Criminal Law

Neiman v. Military Governor of the Occupied Area of Jerusalem

Case/docket number: 
HCJ 1/48
Date Decided: 
Wednesday, September 29, 1948
Decision Type: 
Original
Abstract: 

The Petitioner, while employed by the Army as a civilian employee, assaulted a soldier and committed other acts constituting criminal offences under both military and civil law. After he had ceased to be so employed, the Petitioner was charged before a military court. He sought an order restraining the military court from proceeding with the charges on the grounds that he was not at the relevant time a soldier within the meaning of the Army Code, or alternatively that he had ceased to be a soldier when charged and that a military court therefore had no jurisdiction in the matter.

               

Held, that the Petitioner had been a soldier within the meaning of the Army Code, 1948, when he committed the acts in respect of which he was charged, but that at the time such charges were filed he had ceased to be a soldier, and that a military court did not have jurisdiction to try such a person.

Voting Justices: 
Primary Author
majority opinion
majority opinion
majority opinion
Full text of the opinion: 

H.C.J 1/48

 

HERMAN NEIMAN

 v.  

1)    THE MILITARY GOVERNOR OF THE OCCUPIED AREA OF JERUSALEM

2)    THE CHIEF MILITARY PROSECUTOR

 

 

In the Supreme Court sitting as the High Court of Justice

[September 29, 1948]

Before: Smoira P., Olshan J. and Cheshin J.

 

 

            Military Court jurisdiction - Who is a soldier - Military offender no longer a soldier when charge filed.

           

                The Petitioner, while employed by the Army as a civilian employee, assaulted a soldier and committed other acts constituting criminal offences under both military and civil law. After he had ceased to be so employed, the Petitioner was charged before a military court. He sought an order restraining the military court from proceeding with the charges on the grounds that he was not at the relevant time a soldier within the meaning of the Army Code, 19481) or alternatively that he had ceased to be a soldier when charged and that a military court therefore had no jurisdiction in the matter.

               

                Held, that the Petitioner had been a soldier within the meaning of the Army Code, 1948, when he committed the acts in respect of which he was charged, but that at the time such charges were filed he had ceased to be a soldier, and that a military court did not have jurisdiction to try such a person.

           

Palestine Case referred to :

(1)        H.C. 143/44 -  Tatjana Spiwak (Bauer) v. Kvutzat Kfar Hamakabi.

                                    Tatjana Spiwak (Bauer) v. Captain Jacob Bauer and another; (1945) 2 A.L.R. 472.

 

English Case referred to:

(2) Dawkins v. Lord F. Paulet, (1869) L.R. 5 Q.B. 94.

 

Frank for the Petitioner;

Spaer for the first Respondent;

H. H. Cohn, State Attorney, for the second Respondent.

 

SMOIRA P., giving the judgment of the court :

 

            On September 16, 1948, an order nisi was issued by this court against the first respondent, the Military Governor of the occupied area of Jerusalem as the representative of the Minister of Defence of the State of Israel, and against the second respondent, the Chief Military Prosecutor, to show cause why they should not be restrained from placing the petitioner, Herman Neiman, on trial before a Military Court, and why they should not withdraw the charges that have been preferred against the petitioner in the Military Court of Jerusalem.

 

            The facts in the case before us are not in dispute.

           

            The petitioner is forty-six years of age and therefore not liable to conscription. He has never sworn allegiance to the Defence Army of Israel. He was employed in the Engineers Corps of the Army during the months of June and July, 1948. As from August 1, 1948, he was no longer employed in the Army. On September 5, 1948, the petitioner was summoned - with others - to appear on an indictment before the District Court of the Defence Army of Israel in Jerusalem. The indictment, which is dated August 18, 1948, contains six charges against the petitioner. As is stated in the indictment, a copy of which is annexed to the petition, these are not offences of a military nature, being offences under various sections of the Criminal Code Ordinance, 1936, such as assault, threat of violence, unlawful arrest, malicious injury, and abuse of office.

           

            According to the particulars of the first charge, the petitioner, on or about July 12, 1948, unlawfully assaulted Walter Yalski, who was then enlisted for part-time service in the Army. The remaining charges relate to acts which were done on the same day against the same person. The petitioner was charged before the Military Court pursuant to section 97 of the Army Code, 1948.1)

 

            The questions which arise in the case before us are questions of law alone, and the submissions of the petitioner and of the respondents are shortly as follows :

           

            The petitioner submits:

           

(1)   He has never been a soldier according to the Army Code, 1948.

 

(2)   Even if be had been a soldier, be ceased to be one on August 1, 1948, and he is not liable, therefore, to be tried by a Military Court.

 

            The first respondent submits that he ought not to be made a party to this petition at all.

 

            The second respondent submits:

 

(1)   The petitioner must submit to the jurisdiction of the Military Court since, on the day of the commission of the offences, he was a soldier acting within the framework of or as an agent of the army.

 

(2)   The High court of Justice cannot intervene in this matter because :

 

a)     No injustice has been caused to the petitioner;

b)    The interests of the public and of good government demand that the petitioner be brought before a Military Court and not before a Civil Court;

c)     The petitioner has an alternative remedy - to appear before a Military Court and argue before that court that it has no jurisdiction.

 

            We have heard many general submissions from both parties as to the relationship between the Civil and Military Courts, the advantages to be gained from appearing before the Military Courts on the one hand and, on the other, the rights of the citizen to be tried by ordinary courts. We have no intention, however, of deciding the matter on first impression.

           

            In our opinion the answer to the question raised by this petition is to be found in the basic provision contained in Article 38 of the Palestine Order in Council, 1922, as amended in 1935. We have no doubt that this provision, with which the Part on "Judiciary" in the Order in Council opens, is still in force today, by virtue of section 11 of the Law and Administration Ordinance, 1948. The text of Article 38 reads as follows:

           

"Subject to the provisions of this part of this Order or any Ordinance or rules, the Civil Courts hereinafter described and any other Courts or Tribunals constituted by or under any of the provisions of any Ordinance, shall exercise jurisdiction in all matters and over all persons in Palestine."

 

            The principle which flows from this provision is that the Civil Courts exercise jurisdiction over all the inhabitants of the State, and according to Proclamation I of the Defence Army of Israel Command in Jerusalem - which is deemed to be in force as from May 15, 1948 - the Law of the State of Israel is made to apply to the occupied area of Jerusalem (section 2 of the Proclamation). In order to exclude a resident from the jurisdiction of the Civil Courts and render him subject to special Courts, special legislation is required. Such special legislation is to be found in the Emergency (Army Code 1948) Regulations, 1948 (Official Gazette No. 20 Supplement 2). These regulations were made by the Minister of Defence by virtue of the powers conferred upon him by section 9 (a) of the Law and Administration Ordinance, 1948, and there is no appeal before us against the legality of these regulations. These regulations lay down, inter alia, the legal organisation of the army, its composition and its powers, the principles to be applied in regard to offences and punishment - of a special type for soldiers - and include, in section 97, a provision in regard to a soldier who commits an offence punishable by the general criminal law. It is under this provision that the petitioner is charged in the indictment before the Military Court.

 

            And this is the text of section 97:

           

"Any soldier who, within the framework of the army or by reason of his belonging to the army, has committed an offence punishable under the general criminal law which is in force or will be in force in the State from time to time, and whose belonging to the army, does not expressly relieve him from liability for such offence, may be tried for such o fence by a Military Court and shall be liable to the same punishment as that to which he would be liable in the general courts."

 

            The first question is whether the petitioner was a soldier at the time of the commission of the offences with which he is charged.

           

            The definition of "soldier" is found in section 2 of the Army Code, 1948, and is as follows: -

           

"'Soldier' means any man or woman who has been accepted into the army under army regulations from time to time, and also includes any person who has acted from time to time in the framework of the army, or its agent, and also includes any person who is under a duty to enlist in the army or in the services associated with the army, even if such person has not been accepted into the army as aforesaid."

 

            Mr. Haim Cohn, the State Attorney, who appeared on behalf of the second respondent, does not contend that the petitioner was accepted into the army under army regulations. Mr. Cohn also admitted before us that the petitioner is not subject to the duty of enlistment in the army or in the services associated with the army. His contention is that the petitioner acted on July 12, 1948, within the framework of the army and also as agent of the army. The words "from time to time" in the definition of the word "soldier" - Mr. Cohn argues - introduce an element of impermanence, and there is therefore no need for permanent service. The expression "framework of the army" is, says Mr. Cohn, an extremely wide one. The word "framework", he contends, must not be given an etymological but a colloquial interpretation. A person need not actually be in the army in order to be within its framework - any person who is in lawful association with the army is within its framework. The question is whether the association between the person and the army is one which introduces him or his activities into the framework of the army. The petitioner was a hired employee of the army, and his receipt of a salary does not exclude him from its framework, for the army is composed not only of active soldiers but also of other persons including those who work for a salary, such as army doctors and judges. The expression "agency of the army" is, so it is argued: even wider than "framework", since such agency does not even demand any lawful association between the person and the army. These are the submissions of counsel for the second respondent.

 

            As against these arguments Dr. Frank, counsel for the petitioner, has made the following submissions:

           

            The petitioner did not act within the framework of the army or as its agent. In interpreting the expression "soldier" in section 2 of the Army Code, Dr. Frank directed our attention to section 176, sub-sections 9 and 10 of the English Army Act of 1881, in terms of which persons who are not soldiers but who are employed by the army are subject to Military law only if they are on active service, an expression defined in section 189 of that statute. Dr. Frank intended to prove the extent to which the English legislature has restricted the category of those who are subject to military Law. The immediate answer to this argument is that proof of such a restricted interpretation cannot be furnished by the English Statute since we are bound by the definition of a "soldier" in the Army Code, 1948, and that definition contains no such restriction.

           

            An act done by a soldier within the framework of the army, Dr. Frank submits, is one that results from an order given by the State or by the army. A person who performs some activity in the army as a contractor for a wage and as an official on a salary is one who works under a contract and not on the basis of an order given or compulsion exercised by the State or the army. A person falls within the framework of the army, Dr. Frank submits, only when the army gives him orders as one of its members, and not when he works under a special contract for a salary. In any event, says Dr. Frank, if the regulation defining the expression "soldier" is not clear, there is a presumption that the civil courts have jurisdiction, and in a case of doubt the decision will be in favour of such jurisdiction.

           

            The distinction referred to, which Dr. Frank wishes to introduce in interpreting the expression "soldier", is worthy of consideration. We are of the opinion, however, that, on the contrary, the legislature wished to widen the limits of the expression "soldier" as far as possible by introducing into that definition, as a category, any person "who has acted from time to time in the framework of the army, or as its agent". We think that the legislature, in framing the definition as it did, succeeded in extending the limits of the expression "soldier", and we do not agree with the submission that the receipt of a wage excludes a person from the framework of the army.

           

            The definition of "soldier" in section 2 contains three categories:

           

(a)    the first category mentioned "any man or women who has been accepted into the army under army regulations from time to time" - refers to ordinary soldiers;

 

(b)   the third category "any person who is under a duty to enlist in the army or in the services associated with the army, even if such person has not been accepted into the army as aforesaid" - refers to those who in fact are not yet soldiers, but who are ordered to become and are about to become soldiers, and who are liable to be punished, for example, for offences such as feigning illness, or wilful maiming, under section 90 of the Army Code, 1948 :

 

(c)    The second category includes just those people who have not been accepted into the army under army regulations and who are not about to be accepted into the army because of their duty to enlist, but those who work from time to time in the framework of the army or as agents of the army, such as the petitioner in the present case.

 

            It is worthwhile pointing out, moreover, that in order that a person should be included in the first category, it is a condition precedent that he should be accepted into the army under army regulations. In order that a person should be included in the third category it is a condition precedent that he should be under a certain duty, namely, the duty of enlistment. In order that a person should be included within the second category there is no condition precedent at all. The very fact of his working within the framework of the army or as its agent brings him by definition into the category of "soldier", without any reference to the element of the desire or duty which led him to work Within the framework of the army.

 

            In regard to this point, therefore, we accept the submission of the State Attorney, counsel for the second respondent, that the petitioner was a "soldier" until the end of the month of July.

           

            The second question which arises is whether a person who was a soldier at the time of the commission of the offence but who has ceased to be a soldier, may still be charged before a Military Court. It is not disputed that on the date mentioned in the indictment, namely, August 18, 1948, the petitioner was no longer a soldier. Counsel for the second respondent submits, however, that the fact that the petitioner was a soldier at the time that he committed the offence on July 12th is sufficient to permit his being tried before a Military Court under section 97.

           

            Mr. Cohn relied upon three grounds in support of this submission .

           

            His first ground was that it is a recognised principle that a person cannot, by a change in status, be relieved from a duty which was imposed upon him before that change. Mr. Cohn cited examples from Family Law, such as marriage obligations and the obligations of maintenance after proselytisation. We cannot accept this ground. This case is not concerned with an attempt to escape from an obligation. The question is one of the jurisdiction of courts, and is not similar to the matters cited before us by Mr. Cohn.

           

            Mr. Cohn's second ground was that the Army Code, 1948,must be interpreted with reference to all its sections. Mr. Cohn admitted that the position of offenders who have ceased to serve in the army is not dealt with in the Code, but he submitted that it was the intention of the Code that they should be subject to the jurisdiction of a Military Code also after their discharge from the army. A hint to this effect, Mr. Cohn argues, is to be found in section 18 of the Code. We can find nothing in that section - which deals with the general jurisdiction of a District Military Court within the legal machinery of the army - which is an authority on the question before us, namely, whether the determining factor is the time of the commission of the offence, or the time of filing of the indictment with the Military Court.

 

            Mr. Cohn also referred to sections 32 and 371) of the Code dealing with the confirmation of judgments. In these sections the words "judgments against those who are not soldiers" are to be found. Here too we cannot find a reply to the question before us in these sections. It is impossible to base the jurisdiction of the court on words such as these in a section dealing with an entirely different subject. Not only that, but an interpretation of the words "judgments against persons who are not soldiers" may be found in section 28 which includes among those against whom an accusation may be brought, an "army institution", that is to say, an accused which is not a soldier.

            Section 58 of the Army Code1) the chapter containing which bears the caption "Supremacy of Military Courts" also adds nothing to the solution of our problem. This section merely shows that a soldier may be tried in Military Courts even if he has already been tried once before for the same offence in another court. It is impossible to conclude from this provision that the jurisdiction of Military courts also extends to citizens who are not soldiers.

           

Sections 164 to 166 of the Army Code,2) which deal with prescription and lay down the Period of prescription as from the date of the commission of the offence, provide no solution to the problem with which we are faced.

 

            The third ground relied upon by Mr. Cohn in regard to the interpretation of section 97 is based upon section 158 of the English Army Act of 1881. That section provides that if a person has committed an offence under military law at a time when he is subject to that law, and if he thereafter ceases to be subject to that law, he may still be tried before a Military Court within three months from the date that he ceased to be subject to military law - save in the case of a few serious felonies in regard to which this limitation of time does not apply. Mr. Cohn attempted to argue that this Law of 1881 limited the period in which it was still possible to try a person who had ceased to be a soldier in a military court, and that according to English common law there was no limitation of time whatsoever in regard to this possibility. The authorities cited to us by Mr. Cohn from English Law in regard to this question, such as Dawkins v. Lord Paulet (2), in fact contain no solution of our problem, and Mr. Cohn stated frankly in the course of his argument before us that he found it necessary to abandon his submission based upon English common law. It is sufficient, in fact, to consult Dicey on Constitutional Law, which was referred to by Mr. Cohn, in order to realise that the principle of the supremacy of the ordinary Civil Courts is woven like a golden thread throughout the whole of the chapter in Dicey dealing with the army. At page 303 (eighth edition) he says : "The general principle on this subject is that the Courts of Law have jurisdiction to determine who are the persons subject to Military Law, and whether a given proceeding, alleged to depend upon Military Law, is really justified by the rules of law which govern the army. Hence flow the following (among other) consequences. The Civil Courts determine whether a given person is or is not 'a person subject to military law'."

 

            We are prepared to find some assistance in section 158 of the English Army Act, 1881, but in favour of the petitioner and not in favour of the respondent, for this section shows that the English legislature found it necessary to lay down by a specific provision that a person remains subject to military law for a certain period even after he has ceased to be a soldier. The Army Code, 1948, on the other hand, contains no parallel provision, and reading section 97 of that code literally, we are obliged to interpret it to mean that only a soldier - that is to say, a person who is still a soldier - may be tried before a military court for an offence which he committed within the framework of the army or by reason of his belonging to the army. In regard to this point, therefore, we accept the submission of the petitioner that since he ceased to be a soldier on August 1, 1948, he ceased from that date to be subject to the jurisdiction of the military court.

 

            There remains the final argument of counsel for the second respondent that the High Court of Justice will not intervene in this matter since no injustice has been caused to the petitioner and the interests of the public and of good government demand that the petitioner be brought before a military court and not before a civil court, and that the petitioner has a legal remedy elsewhere. We cannot accept these submissions. The question before us is not whether an injustice will be done to the petitioner if he is arraigned before a military court. The rule is that every person is entitled to demand that he be tried before a competent court. In fact all the various constitutions of courts in different countries are extremely careful in defining the limits of jurisdiction. If, according to the rules laid down in the Code, an ordinary civil court is competent to try a person, and the authorities wish to arraign him before a special court, the accused is entitled to petition the High Court of Justice and to demand that it intervene in the matter.

           

            We appreciate what has been said by counsel for the second respondent, that it is the duty of the army and its court to root out criminals, whose offences - even if they are also offences under the general criminal law - are in fact offences against the efficient and proper administration of the army; that the army is interested in imposing order in its ranks and beyond its ranks; and that this is particularly so in a case such as that of the petitioner who is charged with assuming authority which he did not possess. But the general consideration such as this cannot take the place of a specific legal provision as to the jurisdiction of the courts. This is one of the basic principles of every ordered regime.

           

            We also cannot accept the submission that it was necessary for the petitioner to appear before the military court, present to that court a submission of want of jurisdiction, and attempt in that way to secure his remedy.

           

            Counsel for the second respondent cited to us a line of decisions of the High Court of Justice from the days of the Mandate in which the Court referred the petitioner to some other court in order to find his remedy there. One of the cases cited by him was Spiwak v. Hamakabii (1), in which the High Court of Justice refused to intervene because the petitioner, who was a litigant in the Rabbinical Court and argued want of jurisdiction, could have found his remedy in the Rabbinical Court of Appeals. We have some doubt as to the correctness of that decision. In any case, the situation in the matter before us is entirely different. The petitioner has not yet entered into the area of jurisdiction of a military court, and has petitioned us to decide that he is not obliged to be tried in such a court. Since we have reached the conclusion that the petitioner has ceased to fall within the jurisdiction of the military court, we must give him the remedy which he seeks.

           

            For all these reasons we have reached the conclusion that the order nisi must be made absolute. We have still to deal with the prayer of the first respondent that he be dismissed from the case. Counsel for the first respondent submitted that the Military Governor has no connection with the questions here discussed, that he has no attitude in the matter, and that he has neither the right nor is he under any legal duty in regard thereto. The Military Governor, so he submits, does not convene courts nor does he confirm their judgments. He has cited to us English authority and authorities of this court from the time of the Mandate in support of his contention. Since Dr. Frank, counsel for the petitioner, has stated before us that he joined the first respondent as representing the Minister of Defence on the basis of section 4 of the Army Code,1) but that he is interested in the question of jurisdiction alone and not in the number of respondents, and since we incline to the opinion that counsel for the first respondent is correct in his submission that the respondent adopts no attitude in this matter even as representative of the Minister of Defence, we make the order nisi absolute against the second respondent, the Chief Military Prosecutor, alone. In order that the matter should be clear we wish to emphasize that this decision is not intended to prevent the bringing of the charges in question before a competent court.

           

Order nisi made absolute against the second respondent.

Judgment given on September 29, 1948.

 

 


1) See Schedule to the Emergency (Army Code 1948) Regulations 1948.

1) For text see infra p. 128.

1) Army Code, ss. 32 and 37:

Unappealed judgement subject to confirmation of Chief of Staff

 

32. If no appeal is lodged against a judgment of the Special Tribunal and the case has not been automatically transferred for trail in the Supreme Tribunal acting as, court of appeal, a judgment of the Special Tribunal shall Staff. be subject to the confirmation of the Chief of Staff, who, may confirm the judgment and sentence or reduce the sentence, save for death sentences and judgments against persons who are not soldiers, which shall be subject to the confirmation of the Minister of Defence and not of the Chief of Staff.

 

Every judgement subject to the confirmation of the Chief of Staff.

 

37. Every judgment of the Supreme Tribunal shall be subject to confirmation of the Chief to the confirmation of the chief of Staff, who may confirm the judgment or the sentence or reduce the sentence if he thinks fit, save for death sentences and judgments against persons who are not soldiers, which shall be subject to the confirmation of the Minister of Defence and not of the Chief of Staff.

 

1) Army Code, s. 58:

Trial by non Army Court or decision thereof is not necessarily defence

Where a soldier is standing trial or has already been tried for any offence or in connection therewith by a court outside the Army legal staff, that fact does not of itself relieve the soldier of liability for an offence under this Code or from the obligation to stand trial before an Army tribunal (Court-martial) in connection with the same offence.

 

2) Army Code, ss.164-166:

Treason and murder -ten years limitation.

 

164. Every offence of treason and murder shall be prescribed and no prosecution shall be brought for such an offence after ten years from the date of the commission thereof.

Offences within the jurisdiction of a special tribunal or District Tribunal- three year limitation.

165. Such other offences as are within the jurisdiction of a Special Tribunal and all offences within the jurisdiction of a District Tribunal shall be prescribed and no prosecution shall be brought in regard to them after three years from the date of commission of the offence.

Offences within the jurisdiction of a commanding officer –six months limitation.

166. Offences within the jurisdiction of a commanding officer authorised to act as a judge shall be prescribed and no prosecution shall be brought in regard to them after six months from the date of commission of the offence.

 

1)           Army Code, S. 4:

 

Head of legal authority

The Minister of Defence is by virtue of his office legal head of the Army legal authority.

 

Emunah v. Prime Minister

Case/docket number: 
HCJ 5853/07
Date Decided: 
Thursday, December 6, 2007
Decision Type: 
Original
Abstract: 

Facts: MK Ramon was convicted of committing an indecent act. According to statute, a person is barred from being a member of the Knesset or a cabinet minister only if he has been convicted of an offence involving moral turpitude and is given a custodial sentence. The court that sentenced MK Ramon did not give him a custodial sentence and it held that the offence did not involve moral turpitude.

 

Shortly after serving the sentence of community service, MK Ramon was appointed a member of the government with the position of Deputy Prime Minister. The appointment was approved by the Knesset. The petitioners challenged the appointment on the ground that, in view of the conviction, the appointment was unreasonable in the extreme.

 

Held: (Majority opinion — Justice Procaccia) There is no legal basis for cancelling the appointment on the ground of extreme unreasonableness. Since the court that sentenced MK Ramon held that the offence did not warrant a custodial sentence and did not involve moral turpitude, the government considered the question of MK Ramon’s conviction before making the appointment and the Knesset approved the appointment, the decision to appoint MK Ramon falls within the margin of reasonableness and judicial intervention is not warranted.

 

(Majority opinion — Justice Grunis) The ground of unreasonableness in judicial review is highly problematic, especially with regard to a decision of a collective body where it is difficult to know the reasons for the decision. It would appear that sometimes, when the court intervenes in a decision because of unreasonableness, it is actually replacing the discretion of the authority with its own discretion. Consequently, the use of relatively narrower and more concrete grounds, such as irrelevant reasons, irrelevant purposes or discrimination, should be preferred to the use of the ground of unreasonableness. In the specific circumstances, the court is no better placed than any citizen of the state to determine whether the decision is unreasonable. Therefore the court should refrain from intervening in the decision.

 

(Minority opinion — Justice Arbel) The decision to appoint MK Ramon at this time gives rise to a difficulty in the ethical sphere because it inherently undermines the values of the rule of law, and a difficulty in the public sphere because it undermines public confidence in those persons in the highest echelons of power — the government and its members. Prima facie the decision to make the appointment is tainted in a manner that goes to the heart of the administrative discretion. The rapid promotion to a very senior position so soon after the conviction and the serving of the sentence, after the court said what it had to say on the subject of MK Ramon’s conduct and credibility, sends a negative message to persons in positions of authority, public figures, government officials, potential complainants and the public as a whole. The appointment should therefore be set aside as unreasonable in the extreme.

Voting Justices: 
Primary Author
majority opinion
Author
concurrence
Author
dissent
Full text of the opinion: 

HCJ 5853/07

Emunah — National Religious Women’s Organization

v.

1.   Prime Minister, Mr Ehud Olmert

2.   Government of Israel

3.   Knesset

4.   Haim Ramon

HCJ 5891/07

1.   Tmura — the Legal Struggle against Discrimination Centre

2.   Ahoti for Women in Israel

v.

1.   Prime Minister, Mr Ehud Olmert

2.   Haim Ramon

HCJ 5914/07

Legal Forum for the Land of Israel

v.

1.   Prime Minister, Mr Ehud Olmert

2.   Government of Israel

3.   Attorney General

4.   Knesset

5.   Haim Ramon

 

The Supreme Court sitting as the High Court of Justice

[6 December 2007]

Before Justices A. Procaccia, A. Grunis, E. Arbel

 

 

Petition to the Supreme Court sitting as the High Court of Justice.

 

Facts: MK Ramon was convicted of committing an indecent act. According to statute, a person is barred from being a member of the Knesset or a cabinet minister only if he has been convicted of an offence involving moral turpitude and is given a custodial sentence. The court that sentenced MK Ramon did not give him a custodial sentence and it held that the offence did not involve moral turpitude.

Shortly after serving the sentence of community service, MK Ramon was appointed a member of the government with the position of Deputy Prime Minister. The appointment was approved by the Knesset. The petitioners challenged the appointment on the ground that, in view of the conviction, the appointment was unreasonable in the extreme.

 

Held: (Majority opinion — Justice Procaccia) There is no legal basis for cancelling the appointment on the ground of extreme unreasonableness. Since the court that sentenced MK Ramon held that the offence did not warrant a custodial sentence and did not involve moral turpitude, the government considered the question of MK Ramon’s conviction before making the appointment and the Knesset approved the appointment, the decision to appoint MK Ramon falls within the margin of reasonableness and judicial intervention is not warranted.

(Majority opinion — Justice Grunis) The ground of unreasonableness in judicial review is highly problematic, especially with regard to a decision of a collective body where it is difficult to know the reasons for the decision. It would appear that sometimes, when the court intervenes in a decision because of unreasonableness, it is actually replacing the discretion of the authority with its own discretion. Consequently, the use of relatively narrower and more concrete grounds, such as irrelevant reasons, irrelevant purposes or discrimination, should be preferred to the use of the ground of unreasonableness. In the specific circumstances, the court is no better placed than any citizen of the state to determine whether the decision is unreasonable. Therefore the court should refrain from intervening in the decision.

(Minority opinion — Justice Arbel) The decision to appoint MK Ramon at this time gives rise to a difficulty in the ethical sphere because it inherently undermines the values of the rule of law, and a difficulty in the public sphere because it undermines public confidence in those persons in the highest echelons of power — the government and its members. Prima facie the decision to make the appointment is tainted in a manner that goes to the heart of the administrative discretion. The rapid promotion to a very senior position so soon after the conviction and the serving of the sentence, after the court said what it had to say on the subject of MK Ramon’s conduct and credibility, sends a negative message to persons in positions of authority, public figures, government officials, potential complainants and the public as a whole. The appointment should therefore be set aside as unreasonable in the extreme.

 

Petition denied by majority opinion (Justices Procaccia and Grunis, Justice Arbel dissenting).

 

Legislation cited:

Basic Law: The Government , 5761-2001, ss. 1, 6, 6(c), 13(d), 15, 23(b), 28(a).

Basic Law: the Knesset, ss. 1, 6(a), 42, 42A(a).

Civil Service (Appointments) Law, 5719-1959, s. 46(a)(1).

Criminal Register and Rehabilitation of Offenders Law, 5741-1981.

Municipalities Ordinance, s. 120(8).

Penal Law, 5737-1977, s. 348(c).

State Comptroller Law [Consolidated Version], 5718-1958

Israeli Supreme Court cases cited:

[1]      HCJ 6163/92 Eisenberg v. Minister of Housing [1993] IsrSC 47(2) 229; [1992-4] IsrLR 19.

[2]        HCJ 652/81 Sarid v. Knesset Speaker [1982] IsrSC 36(2) 197; IsrSJ 8 52.

[3]      BAA 11744/04 Ziv v. District Committee of the Bar Association (unreported decision of 8 August 2005).

[4]        CSA 4123/95 Or v. State of Israel [1995] IsrSC 49(5) 184.

[5]        HCJ 4523/03 Bonfil v. The Honourable Justice Dorner [2003] IsrSC 57(4) 849.

[6]      HCJ 436/66 Ben-Aharon v. Head of Pardessia Local Council [1967] IsrSC 21(1) 561.

[7]      HCJ 5757/04 Hass v. Deputy Chief of Staff, General Dan Halutz [2005] IsrSC 59(6) 97.

[8]      HCJ 5562/07 Schussheim v. Minister of Public Security (unreported decision of 23 July 2007).

[9]      HCJ 3094/93 Movement for Quality in Government in Israel v. Government of Israel [1993] IsrSC 47(5) 404; IsrSJ 10 258.

[10]    HCJ 4267/93 Amitai, Citizens for Good Government and Integrity v. Prime Minister [1993] IsrSC 47(5) 441.

[11]    HCJ 1993/03 Movement for Quality Government in Israel v. Prime Minister [2003] IsrSC 57(6) 817; [2002-3] IsrLR 311.

[12]    HCJ 2533/97 Movement for Quality Government in Israel v. Government of Israel [1997] IsrSC 51(3) 46.

[13]       HCJ 389/80 Golden Pages Ltd v. Broadcasting Authority [1981] IsrSC 35(1) 421.

[14]       HCJ 935/89 Ganor v. Attorney General [1990] IsrSC 44(2) 485.

[15]       LFA 5082/05 Attorney General v. A (unreported decision of 26 October 2005).

[16]    CA 3398/06 Antitrust Authority v. Dor Elon Energy in Israel (1988) Ltd (unreported decision of 15 June 2006).

