps with an obsessive focus on a particular issue. Some will use FOIA to try and re-open matters that have already been examined in detail; and it is impossible to achieve closure, because each item of information provided simply becomes a starting-point for more questions. How should public authorities cope with this kind of behaviour?  The obvious recourse is to FOIA section 14(1), which enables a public authority to refuse to answer a request if it is vexatious.

The Information Commissioner has issued guidance on vexatious and repeated requests (last updated in December 2008), which identifies five questions:

– Can the request fairly be seen as obsessive?
– Is the request harassing the authority or causing distress to staff?
– Would complying with the request impose a significant burden?
– Is the request designed to cause disruption or annoyance?
– Does the request lack any serious purpose or value?

According to the Commissioner, a public authority should generally be able to make out a reasonably strong case under at least two of these headings, if it is to reject a request as vexatious.

Two recent Tribunal decisions consider whether requests were rightly treated as vexatious.

In Rigby v Information Commissioner and Blackpool, Flyde and Wyre Hospitals NHS Trust the requester’s underlying complaint was about his mother’s death in hospital. He complained to the Healthcare Commissioner about the treatment given, and they upheld the complaint and made a number of recommendations for action by the Trust. He then made a series of FOI requests about the implementation of those recommendations. The Trust eventually informed him that it would no longer correspond with him about his underlying complaint, and that it was invoking its “Vexatious Complaints Policy” (“the Policy”). The requester then made a FOIA request for information about the introduction and amendment of the Policy; this request was rejected as vexatious by the Trust. The Commissioner upheld the Trust’s position, and the requester appealed to the Tribunal.

The Tribunal set out some general principles at §§27-32. It considered that the Commissioner’s guidance, and the five considerations that it identified, were useful, although they should not lead to an overly structured approach.

 
The Tribunal referred to a number of the earlier cases, and set out the following principles:

• Section 14(1) is concerned with whether the request is vexatious in terms of the effect of the request on the public authority, and not whether the applicant is vexatious.

• In the absence of a definition of “vexatious” in FOIA, it must be assumed that Parliament intended the term to be given its ordinary meaning. By its ordinary meaning, the term refers to activity that “is likely to cause distress or irritation, literally to vex a person to whom it is directed”.

• The focus of the question is on the likely effect of the activity or behaviour. Is the request likely to vex?

• For the request to be vexatious, there must be no proper or justified cause for it.

• It is not only the request itself that must be examined, but also its context and history. A request which when taken in isolation, is quite benign, may show its vexatious quality only when viewed in context. That context may include other requests made by the applicant to that public authority (whether complied with or refused), the number and subject matter of the requests, as well as the history of other dealings between the applicant and the public authority. The effect a request will have may be determined as much, or indeed more, by that context as by the request itself. This is in marked contrast to other types of FOIA appeals where the Tribunal is said to be strictly applicant and motive blind.

• The standard for establishing that a request is vexatious should not be set too high. Equally, however, it should not be set too low. The judgment that section 14(1) calls for is balancing the need to protect public authorities from genuinely vexatious requests on the one hand, without unfairly constraining the legitimate rights of individuals to access information.

The Tribunal then gave a series of examples of considerations that had been held relevant in the decided cases, as follows:

• where the request forms part of an extended campaign to expose alleged improper or illegal behaviour in the context of evidence tending to indicate that the campaign is not well founded or has no reasonable prospect of success;

• where the request involves information which has already been provided to the applicant;

• where the nature and extent of the applicant’s correspondence with the authority suggests an obsessive approach to disclosure;

• where the tone adopted in correspondence by the applicant is tendentious and/or haranguing and demonstrates that the applicant’s purpose is to argue and not really to obtain information;

• where the correspondence could reasonably be expected to have a negative effect on the health and well-being of the employees of the public authority;

• where the request, viewed as a whole, appears to be intended simply to reopen issues which have been disputed several times before, and is, in effect, the pursuit of a complaint by alternative means;

• where responding to the request would likely entail substantial and disproportionate financial and administrative burdens for the public authority;

• where the same requests have been made repeatedly, or where on repetition, the particulars of the requests have been varied making it difficult to know exactly what the requester is seeking and making it less likely that the request can be satisfied; and

• where providing the information requested previously has tended to trigger further requests and correspondence, making it unlikely that a response ending the exchange of correspondence could realistically be provided.

The Tribunal agreed that this particular request was vexatious. On its face it was straightforward; but viewed in context it was part of a continuing campaign relating to the Trust’s treatment of  the requester’s mother, and that campaign had become obsessive. Any response would have been likely to trigger further requests. There had been numerous previous requests: according to the Commissioner, the Trust had fielded 56 separate requests from the Appellant on 16 different dates, though the requester disputed these figures. The Tribunal accepted that, whatever the requester’s intentions, the effect of his requests had been to vex, that is, to cause distress or irritation, given the language of the requests and the repeated allegations of bad faith against Trust employees.

In Young v Information Commissioner the requester was an individual who had been prosecuted and convicted. He subsequently made a number of complaints about his arrest and detention, which were considered by the Independent Police Authority. A FOIA request to the relevant police force was rejected as vexatious, and the Commissioner upheld the authority’s handling of the request. On appeal, the Tribunal approved the approach taken in Rigby at §§27-32. It considered that the request was obsessive, might in some respects involve harassment of the authority’s staff, and lacked serious purpose or value. On balance (though narrowly) the Tribunal accepted that the request was vexatious. However, the Tribunal emphasised that it was not suggesting that the requester was himself vexatious, and did not doubt that he sincerely believed himself to have been badly wronged.

The last point is important. Section 14(1) is about vexatious requests, not vexatious people. There is no power to treat someone as a vexatious requester (i.e. as a person who is no longer entitled to make FOIA requests to the authority). Each individual request must be considered on its merits. And of course the decision to treat a request as vexatious may lead to a complaint to the Commissioner, and then an appeal to the Tribunal. Hence, if a request is easy to answer, it may well be less time-consuming to respond to it rather than to treat it as vexatious – even where the latter course would be justifiable.

 

 

INFORMATION LAW AND THE NEW POLITICS

June 7th, 2010 by Timothy Pitt-Payne QC

I gave a paper at the last 11KBW information law seminar, on the new Government’s plans for information law.  An updated version of the paper is now available here.  It takes account of the Coalition’s programme, published on 20th May.

The new Government is putting forward a number of proposals for disclosing public sector information on a regular and routine basis, rather than on request:  for more detail see this posting on the official website for the Prime Minister’s office. On 4th June 2010 the Government disclosed a considerable amount of information from the COINS database (standing for Combined Online Information System) relating to public spending in 2009/10.  In total there are thought to be over 3 million separate items of information in the new release.  See here for the raw data; and see here for a tool designed by the Guardian, intended to help navigate the newly released information.  No doubt the COINS release will lead to a number of follow-up FOIA requests relating to specific items of expenditure; it will be interesting to see how those requests are handled by Government departments.  

NEW POLITICS, OR SAME OLD STORY?

May 22nd, 2010 by Timothy Pitt-Payne QC

On 19th May I gave a paper at 11KBW’s Information Law seminar, entitled “Information Law in the new Parliament”.  This was a discussion of the new coalition government’s proposals relating to information law.  On the following day, “The Coalition:  our programme for government” was published, giving  a much fuller account of the new Government’s programme.

I am revising my paper to take account of the new document.  I will be posting the revised paper here, in the course of next week.