[17]        HCJ 5261/04 Fuchs v. Prime Minister of Israel [2005] IsrSC 59(2) 446; [2004] IsrLR 466.

[18]    HCJ 1400/06 Movement for Quality Government in Israel v. Deputy Prime Minister (unreported decision of 6 March 2006).

[19]    HCJ 971/99 Movement for Quality Government in Israel v. Knesset Committee [2002] IsrSC 56(6) 117.

[20]       HCJ 325/85 Miari v. Knesset Speaker [1985] IsrSC 39(3) 122.

[21]    HCJ 9070/00 Livnat v. Chairman of Constitution, Law and Justice Committee [2001] IsrSC 55(4) 800.

[22]       HCJ 306/81 Flatto-Sharon v. Knesset Committee [1981] IsrSC 35(4) 118.

[23]       HCJ 1843/93 Pinchasi v. Knesset [1994] IsrSC 48(4) 492.

[24]       HCJ 1139/06 Arden v. Chairman of the Finance Committee (unreported).

[25]       HCJ 9156/06 Pollak v. Members of the Seventeenth Knesset (unreported).

[26]    HCJ 12002/04 Makhoul v. Knesset (unreported decision of 13 September 2005).

[27]    HCJ 11298/03 Movement for Quality Government in Israel v. Knesset Committee [2005] IsrSC 59(5) 865.

[28]       HCJ 4668/01 Sarid v. Prime Minister [2002] IsrSC 56(2) 265.

[29]       HCJ 1284/99 A v. Chief of General Staff [1999] IsrSC 53(2) 62.

[30]       HCJ 727/88 Awad v. Minister of Religious Affairs [1988] IsrSC 42(4) 487.

[31]       HCJ 194/93 Segev v. Minister of Foreign Affairs [1995] IsrSC 49(5) 57.

[32]       HCJ 1635/90 Jerezhevski v. Prime Minister [1991] IsrSC 45(1) 749.

[33]       HCJ 7074/93 Suissa v. Attorney General [1994] IsrSC 48(2) 748.

[34]       HCJ 428/86 Barzilai v. Government of Israel [1986] IsrSC 40(3) 505; IsrSJ 6 1.

[35]       CrimA 121/88 State of Israel v. Darwish [1991] 45(2) 633.

[36]    HCJ 11243/02 Feiglin v. Chairman of Election Committee [2003] IsrSC 57(4) 145.

[37]       HCJ 251/88 Oda v. Head of Jaljulia Local Council [1988] IsrSC 42(4) 837.

[38]       HCJ 103/96 Cohen v. Attorney General [1996] IsrSC 50(4) 309.

[39]       CrimA 115/00 Taiev v. State of Israel [2000] IsrSC 54(3) 289.

[40]    HCJ 7367/97 Movement for Quality Government in Israel v. Attorney General [1998] IsrSC 52(4) 547.

[41]    HCJ 8192/04 Movement for Quality Government in Israel v. Prime Minister [2005] IsrSC 59(3) 145.

[42]    HCJ 5364/94 Welner v. Chairman of Israeli Labour Party [1995] IsrSC 49(1) 758.

[43]       HCJ 73/85 Kach Faction v. Knesset Speaker [1985] IsrSC 39(3) 141.

[44]       HCJ 1956/91 Shammai v. Knesset Speaker [1991] IsrSC 45(4) 313.

[45]       HCJ 108/70 Manor v. Minister of Finance [1970] IsrSC 24(2) 442.

[46]    HCJ 491/86 Tel-Aviv-Jaffa Municipality v. Minister of Interior [1987] IsrSC 41(1) 757.

[47]    HCJ 4769/90 Zidan v. Minister of Labour and Social Affairs [1993] IsrSC 47(2) 147.

[48]       HCJ 156/75 Daka v. Minister of Transport [1976] IsrSC 30(2) 94.

[49]    HCJ 5131/03 Litzman v. Knesset Speaker [2005] IsrSC 59(1) 577; [2004] IsrLR 363.

[50]    CA 311/57 Attorney General v. M. Diezengoff & Co. [Navigation] Ltd [1959] IsrSC 13 1026; IsrSJ 3 53.

[51]    HCJ 3477/95 Ben-Atiya v. Minister of Education, Culture and Sport [1995] IsrSC 49(5) 1.

[52]       HCJ 3379/03 Mustaki v. State Attorney’s Office [2004] IsrSC 58(3) 865.

[53]    HCJ 2056/04 Beit Sourik Village Council v. Government of Israel [2004] IsrSC 58(5) 807; [2004] IsrLR 264.

[54]       HCJ 89/64 Greenblatt v. Israel Bar Association [1964] IsrSC 18(3) 402.

[55]    HCJ 142/70 Shapira v. Bar Association District Committee, Jerusalem [1971] IsrSC 25(1) 325.

[56]    HCJ 4140/95 Superpharm (Israel) Ltd v. Director of Customs and VAT [2000] IsrSC 54(1) 49.

[57]    HCJ 10934/02 Kefar Gaza Kibbutz Agricultural Settlement Cooperative Society v. Israel Land Administration [2004] IsrSC 58(5) 108.

[58]    HCJ 4585/06 Families of the October 2000 Victims Committee v. Minister of Public Security (unreported decision of 24 October 2006).

 

For the petitioner in HCJ 5853/07 — P. Maoz, M. Hoffman.

For the petitioners in HCJ 5891/07 — Y. Bitton, E. Moreno.

For the petitioner in HCJ 5914/07 — J. Fuchs.

For the prime minister, the government and the Attorney General — D. Briskman.

For the Knesset — N. Elstein.

 

 

JUDGMENT

 

Justice A. Procaccia

We have before us three petitions that seek to prevent the appointment of MK Ramon as a minister in the Israeli government. In the meanwhile, MK Ramon joined the Government and was appointed a minister with the title of Deputy Prime Minister. The reliefs sought in the petitions, in view of the circumstances, are therefore that we declare the appointment of MK Ramon as a cabinet minister unreasonable in the extreme, with the result that he is disqualified from holding office in the Government, and that we order the appointment to be cancelled (the alternative reliefs stated in HCJ 5914/07 and HCJ 5853/07).

Background and proceedings

2.    On 23 August 2006 an indictment was filed in the Tel-Aviv Magistrates Court against MK Ramon for an offence of an indecent act without consent, in contravention of s. 348(c) of the Penal Law, 5737-1977. The indictment alleged that while he was a member of the Knesset and Minister of Justice, on 12 July 2006, in the Prime Minister’s office, MK Ramon kissed and stuck his tongue into the mouth of the complainant, without her consent. The complainant is an IDF officer who was working at that time in the office of the Prime Minister’s military attaché.

On 20 August 2006 MK Ramon gave notice of his resignation from the government, and this resignation came into effect on 22 August 2006. While the criminal proceedings were pending, MK Ramon did not hold office as a minister in the government.

On 31 January 2007 the Tel-Aviv–Jaffa Court convicted MK Ramon of the offence with which he was charged.

3.    At the sentencing stage, MK Ramon asked the court to cancel his conviction, relying on a report of the probation service that was submitted in his case. The report recommended that community service be imposed upon him without a conviction. The position of the defence and the probation service with regard to cancellation of the conviction was based on a classification of the offence as one of the most minor of sex offences, MK Ramon’s lack of prior convictions, his many years of public service and his contribution to public life in Israel. Emphasis was also placed on the significant damage that would result from the conviction of MK Ramon as an elected official, and the serious harm that he and his family would suffer should the conviction be upheld. The prosecution opposed the cancellation of the conviction and emphasized the nature of the offence and the fact that it was committed by a member of the Knesset and a government minister against an army officer serving in the Prime Minister’s office. It also discussed the injury caused to the complainant by the act, and the manner in which the defence had conducted the case, which, it argued, had caused her particular harm. The prosecution also opposed the cancellation of the conviction on the ground that MK Ramon did not express sincere regret during the trial, which is a basic requirement for cancelling a conviction -  but only at the sentencing stage. It particularly emphasized the need to send a message to the public that would deter similar offences. The prosecution asked the court to hold that the offence committed by MK Ramon was one that involved moral turpitude.

4.    After considering the question of cancelling the conviction and examining all of the relevant considerations, the Magistrates Court arrived at the conclusion that the conviction should be upheld. In so doing, it preferred the public interest over the interest of MK Ramon.  It held that cancelling the conviction might obscure the public message required in the circumstances and minimize the criminal aspect of the act, and it therefore denied the defence’s request in this regard.

Notwithstanding, when it considered the actual sentence, the court addressed the question of the moral turpitude involved in the offence, in view of the prosecution’s request during its arguments  that the sentence should determine that the circumstances in which the offence was committed by the defendant involved moral turpitude. The defence opposed this request. The court rejected the prosecution’s request, and it explained its position as follows (para. 16e of the sentence):

‘In the defendant’s case, we have reached the conclusion that the overall circumstances in which the offence was committed do not justify a determination that the offence involved moral turpitude. The isolated and unplanned act was committed by the defendant following a meaningless conversation, in a mental state of indifference. The act lasted two to three seconds and ended immediately. Allowing the conviction to stand contrary to the recommendation of the probation service and the finding that the defendant’s acts did not involve moral turpitude constitutes a proper balance between the different interests and a fair expression of the different factors that have arisen in this case, including considerations of proper legal policy.’

The court sentenced MK Ramon to 120 hours of community service, and ordered him to compensate the complainant in a sum of NIS 15,000. It rejected the prosecution’s request that it should give MK Ramon a suspended prison sentence. It said in the sentence, inter alia (paras. 17 to 20):

‘In his final remarks, counsel for the defendant asked the court to show his client justice and mercy; we are receptive to this and will do so in sentencing.

The defendant’s punishment is his conviction.  We are aware of the mitigating circumstances set out above, and they have led us to think that the defendant’s sentence should be minimal, so that the future harm that he will suffer will be in proportion to the nature of the offence and the circumstances in which it was committed.

Here we should point out that in the sentence we have taken into account s. 42A(a) of the Basic Law: The Knesset, and we have adjusted the sentence to its provisions.

We therefore order the defendant to perform 120 hours of community service, in accordance with a programme that will be drawn up by the probation service.

We order the defendant to compensate the complainant in a sum of NIS 15,000.’

5.    The judgment of the Magistrates Court became absolute when no appeal was filed by either of the parties. Even though the Attorney General was of the opinion that the circumstances of the offence of which MK Ramon was convicted do involve moral turpitude, he decided not to file an appeal on this issue, but his position on the question of moral turpitude remains unchanged (letter of the senior assistant to the Attorney General of 14 May 2007 (respondent’s exhibit 3)).

6.    After the sentence was passed, MK Ramon performed the community service that was imposed on him. Following changes in the composition of the Government, and especially as a result of the resignation of the Minister of Finance, the Prime Minister decided to reshuffle the Cabinet. On 4 July 2007 the Government decided unanimously to accept a proposal of the Prime Minister and, within the framework of its authority under s. 15 of the Basic Law: The Government, to appoint MK Ramon as a cabinet minister without portfolio, with the title of Deputy Prime Minister.

7.    On the same day, 4 July 2007, Minister Meir Sheetrit, on behalf of the Government, notified the Knesset that the Government had decided to appoint MK Ramon a member of the cabinet, and he requested the Knesset’s approval of this decision under s. 15 of the Basic Law: The Government. In Minister Sheetrit’s notice to the Knesset, he said, inter alia, the following:

‘I respectfully notify the Knesset that at its meeting today the Government decided as follows: Appointing ministers to the cabinet in accordance with section 15 of the Basic Law: The Government… I would like to say… before I give the notice, that the Prime Minister in his remarks at the cabinet meeting at which these changes to the cabinet were approved, said the following:

“MK Ramon was convicted in court. It should be pointed out that the court, when it considered the sentence, expressly determined the sentence in such a way that would not prevent him from engaging in public activity in the Knesset and the Government, even though the prosecution requested that it rule that his case involved moral turpitude, and also sought a sentence that would prevent him from returning to the Knesset and the Government. I have considered the appointment of Haim Ramon and all the factors relevant to this — on the one hand, the judgment, the sentence and everything related thereto; on the other hand, the contribution that the appointment of Haim Ramon will make to the Government, the Knesset and his (sic) work as Deputy Prime Minister. After I considered the matter, I decided that in the balance between the considerations, those supporting his appointment override those that oppose it, and therefore I made the decision after I studied the court’s decision on the matter.”

On the basis of these remarks of the Minister Sheetrit  the Prime Minister  proposed, and the Government decided, to appoint MK Haim Ramon as an additional member of the cabinet.’

8.    Following Minister Sheetrit’s notice, a debate took place in the plenum of the Knesset with regard to the Knesset’s approval of the Government’s decision to appoint MK Ramon to the cabinet. Ultimately the Government’s decision was approved by a majority of the Knesset, with 46 members of Knesset for, 24 members of Knesset against, and no abstentions. After the Knesset decision, MK Ramon made the declaration of allegiance and his appointment as cabinet minister came into effect.

The foregoing is the factual background underlying the petitions.

The petitioners’ arguments

9.    Two of the petitions were filed by women’s organizations, and one petition was filed by the Legal Forum for the Land of Israel, which is a group of lawyers that is active, inter alia, with regard to issues concerning proper Government in the State of Israel.

The petitioner in HCJ 5853/07, Emunah — the National Religious Women’s Organization, claims that the appointment of MK Ramon as a cabinet member and as Deputy Prime Minister is a step that is unreasonable in the extreme, and deals a mortal blow to the organs of government and the dignity of the cabinet. It says that this appointment attests to improper exercise of discretion by the Prime Minister, the Government and the Knesset, being in contravention of  tests laid down in case law for the appointment of public officials to various public offices. It particularly emphasizes in its arguments the criteria laid down by this Court in HCJ 6163/92 Eisenberg v. Minister of Housing [1] and it claims that Ramon’s appointment as a cabinet minister is inconsistent with the tests laid down in that case with regard to the appointment of a person with a criminal record to public office. It goes on to argue that the rule in Eisenberg v. Minister of Housing [1] was later developed and extended to various situations in which a candidate for public office has been disqualified even when he has not been convicted in a criminal trial but certain circumstances in his past and his conduct indicate that he is unsuited to the position from the viewpoint of his moral standards and integrity. According to the petitioner, MK Ramon’s conviction for a sex offence, even though it was held that it did not involve moral turpitude, is inconsistent with his appointment as a cabinet member in view of the circumstances in which the offence was committed and in view of the short period of time that has passed since he was convicted and served his sentence.

The petitioners in HCJ 5891/07 emphasize what they view as the serious harm to women occasioned by the appointment of MK Ramon as a cabinet minister. They say that the appointment is inconsistent with the need to protect the status, safety, liberty and dignity of women. It conflicts with their right to protection in their lives. According to their approach, appointing a person as a cabinet minister a short time after he has been convicted of a sex offence not only injures the victim of the offence but also all women in Israel, and seriously undermines public confidence in its elected officials. The finding of the Court that the offence does not involve moral turpitude does not exempt the Prime Minister, the Cabinet and the Knesset from exercising reasonable discretion with regard to the appointment. In the circumstances of this case, they are of the opinion that the discretion was exercised in an extremely unreasonable manner, and therefore the decision to make the appointment should be cancelled.

The petitioner in HCJ 5914/07 also claims that the decision to appoint MK Ramon as a cabinet minister is unreasonable in the extreme, and it involves a serious injury to Israeli women in general and victims of sex offences in particular. According to case law, a cabinet member should resign when an indictment is filed against him, and from a normative viewpoint this rule should be used as a basis for determining the proper normative standard for returning to public office after a conviction. It follows that only if the defendant is acquitted in his trial, or at the most if a judgment is given in his case without a conviction, may he return to hold office as a cabinet member. But once  MK Ramon was convicted of an indecent act, even if it was held that no moral turpitude was involved, he should not be allowed to return to the cabinet until the passage of a significant cooling-off from the time of his conviction. The petitioner goes on to argue that an analogy should be drawn in this case from the existing arrangement in the civil service, where a person would not be given a position if he was convicted of an offence of an indecent act, until the prescription period under the Criminal Register and Rehabilitation of Offenders Law, 5741-1981, has passed. It is argued that it is unreasonable that the normative standard for appointing an elected official to the cabinet should be lower than this.

The respondents’ position

10. The state in its reply refers to s. 6 and s. 23(b) of the Basic Law: The Government. It claims that these provisions set out the detailed statutory arrangement concerning a person's eligibility to serve as a cabinet minister even though he has been convicted in a criminal trial, both for the purpose of an appointment to the cabinet (s. 6) and for the purpose of terminating the office of a member of the cabinet (s. 23). The law provides in s. 6 that a person who has been convicted of an offence and sentenced to imprisonment may not be appointed to the cabinet if on the date of the appointment seven years have not passed since the date on which he finished serving his sentence or judgment was given, whichever is the later. These two cumulative conditions of a criminal conviction and a custodial sentence (including a suspended sentence) create a presumption of moral turpitude if the period specified in the law has not yet passed since the sentence was completed or the judgment was given. This presumption can be rebutted by a decision of the chairman of the Central Elections Committee that the offence does not involve moral turpitude. Such a decision is possible only when the court has not determined that the offence involves moral turpitude. Regarding a member of the cabinet who is convicted of a criminal offence, the Basic Law provides in s. 23 that his office will be terminated if he is convicted of a criminal offence which has been determined by the court as involving moral turpitude.

The state claims that the law created formal tests as to whether a person convicted of a criminal offence may hold office as a cabinet minister both for the purpose of appointing someone with a conviction as a cabinet member and for the purpose of whether someone who was convicted while serving as a cabinet member may continue to hold office. These tests were intended to create certainty and stability in applying the proper criteria for holding office as a cabinet member. It follows that since the court held that the office committed by MK Ramon does not involve moral turpitude and it refrained from imposing a custodial sentence, his appointment to the cabinet was consequently sanctioned, and there is no legal impediment to appointing him.

The state agrees that there may be exceptional situations in which a person satisfies the criteria for holding office as a cabinet minister according to the tests in the Basic Law: The Government, and yet there will still be an impediment to appointing him as a cabinet member, but this is not one of those cases. In this case, the balance struck by the court in the criminal proceeding — where, on the one hand, it determined that MK Ramon should be convicted of the offence that he committed but, on the other hand, it went on to hold that the offence did not involve moral turpitude — should be upheld. The law provides that the trial court in a criminal case is the competent forum for determining whether the offence committed by the defendant involves moral turpitude, and the High Court of Justice should not act as a court of appeal regarding the trial court’s decision in this respect, since this would undermine certainty and stability in this matter.

Moreover, the state claims that the discretion of the Prime Minister and the government when appointing cabinet ministers is very broad, and the court should only intervene in such matters on rare occasions. The Knesset’s approval of the Government’s decision to make the appointment adds a dimension of parliamentary involvement in the appointment process, and this reduces the margin for judicial intervention in the appointment process even further.

11. The Knesset’s position is that the petitions should be dismissed in limine, since there was no defect in the appointment process. The plenum of the Knesset held a debate on the matter and approved the appointment in accordance with s. 15 of the Basic Law: The Government . The Knesset acted in this regard by virtue of its constitutional power as the organ that supervises the government’s work. The Knesset’s power to approve the addition of a minister to the cabinet under s. 15 of the Basic Law is a sovereign power, which is exercised in the course of the internal proceedings of the Knesset. This is a political act that allows very little scope for judicial intervention, especially when it concerns the relationship between the Knesset and the government, with its special political complexities. 

The Knesset also argued that it approved the appointment of MK Ramon as a minister after holding a debate on the merits of the appointment and a vote in the plenum of the Knesset. The Knesset was informed of the background and all the factors relevant to the appointment, and it was told of the considerations that the Prime Minister and the Government took into account before deciding  on  the appointment. The Knesset therefore made its decision with a full knowledge of all the background facts and considerations relevant to the appointment. The exercise of judicial review with regard to acts of the Knesset in this context is very narrow and it is limited to very extreme and rare cases in which the fundamental principles of the system are significantly undermined. The petitioners did not indicate any such ground for intervention in the circumstances of this case. Since the fundamental principles of the system have not been significantly undermined, there is no basis for exercising judicial review of the Knesset’s decision to approve the Government’s notice concerning the appointment of MK Ramon as a cabinet minister. In view of all this, the petitions should, in the Knesset’s opinion, be denied.

Decision

The significance of the judgment in the criminal trial and its ramifications on the legitimacy of the appointment

12. MK Ramon was convicted of an offence of an indecent act. The court's sentence in the criminal trial did not include a custodial or a suspended sentence. It also determined that the offence did not involve moral turpitude, and it said in this respect that the sentence took into account s. 42A(a) of the Basic Law: the Knesset and tailored the sentence to its provisions. This section provides that if a member of the Knesset is convicted of a criminal offence and it is determined that it involves moral turpitude, his membership of the Knesset will cease when the judgment becomes final. The significance of this provision is that the court in the criminal trial passed sentence with the express intention of not terminating Ramon’s membership of the Knesset in accordance with that provision of the law. When judgment was given in the criminal trial, MK Ramon was not a member of the cabinet. Therefore the court’s judgment did not expressly address the provisions of s. 6 of the Basic Law: The Government , which concern the conditions that govern whether a candidate  convicted in a criminal trial is competent to be appointed a minister. Notwithstanding, it may be assumed, albeit implicitly, that when the court passed sentence and considered the question of whether the offence involved moral turpitude, it intended to effect an outcome in which, on the one hand, Ramon’s conviction for an offence of an indecent act would stand rather than being cancelled and that he would also serve a sentence, but by which, on the other hand, after serving his sentence, MK Ramon would be able to return to public activity in the Knesset, the Government or any other sphere of public life. In taking this approach the court sought to distinguish the criminal proceeding and its consequences in the criminal sphere from MK Ramon’s activity in public life. It saw fit, in the circumstances of this case, to exhaust the criminal trial, but at the same time it sought not to terminate Ramon’s activity in the public sphere, which it regarded as the proper balance between the aggravating and mitigating factors that coexist in this case. In doing so, the court intended, inter alia, to ensure that Ramon satisfied the statutory conditions for continuing to serve as a member of Knesset that are laid down in s. 42A of the Basic Law: the Knesset. It also implicitly sought to ensure that he satisfied the conditions for being appointed a cabinet minister as laid down in s. 6 of the Basic Law: The Government , even though it did not expressly address this issue, since Ramon’s appointment to the cabinet was not a relevant matter at that time.

The court’s judgment in the criminal trial paved the way for MK Ramon to satisfy the statutory conditions that would allow him to be appointed to the cabinet. The court was mindful of the statutory restrictions in s. 42A of the Basic Law: the Knesset and s. 6 of the Basic Law: The Government  when it couched its sentence in terms that excluded Ramon’s case from the scope of the statutory restrictions that would otherwise have prevented him from continuing to serve as a member of Knesset and from being appointed a cabinet minister.

And so, after he was convicted and served his sentence, MK Ramon was appointed a cabinet minister with the title of Deputy Prime Minister. The appointment was proposed by the Prime Minister, adopted and subsequently approved by the Knesset. The Knesset approved the appointment after holding a debate and a vote, following which MK Ramon took the declaration of allegiance to the state and entered into office.

‘Competence, as distinct from discretion’

13. Compliance with the minimal qualifications provided by law for the purpose of an appointment to public office or the inapplicability of statutory restrictions on such an appointment still leave the authority making the appointment with a duty to exercise discretion with regard to the propriety of the appointment. Compliance with formal qualifications for holding a position does not necessarily mean that a candidate is suited to a public office in various respects, including in terms of his personal and moral level and in terms of his basic decency. The authority making the appointment should exercise its discretion with regard to the appointment in accordance with the established criteria of public law; its considerations should be relevant, fair and made in good faith, and they should fall within the margin of reasonableness.

In our case, according to the proper construction of the judgment in the criminal trial, Ramon satisfies the requirements for being appointed a cabinet minister in the sense that the statutory restrictions upon his continuing to hold office as a Knesset member and his being appointed a minister under s. 42A of the Basic Law: the Knesset and s. 6 of the Basic Law: The Government  do not apply. Thus the ‘minimum requirements’ for the appointment are satisfied. But this does not exempt the authority making the appointment from the duty to exercise its discretion with regard to the suitability of the appointment from the viewpoint of the nature of the office, the character of the candidate, and the circumstances of time and place according to criteria that comply with the rules of public law.

The petitions before us focused on the validity of the discretion exercised by the authority making the appointment from the viewpoint of its reasonableness. It was argued that appointing MK Ramon as a cabinet minister was unreasonable in the extreme in view of the nature and circumstances of the offence of which he was convicted and in view of the short time that has passed since the judgment was given and Ramon finished serving his sentence.

We should therefore address the reasonableness of the appointment, against the background of all the circumstances of the case. In this context it is necessary, inter alia, to define the margin of discretion of the authority making the appointment, which casts light on the margin of reasonableness. This margin in turn influences and casts light on the scope of judicial review that should be exercised with regard to the reasonable of the discretion exercised by the authority making the appointment.

The appointment — the margin of reasonableness and the scope of judicial review

Competence for public office

14. The competence of a candidate for public office is examined in two main respects:

The first respect concerns the ethical quality and moral virtues of the candidate, alongside his professional and practical abilities. The ability of a candidate to take on responsibility for holding public office depends not only on his talents and abilities, but also on his moral character, his integrity and his incorruptibility. When an ethical or moral impropriety is discovered in a person's actions before his appointment or while he is holding public office, a concern may arise as to his suitability for the office from the viewpoint of his integrity and ethical conduct, which may impair his ability to carry out his duties.

The second respect concerns the fact that public confidence in civil servants and elected officials is an essential condition for the proper functioning of the civil service and the organs of government. All branches of public service rely on public confidence not only in the practical abilities of civil servants and elected officials, but also, and especially, on their standards of morality and humanity, their integrity and incorruptibility. Without this confidence, the civil service cannot, in the long term, properly discharge its functions at the required level for any length of time.

When persons who have been morally compromised are appointed to public office or left in office after they have gone astray, the ethical basis on which the organs of state and government in Israel are founded may be undermined. The fundamental ethical principles on which Israeli society and government are based may be seriously compromised. Public confidence in the organs of government, whose rank and standards are supposed to reflect the basic ethical principles on which social life in Israel is based, may be weakened.

The appointment process for public office always requires the appointing body to exercise discretion. It should consider all of the factors that are relevant to the appointment, including the competence of the candidate. This competence is measured not only according to the professional abilities of the candidate but also according to his moral and ethical standards. Examining suitability for  office from a moral viewpoint requires the consideration of a wide spectrum of factors, including the nature of the acts attributed to the candidate, whether they involved any impropriety, how serious they were, and to what extent they affect his moral and ethical standing; whether he was convicted in a criminal trial, whether he is suspected of committing offences, and whether any criminal investigations are pending against him; whether the acts attributed to him have been proved, or whether they are merely suspicions, and what is the strength of such suspicions; what is the period of time that has passed since the acts were committed; did he commit a single act or was the act a continuous one(Eisenberg v. Minister of Housing [1], at p. 262 {64-65}; HCJ 652/81 Sarid v. Knesset Speaker [2], at p. 197 {52}); and, finally, whether the acts involved ‘moral turpitude.’ The concept of ‘moral turpitude’ in the law reflects an ethical-moral assessment which indicates that under the circumstances a particular act was tainted by a grave moral defect (BAA 11744/04 Ziv v. District Committee of the Bar Association [3]; CSA 4123/95 Or v. State of Israel [4], at p. 189; R. Gavison, ‘An Offence Involving Moral Turpitude as Disqualification for Public Office,’ 1 Hebrew Univ. L. Rev. (Mishpatim) 176 (1968), at p. 180).

Conditions of Competence and Statutory Restrictions upon holding office

15. The process of appointing  a person to public office is often subject to conditions of competence and statutory restrictions that may disqualify a candidate from being appointed. When the restrictions disqualify a candidate from being appointed, the authority making the appointment is left with no discretion. There are a host of statutory restrictions that negate the competence of a person convicted of an offence involving moral turpitude from holding office. This is the case with regard to a person’s competence to be appointed a cabinet member (s. 6 of the Basic Law: The Government ), the right to be elected to the Knesset (s. 6(a) of the Basic Law: the Knesset), and being appointed to the civil service or a local authority (s. 46(a)(1) of the Civil Service (Appointments) Law, 5719-1959; s. 120(8) of the Municipalities Ordinance). The criterion of ‘moral turpitude’ that justifies restricting a person’s competence to hold public office is a moral defect that taints his action, thereby impairing his ability to bear the responsibility required for discharging the job both because of the damage to his ethical standing and because of the anticipated harm to public confidence in the office and the person holding it, and even in public system as a whole  (Or v. State of Israel [4], at p. 189; HCJ 4523/03 Bonfil v. The Honourable Justice Dorner [5], at p. 854; HCJ 436/66 Ben-Aharon v. Head of Pardessia Local Council [6], at p. 564).

The statutory restrictions that negate a candidate’s competence for holding public office close the gates upon his appointment and prevent him from being appointed. It does not follow that where the statutory restrictions do not apply to a candidate, his appointment is necessarily permissible from the viewpoint of the lawfulness of the discretion that the authority should exercise when making the appointment. The authority making the appointment should act reasonably in exercising its discretion with regard to the appointment. Its responsibility in this process comes under scrutiny even when the candidate satisfies the formal qualifications and is not excluded by the statutory restrictions laid down for an appointment to public office. Notwithstanding, it is important to point out that the competence of a candidate according to the criteria laid down in statute may affect the scope of discretion that the authority may exercise in the appointment process.

The balances required when exercising discretion in the appointment process

16. Exercising reasonable discretion in the process of appointing someone to a public office requires the authority making the appointment to contemplate a very wide range of considerations. It should consider whether the candidate is suited to the position from the viewpoint of his professional qualifications, and from the viewpoint of his personal qualities and moral standards; it should evaluate the degree of public confidence that the appointment under consideration will foster; it should consider the wider needs of the administration, and the ability of the candidate to contribute to it and further the public interest in discharging his duties.

When the proposed candidate has a criminal record or his actions are tainted in some other way, the authority should examine the effect that this factor has on his competence for the position. It should take into account the nature of the act attributed to the candidate, its seriousness, the nature of the impropriety that taints it, and its effect on his ability to carry out his duties; it should examine whether the nature of the candidate’s acts indicates an inherent ethical flaw in his conduct, which affects his ability to function properly in the proposed position and has an impact on the ethical image of public service. On the other hand, it is possible that the act was an isolated lapse, which even if it has an aggravating aspect, does not indicate a fundamental flaw in the candidate’s character (HCJ 5757/04 Hass v. Deputy Chief of Staff, General Dan Halutz [7]; HCJ 5562/07 Schussheim v. Minister of Public Security [8]). Against this background, it should consider the effect of the appointment on public confidence in the system of government (Eisenberg v. Minister of Housing [1], at para. 40). It should consider the fact that the candidate has a criminal conviction in its proper context or any other impropriety in his conduct in their proper context, and weigh them against the other considerations that support the appointment, and strike a balance between them. The main criterion when striking this balance lies in the question whether in the circumstances of the case the appointment may cause serious and pervasive harm to the image of the government in Israel and significantly undermine the respect that the citizen has for the organs of government.

17. The unreasonableness of appointing someone who has been convicted of a criminal offence to public office does not necessarily depend upon the offence involving an element of immorality or a finding that it involves moral turpitude (Eisenberg v. Minister of Housing [1], at para. 55). Similarly, the very existence of a criminal conviction is not a prerequisite for disqualification from public office. Indeed, by virtue of the discretion of the authority making an appointment, not only have persons who have been convicted in a criminal trial been disqualified for public office, but so too have persons who have confessed to committing a criminal offence, even though they were not brought to trial (for example, the persons involved in the 300 bus affair, Yosef Ginosar and Ehud Yatom). In other cases, the court has recognized the possibility of disqualifying persons from public office when a decision has been made to bring them to trial, even before their guilt has been proved. This occurred in the case of Minister of the Interior Aryeh Deri and Deputy Minister of Religious Affairs Raphael Pinchasi (HCJ 3094/93 Movement for Quality in Government in Israel v. Government of Israel [9], at p. 422 {284}; HCJ 4267/93 Amitai, Citizens for Good Government and Integrity v. Prime Minister [10], at p. 467). A similar outlook has been adopted with regard to public figures against whom a criminal investigation was started, even though it was later decided not to bring them to trial. This occurred with regard to the criminal investigations relating to Minister Tzachi Hanegbi that did not lead to the filing of an indictment (HCJ 1993/03 Movement for Quality Government in Israel v. Prime Minister [11], at p. 851 {353}).

The need to consider the ethical and moral aspects of appointing someone to public office has also been extended to situations in which a decision was made not to open a criminal or disciplinary investigation against a candidate for conduct giving rise to a suspicion of an illegal act (Hass v. Deputy Chief of Staff, General Dan Halutz [7], at para. 10 of the opinion of Justice Levy; HCJ 2533/97 Movement for Quality Government in Israel v. Government of Israel [12], at p. 65). Indeed, one should not rule out the possibility that the improper conduct of a candidate, even if does not amount to a criminal offence, is sufficiently serious that it would be unreasonable in the extreme to appoint him to public office or to allow him to continue to hold public office.

18. Considerations regarding a candidate’s competence for public office from an ethical viewpoint are of great weight. In very serious cases, the ethical stain on a person’s character may make his appointment to the position completely inappropriate, even when from the viewpoint of his professional abilities he is likely to make a contribution towards the issue that lies at the focus of the public system. In such a case, even the needs of the public system will defer to the stain on the person’s character. But in other situations, alongside an examination of the ethical aspect of the candidate’s character, the authority should consider the broader needs of the public administration and the ability of the candidate to contribute to it, and a proper balance should be struck between all of the relevant considerations and factors.  With regard to a cabinet appointment, one should consider, inter alia, the potential contribution of the candidate to the office, the importance of bringing him into the government for the purpose of preserving the coalition and the effective functioning of the government. On a matter relating to parliamentary political life, one cannot rule out a proportionate consideration of factors relating to political circumstances (Amitai, Citizens for Good Government and Integrity v. Prime Minister [10], at para. 30). The authority should take into account the requirements of the position, the special abilities of the candidate and the benefit that his holding office would engender in furthering the general public interest. The authority making the appointment should weigh up all of the aforesaid factors and strike a proper balance between them, within the margin of reasonable discretion that is given to it. A candidate’s criminal record or any stain on his character should be considered in accordance with their circumstances and seriousness against other relevant general considerations: the professional qualities, when taken together with the proven or alleged impropriety of his actions, should be considered against the nature of the office, its status within the administration, and how uniquely qualified the candidate is for the office. A balance is required between all the various conflicting considerations (HCJ 389/80 Golden Pages Ltd v. Broadcasting Authority [13], at p. 445; HCJ 935/89 Ganor v. Attorney General [14], at p. 513). An appointment is a reasonable decision if it is made as a result of a balance that gives proper weight to the different values that are relevant to the case. Assessing the weight that is given to the different considerations is a normative act that is made in accordance with accepted social values, which in turn cast light on the relative importance that should be attributed to the various conflicting factors (LFA 5082/05 Attorney General v. A [15], at para. 19 of the opinion of President Barak; Eisenberg v. Minister of Housing [1], at pp. 263-264 {65-66}; CA 3398/06 Antitrust Authority v. Dor Elon Energy in Israel (1988) Ltd [16]). Within the margin of reasonable discretion, depending upon how broad it is, there may be different possible balancing points between the conflicting considerations, all of which may pass the test of reasonableness. The broader the margin of administration discretion when making an appointment, the broader the margin of reasonableness, and this extends the range of legitimate possibilities for finding different balancing points between the conflicting values in the appointment process. The margin of discretion in the appointment process is determined by various factors: the identity of the authority making the appointment, statutory provisions and judicial decisions regarding the competence of the candidate for the appointment, parliamentary involvement in the appointment and the other circumstances of the case.

19. The limits of judicial review and the scope of its application when examining the reasonableness of the discretion of the authority making the appointment are affected by the authority’s margin of discretion in this regard. The scope of judicial review of the authority’s decision is inversely proportional to the scope of the margin of discretion given to the authority making the appointment. The broader the margin of the administrative discretion, the narrower the scope for judicial intervention in the administrative act.

 

The authority’s margin of discretion when appointing a minister who has a criminal conviction

20. For the purposes of this case, we should examine the margin of discretion given to an authority when appointing someone with a criminal conviction as a member of the cabinet. This margin of discretion will cast light on the scope of judicial review regarding the appointment. We should examine whether in the circumstances of this case the decision to appoint MK Ramon as a member of the cabinet falls within the margin of reasonableness or whether it falls outside this margin in such a way that we need to intervene and amend it.

The margin of discretion given to the government when appointing a cabinet minister who has been convicted of a criminal offence is influenced by conflicting considerations that pull in opposite directions: on the one hand, such an appointment gives rise to the question of the weight of the criterion of integrity and ethical conduct in the appointment of elected officials to the most senior positions in state institutions. The image of public service and government institutions is closely related to the moral character of its employees and elected representatives. The standing of government institutions and the effectiveness of their functioning depend largely upon maintaining public confidence in them, not merely from the viewpoint of their professional standards but first and foremost from the viewpoint of their ethical standards. Without this confidence, state institutions will find it difficult to operate. The integrity and moral status of civil servants and elected officials affect the degree of confidence that the public has in state institutions. Appointing someone as a cabinet minister after he has been convicted of a criminal offence of an indecent act just a short time before the appointment, directly concerns the question of integrity and moral character in the appointment of elected representatives, and this factor has considerable weight in limiting the margin of discretion of the authority making the appointment.

21. But this consideration does not stand alone. There are additional conflicting considerations that operate in concert to broaden the margin of discretion given to the authority making the appointment and to limit the scope of judicial review regarding the appointment. The conflicting considerations are the following: first, the prime minister and the government have broad powers when forming the government and appointing cabinet ministers, which is a part of the political process that characterizes the structure of democracy; second, the fact that the statutory qualifications for appointing a minister with a criminal conviction are satisfied has certain ramifications upon the margin of administrative discretion given to the authority making the appointment; third, the parliamentary approval given to the government’s decision to make the appointment, which embodies the consent of the state’s elected body to the appointment and the identity of the person chosen for the office, affects the margin of discretion in making the appointment; and fourth, an absolute judicial decision of a national court, which held in the criminal trial that a distinction should be made between the criminal sanction imposed upon the public figure and the effect of the conviction on the defendant’s public activity, so that the former would not preclude the latter, also contributes to a broader margin of discretion when the competent authority makes the appointment. Each of these factors individually, and certainly when taken together, extends the authority’s margin of discretion in making the appointment, and the scope of judicial review is correspondingly limited.

We will now consider these matters in detail.

The scope of discretion in forming a government and appointing ministers

22. As a rule, the scope of the prime minister’s discretion in forming a government and the government’s discretion in appointing new ministers has two aspects: on the one hand, the discretion given to the prime minister in forming his government and in deciding upon its members is broad. So too is the government’s discretion in its decision to appoint a new member of the cabinet. On the other hand, this discretion is subject to judicial review and is not completely immune from it, since —

‘The prime minister is a part of the administrative authority and the principles that apply to the administrative authority and its employees apply also to the prime minister. It follows that, like any public official, his discretion is not absolute. He must act reasonably and proportionately; he must consider only relevant considerations; he must act without partiality and without arbitrariness; he must act in good faith and with equality’ (HCJ 5261/04 Fuchs v. Prime Minister of Israel [17], at pp. 463-464 {483}).

The discretion given to the prime minister and the government with regard to forming a government, appointing and replacing ministers, and adding a new member to the government is broad, because of the special nature of the power of appointment, which is ‘of a unique kind, both because of the position of the prime minister with regard to the formation of the government and because of the political nature of the government. It includes a large number of considerations and encompasses a wide margin of reasonableness’ (per Justice Zamir in Movement for Quality Government in Israel v. Government of Israel [12], at p. 58). The prime minister’s special power with regard to the appointment of cabinet ministers and the termination of their office is intended to ensure the government’s ability to function and operate, and it is an integral part of the political process at the heart of the democratic system, which the court rarely subjects to the test of judicial review (HCJ 1400/06 Movement for Quality Government in Israel v. Deputy Prime Minister [18]; Movement for Quality Government in Israel v. Prime Minister [11]). The margin of reasonableness that characterizes the scope of the prime minister’s discretion when determining the composition of his government and the appointment of cabinet members is very broad, and his criteria include parliamentary, political and party considerations. This broad margin is intended to facilitate the government’s ability to function properly as the executive branch of the state, and to realize the policy goals that it espouses (Fuchs v. Prime Minister of Israel [17], at para. 29 of the opinion of President Barak). This broad discretion is founded on the public interest of ensuring the stability of the government and its ability to achieve its goals. Indeed —

‘When we address the discretion of the prime minister in a decision to appoint a minister, the margin of reasonableness for his decision, in which the court will refrain from intervening, is very broad, both because of the status of the prime minister as an elected representative and the head of the executive branch, and because of the nature of this power’ (Movement for Quality Government in Israel v. Prime Minister [11], per Vice-President Or).

The scope of the discretion of the prime minister and the government when appointing cabinet ministers, no matter how inherently broad it may be, varies according to the nature of the conflicting factors that they should consider during the appointment process. Discretion that is entirely based on professional qualifications for the position or on purely political or public considerations of various kinds cannot be compared to discretion that is exercised as a result of a duty to contend with the ethical-normative considerations that arise from a candidate’s criminal past or from another stain on his character, which affects his social and public standing and is relevant to his competence to hold office. The ethical-normative aspect of administrative discretion may affect its scope in this special context, and result in the discretion being narrower, and judicial review being correspondingly more rigorous.

23. The consideration concerning the ethical background of a candidate for appointment as a cabinet minister should be taken into account by the prime minister when determining the composition of his government, even when the candidate satisfies the statutory qualifications that are required for the appointment. The weight given to this consideration should be determined in accordance with the special circumstances of the case and with a view to the relative weight that should be given to other important considerations that are relevant to the appointment process.The broad discretionary authority given to the prime minister in the realm of appointments compels him to address a broad variety of considerations. The prime minister should examine, inter alia, the importance of appointing the candidate with reference to the field of activity for which he will be responsible and his skills and abilities as can be seen from his record in the past; he should assess the effect of the appointment on the composition of the government and its ability to function. Public, political and other considerations should also be included among the complex set of criteria that are a part of the appointment process. It is the task of the prime minister and the government to assess the relative weight of all the relevant factors in a reasonable manner, and to strike a proper balance when deciding upon the appointment.

It is the task of the authority making the appointment to strike a balance between the conflicting considerations when appointing a person to the cabinet who has been convicted in a criminal trial. Its discretion is broad, but not unlimited. The law will intervene and have its say when the appointment reflects an improper balance between all of the relevant considerations and it involves a real violation of the ethical principles accepted by society. The law will intervene where such an appointment is likely to harm the status of government institutions and public confidence in them in such a serious way that the appointment is unreasonable in the extreme.

Statutory qualifications and restrictions relating to appointments

24. As we explained above, ss. 6 and 23 of the Basic Law: The Government  lay down the statutory qualifications and restrictions that prevent a person who has been convicted in a criminal trial from being appointed as a cabinet member or that require the termination of his office as a cabinet member.

Section 6(c), which is relevant to this case, provides:

‘Qualification of ministers

6. …

(c) (1) A person shall not be appointed a minister if he has been convicted of an offence and sentenced to imprisonment, and on the date of the appointment seven years have not yet passed since the day on which he finished serving the sentence of imprisonment, or from the date of the judgment, whichever is the later, unless the chairman of the Central Elections Committee determined that the offence of which he was convicted does not, in the circumstances of the case, involve moral turpitude.

 

(2) The chairman of the Central Elections Committee shall not make a determination as stated in paragraph (1) if the court has held according to law that the offence of which he was convicted does involve moral turpitude.’

The conditions that disqualify a person from holding office as a cabinet member, as stated in s. 6(c), are ‘minimum requirements’ that, when they apply, disqualify a person for the appointment. Where the restrictions upon the appointment do not exist, it does not mean that we are dealing with a ‘negative arrangement’ regarding the exercise of discretion by the authority making the appointment, whereby any appointment whatsoever will be valid. Even when there is no statutory restriction upon holding office, the authority should exercise discretion in making an appointment and strike a proper balance between the relevant considerations, according to their proper relative weight (Amitai, Citizens for Good Government and Integrity v. Prime Minister [10], at p. 457). The statutory qualification test for a person convicted in a criminal trial to hold office as a minister is closely linked to the question of the moral turpitude involved in the offence. Where there is moral turpitude, he is disqualified from holding office; this however, does not mean that the absence of moral turpitude necessarily legitimizes the appointment.  The reasonableness of the discretion of the party making the appointment is examined on its merits, according to all the circumstances of the case.

Notwithstanding, the existence of statutory restrictions upon the appointment of a cabinet minister does influence the scope of discretion of the person making the appointment when exercising the power of appointment granted to him. The stipulation of the legislature regarding the conditions that disqualify a candidate who has been convicted of a criminal offence for being appointed a minister has ramifications on the scope of the power of the person making the appointment and the margin of discretion regarding a candidate whose appointment is not ruled out by the minimum requirements. The statutory restrictions reflect the criteria that the legislature regarded as the proper ones for ensuring the minimum ethical standard for someone joining the government. Admittedly, meeting the qualifications that derive from compliance with these restrictions does not amount to an automatic ethical certificate of approval for the appointment, and the authority should examine in depth whether the candidate is suitable for the position, first and foremost from the viewpoint of his ethical qualities (Eisenberg v. Minister of Housing [1], at pp. 256-257). However, the statutory restrictions upon an appointment do cast light on the ethical criteria required by the legislature for the purpose of the appointment, and the effect of this is to increase the margin of discretion of the person making an appointment where the candidate satisfies the statutory minimum requirements for the appointment.

As the court held in Movement for Quality Government in Israel v. Prime Minister [11] (at para. 8 of the opinion of Justice Rivlin):

‘… the criteria for eligibility laid down by the legislature are not irrelevant when examining the discretion of the prime minister. The further we depart from the statutory criteria, the more difficult it will be to find a reason and justification for intervening in the prime minister’s discretion within the scope of his authority. Indeed, if the legislature has determined that the conviction of a minister of an offence involving moral turpitude necessitates his removal from office, the court will not lightly say that even when the minister has been acquitted of the offence, or a decision was made not to bring him to trial at all, the minister should be removed from office.’

The Knesset’s approval of the appointment

25. Under s. 15 of the Basic Law: The Government , the addition of a minister to the cabinet requires giving notice to the Knesset and receiving the Knesset’s approval. This process subjects the decision of the prime minister and the cabinet to add a minister to the cabinet and the identity of the minister who was appointed to a public, political and parliamentary test. The Knesset’s decision is made after a debate, and it is made by virtue of the Knesset’s position as the supervisor of the government’s actions. The Knesset’s approval for the government’s decision to add a minister to the cabinet reflects parliamentary approval of the elected house of representatives for the appointment that was made by the executive branch (Sarid v. Knesset Speaker [2], at para. 5 of the opinion of Justice Barak).

All organs of government are subject to judicial review, and the Knesset is no exception (HCJ 971/99 Movement for Quality Government in Israel v. Knesset Committee [19]). But the status of the Knesset as the legislative branch, as enshrined in the Basic Law and as determined by the structure of our democracy, requires the court to exercise its judicial review of Knesset decisions with caution and restraint. As a rule, the court will refrain from intervening in Knesset decisions, and the basic criterion by which the scope of the court’s intervention is determined depends upon the nature of the decision from the viewpoint of the amount of harm that it inflicts upon the principles of the constitutional system and the basic notions that lie at its heart (per President Shamgar in HCJ 325/85 Miari v. Knesset Speaker [20], at p. 195; Movement for Quality Government in Israel v. Knesset Committee [19]). The scope of judicial review of Knesset decisions is determined, inter alia, in accordance with the nature and characteristics of the specific decision. Intervention in a decision relating to legislation cannot be compared to intervention in a quasi-judicial decision or a decision concerning the Knesset’s scrutiny of the Government’s actions (HCJ 9070/00 Livnat v. Chairman of Constitution, Law and Justice Committee [21]).

26. The Knesset’s approval of the Government decision to appoint someone who was convicted of a criminal offence as a new minister has two aspects. One aspect relates to its nature as an act of scrutiny of the Knesset as the body that supervises the actions of the Government. The other aspect is of a normative-ethical nature, with quasi-judicial overtones; it reflects the ethical outlook of the Knesset as to the competence of someone who has been convicted of a criminal offence to hold office as a minister in the government. The first aspect concerns the relationship between the Knesset and the Government, and it involves ‘a significant political component in which the judicial branch should not interfere, in order to prevent, in so far as possible, the “politicization of the judiciary” ’ (Sarid v. Knesset Speaker [2], at para. 7). The other aspect involves the Knesset in making an ethical and principled decision regarding the competence of a candidate to serve as a cabinet minister from the viewpoint of his ethics and character. This determination has a normative significance that concerns the determination and application of proper ethical and moral criteria to the holding of a very high office in the Government of Israel. This aspect of the Knesset’s decision with its ethical dimension opens the Knesset’s decision to more rigorous judicial review, since where the Knesset’s decision leaves the purely political sphere and addresses a question relating to considerations of public ethics as applicable to the office of elected representatives in government institutions, the scope of judicial intervention may become broader in so far as the ethical dimension is concerned (HCJ 306/81 Flatto-Sharon v. Knesset Committee [22]; Miari v. Knesset Speaker [20], at p. 127; HCJ 1843/93 Pinchasi v. Knesset [23], at p. 496; Amitai, Citizens for Good Government and Integrity v. Prime Minister [10]; HCJ 1139/06 Arden v. Chairman of the Finance Committee [24], at para. 5 of the opinion of President Emeritus Barak; Sarid v. Knesset Speaker [2], at p. 202 {56-57}; HCJ 9156/06 Pollak v. Members of the Seventeenth Knesset [25]; HCJ 12002/04 Makhoul v. Knesset [26]; HCJ 11298/03 Movement for Quality Government in Israel v. Knesset Committee [27], at pp. 899-900).

The limits of judicial review of a decision of the Knesset to bring  a minister into the government, who has been convicted of a criminal offence, are therefore influenced by the dual aspect of such a decision, which features both a manifestly political dimension and an ethical-normative one. The nature of the Knesset’s decision requires, on the one hand, the accepted degree of judicial restraint with regard to Knesset decisions, and, on the other hand, it may require a judicial examination of the ethical determination contained in it. This balance means that when a decision of the Knesset to approve the appointment of a minister to the cabinet amounts to an extreme and unusual departure from proper ethical criteria, it is likely to justify judicial intervention.

A judicial determination in a criminal trial

27. The court in which MK Ramon’s criminal trial took place directly addressed the question of the appropriate consequence of his Ramon’s criminal conviction with respect to the continuation of his path in public and political life. In the balance that the court struck when passing sentence, it held that a distinction should be made between the question of sentencing, in which MK Ramon should be held accountable, and the question of his public activity. According to its express and implied determination, Ramon’s act, despite the wrongdoing and impropriety inherent in it, is not supposed to impair the continuation of his public activity, either as a member of the Knesset or as a cabinet minister. As I have said, the court’s approach in the criminal trial does not mean that the body making the appointment is exempt from exercising independent and rigorous discretion with regard to the propriety of the appointment, even when the court has held that the offence should not be regarded as involving moral turpitude and the candidate should not be prevented from complying with the minimum requirements for the appointment. But it would appear that the court’s position has weight and significance within the context of the balances that the body making the appointment should strike when making a decision concerning the appointment. The position expressed by the court when it left the door open for MK Ramon to continue his public activity affects and influences the margin of discretion of the person making the appointment, and consequently also the scope of judicial review as to the reasonableness of that discretion.

The court in which the criminal trial was held was aware of all of the legal, moral and public aspects of the case that it tried. By virtue of its authority, the Magistrates Court is trained in striking the proper balance between the various considerations and conflicting interests in the complex case being heard before it. A final judgment that a criminal offence committed by a public figure neither warrants a custodial sentence nor involves moral turpitude, and in which the court clearly states its intention not to curtail the defendant’s public activity, has considerable significance and weight in guiding the discretion of the body making the appointment and it affects the limits of judicial review exercised with regard to his decision.

28. Regarding the margin of discretion given to the Prime Minister and the Government when appointing MK Ramon as a cabinet minister and the nature of the Knesset’s approval of this appointment, it is possible to summarize as follows:

In determining the margin of discretion, there are two forces that pull in opposite directions. On the one hand, the identity of the person making the appointment, the criteria determined by the statutory qualifications and restrictions and the existence of a judicial decision that the criminal act did not involve moral turpitude pull in the direction of broadening the power and discretion of the person making the appointment. On the other hand, the substantive-normative nature of the appointment decision and  its connection to the appropriate proper set of values that should be applied when appointing someone to a high public office expose it in this particular aspect to rigorous judicial review within the broad margin of reasonableness granted to the authority making the appointment. An extreme departure from the proper ethical weight that should be given to the normative-ethical considerations relating to the appointment decision, relative to the other considerations relevant to the appointment, will justify judicial intervention.

From general principles to the specific case

29. The reasonableness of the decision to appoint MK Ramon as a member of the cabinet is subject to judicial review. In this regard, the court should examine whether the authority making the appointment considered all the factors relevant to the matter, and whether it gave them their proper relative weight. At the end of the process, does the decision to make the appointment strike a proper balance between the conflicting considerations that lies within the margin of reasonableness, when taking into account the scope of this margin in the special circumstances of the case? 

30. In the case of MK Ramon, the authority making the appointment considered all of the factors relevant to the matter. On the one hand, it considered the importance of his expected contribution to the Government, in view of his abilities, his considerable experience and his knowledge of the matters required by the position. On the other hand, as can be seen from the statement made by Minister Sheetrit to the plenum of the Knesset, it considered his criminal conviction relating to an offence of an indecent act, with its circumstances and implications. It may be assumed that it also took into account the fact that the criminal trial ended only a very short time earlier. In its decision, the Government balanced the weight of the criminal conviction, its character and circumstances, as determined in the criminal trial, against the considerations relating to the importance of bringing MK Ramon into the Government at this time. In this balance, the scales were tipped in favour of approving the appointment, while having consideration for the weight and significance given to the conviction and its circumstances, and the short period of time that passed since the judgment was given.

In the circumstances of the case, it cannot be said that the Government decision to appoint Ramon as a cabinet member suffers from a manifest lack of reasonableness that justifies judicial intervention by setting it aside.

31. The Government’s approach in making the appointment, which was approved by the Knesset, is characterized by the distinction made, in the special circumstances of this case, between the criminal,  penal and moral aspect of the offence committed by Ramon and its consequences on a public level for an active public figure, whose horizons of activity have yet to be exhausted. Alongside this consideration, the authority making the appointment took into account the needs of the governmental system from a functional and political viewpoint. This approach of the  Government  is consistent with the outlook of the court that considered the matter in Ramon’s criminal trial. It does not conflict with the approach of the Attorney General, who, even though he still believes that the offence does involve moral turpitude, did not file an appeal against the judgment in the criminal trial and accepted the decision of the trial court in this regard.

32. Ramon’s act for which he was convicted in the criminal trial has complex legal, public and moral aspects.  His act was particularly serious and opprobrious not merely because of its actual character, but also because of the special context in which it was committed and his high public office (Minister of Justice), the fact that the complainant was an officer in uniform, and the fact that it occurred in the Prime Minister’s office, the headquarters of the executive branch, where the vital issues affecting Israeli society are decided.

Notwithstanding, the appointment process should consider, inter alia, whether the characteristics of the offence necessarily show the perpetrator as having a fundamental moral defect, which because of its nature should disqualify him from public office, or whether the incident was an isolated one, which,   irrespective of its impropriety, does not necessarily indicate incompetence to hold public office.

This examination is bound up with the question whether public confidence in the person holding office and the government may be significantly impaired by the appointment. An improper act always depends upon the circumstances, and it should be assessed and evaluated against a background of the conditions in which it was committed and in view of an overall examination of the qualities of the candidate, his personal and professional record, and the needs of the governmental network in which he is being asked to serve (Schussheim v. Minister of Public Security, para. 20 [8]; Hass v. Deputy Chief of Staff, General Dan Halutz [7]).

Despite the impropriety of the offence committed by MK Ramon, it was regarded both by the court in the criminal trial and by the authority making the appointment as an isolated incident that does not reflect any fundamental moral defect requiring his disqualification from public office. It was regarded as a momentary expression of human weakness, the result of special isolated circumstances, and did not indicate an innate aberration of conduct and character or a misguided set of values, which might indicate a fundamental incompetence to holding public office. On the other hand, the Prime minister and the Government thought that despite the difficulties inherent in the appointment because of the criminal conviction, the systemic needs of the Government justified bringing MK Ramon into the cabinet. His personal and professional contribution was required, in their opinion, to strengthen and promote the Government’s ability to carry out its various tasks.

As can be seen from Minister Sheetrit’s statement to the Knesset, in making the appointment the Prime minister and the Government assessed the special abilities of MK Ramon against the wrongdoing in the improper act of which he was convicted. In the balance that was made between the facts of the criminal conviction and the human weakness that it revealed, as well as the brief period of time that had passed since the sentence was completed, on the one hand, and the abilities and professional skills of the candidate, his expected contribution to public life and the importance of bringing him into the Government for various general reasons, on the other, decisive weight was given to the latter. In the circumstances of the case, the balance that was struck did not involve any defect that indicates extreme unreasonableness in the discretion exercised by the authority making the appointment. In striking the balance, there was definitely consideration of the question of whether the appointment was likely to substantively damage public confidence; in the special circumstances of this case, this question was mainly answered in the negative, since public confidence also recognizes the concepts of rectification and repentence in appropriate cases (Schussheim v. Minister of Public Security [8], at para. 29; Sarid v. Knesset Speaker [2]).

It follows, therefore, that within the margin of reasonableness given to the Government and the Knesset in the circumstances of the case under consideration, there are no ground for judicial intervention in the appointment of MK Ramon as a cabinet member.

Before concluding

33. Before concluding, I have read the remarks written by my colleague Justice Grunis with regard to the place and status of the ground of reasonableness among the grounds for judicial review of decisions of a public authority. I do not see eye to eye with my colleague on the question of the current and ideal scope of the ground of reasonableness in administrative law. It seems to me that we should leave this ground within the limits outlined by case law in recent decades. I do not intend to set out a wide-ranging response to the legal thesis set out in my colleague’s opinion, if only for the reason that it seems to me that addressing this complex issue is not essential for deciding the issue in the specific circumstances of the present case. I will content myself with discussing the very crux of the difference of opinion between us.

According to the approach of administrative law in recent generations, the ground of reasonableness acts as a main and essential instrument of judicial review of the administration, and it stands at the forefront of the protection of the individual and the public against arbitrary government. This ground is used to examine the rationality of government decisions as a normative concept, and the court has laid down criteria that it should consider when examining this. First, did the administrative authority consider all the relevant issues, and no irrelevant ones, or did it perhaps consider irrelevant and extraneous matters? Second, did the authority give each of the relevant considerations its proper relative weight, and did it thereby strike a balance that lies within the margin of reasonableness given to it? This margin of reasonableness may vary from case to case, according to the circumstances and characteristics of the specific case. Without any safeguard that the administrative decision is reasonable and rational, the individual and the public may be seriously harmed. It is insufficient for the administrative decision to be made with authority and in good faith. The decision should be rational and sensible within the margin of discretion given to the competent authority.

Limiting this tool of judicial review that is intended to examine the rationality of the administrative decision, which is what my colleague proposes, may lead to a revolution in the understanding of the principle of the legality of administrative action and limit the legal tools available to the court for examining the action of a public authority within the scope of the judicial protection given to the individual against executive arbitrariness. Restricting the ground of reasonableness may create a vacuum in judicial review that may not be filled by other grounds of review and may seriously curtail the willingness of the court to intervene in cases where the administrative authority in its decision did not consider all and only the relevant considerations, or  considered them but did not give them their proper relative weight, or also considered irrelevant considerations. It is easy to imagine the damage that such a process can be expected to cause to the concept of the legality of administrative action and the purpose of protecting the citizen in his relationship with the government, which lies at the heart of the definition of the grounds of judicial review of administrative action.

Needless to say, the existence of the ground of reasonableness, like the other grounds of judicial review of public authorities, requires great care when applying it in practice. It is true that because this ground is wide-ranging and has a high degree of abstraction, there is a concern that its application in the specific case, if  done without proper restraint and sufficient care, may result in the court encroaching upon areas that lie beyond the scope of the law, where it ought not to tread. The concern that the court will replace the ‘unreasonable’ discretion of the administrative authority with its own ‘reasonable’ discretion and thereby appropriate the authority for itself is no empty concern, and should not be ignored. My colleague addresses this in his characteristically analytical way. At the same time, this concern in itself should not, in my opinion, affect the existence of this important tool of judicial review or the scope of its application. This concern should guide the administrative judge day by day and hour by hour when exercising the tool of judicial review, upon being required to decide in a specific case whether the act of the administrative authority satisfies the test of reasonableness. The judge should examine with care whether all the relevant considerations were considered, and no others; he should consider whether the authority arrived at a proper balance as a result of the relative weight given by it to each relevant consideration. There may be more than one balancing point. It may be placed at any point within the ‘margin of reasonableness’ given to the authority, and the breadth of this margin should be determined according to the case and its circumstances, in view of the specific issue under consideration.

The principle that examining the reasonableness of an administrative decision does not mean that judicial discretion replaces administrative discretion is a basic rule in administrative law, and it constitutes an essential element of the judicial review of administrative authorities. It coexists harmoniously with the other criteria for examining the reasonableness of administrative decisions.

Certain types of issue, according to their content, and the character of certain public authorities, according to their status and the nature of their responsibility in the government, may also affect the scope of the judicial discretion that should be exercised within the context of the judicial review of administrative authorities.

The correct and appropriate application of the aforesaid principles within the context of the ground of reasonableness does not create a real danger that the court will usurp the place of the administrative authority and do its work in a particular case. An unbalanced application of the aforesaid principles may lead to an undesirable result of this kind. Therefore the emphasis should be placed neither on the elimination of this tool of judicial review, nor on restricting its scope of application, as my colleague proposes. The emphasis should be placed on the proper methods of implementing and applying the long-established principles of administrative law — methods of implementation and application based on proper assessments and balances that are intended to ensure the rationality of administrative decisions, for the protection of both the individual and the public.

My response to my colleague — with regard to the crux of the difference of opinion between us — is therefore that we should not undermine an essential tool of judicial oversight of administrative authorities because of an inherent concern that it may be applied wrongly. The tool should be left as it is, with its full scope, and it should be protected. At the same time, care should be taken, day by day and hour by hour, to apply the principles on which it is founded correctly and properly. This will maintain the full protection currently given to the citizen in his relationship with the government, protect the status of the administrative authority against incursions into its sphere of activity, and coexist harmoniously with the whole constitutional system whose principles form the basis of Israeli democracy.

Conclusion

34. This court’s judicial intervention is restricted to examining the legal-normative reasonableness of the administrative action under examination. In this field, "the field of law", no ground was found for intervening in the appointment. This does not necessarily preclude a different approach to the issue under consideration from the extra-legal perspective of morality and public ethics, in which the considerations and the methods of striking a balance between them are not necessarily the same as the balance required by the law. Naturally, the individual and the public as a whole have the right to form their own ethical judgment regarding these matters, according to their own standards and moral principles.

35. I therefore propose that we deny the appeals.

 

Justice E. Arbel

The petitions before us concern ‘… imposing the rule of law on the government,’ inasmuch as   they concern  ‘public confidence in the actions of government authorities in general and of the supreme executive organ of state (the government) in particular’ (in the words of Justice Barak in HCJ 6163/92 Eisenberg v. Minister of Housing [1], at pp. 238, 242 {24, 30}; see also Justice H.H. Cohn, ‘The Qualifications of Public Officials,’ 2 Mishpat uMimshal (Law and Government) 265 (1994), where he discusses these remarks).

1.    The Prime Minister sought to appoint MK Haim Ramon as a minister in his government, in the capacity of Deputy Prime Minister. The petitions in this case were filed with the purpose of torpedoing the appointment. In the interim, MK Ramon was appointed to the post, after the Government, pursuant to s. 15 of the Basic Law: The Government  (hereafter, also: ‘the law’ or ‘the Basic Law’) notified the Knesset of the appointment and the Knesset approved it. The petitions therefore are concerned with cancelling the appointment of MK Ramon as a cabinet member.

I agree with the legal analysis and principles set out by my colleague Justice Proccaccia in her opinion. We all agree to the premise that under the Basic Law the Prime Minister has broad discretion in appointing ministers in his government, and that judicial review of this power of the prime minister should be exercised sparingly, carefully and with great restraint. In addition, I agree that there are several obstacles that stand in our way when we consider whether we should intervene in this decision of the prime minister: the limited scope of intervention in decisions of the prime minister relating to the formation of the government; the fact that, as required by law, the Knesset gave its approval to the Government notice regarding the appointment of MK Ramon as a minister; and the finding of the Magistrates Court that the act did not involve moral turpitude, when read together with s. 6(c) of the Basic Law. Notwithstanding, unlike my colleague, I am of the opinion that these three obstacles are countered by significant considerations that were not properly taken into account at the time the decision was made to appoint MK Ramon as a minister. These mainly concern the significance of the criminal conviction and the findings of the Magistrates Court in his case, the short period of time that has passed since the conviction and the nature and lofty status of the position to which he was appointed.

2.    The discretion given to the prime minister in decisions concerning the formation of the government is very broad and encompasses a wide range of considerations (HCJ 3094/93 Movement for Quality of  Government in Israel v. Government of Israel [9], at pp. 423, 427 {284, 290-291}; HCJ 2533/97 Movement for Quality Government in Israel v. Government of Israel [12], at pp. 58-59; HCJ 1993/03 Movement for Quality Government in Israel v. Prime Minister [11], at pp. 846-847 {345-348}, and the references cited there). Notwithstanding, these decisions should satisfy the criteria of judicial review, like all administrative decisions: they should satisfy the requirements of reasonableness, fairness, proportionality and good faith, and they should contain no arbitrariness or irrelevant considerations (Movement for Quality Government in Israel v. Prime Minister [11], at pp. 840, 846-847 {336-337, 345-348; Movement for Quality Government in Israel v. Government of Israel [12], at p. 54, although there the question under discussion was the power to remove a minister from office; HCJ 4668/01 Sarid v. Prime Minister [28], at p. 281). The relevant considerations should be taken into account when making decisions. Ignoring a relevant consideration, giving inappropriate weight to a relevant consideration or striking an unreasonable balance between the various considerations may lead to the decision being found to lie outside the limits of the margin of reasonableness, with the result that it is unlawful (HCJ 1284/99 A v. Chief of General Staff [29], at pp. 68-69).

On appointing a person with a criminal conviction to be a cabinet member and public confidence

3.    The decision under review — a decision to appoint a cabinet member — is governed by s. 6 of the Basic Law, which provides in subsection (c):

‘Qualification of ministers

6. …

       (c) (1) A person shall not be appointed a minister if he has been convicted of an offence and sentenced to imprisonment, and on the date of the appointment seven years have not yet passed since the day on which he finished serving the sentence of imprisonment, or from the date of the judgment, whichever is the later, unless the chairman of the Central Elections Committee determined that the offence of which he was convicted does not, in the circumstances of the case, involve moral turpitude.’

 

(2) The chairman of the Central Elections Committee shall not make a determination as stated in paragraph (1) if the court has held according to law that the offence of which he was convicted does involve moral turpitude.’

According to the ‘minimum requirement’ provided in s. 6(c)(1) of the Basic Law, a conviction in itself is insufficient to prevent someone becoming a member of the government. It is also essential that a custodial sentence was handed down and that the period of time stipulated in the section, which is a kind of purification period, has not passed since the candidate finished serving the sentence or the judgment was given. Indeed, case law has held that the existence of a criminal record in itself does not preclude the appointment of a person to public office, nor does it rule out his competence for the position. It has also been held that ‘in the absence of statutory qualifications, case law qualifications should not be laid down…’ (HCJ 727/88 Awad v. Minister of Religious Affairs [30], at p. 491). This is certainly the case where the legislature has provided statutory qualifications, as was done with regard to the appointment of a minister. Notwithstanding, as my colleague also emphasized, the fact that the law has determined statutory qualifications does not mean that it is possible to appoint as a government minister anyone who is not disqualified by the ‘minimum requirement.’ The arrangement in s. 6(c) of the Basic Law does not exhaust the grounds for disqualifying a person from holding office as a cabinet member, and even when the basic disqualification does not apply, the authority making the appointment should decide the question of the appointment after exercising discretion that includes an examination of all the relevant considerations and striking a balance between them (Movement for Quality Government in Israel v. Prime Minister [11], at p. 867 {374 }; HCJ 4267/93 Amitai, Citizens for Efficient Government  v. Prime Minister [10], at pp. 457-458). In other words, a distinction should be made between the question of whether the minimum requirements laid down by the legislature are satisfied and an examination of the discretion that was exercised in the decision to make an appointment.

This is also relevant to our case. The petitions before us do not concern the question of the power of the prime minister to appoint a minister to his government, since this power exists as long as the candidate satisfies the statutory minimum requirements, and there is no dispute that no statutory disqualification exists in the case of MK Ramon, since he was not given a custodial sentence at all. The petitions address the question of the discretion exercised by the Prime Minister as the person who had the authority to decide to appoint MK Ramon to the Government in the capacity of Deputy Prime Minister. We are not dealing with a question of authority but with a question of the reasonableness of discretion.

4.    My colleague discussed the principles laid down by case law with regard to the discretion that should be exercised when considering the appointment of someone who has been convicted in a criminal trial to a senior public office and the weight that should be attached to this consideration, and I shall therefore refrain from discussing this matter fully except where I need to do so in order to state my opinion.

The fact that a person is a competent candidate for holding office as a cabinet member according to the statutory requirements does not rule out the possibility — and in my opinion the duty — to take into account his criminal record, together with other relevant considerations, when exercising discretion in making the decision with regard to the appointment (Eisenberg v. Minister of Housing [1], at pp. 256-257 {54-56}; Amitai, Citizens for Efficient Government v. Prime Minister [10], at p. 459; HCJ 194/93 Segev v. Minister of Foreign Affairs [31], at p. 60; Movement for Quality Government in Israel v. Prime Minister [11], at pp. 843 {340-341}). A criminal conviction may not disqualify someone from being appointed to public office, but it is always a relevant consideration of paramount importance, since an appointment to public office of a person who has a criminal record has an effect on the functioning of the public authority, and the public’s attitude to it and confidence in it (Eisenberg v. Minister of Housing [1], at pp. 258 {57-58}; Segev v. Minister of Foreign Affairs [31], at p. 61).

This approach is based on the fundamental principle that the public authority is a public trustee (Eisenberg v. Minister of Housing [1], at pp. 256-257 { 54-56}; Movement for Quality Government in Israel v. Prime Minister [11], at pp. 843 {340-341}). The Government, the Prime Minister and the members of the Cabinet are public trustees. ‘They have nothing of their own, and everything that they have, they hold for the public’ (HCJ 1635/90 Jerezhevski v. Prime Minister [32], at pp. 839. 840; Amitai, Citizens for Good Government and Integrity v. Prime Minister [10], at p. 461; regarding the duty of trust, see also HCJ 7074/93 Suissa v. Attorney General [33], at pp. 774-776). Trust is the cornerstone of the government’s ability to function. It plays an important role in forming the conceptual and practical outlook regarding the duties that the government owes to its citizens. The duty of trust that the government and each of its members owes to the public is an absolute condition for public confidence in the government, even though it alone is insufficient. Without public confidence in the government and its organs, a democracy cannot survive. A public figure is charged with the duty of trust in all his actions:

‘The duty of trust imposed on the prime minister and the members of the government is closely related to public confidence in the government. This is self-evident: a trustee who conducts himself like a trustee wins confidence, whereas a trustee who does not conduct himself like a trustee does not win confidence. The government needs confidence, not merely the confidence of the Knesset but also the confidence of the entire public. If a government conducts itself like trustees, the public will have confidence in the organs of state. If the government breaches that trust, the public will lose confidence in the organs of state, and in such a case the court will have its say’ (Movement for Quality Government in Israel v. Prime Minister [11], at p. 902 {420).).

The duty of trust is not discharged merely by means of decisions on questions of policy, initiatives, planning and action, but also by preserving a proper and unsullied image of public office and those who hold the highest offices.

5.    As I have said, when making a decision regarding the formation of the government, the prime minister is obliged to consider all of the relevant considerations, including the candidate’s criminal record, to give each of them its proper weight in the circumstances of the case and to strike a balance between them that is consistent with the fundamental principles of our legal system and their relative importance from the viewpoint of the values of society (Segev v. Minister of Foreign Affairs [31], at p. 61; Eisenberg v. Minister of Housing [1], at p. 263; HCJ 5562/07 Schussheim v. Minister of Public Security [8]).

A decision to appoint someone who has a criminal record to public office requires a balance between two sets of considerations: the first set of considerations concerns the principle of repentance. As a rule, a criminal conviction should not become a mark of Cain that the convicted person carries eternally on his forehead; he should not be punished for his crime after he has ‘paid his debt to society’ and amended his ways (see the remarks of Justice Dorner in Sarid v. Prime Minister [28], at p. 286). It is in the interest of both the individual and the public to allow even someone who has been convicted to start afresh. The second set of considerations concerns the major public interest in having an untarnished civil service, which enjoys the confidence of the public. The concept of ‘public confidence’ has become a widely-used expression, but it is precisely for this reason that we need to understand that it is not a theoretical concept, or even worse, merely a cliché. ‘Without trust the State authorities cannot function’ (HCJ 428/86 Barzilai v. Government of Israel [34], at p. 622 {104}). Public confidence is essential if the government is to be able to govern in practice. It is the cornerstone of the proper functioning of the civil service and the existence of a healthy society:

‘… without public confidence in public authorities, the authorities will be an empty vessel. Public confidence is the foundation of public authorities, and it enables them to carry out their function. The appointment of someone with a criminal past — especially a serious criminal past like someone who committed an offence involving moral turpitude — harms the essential interests of the civil service. It undermines the proper performance of its function. It undermines the moral and personal authority of the office holder and his ability to convince and lead. It undermines the confidence that the general public has in the organs of government’ (Eisenberg v. Minister of Housing [1], at p. 261 {64}).

Moreover —

‘The way in which the public regards the civil service, the confidence that the public has in the propriety of its actions and the integrity of its employees are prerequisites for the existence of a proper government…’ (CrimA 121/88 State of Israel v. Darwish [35], at p. 692).

The public’s confidence in the government and its members is derived to a large degree from their conduct and the integrity that can be seen in that conduct. For all of the reasons that I have discussed above, public confidence in its leaders should not be taken lightly. Public leaders are the standard-bearers who lead the nation; they are expected to act as an example and a role-model for the whole public. Public confidence cannot exist when someone who has recently been tainted is found in the rank and file of the civil service and government — and especially in senior positions. Moreover, civil servants who serve under members of the government and under the most senior public officials take their example from them; their conduct contributes to and affects the shaping of basic outlooks and accepted modes of conduct in the civil service, as well as the ethos of the whole civil service (Suissa v. Attorney General [33], at p. 781).

The disqualification in s. 6(c) of the Basic Law also reflects the balance between the two sets of considerations that we mentioned — between the principle of repentance, on the one hand, and the interest of preserving the integrity of the civil service and its officials, and public confidence in them, on the other (Sarid v. Prime Minister [28], at p. 287). But, as has been made clear, this balance does not exempt the person in authority from exercising discretion in each case, even when the disqualification does not apply to the candidate.

6.    The weight of the consideration concerning a candidate’s criminal record for holding office in public service vis-à-vis the other relevant considerations is not fixed or static. It varies from case to case according to the circumstances, inter alia in view of the nature of the criminal record and the character of the office under discussion:

‘Someone who committed an offence in his childhood cannot be compared with someone who committed an offence as an adult; someone who committed one offence cannot be compared with someone who committed many offences; someone who committed a minor offence cannot be compared with someone who committed a serious offence; someone who committed an offence in mitigating circumstances cannot be compared with someone who committed an offence in aggravated circumstances; someone who committed an offence and expressed regret cannot be compared with someone who committed an offence and did not express any regret for it; someone who committed a “technical” offence cannot be compared with someone who committed an offence involving moral turpitude; someone who committed an offence many years ago cannot be compared with someone who committed an offence only recently; someone who committed an offence in order to further his own agenda cannot be compared with someone who committed an offence in the service of the State’ (Eisenberg v. Minister of Housing [1], at p. 261 {64-65}).

It has also been said:

‘… the type of office that the civil servant is supposed to hold also affects the weight of the criminal past in the holding of that office. A minor position cannot be compared with a senior position; a position in which one has no contact with the public cannot be compared with one where there is contact with the public; a position not involving the control, supervision, guidance and training of others cannot be compared with one involving authority over others and responsibility for discipline. Someone who holds the office of a follower cannot be compared with someone who holds the office of a leader; an office that in essence does not make special ethical demands on its holder and on others cannot be compared with an office that is entirely devoted to encouraging a high ethical standard’ (Eisenberg v. Minister of Housing [1], at p. 262 {65}; see also Segev v. Minister of Foreign Affairs [31], at p. 61; HCJ 5562/07 Schussheim v. Minister of Public Security [8]).

Another consideration that has weight when appointing someone with a criminal record to public office is the degree to which the candidate is uniquely qualified for holding that public office. Thus it is customary to distinguish between a candidate who is one of many and a candidate who is unique and may in certain exceptional circumstances be the only person for the job. A distinction should also be made between an emergency, which requires the recruitment even of someone with a criminal record, and an everyday act of the civil administration that as a rule should be done by upright workers (Eisenberg v. Minister of Housing [1], at p. 262 {65}).

I should re-emphasize that although my opinion focuses on the consideration relating to a candidate’s criminal conviction and the findings of the court in his case — since these were not, in my opinion, given proper weight in this case — this is not the only consideration, and the review of the reasonableness of the decision should assume that the person making the appointment balanced this consideration against other considerations, such as the special abilities of the candidate, how suitable he is for the position, the tasks faced by the organization to which he is being appointed, etc. (Movement for Quality Government in Israel v. Prime Minister [11], at pp. 870-871 {379}.

7.    Summing up this point, according to the principles laid down in Eisenberg v. Minister of Housing [1], usually the appointment of someone who committed a serious criminal offence in the past to a senior position in public service is unreasonable. Notwithstanding, this is not a sweeping rule of disqualification from every possible senior position in the public service. Like every administrative decision, this decision should also be based on a proper balance between the various relevant considerations, which should each be given the proper relative weight in the circumstances of the case (Sarid v. Prime Minister [28], at p. 280). But I should make it clear that in the case before us we are not dealing with a conviction for one of the most serious offences. I shall discuss the significance of this below.

The criminal trial that is the background to this case

8.    Was proper weight given to the criminal trial and the judgment relating to MK Ramon when the decision was made to appoint him a cabinet minister and Deputy Prime Minister? In order to answer this question, let us first consider the details of the conviction under discussion, since the petitioners’ claim is that it is because of these that the appointment is unreasonable.

MK Ramon was brought to trial and convicted of an offence of an indecent act without consent, under s. 348(c) of the Penal Law, 5737-1977 (hereafter: the Penal Law), in that, when he was Minister of Justice, he kissed and stuck his tongue into the mouth of the complainant, an IDF officer, who was working for the military attaché in the Prime Minister’s office. The event took place only a short time before MK Ramon went into a cabinet meeting that discussed the kidnapping of two IDF soldiers in the north and at the end of that meeting a decision was taken to go to war (the Second Lebanese War).

In the criminal trial, MK Ramon admitted that the kiss did indeed take place, but he claimed that the complainant was the one who initiated it and that he only responded to her. The Tel-Aviv – Jaffa Magistrates Court (the honourable Judges Kochan, Beeri and Shirizli) convicted him after it held that it regarded the complainant’s credibility as unimpeachable. The court held that MK Ramon’s version of events was mostly consistent and it discussed the emotion he displayed when he testified in the witness box, when he came close to tears because of the occasion and the circumstances. Notwithstanding, the court found that his version of events did not pass the test of logic and reasonableness, since it ‘… did not have a strong foundation, in some parts it was not supported by other testimonies and in other parts it was even in conflict with the evidence…’ (para. 26 of the verdict).

The findings of the Magistrates Court regarding MK Ramon are not flattering ones. Thus, for example, it was held that ‘in our opinion, the defendant’s testimony under cross-examination was a clear and characteristic example of how he tried to distance himself from anything that might implicate him, at the cost of not telling the truth, while at the same time he had no hesitation in besmirching the complainant’ (para. 26(c) of the verdict). His testimony was defined by ‘a distortion and misrepresentation of the truth,’ and the court also found that MK Ramon ‘… was not precise with regard to the facts, to say the least’ (paras. 28-29 of the verdict). In summary the court held:

‘… After reviewing and examining all the evidence, we found that the complainant’s statements are completely true. By contrast, we found that the defendant did not stick to the truth, tried to divert the blame from himself and direct it elsewhere, minimized his actions and his responsibility, and at the same time exaggerated the complainant’s role, distorted and misrepresented the facts in a sophisticated and insincere manner’ (para. 94 of the verdict).

Hardly a flattering description!

9.    In the sentence, the Magistrates Court considered the application made by MK Ramon’s counsel to cancel his conviction. The court discussed MK Ramon’s public standing, his extensive public activity, the distress and pain he suffered ‘as a result of the loss of the public career that was interrupted,’ as well as the considerable price that he paid because of the incident and the personal and professional damage that he was likely to suffer if the conviction stood. The court took into account the fact that this was an isolated incident, ‘which did not show that we are dealing with a sex offender or someone who has developed a criminal way of conducting himself,’ as well as the fact that the act was not one of the more serious sex offences, and it would appear that the lesson had been learnt. Notwithstanding, it was held that the higher the public standing of the defendant, the higher the standards and norms of behaviour that were expected of him. The court also took into account the injury to the complainant, the circumstances in which it was caused and the fact that the regret expressed by MK Ramon for the act at a late stage of the trial was inconsistent with the manner in which he conducted his defence. All of the considerations led the court to the conclusion that the public interest should be preferred to MK Ramon’s personal interest, since ‘cancelling the conviction in this case would obscure the message and blur the criminal nature of the act.’

The court also considered    the prosecution’s application to determine that the circumstances in which the offence was committed involved moral turpitude, but it denied it and held that:

‘… the overall circumstances in which the offence was committed do not justify a determination that the offence involved moral turpitude. The isolated and unplanned act was committed by the defendant following a meaningless conversation, in an emotional state of indifference. The act lasted two to three seconds and ended immediately.’

The court pointed out that ‘The defendant’s conviction is a punishment in itself’ and went on to say:

‘We are aware of the mitigating circumstances… and these have led us to the opinion that the defendant’s sentence should be minimal, so that the future harm that he will suffer will stand in due proportion to the nature of the offence and the circumstances in which it was committed.’

The court therefore sentenced the defendant to 120 hours of community service and ordered him to pay compensation to the complainant, while stating expressly that in passing sentence it had taken into account the provisions of s. 42A(a) of the Basic Law: the Knesset and had tailored the sentence to what is stated in that section. It should be explained that this section concerns the disqualification from the Knesset of any member who has been convicted in a final judgment of a criminal offence that has been held to involve moral turpitude.

Sentencing considerations, judicial review considerations and the issue of moral turpitude

10. As I have said, no one disputes the fact that MK Ramon satisfies the minimum requirements in s. 6(c) of the Basic Law, since he was not given a custodial sentence. He is therefore competent to hold office as a minister in the Israeli government. As I have explained, the question in this case is a different one, namely, did the decision to appoint him as a cabinet member — and in this case as Deputy Prime Minister — at the present time, fall within the scope of the margin of reasonableness?

MK Ramon was convicted of an offence that is one of the less serious sex offences. It was an act that does indeed appear to be an isolated incident that only lasted for several seconds. In view of all the circumstances, even though the conviction relates to a sex offence, I too share the opinion of the Magistrates Court that he should not be regarded as a sex offender. These considerations had a major effect on the sentence that the court handed down to MK Ramon and on the finding that the act did not involve moral turpitude.

Notwithstanding, these sentencing considerations, and even those that determine whether an act involves moral turpitude, are not identical to the considerations that should be taken into account when examining the reasonableness of appointing someone who has been convicted in a criminal trial to public office. The sentence is dictated by penal considerations, such as retribution, rehabilitation and deterrence of the individual and the public. The balance between these, when it is made against the background of the personal circumstances of the defendant and the circumstances in which the offence was committed, determines the sentence. Even if the sentence takes the interests of society into account, even if the court considers the message that may be conveyed by handing down a particular sentence to a convicted defendant, the principle of individual justice still lies at the heart of the sentencing decision. The individual who has been convicted is the focus of the decision, not the public or the public interest. Regarding the issue of moral turpitude, it has been held many times that the expression ‘offence involving moral turpitude’ does not address the elements of the offence of which the defendant was convicted but a serious moral flaw that was involved in its commission in view of the purpose of the legislation that speaks of that ‘offence involving moral turpitude’ (HCJ 11243/02 Feiglin v. Chairman of Election Committee [36], at p. 160; HCJ 251/88 Oda v. Head of Jaljulia Local Council [37], at p. 839; HCJ 103/96 Cohen v. Attorney General [38], at p. 326; R. Gavison, ‘An Offence Involving Moral Turpitude as Disqualification for Public Office,’ 1 Hebrew Univ. L. Rev. (Mishpatim) 176 (1968)). Our concern is with an ethical evaluation of the nature of the act:

‘ “Moral turpitude” accompanying an offence gives it a negative aspect that goes beyond the mere dimension of breaking the law. This is a concept that contains a negative moral-ethical judgment, a kind of moral stigma, which derives from ethical outlooks and moral criteria that are accepted by society.

This is a multi-faceted concept that takes on different forms when it is applied to the character of a specific offence and its circumstances, and the special context in which it is being considered…’ (per Justice Procaccia in Feiglin v. Chairman of Election Committee [36], at p. 162).

A decision as to whether an offence involves moral turpitude is made with reference to whether the public regards the offence as one that carries with it a stigma, which affects the ability of the person who was convicted to serve the public. The court deciding the question of moral turpitude is aware that from the viewpoint of the defendant its decision is likely to act as an exclusion from, or a readmission into, public life and public service. The focus of the consideration is the nature of the act against the background of the circumstances in which it was committed and against the background of society’s values and outlooks.

Whereas an offence involving moral turpitude emphasizes the immoral element in its commission, a criminal offence that may make it unreasonable to appoint its perpetrator to public office does not necessarily need to have an immoral aspect (Eisenberg v. Minister of Housing [1], at p. 266 {71}). Moreover, unlike the discretion exercised when sentencing someone and determining whether the offence involves moral turpitude, examining the reasonableness of discretion in a decision to appoint someone to office is different for the reason that it concerns judicial review of administrative discretion. Judicial review is carried out ‘… from the perspective of the fundamental principles of the legal system, as they are reflected in legislation and case law, and from the perspective of the fundamental values and norms of society’ (A v. Chief of General Staff [29], at p. 69). The offence and the circumstances in which it was committed are only one of many considerations that the person making an appointment should consider and that judicial review should take into account. Moreover, as I have said, in order to determine that an appointment to public office of someone convicted in a criminal trial is unreasonable, it is not essential that the act shows the person who committed it to be tainted by a moral stigma or moral turpitude. Sometimes it is sufficient that the nature of the position and the need to preserve public confidence in it do not allow someone convicted of a particular offence to hold that office. It follows that the fact that the court held that an act does not involve moral turpitude cannot rule out a finding that an appointment is unreasonable because of the conviction.

Everything said hitherto was merely intended to say that the mitigating circumstances discussed by the Magistrates Court in the sentence, as well as the finding that the act did not involve moral turpitude, cannot in themselves decide the issue in this case.

11. Admittedly, the act was one of the less serious sex offences and of short duration. It was an isolated event and the lesson has been learned. But all this cannot obscure and blur the fact that MK Ramon was convicted in a criminal trial. He no longer enjoys the presumption of innocence. He is not one of those persons who fell under the shadow of a criminal investigation that was opened against them but were never charged. At the end of a trial, he was found guilty (see and cf. Movement for Quality Government in Israel v. Government of Israel [12], at p. 57). As a rule, in such circumstances, when we are dealing with someone who has been convicted or has made a confession, the proper weight that should be attached to the question of public confidence is greater than the weight that it would be, were we speaking of someone who has merely been indicted and who protests his innocence (Amitai, Citizens for Good Government and Integrity v. Prime Minister [10], at pp. 462, 467-468). The premise, therefore, is that when exercising discretion, the consideration of public confidence should be given considerable weight in the circumstances of the case. Was it indeed given the proper weight?

The time factor

12. Only a short period — several months — passed between the time when MK was convicted and served his sentence and his appointment to the position of Deputy Prime Minister. The time that passes from the conviction and serving the sentence until the appointment is relevant when considering the reasonableness of a decision to appoint someone to public office. The more time that has passed since the conviction and serving the sentence, the greater the tendency to prefer the considerations of repentance and rehabilitation and to think that the appointment will not undermine public confidence in public officials, and vice versa. The period of time that should pass from the time when the offence was committed and the sentence was served until the appointment varies according to the circumstances: ‘Certainly it is not measured in a few years. But decades also should not be required. The pendulum of time will swing between these two extremes, and it will stop in accordance with the circumstances of time and place’ (Eisenberg v. Minister of Housing [1], at p. 266 {72}; A v. Chief of General Staff [29], at pp. 73-74). In our case, only a few months passed from the time that sentence was passed on MK Ramon until he was appointed a minister in the Israeli Government. The relative lack of seriousness of the offence of which he was convicted cannot instantly efface the stigma inherent in the conviction. The appointment to the position of cabinet minister in the circumstances of the case, before the ink has even dried on the verdict and the sentence, and before the air has cleared, reflects an internalization, or at least an acceptance, of improper norms of conduct that should not be regarded as deserving of public forgiveness, as if they were mere acts of youthful impudence. I accept that the nature of the offence and the circumstances in which it was committed, as well as the fact that it is not one of the most serious offences, do not mean that decades should pass before MK Ramon’s appointment to a senior public office will be appropriate. But it is not right that only a few months pass before he returns to a senior position in public service.

The seniority of the position and the rule of law

13. The criminal conviction and the fact that the appointment decision was made a very short time after MK Ramon completed serving his sentence represent in my opinion the main difficulty in the discretion that was exercised in the appointment decision. Insufficient weight was given to the harm that the appointment would cause to public confidence in the Government and its members. An additional consideration that in my opinion was not given proper weight concerns the seniority of the position to which MK Ramon was appointed.

As I have said, in this case, where the conviction is a very recent one, considerable weight should attach to the question of public confidence. What is the picture that is conveyed to the public? Let us return to the beginning of the affair. When the police investigation against him began, MK Ramon suspended himself from the position of Minister of Justice. In doing so, it should be said, he acted properly. MK Ramon’s job was ‘kept for him’ and two ministers held office in his stead as Ministers of Justice on a temporary basis until it was known how his trial would end. A short time after MK Ramon finished serving his sentence, he returned to the cabinet, this time in a more senior position of Deputy Prime Minister. It should be remembered that the importance of the position requires considerable weight to be given to the consideration of preserving public confidence (Amitai, Citizens for Good Government and Integrity v. Prime Minister [10], at p. 471).

As I have said, the more important the office, the greater the weight of the consideration concerning the criminal record of the candidate. It has been held in the past that the importance of the position is not determined merely on the basis of formal tests such as seniority and job description, but also in accordance with the extent to which the public identifies the office holder with public service and the damage that will be caused to public confidence in public service if the appointment takes place (Eisenberg v. Minister of Housing [1], at p. 267 {72}). The importance of the position to which MK Ramon was appointed, namely Deputy Prime Minister, requires us to consider that this is a position that involves representation of the whole government. The role of Deputy Prime Minister, even though it is not defined in legislation, is a very senior position. Whoever holds this position represents the government and the state, and therefore very careful consideration should be given to the question of public confidence in view of his appointment to hold the post and to represent the whole government. This is a position that requires a special degree of confidence that the public will feel towards the person holding the position and towards the whole institution to which he belongs and which he represents. In such circumstances, a distinction should be made between the possibility of allowing someone who has been convicted to rehabilitate himself and to return to live a normal life after he has completed his sentence, and between placing him ‘… at the top of the administrative pyramid’ (Eisenberg v. Minister of Housing [1], at p. 266 {69}).

The short period of time and the appointment to such a senior position both convey a message to the public that the criminal trial is unimportant, and that a criminal conviction has no significance in the public sphere.

14. The findings of the Magistrates Court in MK Ramon’s case are serious, and as stated they include findings with regard to distortion and misrepresentation of the truth, not telling the truth and conduct intended to besmirch the complainant. Indeed, not only are the conviction and the judicial findings regarding the offence important, but so too is the defendant’s conduct during the trial. The fact that someone who was convicted after such serious findings were reached in his case nonetheless returned to public office immediately after he finished serving his sentence and was even given a more senior and more prestigious office is unreasonable. It reflects a normative approach that it is hard to accept. Prima facie, it does not take into account the need to maintain public confidence in public service and its integrity. A decision of an authority to appoint someone to public office while treating a criminal conviction, de facto, as insignificant, as if it had never happened or was carried away by a gust of wind, cannot be regarded as a decision that gave proper weight to the interest of maintaining public confidence in public office. The requirement that the more senior the office of a public figure, the stricter the standard of conduct that he is expected to follow, was drained of all significance in the case before us. Such a decision cannot be regarded as a decision based on a commitment to the rule of law. The following remarks should be taken to heart by the general public, and by authorities and persons in charge of them:

‘… The rule of law is not created ex nihilo, nor is it something intangible. It should be reflected in a tangible and daily observance of binding normative arrangements and in their de facto application to everyone, in the realization of basic freedoms, in guaranteeing equality and in creating a general atmosphere of trust and security. The rule of law, public welfare and the national interest are not contradictory or conflicting concepts. They are intertwined, interrelated and interdependent.

The court is specially charged with the practical realization of these expectations, but every state authority has the duty to act to realize these goals.

A sound administration is inconceivable without care being taken to uphold the rule of law, for it is this that protects us against anarchy and guarantees the stability of the system of government. This order is the basis for the existence of political and social frameworks and the safeguarding of human rights, none of which can exist in an atmosphere of lawlessness’ (Barzilai v. Government of Israel [34], at p. 554-555 {53}).

The message that the appointment conveys is that even if a criminal trial takes place, and even if it ends in a conviction, it may be said, possibly by way of hyperbole, that no one is accountable. The criminal stain that MK Ramon carries at this time is capable of tarnishing the whole Government, and this was not given proper weight. The quick appointment to a senior position, only a short time after the criminal trial ended and the sentence was served, sends a message to the public that there are no values, that one organ of Government has no respect for the work of the others, nor does it act in concert with them, even though all of these are essential for the existence of a democracy.

The nature of the offence and the effect it has on the public

15. Moreover, an additional consideration that should have been considered concerns the nature of the offence of which MK Ramon was convicted. The offence of an indecent act is relatively low on the scale of sexual offences, in view of all the circumstances. Notwithstanding, this does not diminish the seriousness of the act. As the Magistrates Court said: ‘… An offence was committed which, in other circumstances, might have been considered an offence that was not especially serious, but in view of all of the circumstances in which the offence was committed, it becomes more serious and acquires a dimension that has considerable public significance’ (para. 91 of the verdict).

An offence of an indecent act involves not only an injury to the person but also to the dignity of the victim of the offence as a human being, and to the victim’s autonomy as an individual, two things that are interrelated and closely intertwined. The existence of more serious sex offences in the statute books does not diminish the injury to dignity, nor to the autonomy of the individual:

‘Every woman and man is entitled to write his or her life’s story as he or she wishes and chooses, as long as no one encroaches upon the domain of another. This is the autonomy of free will. When a person is compelled to follow a path that he did not choose to follow, the autonomy of free will is undermined. Indeed, it is our fate — the fate of every man — that we constantly act or refrain from acting for reasons other than that it is our own free will, and in this way the autonomy of our will is found wanting. But when the injury to the autonomy of free will is a major one, then the law will intervene and have its say’ (per Justice Cheshin in CrimA 115/00 Taiev v. State of Israel [39], at pp. 329-330, even though that case concerned more serious offences).

The protection of the dignity and person of women is a social interest. No civilized society exists in which the dignity of women — or the dignity of any other person — is trampled without a murmur or without any proper response. The protection of society’s values, of which the value of human dignity is one, is not effected merely by prosecuting criminal trials and holding defendants accountable. It should be expressed wherever such expression is required by the nature of the matter. In our case, what is the message sent to the whole public — men, women and children — when they see that a cabinet minister was convicted of a sex offence that he committed against a young woman officer and then, within a short time, albeit after serving a sentence, he returns to a position that is at least equal to the one he held before his conviction, if not a more important one? It is a message that not only makes the criminal trial and the judicial ruling meaningless, but also erodes the values of respecting the person, dignity and wishes of women, especially in situations involving a disparity of forces (see also in this regard the remarks of Justice Strasberg-Cohen in A v. Chief of General Staff [29], at p. 76). It is a message that elected public officials do not need to be held to the high standard of ethics and the high standard of conduct that might be expected of them as persons who are supposed to serve as examples and models for the whole public (Amitai, Citizens for Good Government and Integrity v. Prime Minister [10], at p. 470; Cohen v. Attorney General [38], at p. 326). How can the appointment be reconciled with the need to uproot norms that have no place in a civilized society? What message is sent to potential complainants that see the trials and tribulations endured by the complainant, who suffered denials and slanders, who underwent cross-examination ‘in a manner deserving of our respect’ (para. 10(a) of the verdict), who is found by the court to be a witness whose veracity is undoubted, and yet after her testimony is accepted, the conviction is reduced to nothingness?

16. I have not overlooked the fact that in sentencing MK Ramon the Magistrates Court expressly left open the possibility of his returning to the Knesset. But the Government went much further. It did not merely re-establish the status quo ante but it completely disregarded the explicit verdict and promoted someone who was recently convicted. The sentence handed down in the Magistrates Court sought to balance between the seriousness of the acts and the conduct of MK Ramon during the trial, as described above, and between the nature of the act and the circumstances in which it was committed. The Magistrates Court sought to achieve this balance by leaving the conviction as it stood, while imposing a light sentence and rejecting the proposition that the offence involved moral turpitude. The court expressly stated in its verdict that this balance was based on a premise that the MK Ramon suffered considerably as a result of the criminal trial and was likely to continue to do so as a result of the court refusing to cancel the conviction. Notwithstanding, the balance that the court struck does not, as I have said, make the exercise of discretion redundant when considering the appointment of MK Ramon to the cabinet.

I should emphasize that the decision in the petitions before us does not concern the competence of MK Ramon to serve as a member of the Knesset, which would give rise to the difficulty of undermining the will of the electorate. Intervening in a decision to appoint someone to the position of cabinet minister does not give rise to a similar difficulty, since it concerns a decision of the person in charge of the executive branch of government, in judicial review of his discretion, and it does not undermine the will of the electorate. Indeed, in the past when this court has considered petitions that sought to cancel the appointment of MK Raphael Pinchasi as chairman of one of the Knesset committees, it was held: ‘A distinction should therefore be made between the competence of a member of the Knesset to carry out his duties as a member of the Knesset and his competent to act in contexts outside the Knesset, such as in the context of the executive branch’ (HCJ 7367/97 Movement for Quality Government in Israel v. Attorney General [40], at p. 557; see also H. Cohn, ‘The Competence of Public Servants,’ Selected Writings (2001), at pp. 391, 402). This is also the position in this case.

I should clarify that I do not belittle the damage and mental anguish that MK Ramon certainly suffered as a result of being prosecuted in the criminal trial. Nor do I ignore the fact that the sentence was served in full or that the offence of which he was convicted was a relatively light one. But it is inconceivable that in the case of a public figure, who is expected ‘… to serve as an example to the people, to be loyal to the people and deserving of the trust that the people place in him’ (Amitai, Citizens for Good Government and Integrity v. Prime Minister [10], at p. 470), where the damage that he suffered to his standing was a mitigating factor in his sentence, the outcome should be as it is in this case.

17. It should be emphasized that nothing in the aforesaid casts even the smallest doubt on the professional experience and abilities of MK Ramon to carry out the role given to him by the Prime Minister. In this respect, the offence of which he was convicted does not, in my opinion, have any effect or ramification on his ability to carry out this office. I am not questioning at all the additional considerations that were taken into account, and my assumption is that the Prime Minister, as the person who made the appointment, made the decision regarding the appointment after considering the tasks that confronted the Government and understanding the talents required of the ministers serving in the Government for the purpose of carrying out those tasks (see also Schussheim v. Minister of Public Security [8], at p. 846). I am prepared to accept that MK Ramon has the appropriate and proper qualifications and experience for the position. Nonetheless, it is well-known that disqualifying a candidate from holding public office does not depend only upon a connection between his criminal record and its effect on his professional ability to carry out the job for which he is a candidate, but also on his ethical and moral capacity to carry it out, unless a ‘real and urgent’ state of emergency makes it essential to appoint him as the only candidate (Sarid v. Prime Minister [28], at p. 280). In our case no such argument was made, and that is sufficient to prevent the conviction from being denied its proper weight.

A determination that a government decision to appoint a minister suffers from unreasonableness that goes to the heart of the matter creates a tension between the world of law and the world of politics, between two separate worlds that are governed by different sets of laws and different game rules. ‘The law is based, to a large extent, on ethics; democracy is based, first and foremost, on representation’ (per Justice Zamir in Movement for Quality Government in Israel v. Government of Israel [12], at p. 63). When deciding petitions concerning the formation of the government, the court has the task of carefully balancing, with an approach of maximum restraint, the need to allow the public to be represented as it wishes by someone who was successful in an election and the need to preserve public confidence in government institutions and the proper moral standards of elected representatives (see CSA 4123/95 Or v. State of Israel [4], at p. 191; Movement for Quality in Government in Israel v. Government of Israel [9], at p. 429 {293-294}; HCJ 8192/04 Movement for Quality Government in Israel v. Prime Minister [41], at p. 186).

This court has already, on several occasions in the past, considered the relationship between law and ethics, and between legal norms and ‘government culture’ norms (Movement for Quality Government in Israel v. Prime Minister [11], at pp. 917-918 {440}; Movement for Quality Government in Israel v. Prime Minister [41], at pp. 157-158, 176-177). Petitions concerning the formation of the government — the appointment of a minister or his removal from office — often give rise to questions concerning the location of the border between the ethical sphere and the legal sphere, which decisions are determined by government culture norms and which are also determined by legal norms. The remarks made by Justice Cheshin in another case are pertinent in this regard:

‘… We should be always mindful of the fact that we are speaking of a government culture that is steeped in law — in norms from the field of criminal law — and the question we should ask ourselves is whether in this sphere that contains both government and law, the weight of law is so minimal that we will shrug it off and continue on our way without law. Surely allowing the demands of law to recede… is tantamount to giving up norms to which we, as people of law, regard ourselves as being committed, and which, moreover, we regard ourselves as obliged to disseminate and impose on those around us?’ (Movement for Quality Government in Israel v. Prime Minister [41], at p. 176).

He also held:

‘When we realize that the culture of “it simply isn’t done” has been undermined and that our standards have fallen very low, should the law not make itself clearly heard? Surely its voice should not sound merely like a piccolo, “clear and pure, but drowned out by the tumult?” ’ (ibid. [41], at p. 177).

President Barak also discussed the relationship between the rules of ethics and the rules of law and the proper place of the principle of reasonableness in regard to them, when he said:

‘One of the ways in which the rules of ethics become rules of law, in so far as the public authority is concerned, is through the value of reasonableness. An unethical act may, in certain conditions, be an unreasonable act. Indeed, I am of the opinion that a comprehensive application of the principle of reasonableness to all the acts of the executive branch — including acts that harm the integrity of the administration — is proper. Of course, in countries where the government exercises self-restraint, it is possible that there is no need to develop the principle of reasonableness and apply it to the field of governmental ethics. But in countries where this self-restraint is lacking — and the concept of “it simply isn’t done” is not sufficiently developed — the principle of reasonableness and the concept of the margin of reasonableness should be extended to all government acts’ (A. Barak, The Judge in a Democracy (2004), at p. 369).

There is no statutory restriction upon the appointment of MK Ramon, but it would appear that the appointment, in the circumstances described above, undermines those principles that support the rule of law, are essential to the existence of a civilized society, and ensure that public service enjoys and deserves public confidence. In such circumstances, I am of the opinion that this court has no alternative but to intervene in the appointment decision, in order to protect the norms to which our legal system is committed.

Postscript

19. I have read the opinion of my colleague Justice A. Grunis and the remarks of my colleague Justice Procaccia in response thereto. I agree in full with her remarks concerning the place and status of the ground of reasonableness in our law, and I would like add to them a few brief remarks:

a.     The premise of judicial review is the principle of the separation of powers. The separation of powers is essential for the existence of democracy. At the same time, the separation of powers does not imply that there is no connection between the branches of government. On the contrary, there is a connection between them: ‘… there is a reciprocal relationship between the different powers, so that each power checks and balances the other powers’ (HCJ 5364/94 Welner v. Chairman of Israeli Labour Party [42], at p. 786; see also Barak, The Judge in a Democracy, at pp. 103-105). One of the expressions of the separations of powers lies in the principle, which has been mentioned innumerable times in the case law of this court, that the court will not intervene in a decision of the authority as long as it falls within the margin of reasonableness. The court does not examine whether it was possible to make a more correct, more proper, more efficient or better decision. As long as the decision that was chosen falls within the margin of reasonableness, there is no ground for the intervention of the court. Notwithstanding, it is obvious in my opinion that the principle of the separation of powers and the respect that each power shows the others — which also lie at the heart of my opinion — cannot render the function that the power has been authorized to exercise devoid of any real content. In our case, the rule of very narrow intervention in the decisions of the executive branch and the legislative branch cannot result in the decisions of those branches having a de facto immunity against judicial review. Moreover, where the court does not exercise its judicial review, it errs with regard to the principle of the separation of powers, the checks and balances that the powers owe to one other. In my opinion, restricting judicial review to various forms of procedural failures and questions of authority presents a real danger to the future of Israeli society and the proper functioning of the organs of government, since it leaves the court with a function that is almost totally technical and rules out real judicial review in which the court protects and promotes the values of society. In my opinion, restricting judicial review by an almost complete rejection of the ground of reasonableness leaves the public exposed to danger, since it is the public that will pay the price of those decisions that fall outside the margin of reasonableness.

b.     The difficulties raised by my colleague Justice Grunis in his opinion are indeed real ones, but as my colleague Justice Procaccia also says, the solution to them does not require complete or almost complete abandonment of the use of the ground of reasonableness, only great caution and maximum restraint that the court should adopt when exercising judicial review. Particularly in the case before us, I am of the opinion that the difficulty discussed by my colleague — the court being no better placed than any citizen of the state to assess the reasonableness of the decision — does not really arise. The reason for this is that the court has expertise with regard to assessing the weight of a criminal conviction, the time that has passed from the conviction and the serving of the sentence until the appointment, and the other considerations that I have discussed. No one can assess their weight as well the court. Moreover, even if it is true that determining the unreasonableness of the decision solely from the outcome that was reached — an outcome-based decision — gives rise to considerable difficulty, in the case before us the weight given to these considerations in making the decision can be seen not only from the outcome but also from the proceedings of the Knesset and all of the material presented to us. I should re-emphasize that ultimately I saw no reason to reconsider the approval given by the Knesset to the Government’s notice of the appointment, since this has been discussed in detail in the opinion of my colleague Justice Procaccia, it is not the subject of dispute in my opinion and I only saw fit to address the issues on which my opinion is based.

My remarks above address only a very small part of my position regarding the place and status of the ground of reasonableness as a tool of judicial review. The matter will, no doubt, arise in the future, and when it does, I shall discuss it in full.

Summary

20. The government’s ability to rule is based not only on the confidence expressed in it by elected representatives. The government’s ability to rule also depends ultimately on public confidence in it. As such, even if we assume that political and parliamentary considerations have considerable weight in determining the composition of the government, an essential condition for its proper functioning is a proper standard of principles, values and morality. When the court is called upon to exercise judicial review with regard to a decision that concerns the composition of the government, it should be guided, not only by the principles and rules that my colleague discussed, but also by the values and principles that society cherishes. Even in such a case it needs to strike a balance, which is merely a balance between different considerations:

‘When striking this balance, idealism that has no normative basis should be avoided. The judge does not aspire to the lofty and the pure that are unattainable. He does not contemplate an ideal society that has no real existence and cannot be achieved. He does not rely upon a perception of man as an angel. At the same time, the court should avoid a pragmatism that is based on market morality. The judge does not reflect the distorted views that are widespread in society. He does not direct his gaze at a sick society that is sinking into the abyss. He does not rely on a perspective that man is an animal… He takes current reality into account, but he does not regard it as the whole picture. The fact that “everyone does it” is not a criterion for the proper conduct of a civil servant. The fact that it is customary, commonplace and normal to act in a certain way does not make it the proper way to act…’ (Suissa v. Attorney General [33], at p. 781; see also H. Cohn, ‘Thoughts on Integrity,’ Selected Writings 417 (2001), at p. 451).

These remarks that were made in a different context are also apt in our case.

I have not overlooked the public debate surrounding the appointment in the prevailing circumstances and following the differences of opinion that surrounded the decision to bring MK Ramon to trial. Notwithstanding, judicial determinations are made in accordance with legal criteria, according to the basic principles of the State of Israel as a democratic state that espouses the rule of law and a culture of law, and the court has a duty to stand guard and protect these (see also Barzilai v. Government of Israel [34], at p. 585-586 {68-69}).

The decision to appoint MK Ramon at this time gives rise to a difficulty in the ethical sphere because it inherently undermines the values of the rule of law, and a difficulty in the public sphere because it undermines public confidence in those persons in the highest echelons of power — the Government and its members. As I have said, we are dealing with an issue that focuses on imposing ‘the rule of law on the government,’ to use Justice Barak’s expression in Eisenberg v. Minister of Housing [1], at p. 238 {23}. Prima facie the decision to make the appointment is tainted in a manner that goes to the heart of the administrative discretion. The rapid promotion to a very senior position so soon after the conviction and the serving of the sentence, after the court said what it had to say on the subject of MK Ramon’s conduct and credibility, sends a negative message to persons in positions of authority, public figures, government officials, potential complainants and the public as a whole. At the same time, I would emphasize that these remarks relate to the present moment, a short time after the events and the trial. Obviously, when a proper period of time has passed since the conviction and the serving of the sentence, the shadow cast by the criminal conviction and the disparaging remarks made by the Magistrates Court will fade, and it will no longer stand in the way of an appointment to a senior public office. I see no reason to consider the question of what should be the proper period of time that should pass before the appointment would be a proper one, since it has already been said in the past that ‘… any period of time that is determined contains an element of arbitrariness’ (Movement for Quality Government in Israel v. Prime Minister [41], at p. 175). We are not dealing with a question of mathematics, and in any case the determination depends inter alia on the nature of the position, the unique abilities of the candidate and the nature of the offence of which he was convicted, and these differ from case to case. Notwithstanding, a period of a few months, as in this case, is insufficient.

For all the reasons set out above, I am therefore of the opinion that it was right to issue an order nisi in the petitions. However, in view of my colleagues’ position, I have sought to set out my position, which, in essence, is that at the present time there is no alternative but to revoke the decision to appoint MK Ramon to the cabinet.

In conclusion I would like to refer to the remarks of Justice Türkel in A v. Chief of General Staff [29], where he cited remarks made originally by Justice Silberg:

‘If we seek to be a model state, a society that is a light unto the nations and a chosen people, we should remember — as Justice M. Silberg put it so well — that:

“Morality is the ideological basis of the law, and the law is the external, concrete form of some of the principles of abstract morality… The provisions of the law are — in the eyes of the legislature — the minimum moral standard that is required and expected of every citizen.

The desired ideal is that they will… coincide with one another to the fullest extent, as the water covers the sea’ (M. Silberg, Kach Darko Shel Talmud (1964), at pp. 66-67; emphasis in the original).”

This ideological basis is the infrastructure that enables the court to enforce legal norms that embody moral values. In my opinion, more than any other consideration, this is the cornerstone on which our decision stands’ (A v. Chief of General Staff [29], at pp. 77-78).

The image of society and the state is fashioned by decisions of the government in practical matters. Words are not enough. This consideration should be given a proper weight when making a decision to appoint someone to public office, and this is what should have been done in this case.

 

 

 

Justice A. Grunis

1.    With respect to the difference of opinion between my colleagues, I agree with the opinion of Justice A. Procaccia that the petitions should be denied. However, my approach is different from that of my colleague. According to my approach, in a case of this kind, where the Knesset approves the addition of a new cabinet minister, following a proposal of the Prime Minister and a decision of the cabinet, it is doubtful whether there is any basis for intervention by the High Court of Justice. Even if the court does intervene, it will do so only in a very rare and exceptional case. The present case does not justify intervention.

2.    Section 15 of the Basic Law: The Government sets out how a new minister can be brought into an existing government. The process begins with a proposal of the Prime Minister that is brought before the cabinet. The cabinet may decide to add a new minister. The Government is required to notify the Knesset of the decision and of the position that the new minister will hold. However, these steps alone are not sufficient. It is also necessary for the Knesset give its approval to the Government’s notice. In other words, the process of adding a new minister to the cabinet is not complete without a decision of the Knesset. The need for the Knesset’s approval is a characteristic of our parliamentary system, in which the formation of a government and its continuation in office depend upon the confidence of the Knesset. Thus, s. 13(d) of the Basic Law: The Government  provides that ‘The Government is constituted when the Knesset has expressed confidence in it,…’, whereas s. 28(a) of the Law states that ‘The Knesset may adopt an expression of no confidence in the Government.’

3.    In any case of court intervention in a decision of another branch, we need to take into account the relationship between three factors: the identity of the person or body that made the decision, the nature or classification of the decision and the error  tainting the decision or the ground for intervention. We shall address each of these, but we should emphasize that in this case we are not dealing merely with a challenge to a decision of an administrative authority. The addition of a minister to the government requires, as aforesaid, a decision of the Prime Minister, a decision of the Cabinet and a decision of the plenum of the Knesset. ‘The Government is the executive authority of the State’ (s. 1 of the Basic Law: The Government ). The government is the most senior administrative authority in the state. Of course, the rules applicable to judicial review of decisions of administrative authorities also apply in principle to decisions of the government. Nonetheless, the court will exercise great caution when intervening in a government decision (see HCJ 1993/03 Movement for Quality Government in Israel v. Prime Minister [11], especially at pp. 836-837, 840-841 {316-328, 321-323}, per Justice E. Rivlin, at pp. 867-868 {359-360}, per Justice T. Or; I. Zamir, Administrative Authority, vol. 1 (1996), at pp. 89-91). Bringing a new minister into the cabinet does not take effect until the Knesset has made a decision. It follows that the success of the petition to the court depends on the court setting aside not only a decision of the most senior administrative authority, but also a decision of the Knesset. Naturally there should be a difference between judicial review of a decision of an administrative authority, and even of the Government, and judicial review of a decision of the Knesset. In our case, we are speaking of a decision of the Knesset that does not take the form of statute. Statutes are also the result of Knesset decisions, but the decisions to which we are referring give rise to different and separate questions. We are speaking of decisions of various kinds. Some of them have normative effect and may be made by various bodies in the Knesset, such as the Speaker, one of the Knesset committees, or the plenum. Since the ‘The Knesset is the parliament of the state.’ (s. 1 of the Basic Law: The Knesset), it follows that judicial review of its decisions should not be exercised in the same fashion and in the same manner as it is with regard to an administrative authority. Decisions made by the parliament, which was elected by the whole body of citizens, should not be treated in the same way as decisions of administrative authorities, even if we are speaking of the most senior authorities (see, for example, Movement for Quality Government in Israel v. Prime Minister [11], especially at p. 848 {332-333}, per Justice E. Rivlin; HCJ 73/85 Kach Faction v. Knesset Speaker [43], at pp. 158-159). When we speak of the identity of the body making the decision, we should distinguish between a situation in which a decision is made by the Knesset, such as in the present instance, and a case in which the Knesset takes no action and for that reason the administrative decision requiring the approval of the Knesset is not valid. Let us assume that the Prime Minister decides to bring a new minister into the cabinet and also that the cabinet makes a decision approving this. Were the minister to begin to act in the ministry over which he has been given responsibility before the Knesset has given its approval, we would say that the minister is acting ultra vires. If a scenario of this kind occured, it is possible that the court would act, since the seriousness of the defect is so blatant that prima facie little weight would be attached to the fact that the most senior administrative authority — the Government — has approved the appointment. Since the law requires the approval of the Knesset, if such approval was not given, it would appear that there would be a strong basis for the intervention of the court. The court’s intervention in such a case would constitute support and backing for the Knesset’s role, as opposed to intervention in a decision of the Knesset.

4.    In addition to examining the identity of the body that made the decision being challenged before the court, we should examine the decision in accordance with the nature of the act or decision. On this subject, it has been said in the past that the activity of the Knesset should be divided into three categories: legislation, decisions regarding internal parliamentary affairs, and quasi-judicial decisions (see, for example, HCJ 652/81 Sarid v. Knesset Speaker [2], at pp. 201-202 {55-56}; HCJ 1956/91 Shammai v. Knesset Speaker [44], at pp. 315-316; HCJ 971/99 Movement for Quality Government in Israel v. Knesset Committee [19], at pp. 141-142; HCJ 12002/04 Makhoul v. Knesset [26], and many other cases; A. Rubinstein & B. Medina, The Constitutional Law of the State of Israel (vol. 1, 2005), at pp. 235-259). Alongside the aforesaid three categories, there is another category of decisions — namely, decisions concerning parliamentary scrutiny of the Government. The main decision of this kind is a decision expressing confidence in the Government when it is formed. In addition to this decision, we should mention a decision of no less importance, which is the opposite decision — expressing no confidence in the Government (regarding the importance of such a decision in a parliamentary system, see Kach Faction v. Knesset Speaker [43]; C. Klein, ‘On the Legal Definition of the Parliamentary System and Israeli Parliamentarianism,’ 5 Hebrew Univ. L. Rev. (Mishpatim) 309 (1973), at pp. 312-313). Less significant powers given to the Knesset with regard to the formation of the government, its structure, and its composition, are the approval of government decisions regarding a change in the division of functions between members of the government (s. 31(a) of the Basic Law: The Government); transferring a power given by law from one minister to another (s. 31(b) of the Basic Law: The Government); combining, separating or eliminating government ministries; establishing new ministries (s. 31(c) of the Basic Law: The Government); and, of course, adding a new member to the cabinet.

5.    In addition to the aforementioned powers of the Knesset relating to the Government, the Knesset has additional powers of supervision. The ultimate possibility of exercising supervision is by means of primary legislation. The Knesset can pass various laws that increase or limit the powers of the executive branch. In this way, it is possible to exercise supervision of this branch. Another possible type of supervision is introducing a condition that the validity of subordinate legislation depend upon a decision of the Knesset (usually, one of the Knesset committees). The authority for such a requirement arises from an express provision in a Basic Law or an ordinary statute (for a general discussion of the Knesset’s supervisory role regarding subordinate legislation, see B. Bracha, ‘Towards Parliamentary Supervision of Subordinate Legislation? The Draft Basic Law: Legislation, Chapter 3,’ 7 TAU L. Rev. (Iyyunei Mishpat) 390 (1979)). In this context we should mention that this court has held that the scope of judicial review with regard to subordinate legislation that has received the approval of the Knesset is narrower than that exercised with regard to ordinary subordinate legislation that does not require such approval (see, for example, HCJ 108/70 Manor v. Minister of Finance [45], at p. 445; HCJ 491/86 Tel-Aviv-Jaffa Municipality v. Minister of Interior [46], at p. 774; HCJ 4769/90 Zidan v. Minister of Labour and Social Affairs [47], at p. 172; for a general discussion of the grounds for intervening in subordinate legislation, see HCJ 156/75 Daka v. Minister of Transport [48]). It follows that the fact that the Knesset approved an administrative decision — in that case subordinate legislation — narrows the scope of the scrutiny. In addition to supervision that has normative force, the Knesset has additional means at its disposal. We should mention the possibility of tabling motions, debates in the plenum or in one of the Knesset committees, submitting questions, and the activity of the Knesset (and especially the State Control Committee), with regard to reports and opinions of the State Comptroller (see chapter four of the State Comptroller Law [Consolidated Version], 5718-1958; for a general discussion of the Knesset supervision of government actions, see Rubinstein & Medina, The Constitutional Law of the State of Israel (vol. 2), at pp. 745-756).

6.    We therefore need to ask how we should rank the various types of Knesset decisions — legislation, parliamentary supervision, internal parliamentary matters, and quasi-judicial acts — from the viewpoint of judicial review. In other words, when will judicial review be relatively broad and when will it be narrow? There is no doubt that, with regard to primary legislation, judicial review is very limited. The court does not have the power to set aside a statute, except in those cases where there is a conflict between an ordinary statute and a Basic Law. At the other extreme of the spectrum lie quasi-judicial decisions of the Knesset or of one of its committees. Between these lie the decisions on internal parliamentary matters and decisions concerning parliamentary supervision of the executive branch. It can be said that insofar as a decision concerns the essence of the parliamentary function, namely legislation and parliamentary supervision of the executive branch, the court will tend to refrain from intervention. The relatively broad scope of intervention in quasi-judicial decisions is founded, it would appear, on the idea that the parliamentary minority needs to be protected against the excessive power of the majority (regarding the protection of a parliamentary minority, even with regard to a decision that is not quasi-judicial, see Kach Faction v. Knesset Speaker [43]; Rubinstein & Medina, The Constitutional Law of the State of Israel (vol. 1), at pp. 241-242). The difference in the scope of judicial review exercised with regard to different decisions is also explained on the basis of the political element in the decision under consideration. The greater the political element in a decision, the greater the restraint that is required of the court. This can be shown by means of a comparison between intervention in subordinate legislation that has received the approval of the Knesset and exercise of judicial review with regard to a vote of confidence in a new government. Clearly the court will intervene in a decision of the latter type only in extreme cases (see Movement for Quality Government in Israel v. Prime Minister [11]), and in cases where forgery, fraud, or a similar voting impropriety determined the result (see and cf. HCJ 5131/03 Litzman v. Knesset Speaker [49]). Decisions within the framework of parliamentary supervision are often decisions in which the political element is considerable. The court ought to distance itself from intervention in decisions of this kind (see the opinion of the majority justices in Movement for Quality Government in Israel v. Prime Minister [11]).

7.    Another factor that may affect the intervention of the court and its scope in decisions of the Knesset is the ground for the intervention or the defect in the decision or in the decision-making process. Broadly speaking, the defects can be divided into three types: ultra vires, procedural impropriety, and unreasonableness. In addition to these we should mention other defects such as discrimination, conflict of interest, incorrect interpretation of the law, and disproportionality.

8.    The defect of a procedural impropriety, in the context of judicial scrutiny of Knesset decisions, presents a special problem. The court has recognized expertise on the subject of procedural improprieties. Sometimes a claim is raised in the court that an administrative decision should not be allowed to stand because of an impropriety in the decision-making process. The willingness of the court to intervene in a decision because of a procedural impropriety is relatively high. One reason for this is that intervention on the ground of a procedural impropriety does not consider the question whether the decision on its merits was right, reasonable, or logical, since the court is not the competent body to make that decision. Another reason is that the court, and especially an appeals court, is responsible for correcting procedural improprieties that are found in the actions of lower courts. When the court sets aside an administrative decision because of a procedural impropriety, it compels the authority to act in accordance with the law. It tells the authority that it should comply with the provisions of the law in the process of making the decision. It follows that there is great justification for judicial intervention when a decision is not made in accordance with the proper procedure. On the other hand, insisting upon every detail of the proper procedure, no matter how minor, may make it difficult for the authority making the decision to function. Not every procedural defect is significant, nor should every impropriety in procedural matters result in judicial intervention. The problem is particularly obvious with regard to procedural improprieties in acts of the Knesset. There is a natural desire to refrain from judicial involvement in the activity of the Knesset, in view of the fact that the Knesset is the body elected by all the citizens of the state. This reluctance is highlighted in cases of internal parliamentary matters. This term often refers to procedural matters and the everyday proceedings of the Knesset. Therefore the court does not intervene with regard to the time at which a debate on a no-confidence motion in the government will be held (Sarid v. Knesset Speaker [2]), a petition against a decision of the Speaker of the Knesset to include a certain matter in a debate at the request of the Government when it is claimed that insufficient notice has been given (Shammai v. Knesset Speaker [44]), or a decision of the Speaker to postpone the holding of a vote on a draft law when the delay is a short one (HCJ 9070/00 Livnat v. Chairman of Constitution, Law and Justice Committee [21]). Notwithstanding, procedural defects may be very harmful, even when we are speaking of the actions of the Knesset. One example of this is the lifting of a Knesset member’s immunity without giving him an opportunity to state his case (see Pinchasi v. Knesset [23]). The justification for judicial intervention here derives from the fact that this was a quasi-judicial proceeding in which there was a serious flaw. It is possible that even when we are not speaking of a quasi-judicial proceeding in the Knesset, the court will intervene if the procedural flaw seriously harms an opposition party in the Knesset. Case law has held, in a very broad fashion, that the court will intervene if major values of the constitutional system are undermined (as in Sarid v. Knesset Speaker [2], at pp. 203-204). For example, if a decision of the Speaker of the Knesset denies an opposition party the right to address the Knesset, thereby committing a flagrant and ongoing breach of the rules of the Knesset, it is possible that the court ought to intervene. If the court does not grant relief, there would be no other body that could help to enforce the law upon the parliament. Thus, in my opinion, by intervening here the court would fulfil its classic role in the field of public law — the protection of minorities — which in this case concerns a parliamentary minority.

9.    The defect on which the petitioners base their petition against the decision to bring MK Ramon into the Government is unreasonableness. My colleague, Justice E. Arbel, accepts this argument and holds that the decision was unreasonable. My opinion is different. We should recall that in this case we are not speaking merely of a challenge to a decision of the Prime Minister and of the Government to appoint MK Ramon as a cabinet minister, but also of a challenge to a decision of the Knesset. The ground of unreasonableness is essentially different from the defects of ultra vires and procedural defect. When the court examines these two defects, the advantage and unique role of the court are self-evident. The court’s expertise in general, and in the field of administrative law in particular, relates to questions of authority and procedural flaws. We should point out that questions of authority and procedural flaws arise also in the fields of criminal law and civil law. By contrast, the court has no special advantage or expertise on the subject of unreasonableness. Admittedly, the ground of unreasonableness is not new to our law and it was recognized in the early years of the state (see, for example, CA 311/57 Attorney General v. M. Diezengoff & Co. [Navigation] Ltd [50]). Notwithstanding, in recent decades, especially since the judgment of Justice A. Barak in HCJ 389/80 Golden Pages Ltd v. Broadcasting Authority [13], it has undergone a change and has almost developed into a kind of ‘supreme norm’ (like good faith and public policy). In the course of this development, it has swallowed up, like a person whose appetite is insatiable, specific grounds for judicial scrutiny that were recognized in the past (for example, the grounds of irrelevant purposes and irrelevant considerations). The great disadvantage of this ground in its current scope lies in its high degree of abstraction. The high degree of abstraction expands the role of judicial discretion and thereby increases legal uncertainty. It creates a huge disparity between its exalted position in the legal universe and its application in a concrete case. The development of the law in common law countries is done by the courts, inter alia by means of doctrines and subtests that apply very abstract norms, whether founded on statute or case law, on a more specific level. The ground of reasonableness is different in the sense that the passage of time has not resulted in the development of norms on a lower level of abstraction, which would make it easier for us to find a concrete solution and to reduce uncertainty when a claim of unreasonableness is raised. In this it differs, for example, from the ground of disproportionality (regarding the subtests of disproportionality, see for example HCJ 3477/95 Ben-Atiya v. Minister of Education, Culture and Sport [51] (opinion of Justice A. Barak); HCJ 3379/03 Mustaki v. State Attorney’s Office [52], at pp. 907-908; HCJ 2056/04 Beit Sourik Village Council v. Government of Israel [53], at pp. 839-840 {296-297}, and many other cases). Often use is made of the concept of weight in order to emphasize the concrete application of the ground of unreasonableness. Thus it has been said on more than one occasion that a decision will be set aside for unreasonableness even if the authority that made the decision took into account all of the relevant considerations, where it gave the wrong weight to one or more of the considerations that were taken into account (see Daka v. Minister of Transport [48], at pp. 105-106; HCJ 935/89 Ganor v. Attorney General [14], at pp. 514-516 (per Justice A. Barak); HCJ 3094/93 Movement for Quality in Government in Israel v. Government of Israel [9], at pp. 420-421 (per President M. Shamgar); HCJ 4267/93 Amitai, Citizens for Good Government and Integrity v. Prime Minister [10], at p. 464, and many other cases). Admittedly metaphors, such as weight, are an accepted tool of legal language. The imagery helps the court to analyze, develop its thoughts and convey the reasoning to the reader. At the same time, the use of metaphors may sometimes make the reasoning vaguer rather than clearer. The use of the image of weight in the context of unreasonableness admittedly helps to some extent. But we cannot ignore the fact that a determination of unreasonableness is almost entirely based on an examination of the end product, i.e., the outcome of the decision. In other words, the use of the metaphor of weight with regard to considerations that the competent authority making the decision took into account can sometimes, it would seem, be used to disguise disagreement with the result. The problem is particularly acute when the authority making the decision is a collective body.

10. The decision to approve the appointment of MK Ramon to the cabinet was approved by a majority of members of the Knesset, 46 versus 24. Where a decision is made by a body composed of a number of members, it is difficult to examine the considerations that were taken into account. Even if each of the members of the body publicly stated his reasons, it is impossible, or at least very difficult, to determine the relative weight that was given to each consideration in reaching the final result, which is a collective decision. This is the reason that the duty to give reasons, which usually applies to administrative authorities and other authorities, has not been applied, at least not in full, to authorities that are collective bodies (see, for example, HCJ 89/64 Greenblatt v. Israel Bar Association [54], at pp. 409-410; HCJ 142/70 Shapira v. Bar Association District Committee, Jerusalem [55], at pp. 329-330; HCJ 306/81 Flatto-Sharon v. Knesset Committee [22], at p. 133). In the case before us, only a small number of Knesset members expressed their opinions during the debate in the plenum, and even they did not address the appointment of MK Ramon in specific terms but only in general statements (minutes of the 138th session of the seventeenth Knesset (4 July 2007). Clearly, in such circumstances it cannot be said with certainty what were the considerations that were taken into account by each of the members who voted to approve the decision. It is even harder to determine the weight given to each consideration. Therefore, what is done de facto by the judge who thinks that the decision is tainted by unreasonableness is to examine the outcome, i.e., the ramifications of the decision. Sometimes what is done in such cases can be referred to as ‘reverse engineering.’ In other words, the court examines the outcome, i.e., the decision, and in a process of hindsight it lists the considerations that it imagines were taken into account by the body that made the decision. If the final decision is unacceptable to the court, it will say that one of the considerations was given excessive weight or that a certain consideration was not taken into account at all. We therefore need to take with a grain of salt the remark that is sometimes made in this regard, that the court does not replace the discretion of the authority authorized by the law to make the decision with its own discretion (for use of this formula, see for example HCJ 4140/95 Superpharm (Israel) Ltd v. Director of Customs and VAT [56], at p. 69 (per Justice I. Zamir); HCJ 10934/02 Kefar Gaza Kibbutz Agricultural Settlement Cooperative Society v. Israel Land Administration [57], at p. 125; HCJ 4585/06 Families of the October 2000 Victims Committee v. Minister of Public Security [58], at para. 7(c) (per Justice E. Rubinstein); for a case in which, despite this statement, it was decided to intervene in the authority’s discretion, see Zidan v. Minister of Labour and Social Affairs [47]). It would therefore appear that sometimes, when the court intervenes in a decision because of unreasonableness, it is indeed replacing the discretion of the authority with its own discretion. In this case we should remember that we are dealing with a collective body of 46 members of Knesset who voted for the decision to bring MK Ramon into the Government.

From our deliberations hitherto we see that the use of the ground of unreasonableness is highly problematic, especially when a decision of a collective body is challenged on this ground.

11. I do not intend to say that we should ignore or cancel the ground of unreasonableness. In my opinion, the use of relatively narrower and more concrete grounds — such as irrelevant reasons, irrelevant purposes, or discrimination — should be preferred. These grounds or defects have a lower level of abstraction and therefore their use will reduce the scope of judicial discretion and increase legal certainty. The use of the ground of unreasonableness will be justified in extreme cases, only when all the possibilities of judicial review on the basis of more precise grounds have been exhausted, and especially when the case involves a violation of human rights. It is possible that we should return to the use of the term extreme unreasonableness, which it would appear has been forgotten to some extent. Of course, this verbal test also suffers from imprecision and involves a significant amount of judicial discretion. Notwithstanding, the use of the adjective ‘extreme’ acts as a warning to the court. The court should refrain from replacing the authority’s discretion with its own discretion, not merely as a matter of rhetoric but also in practice.

12. The petition before us raises a claim of unreasonableness with regard to a decision of the plenum of the Knesset, which gave its approval to a decision of the Prime Minister and the Government to add a minister to the cabinet. The new minister is MK Ramon, who was convicted a few months ago of a sex offence. MK Ramon was sentenced. The sentence he was given and the determination of the court that the act does not involve moral turpitude lead to the result that the conditions provided in the law were not violated by the appointment (I am, of course, referring to the provisions of s. 42A of the Basic Law: The Knesset, and s. 6 of the Basic Law: The Government). Should this court determine that the decision of the Knesset, when it approved the appointment, was unreasonable? My answer to this question is no. The body that made the ultimate decision that completed the appointment process was the parliament. The decision to approve the appointment is clearly a political one. Naturally, the members of the Knesset had a duty to take into account the fact that the new minister had been convicted of a sex offence. We cannot say how this consideration compared with other relevant considerations. The alleged defect in the decision is not one of ultra vires. The defect on which the petitioners rely does not concern a procedural impropriety in the process in which the Knesset reached its decision. We are not even dealing with a question of the interpretation of statute, nor with a decision that violated an existing right of an opposition minority. The claim is that the decision to bring MK Ramon into the Government is unreasonable. As stated, this ground is very amorphous, because of its high level of abstraction. In these specific circumstances, the court is no better placed than any citizen of the state to determine the question of the reasonableness of the decision. We are not dealing with a matter that requires legal expertise. On the basis of all the aforesaid, my conclusion is that the court should refrain from intervening in the decision.

13. The determination that the court will not set aside the decision to bring MK Ramon into the Government does not amount to a ratification of that decision (see and cf. Movement for Quality Government in Israel v. Prime Minister [11]). Non-intervention is not equivalent to giving approval or legitimizing a decision. All that the court is saying is: ‘In the circumstances of the case, it is not for the court to determine whether the decision is improper.’ The court leaves the question in the public domain. It may be assumed that there will be citizens who will think that the appointment of a cabinet minister who has committed a sex offence is absolutely wrong. They may think that such an appointment is a stain on the Government. Even if this is the case, the matter does not require the court to intervene. We are distinguishing between our opinion as citizens and our thinking as justices. Public opinion and judicial opinion are not necessarily the same thing, and it is right and proper that they should not be.

 

Petition denied by majority opinion (Justices Procaccia and Grunis, Justice Arbel dissenting).

26 Kislev 5768.

6 December 2007.

 

Doe v. District Psychiatric Board for Adults

Case/docket number: 
CrimA 3854/02
Date Decided: 
Wednesday, January 22, 2003
Decision Type: 
Appellate
Abstract: 

Facts: The Treatment of the Mentally Ill Law-1991 provides that, when a court is of the opinion that one accused of a criminal offence is unfit to stand trial, the accused may be hospitalized. The District Psychiatric Board is responsible to review the case of such a mentally ill accused person, and it can order the accused’s release from the hospital. This petition concerns the amount of time a mentally ill accused person may be hospitalized on the authority of the initial judicially issued criminal hospitalization order.

 

Held: The Supreme Court held that the treatment of the psychiatric patient must balance between the patients’ rights, on the one hand, and the public interest, on the other.  Forced hospitalization of an incompetent criminal defendant infringes his constitutional rights, including his liberty, his dignity, his autonomy and his self image, by imposing a stigma upon the accused long after his release from commitment. Nevertheless, the court stated, these constitutional rights are not absolute.  Opposite them stand the interests of protecting public peace and safety from the accused, as well as the public interest in treating the accused and protecting him from himself. Pursuant to these general principles, the Court held that a mentally ill accused person could not be held indefinitely pursuant to an initial criminal hospitalization order. As such, the Court ordered the court that had issued the original criminal hospitalization order to review the case in order o determine whether forced criminal hospitalization pursuant to the original order had become unreasonable. The Court noted that no explicit statutory provisions governed the reexamination of such criminal hospitalization orders. As such, until the Knesset examined the matter, the Court set out guidelines for the examination of such cases in the future. 

Voting Justices: 
Primary Author
majority opinion
majority opinion
majority opinion
Full text of the opinion: 

 

CrimA 3854/02

1.  John Doe

v.

1.  District Psychiatric Board for Adults

2.  The Attorney-General

 

The Supreme Court Sitting as the High Court of Justice

[January 22, 2003]

Before President A. Barak, Justices E. Mazza and D. Beinisch

 

Petition to the Supreme Court sitting as the High Court of Justice.

 

 

Facts: The Treatment of the Mentally Ill Law-1991 provides that, when a court is of the opinion that one accused of a criminal offence is unfit to stand trial, the accused may be hospitalized. The District Psychiatric Board is responsible to review the case of such a mentally ill accused person, and it can order the accused’s release from the hospital. This petition concerns the amount of time a mentally ill accused person may be hospitalized on the authority of the initial judicially issued criminal hospitalization order.

 

Held: The Supreme Court held that the treatment of the psychiatric patient must balance between the patients’ rights, on the one hand, and the public interest, on the other.  Forced hospitalization of an incompetent criminal defendant infringes his constitutional rights, including his liberty, his dignity, his autonomy and his self image, by imposing a stigma upon the accused long after his release from commitment. Nevertheless, the court stated, these constitutional rights are not absolute.  Opposite them stand the interests of protecting public peace and safety from the accused, as well as the public interest in treating the accused and protecting him from himself. Pursuant to these general principles, the Court held that a mentally ill accused person could not be held indefinitely pursuant to an initial criminal hospitalization order. As such, the Court ordered the court that had issued the original criminal hospitalization order to review the case in order o determine whether forced criminal hospitalization pursuant to the original order had become unreasonable. The Court noted that no explicit statutory provisions governed the reexamination of such criminal hospitalization orders. As such, until the Knesset examined the matter, the Court set out guidelines for the examination of such cases in the future.

 

Legislation cited:

Treatment of Mentally Sick Persons Law-1955, §6(a)

The Criminal Procedure Law [New Version]-1982, § 170

Treatment of the Mentally Ill Law-1991 §§ 10m 15(a), 16(a), 17, 21, 24(c), 28, 28(a), 28(b) 29(a), 30(a), 35(b)

 

Israeli Supreme Court cases cited:

[1]        CApp 2060/97 Valinchik v. Tel Aviv District Psychiatrist, IsrSC 52(1) 697

[2]        VCA 2305/00 John Doe v. State of Israel, IsrSC 54(4) 289

[3]        VCA 92/00 John Doe V. State of Israel, IsrSC 54(4) 240

[4]        VA 196/80 Toledano v. State of Israel, IsrSC 35(3) 332

[5]        HCJ 547/84 Of Haemek, Agricultural Society v. Ramat Yeshai Local Council, IsrSC 40(1) 113

 

United States cases cited:

[6]        Jackson v. Indiana, 406 US 715 (1972).

 

Foreign books cited:

[7]        R.D. Makay. Mental Condition Defences in the Criminal Law 219 (1995);

[8]        E. Tollefson & B. Starkman, Mental Disorder in Criminal Proceedings 115 (1993)

 

Foreign articles cited:

[9]        P. Fennel & F. Koenraadt, Diversion, Europeanization and the Mentally Disordered Offender, in Criminal Justice in Europe- A Comparative Study 171 (P. Fennel et al. eds., 1995)

[10]      A. Feinberg, Out of Mind, Out of Sight: The Disposition of Mentally Disordered Persons Involved in Criminal Proceedings, 3 Monash U.L. Rev. 134 (1975)

[11]      Grant H. Morris & J. Reid Meloy, Out of Mind? Out of Sight: The Uncivil Commitment of Permanently Criminal Defendants, 27 U.C.D.L. Rev. 1 (1993)

[12]      S.N. Verdon-Jones, The Dawn of a ‘New Legalism’ in Australia? The New South Wales Mental Health Act, 1983 and Related Legislation, 8 Int. J.L. & Psychiatry 95 (1986)

 

Miscellaneous:

[13]      9.3 The Laws of Australia, Criminal Law Principles (1993). 

 

Petition denied.

 

For the petitioners— Yehonatan Ginat

For the respondent— Hovav Arzi

 

 

JUDGMENT

President A. Barak

      Petitioner was brought to criminal trial. The court found that the petitioner was mentally ill and was unfit to stand trial. The court ordered that the petitioner be hospitalized in a psychiatric institution.  He currently resides in the psychiatric institution, and, despite his medical treatment, remains unfit for trial.  How long may this hospitalization be carried out under the authority of the original judicial hospitalization order?  Is the judicial hospitalization order limited by time, and if so, what is that limitation? This is the question before us in the petition at hand.

 

Facts and Proceedings

 

1.  The petitioner was prosecuted.  He was charged with assault and theft.  The court ruled, based on the opinion of the District Psychiatrist, that the petitioner suffered from a mental disorder, schizophrenia, and that he was not fit to stand trial.  On August 30, 1988, the court instructed that the petitioner be hospitalized pursuant to section 6(a) of the Treatment of Mentally Sick Persons Law-1955.  During his hospitalization, petitioner was once again charged with assaulting and threatening his mother. Pursuant to this indictment, an additional hospitalization order was issued against the petitioner.

 

2.  The petitioner recently approached the Psychiatric Board [hereinafter the Board].  The petitioner requested that the Board grant him a discharge, and cancel the hospitalization order issued against him.  The petitioner based his application on the findings of the doctors of the ward in which the he was hospitalized.  Those doctors had determined that the petitioner showed neither suicidal nor aggressive tendencies, and that he could be granted occasional leave. The Board rejected the discharge request.  It determined that the petitioner presented a danger both to himself as well as to others.  However, the Board decided to allow the petitioner short periods of leave, not to exceed 72 hours.  An appeal against this decision was submitted to the District Court.  The petitioner argued that there was no justification for the fact that the original hospitalization was issued for an indefinite period of time.  He also argued that there was no room to deviate from the doctors’ conclusions—certainly not without giving reasons for doing so.

 
District Court

 

3.   The District Court (Judge Berliner) ruled that the original hospitalization order was not issued for an indefinite period of time.  It also ruled that the Board was permitted to determine, based on its experience and expertise, that the petitioner continued to present a danger, both to himself and to others. The court ordered the Board to reexamine the petitioner’s condition within a month’s time and, if the Board determined that he no longer presented any danger, consider whether to discharge him or take other steps to alleviate the conditions of his hospitalization.  The court also drew the Board’s attention to the need to give reasons when determining whether a patient presents a degree of danger which differs from that suggested by his doctors.  An application for permission to appeal this judgment was submitted.  The application was accepted and permission granted.

 

Continuation of the Proceedings

 

4.  The Board reexamined the petitioner’s case.  He was not discharged from the forced hospitalization.  The Board did not change its assessment of the danger presented by the petitioner.  However, it extended the duration of the occasional periods of leave that could be granted.

 
Petitioner’s Arguments

 

5.  Petitioner argued that, in criminal proceedings, issuing a hospitalization order for an indefinite period of time is unreasonable and disproportional.  Petitioner argued that, in consideration of the long amount of time that has passed since the issue of the original hospitalization order, and taking into account the maximum sentence the petitioner would have been expected to serve had he been convicted, the Board should have cancelled the hospitalization order issued on the “criminal track.”  The petitioner noted that annulling the hospitalization order does not necessarily lead to the discharge of the petitioner from forced hospitalization, as he may still be hospitalized via the “civil track.”  The infringement of the petitioner’s liberty is less severe in civil hospitalization. The petitioner also claimed that the Board has the responsibility to give reasons for its decision, if that decision conflicts with the position of the doctors treating the petitioner. 

 

Respondents’ Arguments

 

6.  The Attorney-General (respondent 2) relies upon the District Court’s judgment.  He claims that, due to their nature, the duration of mental illness cannot be predicted, and thus the validity of judicial, criminal hospitalization orders should not be bound by time. Such limitations would disturb the delicate balance provided by the current law and would also harm the public interest.  The “civil track” is also insufficient, as it does not offer the necessary supervision and control over a person who has proven himself to be dangerous—so it is argued—by committing a criminal offense. The Attorney-General agrees that the Board must give reasons for its decision.  However, in this case, he asserts that the fact that it neglected to do so is not reason enough to invalidate the Board’s decision. 

 

The Normative Framework

 

7.  When there is an indictment, the court, whether by its own initiative or by the appeal of one of the parties, is faced with the question of whether, due to mental illness, the accused is fit for trial.  If the court decides that the accused is unfit for trial, the court must suspend the proceedings. See The Criminal Procedure Law [New Version]-1982, § 170. The court may order that the accused be hospitalized in a psychiatric institution. See Treatment of the Mentally Ill Law-1991, § 15, which states:

 

15(a) Hospitalization or Clinical Treatment of an Accused by Virtue of a Court Order

 

Where an accused person is brought to trial, and the court is of the opinion, based on the evidence before it, that the accused is not fit to stand trial by reason of his being ill, it may order that he be admitted to a hospital or receive clinical treatment;  Where the court has decided to investigate the guilt of the accused pursuant to section 170 of the Criminal Procedure Law [New Version]-1982 [hereinafter the Criminal Procedure Law], the hospitalization order issued will be valid until the investigation is complete.  When it has been completed, or the investigation has been discontinued and the accused has not been acquitted, the court shall decide on the question of his hospitalization or clinical treatment.

 

While he is in the hospital, the accused is treated by a staff of doctors.  Nevertheless, neither the staff of doctors nor the hospital’s director may order that the accused be discharged.  His liberty is in the hands of the District Psychiatric Board.  This Board reviews the case of an incompetent criminal defendant at least once every six months. Treatment of the Mentally Ill Law, § 28(a). It is authorized to approve periods of leave.  It has the authority to unconditionally discharge the patient from the hospital. Treatment of the Mentally Ill Law, § 28(b). One of those notified of the date of discharge is the Attorney-General, who may order that the accused be prosecuted for the crime he was charged with. See Treatment of the Mentally Ill Law, § 21.

 

 8.  What is the objective of hospitalizing an accused person who suffers from mental illness?  The primary objective is “to provide medical treatment.” See Treatment of the Mentally Ill Law, § 35(b). If this treatment is successful, the Psychiatric Board will order that the patient be discharged. The Attorney-General will then consider whether to continue the criminal proceedings against the accused. What is the law, however, in a case where the medical treatment is unsuccessful, such that the patient cannot be discharged from the hospital due to the danger he presents to himself and to others, and such that he cannot to be brought to criminal trial?  In such a case, the mentally ill accused will remain in the psychiatric institution on the authority of the hospitalization order. See Treatment of the Mentally Ill Law, § 35(b). This forced hospitalization infringes upon the liberty and dignity of the patient.  Nevertheless, this infringement is justified in that it is intended both for the protection of the accused as well as for the protection of society. See  CApp 2060/97 Valinchik v. Tel Aviv District Psychiatrist, [1] at 707. 

 

9.  This petition is raised against this legal background.  For what length of time may the mentally ill accused be held on the authority of a hospitalization order?  The petitioner before us has been hospitalized for over fourteen years.  Had his trial continued regularly, and had he been convicted, he would have finished serving his sentence long ago.  Can the accused be forcibly hospitalized for such a long period of time?  Does a judicial hospitalization order, which authorizes the hospitalization of the accused, have the power to compel hospitalization for a period of time which exceeds the maximum punishment the accused may have been sentenced to?  See  R.D. Makay. Mental Condition Defences in the Criminal Law 219 (1995) [7]; P. Fennel & F. Koenraadt, Diversion, Europeanization and the Mentally Disordered Offender, in Criminal Justice in Europe- A Comparative Study 171, 175 (P. Fennel et al. eds., 1995) [9].  And if the Psychiatric Board does not order that the accused be discharged, will he be held in the hospital for the remainder of his life, only because of a hospitalization order issued after charges of assault and theft?  Does this not amount to life imprisonment without the possibility of a pardon? See A. Feinberg, Out of Mind, Out of Sight: The Disposition of Mentally Disordered Persons Involved in Criminal Proceedings, 3 Monash U.L. Rev. 134, 144 (1975) [10].

 

10.  It must be noted that the alternative to the indefinite validity of the judicial hospitalization order is not the discharge of the mental patient. We assume that the accused continues to pose a danger, both to himself and to others.  Thus, continuing the forced hospitalization is justified.  Yet, is it justified that his hospitalization be carried out under the authority of a judicial hospitalization order which originates from a criminal charge that cannot be prosecuted?  In order to understand this dilemma, it is appropriate to clarify that forced hospitalization on the authority of a judicial hospitalization order issued during a criminal proceeding is not the only form of forced hospitalization recognized by the law. See, e.g., Treatment of the Mentally Ill Law, § 17 (examination of a suspect); Treatment of the Mentally Ill Law, § 16(a) (hospitalization of a suspect); Treatment of the Mentally Ill Law, § 15(a) (hospitalization of the accused). In addition to criminal hospitalization under the authority of a judicial order ("the criminal track"), the law also recognizes hospitalization on the authority of a “civil” hospitalization order (“the civil track”). See VCA 2305/00 John Doe v. State of Israel [2].  A comparative study of the criminal and civil tracks shows that the infringement upon the mental patient’s liberty is more severe in the criminal track.  Justice M. Cheshin correctly noted:

 

Comparing the status of those moving along the civil tack to the status of those moving along the criminal track will reveal to us—unsurprisingly—that the status of the former is more comfortable than that of the latter; the civil track is more comfortable for the patient; the criminal track more difficult.

 

John Doe, [2] at 311. Thus, for example, in the criminal track, only the Psychiatric Board is authorized to discharge a mentally ill accused, and only it has the authority to grant periods of leave. Treatment of the Mentally Ill Law, § 28. In the civil track, on the other hand, the director of the hospital may discharge the patient from the hospital and approve periods of leave. Treatment of the Mentally Ill Law, § 30(a). Furthermore, in the criminal track, the forced hospitalization, on the authority of the judicial order, continues until the Psychiatric Board orders that the accused be discharged. Treatment of the Mentally Ill Law, § 28. In the civil track, on the other hand, the period of hospitalization cannot exceed six months, unless the Psychiatric Board extends the period, and each additional extension cannot exceed six months. Treatment of the Mentally Ill Law, § 10.

 

11.  As such, the real question before us is for what length of time may a mentally ill accused person be held on the criminal track?  Is there not a point in time at which the accused may no longer be held through the criminal track, and where the hospitalization must be carried out through the civil track, which is more comfortable for the mental patient?  Of course, on both tracks, the mental patient will be discharged from hospitalization if such discharge is medically justified.  However, where the mental patient presents a danger to himself and to others in such a way as to justify his forced hospitalization, when should the mental patient be transferred from the criminal track to the civil track?

 

12.  These questions are not unique to us.  They have arisen in several modern democracies.  In the United States, for example, in the State of Indiana, a law was in effect which allowed the indefinite pretrial commitment of incompetent criminal defendants The Supreme Court of the United States unanimously ruled that this law was unconstitutional.  It ruled that a period of judicially forced hospitalization can last only for the period of time reasonably necessary to decide whether the accused will, in the future, be fit for trial.  Justice Blackmun wrote:

 

We hold, consequently, that a person charged by a State with a criminal offense who is committed solely on account of his incapacity to proceed to trial cannot be held more than the reasonable period necessary to determine whether there is substantial probability that he will attain that capacity in the foreseeable future.  If it is determined that this is not the case, then the state must either institute the customary civil commitment proceeding that would be required to commit indefinitely any other citizen, or release the defendant.  

 

Jackson v. Indiana, 406 US 715, 738 (1972) [6]. Following this judgment, a number of states changed their laws.  The new statutes generally established a period of time, after which the mentally ill criminal defendant would be transferred to a civil track. See Grant H. Morris & J. Reid Meloy, Out of Mind? Out of Sight: The Uncivil Commitment of Permanently Criminal Defendants, 27 U.C.D.L. Rev. 1, 9 (1993) [11] [hereinafter Morris & Meloy].  In Canada, the Penal Law specifies the maximum period that an incompetent criminal defendant may be forcibly hospitalized.  After that period has passed, if the accused continues to present a danger, he may be hospitalized under civil legislation. See E. Tollefson & B. Starkman, Mental Disorder in Criminal Proceedings 115 (1993) [8] [hereinafter Tollefson & Starkman].  In New South Wales, Australia, the law establishes a special mechanism through which an incompetent criminal defendant is transferred from the criminal track to the civil track. See S.N. Verdon-Jones, The Dawn of a ‘New Legalism’ in Australia? The New South Wales Mental Health Act, 1983 and Related Legislation, 8 Int. J.L. & Psychiatry 95, 110 (1986) [12] [hereinafter Verdon-Jones].

 

13.  What, then, is the law in Israel?  The law contains no explicit provision regarding a maximum time period for a judicially ordered hospitalization issued during a criminal proceeding.  Furthermore, there is no explicit provisions concerning the transfer of an accused from the criminal track over to the civil track.  Does this mean that the judicial criminal order is indefinite, and that so long as the Psychiatric Board does not order that the mentally ill accused be discharged, in accordance with its authority under section 28(b) of the law, he will remain hospitalized via the criminal track?

 

14.  Our response to these questions is that the Treatment of Mentally Sick Persons Law-1991 is deficient in that it does not explicitly regulate the issue at hand.  We hope that, following this judgment, the law will be amended and will provide a comprehensive statutory arrangement which appropriately balances the psychiatric patient’s liberty against concerns of public safety.  Yet, until the law is amended, can we not offer any assistance?  Our response is that although we cannot, through judicial means, set up the mechanisms and institutions which can only be established through legislation, we can make progress towards the proper arrangement with the few legal tools at our disposal. 

 

15. The Treatment of Mentally Sick Persons Law-1991 does not stand alone.  It is one link in a long chain of Israeli legislation.  It exists within the framework of the Israeli legal system, which constitutes the “normative material” in which the law is embedded.  This normative framework includes values and fundamental principles which constitute the objective goals of the law.  Relevant to the issue at hand is the principle of reasonableness.  We must keep in mind that the psychiatric patient’s treatment demands that we reasonably balance between the patients’ rights, on the one hand, and the public interest, on the other.  Forced hospitalization of an incompetent criminal defendant infringes his constitutional rights, including his liberty, his dignity, his autonomy and his self image, by imposing a stigma upon the accused long after his release from commitment. See Valinchik [1]; VCA 92/00 John Doe V. State of Israel, [3] at 249-51; VA 196/80 Toledano v. State of Israel, [4] at 336.  Nevertheless, these constitutional rights are not absolute.  Opposite them stand the interests of protecting public peace and safety from the accused, as well as the public interest in treating the accused and protecting him from himself.

 

16.  The principle of reasonableness also applies to hospitalization orders issued by judges during criminal proceedings. Compare HCJ 547/84 Of Haemek, Agricultural Society v. Ramat Yeshai Local Council, [5] at 141.  It also applies to the conditions for issuing those orders, as well as to the conditions for their continuing validity.  Hospitalization orders lie outside the “zone of reasonableness” when it becomes apparent that there is no longer an actual probability that the mentally ill accused will become fit for trial. Hospitalization orders also go fall outside the zone of reasonableness when—regardless of the probability of the defendant eventually becoming fit for trial—the ratio between the period of time the accused has been hospitalized and the maximum sentence that the accused would have received had he been convicted is unreasonable.  In these and other situations, continuing to implement the hospitalization order may become unreasonable over time. 

 

Comparative law may also be of aid here.  In a number of states of the United States, the period of hospitalization via the criminal track may last only as long as the maximum period of imprisonment which one would have served for committing the crimes he has been charged with. See Morris & Meloy, [11] at 16-17.  In contrast, in some of the states, there is one uniform hospitalization period set for all offences. Morris & Meloy, [11] 14-15. Canada has implemented the “caps” method, which divides criminal offences into three categories and sets a maximum period of “criminal track” hospitalization for each.  In the first category, which includes offences such as treason and murder, the maximum period is hospitalization for life.  In the second category, which includes offences for causing bodily harm or compromising national security, the maximum period is hospitalization for ten years.  The third, residual category consists of the remainder of unspecified offences, and the maximum period of hospitalization for these offences is two years. See Tollefson & Starkman, [8] at 116.  New South Wales, in Australia, employs a different method.  There, when a person is held to be unfit for trial, his case is transferred to a Psychiatric Tribunal which assesses whether he will become fit for trial within the next 12 months.  If the tribunal determines that he will become fit for trial, the court then orders that he be hospitalized for that period of time.  If, on the other hand, the tribunal decides that the defendant will not recover within one year, the Public Prosecutor must decide whether a special hearing should be held or whether the charges should be dropped.  This hearing is held in a manner which is as similar as possible to criminal proceedings, and it may result either in acquittal, acquittal by reason of mental illness, or a ruling that the crime was committed.  If the hearing concludes that the crime was indeed committed, the court must rule on whether the accused would have been sentenced to imprisonment had he been fit for trial and been convicted. This period is called the “limiting term,” and it constitutes the maximum period for “criminal track” hospitalization. See 9.3 The Laws of Australia, Criminal Law Principles 133-34 (1993).  This law also grants the court the authority to determine that a patient who is unfit for trial be considered a “continued treatment patient,” thus entitling him to the rights to which a patient hospitalized via the civil track is entitled. See Verdon-Jones, [12] at 113. 

 

17.  What is the result when the duration of the hospitalization order lies outside the zone of reasonableness?  The result, of course, is not the immediate cancellation of the order, nor is the mentally ill accused allowed to leave the hospital as he wishes.  Such a result would be unreasonable and should be avoided.  Hospital gates should not open of themselves.  A conscious determination is necessary, which may not lead to the release of the patient, but rather to transferring him from the criminal track to the civil track.  What conscious determination must be made and who is to make it?   It is of course appropriate that these questions be explicitly answered in legislation.  Yet, what is the law where such an explicit provision is absent?  It is insufficient to simply determine that in principle, the hospitalization order is unreasonable.  Detailed arrangements are needed to actualize this determination.  What are these arrangements and what is their legal basis?

 

18.  It seems to me that the answer to these questions is that the court must decide whether the hospitalization order should be cancelled.  The court issued the original hospitalization order, and it is responsible to decide whether time has brought the need for its cancellation.   A hospitalizing order is not automatically cancelled as a result of its having becoming unreasonable.  However, unreasonableness is a cause for the cancellation of the hospitalization order by whoever issued it, namely, the court itself.  So long as the court has not cancelled the hospitalization order, it remains valid.  No other official may cancel the hospitalization order.  As such, we are of the opinion that the Psychiatric Board does not have the power to cancel the hospitalization order.

 

19.  How will the court become aware of the need to reconsider the reasonableness of the hospitalization order?  Usually, the court does not act of its own initiative.  It must be prompted by an interested party.  Who is this party?  Of course, the psychiatric patient himself is allowed to approach the court and request the annulment of the hospitalization order.  However, due to his condition, this task must not only be left to him.  An institutional arrangement that has the ability to follow the development of the situation must be ensured.  For this reason, we should also not be satisfied with granting permission to the relatives of the accused.  Which institutions may here be considered?  One of the institutions which may be considered is the Psychiatric Board.  It reviews the psychiatric patient’s case every six months. See Treatment of the Mentally Ill Law, § 28(a).  It is familiar with the psychiatric patient's condition.  It is aware of whether there is an actual probability that the accused may be fit for trial, and what the chances of his recovery are.  A jurist who is able to assess the necessity of approaching the court stands at the head of the Board. See Treatment of the Mentally Ill Law, § 24(c).  One of the obstacles before such a resolution is that the Psychiatric Board is a statutory body of limited authority.  I doubt that the authority to approach the court in the matter at hand falls within its authority.

 

20.  Another institutional agent is the Attorney-General.  He charged the accused, and is aware of the hospitalization order.  He has the ability to appeal the decisions of the Psychiatric Board before the court. See Treatment of the Mentally Ill Law, § 29(a).  As such, he has information regarding the condition of the accused.  As one who is appointed over the public interest, he has the responsibly, and the means, to follow the development of the situation and examine whether the continuing validity of the hospitalization order lies outside the zone of reasonableness. He has the ability to turn to the court and request that the hospitalization order be cancelled or that the charges be dropped.  As one who is responsible for the public interest, he also has the ability to approach the District Psychiatrist and encourage him to transfer the patient from the criminal track to the civil track. 

 

21.  Thus, absent specific legislation, and so long as such legislation has not been passed by the Knesset, the practical resolution which may be achieved within the bounds of the law is that the Attorney-General shall be responsible for ensuring the continuing reasonableness of the hospitalization order. It is appropriate that, for this purpose, detailed guidelines be set out which arrange a system for supervising the hospitalization of the accused.  Within the framework of this system, the Psychiatric Board may be asked to report to the Attorney-General regarding its decision for continuing to hospitalize the accused.  Furthermore, the guidelines may also specify that, after a certain period of time, the Attorney-General will examine the need to continue hospitalizing the accused via the criminal track.  If the Attorney-General is of the opinion that there is room to cancel the hospitalization order, he may approach the court.  He can simultaneously approach the District Psychiatrist, in order to bring to his attention the need to transfer the accused to the civil track.  Additionally, the guidelines may specify a maximum period of hospitalization that a mentally ill accused may remain on the criminal track.   When designating this period, The Attorney-General can draw upon the comparative law here discussed.  The Attorney-General will have to take into account the nature of the offence that the mental patient is charged with, its severity, the conditions under which it was committed, the sentence specified by the law, the amount of time which has passed since the beginning of his hospitalization, as well as the patient’s chances of recovery.  In our opinion, this solution, whereby the authorities will be directed by detailed, clear guidelines, is the proper resolution to be implemented until the Knesset considers this matter.  We are aware that our resolution is not free of difficulty.  However, these difficulties pale in comparison to the current situation, where an accused may be forcibly hospitalized under the authority of an unreasonable hospitalization order.

 
From the General to the Specific

 

22.  The case at hand cries for help.  For over fourteen years the petitioner has been in a psychiatric institution under the authority of a hospitalization order.  He has been forgotten, and had it not been for his commendable attorney, he would probably have continued in that situation for some time.  The attorney acted admirably in approaching the District Court.  The court must examine the accused’s case.  It must hear the Attorney-General’s opinion regarding the continuing validity of the charge and the validity of the hospitalization order.  It must decide whether there is room to cancel the hospitalization order, while also taking into account the arrangements for hospitalization via the civil track.

 

The result is that we grant this appeal, and return the case to the District Court so that it may rule in accordance with par. 22.

 

Justice E. Mazza

I agree.

 

Justice D. Beinisch

I agree.

 

 

Petition Granted.

January 22, 2003

 

 

 

 

 

Translated by:   Leora Dahan

Edited by:             Eli Greenbaum

 

Comments, questions and suggestions are all welcomed, and may be directed towards elig@supreme.court.gov.il

 

 

 

 

 

 

 

 

Deutsch v. Attorney General

Case/docket number: 
CrimA 1/52
Date Decided: 
Thursday, April 29, 1954
Decision Type: 
Appellate
Abstract: 

The effect of the provision in section 217 of the Criminal Code Ordinance, 1936, 1) that "an  unlawful omission is an omission amounting to culpable negligence to discharge a duty (of care)..." is that a person can be convicted of the offence of manslaughter, defined in section 212 2) as "causing the death of another person by an unlawful act or omission", only where it is proved:

 

(a) that the lack of care on the part of the accused amounted to "gross negligence", that is to say, was a serious divergence from the standard of reasonable care, and

 

(b) that the accused acted as he did out of "recklessness", that is to say, after foreseeing that his conduct was liable to endanger the life or person of another.

 

Semble, where the negligence of the accused does not amount to gross negligence, but his recklessness expresses itself in indifference to the consequences of his omission, it is possible and also right to convict him of manslaughter as defined in section 212.

               

The accused, an architect supervising the work of repairing the roofs of abandoned houses in a village, being in need of a certain material for the work, went with a party of workmen to dig that material out of a bank at the roadside. The bank had a portion overhanging a cavity like a roof, and the accused, who was supervising the operation, directed the workmen to dig in the cavity. Two officials of the Public Works Department passed by and warned the accused of the danger of a landfall. Notwithstanding that warning, the digging proceeded. The bank fell in and two workmen were killed.

 

Held : the accused was guilty of manslaughter.

               

Held further: though the sentence of six months' imprisonment imposed upon the accused by the District Court was not, in the circumstances, excessive, it would nevertheless not be confirmed on appeal, the offence having been committed in January, 1950, and the appeal having been heard only in January, 1954.

Voting Justices: 
Primary Author
majority opinion
majority opinion
majority opinion
Full text of the opinion: 

Crim.A. 1/52

 

SHMUEL DEUTSCH

v.

THE ATTORNEY-GENERAL

 

 

In the Supreme Court sitting as a Court of Criminal Appeal.

[April 29, 1954]

Before Agranat J., Goitein J. and Sussman J.

 

 

Criminal Law - Criminal Code Ordinance, 1936, sections 212, 217 - Manslaughter - Causing death through unlawful omission - Culpable negligence - Serious divergence from standard of reasonable care - Recklessness - Sentence - Long period between conviction and appeal.

 

            The effect of the provision in section 217 of the Criminal Code Ordinance, 1936, 1) that "an  unlawful omission is an omission amounting to culpable negligence to discharge a duty (of care)..." is that a person can be convicted of the offence of manslaughter, defined in section 212 2) as "causing the death of another person by an unlawful act or omission", only where it is proved:

(a) that the lack of care on the part of the accused amounted to "gross negligence", that is to say, was a serious divergence from the standard of reasonable care, and

 

(b) that the accused acted as he did out of "recklessness", that is to say, after foreseeing that his conduct was liable to endanger the life or person of another.

 

            Semble, where the negligence of the accused does not amount to gross negligence, but his recklessness expresses itself in indifference to the consequences of his omission, it is possible and also right to convict him of manslaughter as defined in section 212.

           

            The accused, an architect supervising the work of repairing the roofs of abandoned houses in a village, being in need of a certain material for the work, went with a party of workmen to dig that material out of a bank at the roadside. The bank had a portion overhanging a cavity like a roof, and the accused, who was supervising the operation, directed the workmen to dig in the cavity. Two officials of the Public Works Department passed by and warned the accused of the danger of a landfall. Notwithstanding that warning, the digging proceeded. The bank fell in and two workmen were killed.

 

            Held : the accused was guilty of manslaughter.

           

            Held further: though the sentence of six months' imprisonment imposed upon the accused by the District Court was not, in the circumstances, excessive, it would nevertheless not be confirmed on appeal, the offence having been committed in January, 1950, and the appeal having been heard only in January, 1954.

 

 

            Israel cases referred to:

(1)       Cr. A. 125/50 - David Ya'acobovitz v. The Attorney-General (1952). 6 P.D. 514.

(2)       Cr. A. 54/51 - Shaul Freiberg v. The Attorney-General (1951), 5 P.D. 1353.

(3)       C.A. 224/51 - Noah Pritzker and Ore. v. Moshe Friedman (1953), 7 P.D. 674.

(4) Cr. A. 35/52 - Shalom Rotenstreich v. The Attorney-General (1953), 7 P.D. 58.

(5)       Cr. A. 80/53 - Dov Herman v. The Attorney-General (1953), 7 P.D. 1006.

(6)       Cr. A. 153/51 - Ben-Zion Shvili v. The Attorney-General (1952), 6 P.D. 470.

(7)       Cr. A. 268/53 - Sara Sofrin v. The Attorney-General (1954), 8 P.D. 401.

 

English cases referred to:

 

(8)       Andrews v. Director of Public Prosecutions (1937), 26 Cr. App. R. 34.

(9)       R. v. Bateman (1925), 19 Cr. App. R. 8.

(10)     R. v. Alexander Gordon Bonnyman (1942), 28 Cr. App. R. 131

(11)     Akerele v. The King (1943) A.C. 255.

(12)     Dabholkar v. The King (1948) A.C. 221.

(13)     The Queen v. Senior (1899) 1 Q.B. 283.

(14)     R.v. Henry Burdee (1916), 12 Cr. App. R. 153.

 

American case referred to:

 

(15)     State v. Custer (1929) 67 American Law Reports 909.

 

Caspi for the appellant.

Miriam Ben-Porat, Deputy State Attorney, for the respondent.

 

AGRANAT J. The question that arises in the appeal before us is as follows: what elements must the court find to have been proved before it may convict a person accused of manslaughter under section 212 of the Criminal Code Ordinance, 1936, who has been charged with causing the death of another by an unlawful omission. Section 217 of the Ordinance defines the expression "an unlawful omission" as an omission "amounting to culpable negligence to discharge a duty          whether such omission is or is not accompanied by an intention to cause death or bodily harm". The problem before us therefore is confined to the question of the meaning to be assigned to the expression "culpable negligence to discharge a duty". However, even if the problem is limited in scope. the solution which the English courts have purported to find is far from clear.

 

            The facts of the occurrence were detailed clearly by Judge Many in the court below, and we may therefore state them here shortly: -

           

          The appellant, an architect who has experience in building both in this country and in other countries, was employed in January, 1950, by the Jewish Agency to direct the work of repairing the roofs of abandoned houses in the village of Eshtaol. The appellant was required, in carrying out his task, to bring certain impermeable material known locally as "nari" to the site of the work for the purpose of executing the repairs referred to. On the morning of January 18, 1950, the appellant, therefore, accompanied by eight Yemenite workers and two Arabs who were experts in the repairing of roofs, travelled by truck to a point near Kilometre 31 on the Jerusalem-Tel Aviv highway. The appellant then ordered the workmen to dig the material in question from the side of a hill on the left side of the highway travelling towards Tel Aviv, to gather the material together and to load it on to the truck. The place where the workmen carried out the digging operations is described by the learned Judge as follows:

           

"The road at this point was dug into the mountainand passed between two hillsides which were like steep walls. The wall on the left side of the highway opposite which the truck stood was about three meters high, and was about two and a half meters from the edge of the highway. This wall was not straight but arched: the bottom portion of it was dug curving inwards so that the upper portion formed a kind of roof which jutted outwards for a distance of a meter and a half. This stretched for a distance of ten meters parallel to the highway".

           

            While the workmen were busy digging out the material and loading it onto the truck - for the third time - the witness Elkind, who at that time was the Inspector of Roads in the Public Works Department for the District of Jerusalem, and his assistant, the witness Kalzon, happened to arrive at the spot. They passed under the overhanging rock in which some of the workmen were digging and when they realized the position that had been created as a result of the digging. they warned the appellant of the danger to all those who were there of a possible landfall. In order to stress more strongly the necessity of the immediate removal of the workmen they even told the appellant that when they themselves had to get material of this kind, they did not take it from that place because of the fear of a landfall, but dug it out from a place a few kilometers away. These two witnesses left the place immediately thereafter, and after about twenty minutes a landfall occurred in which two of the workers, Yihye Hazabi and Haim Levi, were killed.

 

            According to the version of the prosecution - which was accepted by the Court in its judgment - the landfall took place at the same spot where the workmen were gathering the material while the witnesses Elkind and Kalzon happened to be there, from which it follows that the appellant paid no attention whatsoever to the warning which he had received.

           

            In the light of the above facts and upon the basis of expert evidence which was led, the learned Judge reached the following conclusions:

           

“(a) that the place where the digging operations were carried out was a dangerous place because of its structure, and that it was made more dangerous by these operations and the manner of their executions so as to constitute a serious danger to the lives and safety of the workmen working there;

 

(b) that the appellant, by virtue of his duty and his presence at the place, was responsible for the safety of the workmen, and that it was his duty to take appropriate safety measures to eliminate all danger to life and limb:

 

(c) that the appellant was obliged, therefore, to erect supports to prevent the overhanging roof from collapsing:

 

(d) that the appellant was in any case obliged after he had been warned of the danger of a landfall, to instruct the workmen to stop working and to leave the place;

 

(e) finally, that the failure to take the safety measures referred to above constituted culpable negligence in the discharge of his duties by the appellant."

 

            The Judge therefore found the appellant guilty of manslaughter under section 212 of the Ordinance in causing the death of the two workmen mentioned, and sentenced him to six months' imprisonment.

           

            In terms of the definition of "an unlawful omission" quoted above from section 217, the liability of the accused flows from the existence of a specific duty imposed upon him, the breach of which on his part caused the death of the victims. Did the accused, then, owe a duty such as this? And, if so, of what did this duty consist? In my opinion the answer to this latter question may be found, in view of the facts of this case as described above, in the provisions of section 231 of the Ordinance which provides as follows: -

           

"It is the duty of every person who... undertakes...to do any lawful act which is or may be dangerous to human life or health, to have reasonable skill and to use reasonable care in doing such act; and he is held to have caused any consequences which result to the life or health of any person by reason of any omission to observe or perform that duty".

           

            There is no doubt that this provision applies also to the case before us: first, because the digging out of the material in the place described - having regard to its structure - was in the nature of a dangerous act, and, secondly, because the appellant was obliged - in the course of his duties as director of the work and in view of the fact that the workmen who were employed there were obliged to obey his instructions - to supervise the execution of the work in such a way that those workmen would come to no harm. It follows indeed from the evidence of the experts that a director of building works possessing normal competence would be alive to the danger of a landfall resulting from the carrying out of digging operations at the place in question, and would do one of two things: (a) either see to it that the roof was properly supported or (b) refrain from continuing the digging operations at that place. Since the appellant did neither of these things he did not perform the duty described in section 231. More particularly did he fail to perform this duty since the imminent danger of a landfall had been made clear to him by the warning given by Elkind and Kalzon, and he failed to instruct the workmen to stop their work and leave the place.

 

            Mrs. Ben-Porat, counsel for the respondent, stressed the requirement of "reasonable skill", which, in the definition cited above, is also mentioned as a legal duty - and she submitted that the appellant was guilty of a breach of this duty since he admitted in his evidence that he possessed no experience either in the repair of roofs or in digging operations and the gathering of material. In other words, according to the argument of counsel for the respondent, the very fact that the appellant undertook the duty of supervising the work of repairing roofs and the digging of the material necessary for this task, in itself constitutes negligence, and even culpable negligence. The Judge, however, did not base his conclusions on this evidence of the appellant, and it is doubtful whether he believed the evidence - although it was in the nature of an admission against the accused's interest. In view of the qualifications of the appellant as a building architect, and the period during which he had followed his profession, it is indeed difficult, if not impossible, to accept this evidence as true; it is reasonable to assume that the evidence was given in an effort to find an escape from criminal responsibility by claiming professional ignorance in this field.

           

            Counsel for the appellant submitted that the learned Judge had not weighed the evidence brought by the defence that his client did instruct his workmen, after Elkind and his assistant had left the place, to move a distance of 9 to 10 meters in the direction of Jerusalem, and gather the material in a cavity there, the depth of which was less than that of the area in which they originally worked, and that the landfall actually occurred at this latter place. Had the learned Judge considered this version, Mr. Caspi emphasised, he would perhaps have drawn the conclusion that the appellant - as he stated in evidence - did certainly pay attention to the warning of Elkind and that, in giving his workmen the instruction referred to, he did exercise reasonable care.

           

            Alternatively, counsel for the appellant submitted that the Judge overlooked the evidence of Elkind who said to the appellant that "he must clean the trench as soon as he leaves the place", a fact which shows that even in the opinion of the witness there was no immediate danger.

           

            In my opinion there is no solid foundation for either of these submissions. In the first place the learned Judge held quite clearly that "after the above warning... the accused paid no regard to what was said by the witnesses Elkind and Kalzon - to leave the place - and did not stop the workmen from continuing to gather the material there". It follows from this that the Judge preferred to accept the evidence of those witnesses who testified for the prosecution and who stated clearly that the landfall occurred in the very place where the workmen had been working when those two persons happened to come there - than to believe the version given by the defence. However, even if the version of the defence had been accepted, it would have no practical importance in regard to the final result of the case, in view of the proximity of the two places in which the cavities referred to were found.

            In the second place - and here I deal with the other submission of counsel for the appellant - there is no comparison between the cleaning of the material out of the trench mentioned by Mr. Caspi - which was a matter of a few minutes - and continuing to collect the material which had been dug out of the actual cavity for twenty minutes after the warning had been given. From this it follows that Elkind's request in regard to the cleaning of the trench did not diminish the duty of the appellant to take immediate steps in order to prevent injury to the workmen under his supervision.

            It follows from what I have just said that the appellant did not perform the duty which, in the circumstances of this case, was imposed upon him by section 231, and this omission on his part must therefore be regarded as the cause of the death of the two workmen. This conclusion, however, does not complete our enquiry, for we must still determine whether the omission of the appellant constitutes "culpable negligence" in the performance of the duty referred to.

            It is my own opinion that the legislator did not quite accurately define in section 217 the expression "unlawful omission". It would have been wiser, in my view, to have used the word "neglect" - or some similar word - in place of the word "negligence" so that the definition would have read: "an unlawful omission is an omission amounting to culpable neglect to discharge a duty...". In order to clarify the basis of my opinion - and more particularly to understand fully the intention of the legislature in regard to the requirement of "culpable negligence (or neglect)" - I find it necessary to deal with the meaning of the expression "negligence". This expression is used in three different senses, each of which serves its own purpose. It is necessary, therefore, to ascertain the meaning of the expression "negligence" according to the context in which it is used.

 

            . (a) Experience has shown that in many cases a person causes bodily injury to another by an act or omission because he did not anticipate that his conduct would lead to this result, although an ordinary reasonable man in like circumstances would have anticipated such a result as a likely possibility. This mental state of not anticipating the result of one's conduct is therefore called "negligence", to distinguish it from "mens rea" which includes, as a basic element, just such an anticipation of the future.

           

            I have already dealt elsewhere with this aspect of negligence (see Ya'acobovitz v. The Attorney-General (l) supra). It means therefore the existence of a negative state of affairs: the person who causes the damage does not anticipate the result of his conduct. It is clear that there is no room here for "degrees" or "standards" of negligence. What I wish to say is this: in all these cases there exists only one of two possibilities, either the person who causes the damage has considered the danger to be anticipated from his conduct, or he has not done so. If he has not done so then he is "negligent", but his failure to do so, that is his negligence, cannot be graded in any form since to a negative idea there are no degrees.

           

            There is no doubt that the legislature did not intend to refer to "negligence" in this sense in section 217. The emphasis at the conclusion of the section that an omission shall also be unlawful when it is accompanied by an intention to cause death or bodily harm contradicts the idea that the element of anticipation is to be excluded, for intention necessarily includes this element.

           

            (b) The expression "negligence" is also used to indicate con­duct which expresses itself in failure to observe an objective standard of care which is determined “according to the understanding and conduct of an ordinary reasonable man" (Freiberg v. The Attorney-General (2)). The question when a particular person owes a duty of care (a question with which we are not dealing at this stage) and whether he exercised reasonable care, are two separate and distinct questions, despite the factual connection which sometimes exists between them and which sometimes even obscures their boundaries. This is clear from the eve

nts described in Pritzker v. Friedman (3), in connection with which I made the following comment: -

 

            "The truth is that the respondent in fact took no safety measures when he moved or intended to move the car in reverse, and it is this fact which constitutes the reason... for the injury to the deceased. It is in this sense that there exists the "proximity" between the respondent's lack of care and the fatal result. The fact, however, that the respondent took no safety measures whatsoever and thereby caused the result described does not mean that he owed a duty of care towards the victim...".

           

            The conception of "contributory negligence", which means no more than lack of care on the part of the victim without the existence of any duty of care on his part, may also serve as an example in the case before us.

           

            Negligence in this sense, therefore, is nothing more than lack of care and is certainly reasonably susceptible of gradation. That is to say, when the discussion relates to a deviation from an objective norm of care the possibility exists - according to the circumstances of the case - of a serious deviation, an ordinary deviation, a negligible deviation and so forth (see Charlesworth on Negligence, second edition, p. 5). 'Gross negligence" says Glanville Williams (in his book "Criminal Law - The General Part", p. 88) means that the conduct of a person who causes harm has deviated widely from that of the reasonable man".

           

            It is obvious that the expression 'negligence" in this sense has no place in the definition in section 217. “The expression negligence - (read: lack of care) - in the discharge of a duty" in respect of one of the types of duty spoken of in section 231, since such duty in itself demands conduct which reaches a certain standard of care, would be tautologous.

           

            (c) There is also the civil wrong of negligence in section 50 of the Civil Wrongs Ordinance, 1944. This tort, as is well-known, contains three elements:

           

 (1) a duty of care (2) breach of this duty (3) the causing of damage. It is clear that the second of these elements is identical with aspect (b) of negligence mentioned above. The civil wrong, however, which is aspect (c) above, is a conception embracing more elements for it also demands the existence of the first and third elements referred to. A person can be careless without committing a breach of any duty and also without causing damage to anyone. As I have already shown, however, a person cannot be liable for the payment of damages for negligence unless a duty of care was imposed upon him and he has caused damage to another.

 

            This aspect - as well as the second aspect mentioned - differs from the first aspect in that it requires the court to conduct a purely objective investigation, that is to say, without ascertaining whether the defendant paid attention to the danger which could be anticipated from his conduct or not. Williams writes (ibid. page 82): "In the law of tort negligence has an objective meaning. It signifies a failure to reach the objective standard of the reasonable man, and does not involve any enquiry into the mentality of the defendant". He adds: "the same rule prevails in criminal law, in those spheres where negligence is recognised at all".

           

            It is for this reason that it was held by Cheshin J. - who was of opinion that in enacting section 218 of the Ordinance the legislature merely introduced into the area of the criminal law the principles of negligence in English Civil Law - that for the purposes of the misdemeanour created by that section, it is only necessary to prove (a) the existence of a duty of care on the part of the accused towards his victim; (b) breach of that duty; (c) and as a result of that breach, the causing of the death of the victim (see Rotenstreich v. The Attorney-General (4)).

           

            This aspect too - including as it does the element of conduct amounting to a lack of reasonable care (the second aspect) - does not explain the use of the expression "negligence" in association with the words "negligence to discharge a duty" in section 217, for again it cannot be said that a man was negligent in the discharge of a duty not to be negligent.

           

            It is for these reasons that I am of the opinion that the expression "neglect" would be more appropriate in the context referred to. I think that this is so not only in regard to the failure to discharge one of the duties of care mentioned in section 231 - and also section 232 - but also where it is intended to refer to the failure to discharge any of the duties mentioned in the remaining sections of Chapter XXIV of the Ordinance to which the legislature has attributed a definite specific content without reference to the standard of an ordinary reasonable man.

 

            And if it be asked why the legislator used the expression "negligence" - of all expressions - in section 217, I would make bold to reply that he copied what seems to me to be a linguistic error in Stephen's Digest of the Criminal Law, in which the offence of man­slaughter with which we are dealing is defined as "death caused by an omission amounting to culpable negligence to discharge a duty of care...", (ibid., section 268, eighth edition). Proof of this is furnished by the fact that the learned author was more careful in the selection of his language when he dealt in detail with the offence and employs the expression "culpable neglect to perform a duty of care" (ibid. section 291), and that is also the case where he deals with failure to discharge one of the other types of duties described in chapter XXIV of our Ordinance (see ibid. section 294). If I am correct in my analysis up to this point of the definition in section 217, it is clear that the word culpable in that section should be descriptive of the term "neglect" instead of the term "negligence", This is Important for, in addition to ascertaining whether there exist the elements described in section 231 - that is to say, whether the accused failed to discharge the duty of care there mentioned, and thereby caused the death of the victim - the legislature imposed the introduction of an additional element, namely, that the conduct forming the subject of the charge of manslaughter must be culpable, and the meaning of the expression culpable may be different depending upon whether it relates to neglect or to negligence, as we shall see later. It follows that the problem which we have to solve may now be formulated as follows: what was the intention of the legislature in requiring that neglect to discharge the duty of care referred to shall be "culpable neglect".

           

            We shall derive no assistance in solving this question from definitions in a dictionary. According to the dictionary there are two principal meanings of the word "culpable", one of which is "criminal' and the other of which is "blameworthy". Neither of these meanings throws any light on the question before us, as regards the first because the adjective "criminal' is of no assistance in the de­finition of criminal offence, and as to the second, because its content is too wide and insufficiently specific. I am compelled, therefore, to refer to English authorities, where we meet the difficulty that the English courts, in dealing with manslaughter of the kind now under consideration, are undecided, emphasising in some cases the elements of "gross negligence" and in others the element of "recklessness". I have studied these judgments again and again and it is clear to me that the English judges are unanimous today in requiring conduct which amounts to "gross negligence" (that is to say, a serious divergence from ordinary careful conduct), and that they also tend to demand at least some degree of “recklessness”, subject to the one reservation that where recklessness in the sense of "indifference" is found to exist, they are satisfied with conduct which only amounts to ordinary negligence. It is necessary, however, to be careful when dealing with the principles laid down in these judgments. In the first place, the English courts were not bound by a statutory definition of manslaughter and certainly not by a definition which includes the adjective "culpable". On the contrary, they have in recent times desisted from using this expression altogether in this context. In the second place, these judgments were given under the English Criminal Law, which contained no offence parallel to that introduced by the local legislature in section 218. Bearing this reservation in mind, let me now consider the more important of these judgments among those I have mentioned, two of which (the cases of Andrews v. Director of Public Prosecutions (8) and R. v. Bateman (9)) were considered at length by my colleagues Cheshin and Silberg JJ., in the case of Rotenstreich v. Attorney-General (4) in connection with section 218, and by my colleague Landau J., in the case of Herman (5) in connection with section 243.

 

            (a) In Andrew's case (8) Lord Atkin said:

           

"Simple lack of care such as will constitute civil liability is not enough. For purposes of the criminal law there are degrees of negligence and a very high degree of negligence is required to be proved before the felony is established".

           

            It is clear that the meaning of negligence in this context is careless conduct (the second aspect). It follows, therefore, that it is necessary to prove the existence of "gross negligence", that is to say, a serious divergence from the standard of conduct of a reasonable man.

           

But Lord Atkin went on to say that probably of all the epithets that can be applied "reckless" most nearly covers the case, since "it is difficult to visualise a case of death caused by 'reckless' driving in the connotation of that term in ordinary speech which would not justify a conviction of manslaughter". Nevertheless he found that the word "reckless" was not sufficiently all-embracing since it merely suggests an indifference to risk whereas "the accused may have appreciated the risk and intended to avoid it and yet shown such a high degree of negligence in the means adopted to avoid the risk as would justify a conviction". The state of mind, however, described in the second example mentioned by Lord Atkin is also included in the expression recklessness, as is pointed out by Dean in his article on Manslaughter and Dangerous Driving (see Law Quarterly Review, vol. 53, p. 382). A similar opinion was expressed by me in Ya'acobovitz v. The Attorney General (1) at p. 545. It follows from the English authority quoted that negligence in the sense of lack of reasonable care, when associated with recklessness in a form indicating indifference to the consequences, is sufficient to lead to a conviction for manslaughter. On the other hand, where gross negligence exists it is necessary nevertheless that the accused should have foreseen the danger to be anticipated from his conduct.

 

            (b) R. v. Bateman (9).

           

            In this judgment, which still remains the most searching and valuable of all the judgments dealing with the problem now before us, Lord Hewart C. J. said the following (at page 10): -

           

            "If A has caused the death of B by alleged negligence, then, in order to establish civil liability, the plaintiff must prove (in addition to pecuniary loss caused by the death) that A owed a duty to B to take care, that that duty was not discharged, and that the default caused the death of B. To convict A of manslaughter, the prosecution must prove the three things above mentioned and must satisfy the jury in addition, that A's negligence amounted to a crime".

           

            In this passage the expression "negligence" is used in accordance with the third aspect described above, and there is no clear test in the passage cited which tells us how it is to be determined whether the conduct of the accused amounts to manslaughter, as distinguished from civil negligence. The learned Lord Chief Justice, in continuing his judgment immediately after the passage cited where he employs the expression "negligence" according to the second aspect mentioned above, touches on this subject. Thus he says - at page 11: -

 

            "In the civil action if it is proved that A fell short of the standard of reasonable care required by law, it matters not how far he fell short of that standard. The extent of his liability depends not on the degree of negligence but on the amount of damage done. In a criminal court, on the contrary, the amount and degree of negligence, are the determining question".

 

            Here, therefore, there is a clear requirement that the conduct should amount to gross negligence, that is to say, to a serious divergence from the norm of care exercised by a reasonable man. It is clear, however, that the learned Lord Chief Justice was not satisfied with this requirement alone. for he added: -

           

            "There must be mens rea" (ibid.) thus :

           

            "...in order to establish criminal liability the facts must be such that, in the opinion of the jury, the negligence of the accused went beyond the mere matter of compensation between subjects and showed such disregard for the life and safety of others as to amount to a crime against the State..." (ibid.).

 

And again at page 16: -

 

            "...The issue they (the jury) have to try is not negligence or no negligence, but felony or no felony".

           

And to conclude: -

 

            "It is, in a sense, a question of degree, and it is for the jury to draw the line, but there is a difference in kind between the negligence which gives the right to compensation and the negligence which is a crime". (ibid.)

 

            If we carefully examine the contents of each of these four passages, do we not find an unambiguous direction that before a man is convicted of manslaughter the existence of "recklessness" on his part and not merely gross negligence must be established? The first passage speaks for itself. The second passage emphasises the necessity of the negligence showing "disregard for the life and safety of others". This means, in the nature of things, that the accused must show (not that the negligence must show) a disregard of the danger to be anticipated for others from his conduct. The third passage indicates the seriousness of the offence of manslaughter, which hints, in my opinion, at the necessity for the existence of a certain degree of mens rea before the accused can be convicted, for this passes like a golden thread through almost all serious offences in English law. And, in conclusion, as was emphasised by Silberg J. in Rotenstreich v. The Attorney-General (4) (at page 75), the fourth passage shows not only the difference in degree between civil negligence and the crime of manslaughter but also the qualitative difference, the meaning of which again is in a case of manslaughter the existence of recklessness on the part of the accused.

 

            (c) R. v. Bonnyman (10).

           

            This judgment was delivered in 1942, the court following the judgments in the two criminal appeals cited above, albeit with some confusion between the two tests, the one of degree and the qualitative test referred to. The judge in the trial court directed the jury that before they convict the accused they must find conduct amounting to "reckless negligence". In holding that this direction was well founded, Lord Caldecote said: -

           

"There one finds the word "reckless" which has been now approved by the House of Lords as probably in all the circumstances the best epithet to use to help a jury to understand that a special or a high degree of negligence must be found by them before they can return a verdict of manslaughter" (ibid. pages 135-136).

           

            The Chief Justice goes on to clarify his opinion by two examples, the first - mentioned by Cheshin J. in Shvili v. The Attorney-General (6) - is the example of a motor driver who, travelling at an excessive speed and turning a corner in too wide a radius, crossed a country road on which he had no right to drive, and came upon what he did not expect to meet - another vehicle coming towards him. In the second example a motorist was warned of the presence of children in the road, but nevertheless drove at forty miles per hour because he was in a hurry and killed one of them. The learned Lord Chief Justice was of the opinion that the first driver should not be convicted of manslaughter while he thought that the second driver should be convicted of that offence.

 

            It is my opinion that the justification for these conclusions lies in the first that in the circumstances which existed in both of them the element of gross negligence was present, but while in the second example such negligence was accompanied by recklessness, that element was absent in the first example cited.

           

            (d) Akerele v. The King (11).

           

            In this case the Privy Council quashed the conviction of a doctor who had caused the death of ten children all of whom were victims of an epidemic which broke out in the district in which they lived. The children had died after taking medicine which the doctor had prepared. It appeared that the accused had dissolved an excessive quantity of powder because his attention had been diverted, with the result that the medicine which he had prepared was too concentrated. The Privy Council quashed the conviction holding, on the one hand, that the trial judge had not made it clear that only one act was of importance - the act of preparing the solution - which was done when the accused's attention was diverted (the opposite of recklessness), and on the other hand, the judge had not considered the necessity of finding the existence of gross negligence (p. 264).

           

            (e) It is also appropriate to mention the important modern judgment of Judge Burch in State v. Custer (15) in which the court considered the statutory offence of manslaughter, one of the elements of which is "culpable negligence". After reaching the conclusion that the offence is identical with that of manslaughter in the Common Law of England, and after reviewing the English decisions and literature on this subject, Judge Burch held that the prosecution was obliged to establish (a) conduct amounting to lack of reasonable care; (b) recklessness in the sense of "disregard of or indifference to the consequences in circumstances involving danger to the life or safety of others, although without the intention of causing damage" (page 920).

 

            (f) These are the judicial pronouncements on this topic. Among contemporary writers however on both sides of the Atlantic, there is unanimity of opinion that a man should not be convicted of the crime of manslaughter unless there is mens rea in the sense again of recklessness (see Turner, Modern Approach to the Criminal Law, at pages 224-242, the principal portions of which have been copied into the latests edition of Russell, at pages 640-643, and Kenny, at pages 139-146; Williams, at pages 88-94; and Jerome Hall, General Principles of Criminal Law - chapter on "Recklessness and Negligence", at pages 215 ff.).

 

I shall now attempt to lay down the principle which emerges from our own law in the light of the authorities I have cited.

           

            (l) It seems to me that the expression "culpable" - where it is used as an adjective to describe the noun "neglect", and where the question deals with neglect to perform one of the duties of care stated in section 231 (and 232) - embraces and may be interpreted to mean the requirements of both gross negligence and recklessness. It is true that this will not be so if we apply the adjective in question to the word "negligence" in its second meaning, since the only meaning which can then be given to the expression "culpable neglig­ence" - again on the assumption that negligence means only lack of care - is: lack of care in a high degree, that is to say, gross negligence. As proof of this use of the word "culpable negligence" I point to Stephen (section 291, second paragraph), who says that "the question of what amount of negligence can be called culpable is one of degree... depending on the circumstances of each particular case". And this was also the use to which these words were put by the Mandatory Legislature when it laid down, in section 218 of the Ordinance, the element of lack of care which does not amount to “culpable negligence”. This follows clearly from the interpretation of this element by Cheshin J. in Rotenstreich v. The Attorney-General (4), where he said (at page 84): -

           

“In order to establish a charge of manslaughter by negligence in English law, it must be proved that the accused acted with negligence of an extremely high degree,with culpable negligence, .. .which takes no account of the life of man and pays no regard to the lives of the public,and is like a felony. This felony has its place in the law of this country within the offence stated in section 212 of the Criminal Code Ordinance. But there is a less serious form of negligence which does not amount to a felony since it is of a lesser degree. English law does not regard negligence of this kind as an offence at all and provides that it gives rise to civil liability alone, to the payment of damages. As against this the legislature, in enacting the Criminal Code Ordinance, 1936, regarded even a low degree of negligence such as this as a criminal offence -to use the language of the Ordinance: “want of precaution not amounting to culpable negligence."

           

            As I have said, the enquiry as to the existence of the element stated in section 218 is an objective enquiry. The use of the words "culpable negligence" in that section, therefore, is correct, since their meaning is confined to lack of care of a high degree, that is to say, the minimum requirement demanded by the legislature in this section is conduct which will amount to lack of reasonable care. But the word "culpable" - when it is employed as an adjective to describe the expression "neglect" in the definition in section 217 - so that the neglect spoken of is culpable neglect in the performance of one of the duties of care mentioned - is susceptible of a wider interpretation so as to embrace both the requirement of negligence of a high degree and also the requirement of recklessness.

           

2. In the light of the dicta of Cheshin J. in Rotenstreich's case (4) and the English authorities which I have cited I accept - subject to one reservation which I shall deal with later - the requirement that in order to secure a conviction for manslaughter of the type here discussed, the prosecution must prove lack of care of a high degree, that is to say, "gross negligence".

 

3. The proof of the existence of this element is not sufficient, for the prosecution must also prove "recklessness" on the part of the accused person, that is to say, that he was aware of the danger to the lives or safety of others to be anticipated from his conduct. In reaching this conclusion I do not rely only upon the opinions of the learned judges and writers I have mentioned nor upon the ground that this discussion relates to an offence which carries with it the maximum penalty of life imprisonment so that the basic requirement of the criminal law, namely, mens rea, cannot be dispensed with. I also rely upon the ground that the expression "gross negligence" or "lack of care of a high degree" is not an exact expression, and its application depends, as is conceded by all, upon the particular circumstances of each case. What I wish to say is that in many cases the question of whether the conduct of the accused amounts to a serious divergence from the norm of reasonable care will be easily answered, but there is no doubt that in other cases - and there are many - the reply to the question of whether the conduct considered falls on one or other side of the dividing line between "ordinary lack of care" and "gross lack of care" will change according to the individual outlook of each particular judge whose duty it is to assess the circumstances of the case.

 

            And that is not all. In Herman v. The Attorney-General (5), it was held by Landau J. that the degree of negligence required to justify a conviction under section 2431) must at least be greater than that which is required in a civil claim - that is to say, than that required under section 218.

           

            In Dabholkar v. The King (12) at pages 224-225, it was held more specifically by the Privy Council in considering a statutory provision identical in content with section 243, that that provision demands "a higher degree (of negligence) than the negligence which gives rise to a claim for compensation in a civil court, it is not of so high a degree as that which is necessary to constitute the offence of manslaughter." It follows that there are at least three different offences each of which requires its own minimum degree of negligence, so that the enquiry whether the conduct of an accused charged with the offence of manslaughter under section 212 reached the high degree required by that section or reached one of the other degrees of negligence, becomes even more complicated. This being the case, it is not possible that the legislature intended to hold an accused such as this responsible according to the quantitative test alone, and did not intend also to include the qualitative test, that is, the test of the existence of mans rea in the sense of recklessness.

            Let me consider the following example. A is engaged in dynamiting rock in order to prepare a site for building. The site borders upon a road used by pedestrians. A few moments before the explosion A - in accordance with his experience in the past-warned those who happened to be in the vicinity to move away from the site to a distance of 50 meters, although the rules of care in such circumstances would demand a distance of 80 meters. As a result of the explosion B, who stood in the area between 50 and 80 meters from the site, was killed. Did A's negligence reach a high degree, or an ordinary degree, or somewhere between the two? Should he be convicted under section 212, or under section 218, or is the matter appropriate for the application of section 243(h)? If he is charged with manslaughter no one can say beforehand how the judge will decide the question whether the requirement of "gross negligence" has been fulfilled. Can we in this case dispense with the necessity of the proof of recklessness on A's part in order to lay the foundation for his conviction of so serious an offence?

           

4. What degree of recklessness is required to satisfy the qualitative test? My reply would be that it is not essential that the accused should foresee the actual fatal result. It is sufficient - in regard to causing death by breach of one of the duties of care set out in section 231 - that the accused foresaw as a likely possibility that his conduct would cause actual bodily harm. In other words, it is sufficient if the accused were aware of the fact that his act might involve danger to life or health. In short, if the accused showed disregard - to borrow the language of the Lord Chief Justice in R. v. Baseman (9) - for the safety of the individual, and not necessarily for his life, the necessary degree of recklessness is present.

 

5. The result is that the prosecution must establish both these requirements: (a) the existence of recklessness within the meaning discussed above and (b) gross negligence. I must add here the reservation of which I hinted in my previous remarks, and that is that where the negligence of the accused does not amount to gross negligence but his recklessness expresses itself in indifference to the consequences. it is possible and also right to convict him of manslaughter under section 212. This, it would seem, is the result of the judgments in England and America. However, as there is no need in the case before us to decide this question I leave it open.

 

6. Mrs. Ben-Porath, who - if I understood her arguments correctly- submitted that the element of mens rea was not essential to constitute the offence of manslaughter of the type with which we are concerned, relied upon the cases of Senior (13), and Burdee (14). The accused in each of these cases was convicted of manslaughter despite the absence of recklessness on his part. I shall not give a detailed analysis of these judgments. I would however point out (i) that in the first case cited the fatal consequence was caused by the breach of a duty of the type stated in section 229, that is to say, a type of duty with which we are not here concerned; (ii) that the second case cited dealt with the guilt of a person who took it upon himself to cure the victim by means which were devoid of any scientific basis and without ever having studied medicine, and of him it may be said (as was said in Bateman's case (9) supra, at page 13) that the necessary degree of mens rea was proved once it was held that he knew that he had no professional skill; (iii) that the reasoning in both these cases has been the subject of unfavourable criticism (see Glanville Williams, ibid., pages 90, 93).

 

            In the result I summarise the principle as follows: The conviction of a person of the offence of manslaughter because of an omission which expresses itself in the breach of one of the duties of care mentioned in section 231 (or a similar duty) is only possible where it is proved (a) that the lack of care on the part of the accused amounted to "gross negligence" (that is to say, a serious divergence from the standard of reasonable care); (b) that the accused acted as he did out of "recklessness", that is to say, after foreseeing that his conduct was liable to endanger the life or person of another; (c) it is also possible that if the recklessness expresses itself in an approach of indifference there may be room to convict the accused of manslaughter even if the degree of recklessness on his part amounted only to lack of reasonable care.

 

            Applying this principle to the facts before us there is no doubt that the conviction of the appellant of the offence attributed to him is correct. In the first place there is no escape from the conclusion that after having received the warning which was given to him the appellant knew of the Iikelihoood that a landfall would take place, and of the danger to the lives of his workmen that was to be anticipated. In the second place, the finding of the learned Judge that the appellant did not stop work in the opening in the rock even after he had been warned and did not instruct the workmen to leave the place, is in effect a finding of "gross negligence". This finding remains valid even if we assume the correctness of the version of the defence relating to the removal of the workmen from the first opening in the rock to the second.

           

            In his argument before us Mr. Caspi emphasised the statement of Lord Porter in Akerele v. The King (11) in regard to "the care which should be taken before imputing criminal negligence to a professional man acting in the course of his profession". In my opinion this statement merely means that the demands upon a professional man should not be exaggerated, and that he should not be called upon to show the same brilliance as is shown by those who are outstanding in his profession. If, however, his conduct falls below the accepted standard - he then, as I have said, commits a breach of the duty contained in section 231. In our case, indeed, the evidence of the defence witness Axelrod was clear when he said: "In the fulfilment of his duty the accused should have seen to it that there existed safe conditions of work for the workmen under his supervision. There was no necessity for special technical experience in order to be aware of the danger that lurked in the place where the accident happened".

           

            On the basis of what I have said, it is my opinion that the appeal should be dismissed in regard to both convictions.

           

GOITEIN J. I agree.

 

SUSSMAN J. I agree.

 

AGRANAT J. It is decided therefore to dismiss the appeal on both convictions. In regard to the appeal against the sentence we do not think that the punishment imposed by the Judge - six months' imprisonment - was excessive. It is nevertheless difficult for us to confirm the sentence having regard to the fact that the occurrence which was the subject of the conviction took place in January, 1950; that the trial and conviction of the appellant took place in December 1951; and that the appeal was heard in this court only in January. 1954 (since the file was received by this court after many reminders only in September, 1953). The result is that the convictions and sentence have been hanging over the head of the appellant for over four years. It seems to us that in these special circumstances it would be appropriate to impose a heavy fine upon the appellant instead of the sentence of imprisonment. The difficulty about that is that our hands are tied by the law which limits the maximum fine in respect of each conviction to an amount of IL. 200.- (see Sofrin v. The Attorney-General (7)). Despite this unsatisfactory state of affairs, however, it is our opinion that it would not be right to send the appellant to prison, a solution which, in spite of the serious blow that that would be to the appellant, would, today in any event, not achieve any punitive purpose.

 

            We have decided therefore - not that this decision should be regarded in any sense as a precedent in other cases - to vary the sentence and to impose upon the appellant a fine of IL. 400.- or. in default of payment, imprisonment for a period of three months.

           

Appeal against conviction dismissed but sentence varied.

Judgment given on April 29, 1954,

 

1) Criminal Code Ordinance, 1936, section 217:

Unlawful omission      217. An unlawful omission is an omission amounting to culpable negligence to discharge a duty, whether such omission is or is not accompanied by an intention to cause death or bodily harm.

2) Criminal Code Ordinance, 1936, section 212:

Manslaughter.            212. Subject to the provisions of section 214 3) of this Code, any person who by an unlawful act or omission causes the death of another person is guilty of a felony. Such felony is termed manslaughter.

3) Criminal Code Ordinance, 1936, section 214:

Murder.                     214. any person who: -

(a) by any unlawful act or omission wilfully causes the death of his father or mother or grandfather or grandmother, or

(b) with premeditation causes the death of any person,

or

(c) wilfully causes the death of any person in preparing for or to facilitate the commission of an offence or in the commision of an offence, or

(d) where an offense has been committed causes the death of any person in order to secure the escape or avoidance of punishment in connection with such offence of himself or of any other person associated with him as a principal or an accessory in the commission of such offence, is guilty of a felony. Such felony is termed murder.

1) Criminal Code Ordinance, 1936, section 243:

Reckless and negligent acts           243. Any person who in a manner so rash or negligent: as to endanger human life or to be likely to cause harm to any other person:-

(a) drives a vehicle or rides on a public way; or

(b) navigates, or takes part in the navigation or working of, any vessel; or

(c) does any act with fire or any combustible matter or omits to take precautions against any probable danger from any animal in his possession; or

ession; or

(d) omits to take precautions against any probable danger from any animal in his possession; or

(e) gives medical or surgical treatment to any person whom he has undertaken to treat; or

(f) dispenses, supplies, sells, administers or gives away, any medicine or poisonous or dangerous matter; or

(g) does any act with respect to, or omits to take proper precautions against any probable danger from, any machinery of which he is solely or partly in charge ; or

(h) does any act with respect to, or omits to take proper precautions against any probable danger from, any explosive in his possession; is guilty of a misdemeanour.

Najar v. State of Israel

Case/docket number: 
CrimA 10828/03
Date Decided: 
Thursday, July 28, 2005
Decision Type: 
Appellate
Abstract: 

Facts: The appellant, a Bedouin, stabbed his sister to death. Initially, he said that the reason why he did this was that his sister, who was unmarried, intended to travel alone to Egypt, and this would dishonour the family. At his trial, the appellant testified that in addition his sister had made a statement questioning his paternity of his children. The appellant claimed that the killing of his sister was the result of provocation, and therefore he should be convicted of manslaughter rather than murder. Inter alia he argued that the court should take into account the fact that in Bedouin culture it was unacceptable for unmarried women to travel alone.

 

Held: No argument of ‘family honour’ as a motive for killing someone will be allowed by the court in Israel. The human dignity of the victim and the sanctity of life take precedence over family honour.

 

Appeal denied.

Voting Justices: 
Primary Author
majority opinion
Author
concurrence
majority opinion
Full text of the opinion: 

CrimA 10828/03

Taha Najar

v

State of Israel

 

 

The Supreme Court sitting as the Court of Criminal Appeals

[28 July 2005]

Before Justices M. Naor, E. Rubinstein, Y. Adiel

 

Appeal of the judgment of the Haifa District Court (Vice-President H. Pizam and Justices S. Stemer, R. Shapiro) on 15 December 2002 in CrimC 221/01.

 

Facts: The appellant, a Bedouin, stabbed his sister to death. Initially, he said that the reason why he did this was that his sister, who was unmarried, intended to travel alone to Egypt, and this would dishonour the family. At his trial, the appellant testified that in addition his sister had made a statement questioning his paternity of his children. The appellant claimed that the killing of his sister was the result of provocation, and therefore he should be convicted of manslaughter rather than murder. Inter alia he argued that the court should take into account the fact that in Bedouin culture it was unacceptable for unmarried women to travel alone.

 

Held: No argument of ‘family honour’ as a motive for killing someone will be allowed by the court in Israel. The human dignity of the victim and the sanctity of life take precedence over family honour.

 

Appeal denied.

 

Legislation cited:

Basic Law: Human Dignity and Liberty, s. 1.

Penal Law, 5737-1977, ss. 300, 300(a), 300(a)(2), 300A, 301.

 

Israeli Supreme Court cases cited:

[1]  CrimA 6167/99 Ben Shalush v. State of Israel [2003] IsrSC 57(6) 577.

[2]  CrimA 290/87 Sabah v. State of Israel [1988] IsrSC 42(3) 358.

[3]  CrimA 228/01 Kalev v. State of Israel [2003] IsrSC 57(5) 365.

[4]  CrimA 339/84 Rabinovitch v. State of Israel [1985] IsrSC 39(4) 253.

[5]  CrimA 299/81 Tatruashwili v. State of Israel [1982] IsrSC 36(1) 141.

[6]  CrimA 6819/01 Gershuni v. State of Israel (not yet reported).

[7]  CrimA 402/87 State of Israel v. Jondi [1988] IsrSC 42(3) 383.

[8]  CrimA 686/80 Siman-Tov v. State of Israel [1982] IsrSC 36(2) 253.

[9]  CrimA 396/69 Benno v. State of Israel [1970] IsrSC 24(1) 580.

[10] CrimA 655/78 Schmidman v. Attorney-General [1980] IsrSC 34(1) 63.

[11] CrimA 5413/97 Zorbeliov v. State of Israel [2001] IsrSC 55(2) 541.

[12] CrimA 759/97 Aliabiev v. State of Israel [2001] IsrSC 55(3) 459.

[13] CrimA 1258/03 A v. State of Israel [2004] IsrSC 58(6) 625.

[14] CrimA 3071/92 Azualos v. State of Israel [1996] IsrSC 50(2) 573.

[15] CrimA 3800/05 Abu Balal v. State of Israel (not yet reported).

[16] CrimA 7126/03 Ohanna v. State of Israel (unreported).

 

Jewish law sources cited:

[17] Exodus 20, 12.

[18] Babylonian Talmud, Sanhedrin 56b.

[19] Genesis 9, 6.

[20] Maimonides, Hilechot Melachim (Laws of Kings) 9, 1; 9, 4.

[21] N. Rakover, Law and the Noahides.

 

For the appellant — M. Gilad.

For the respondent — A. Hulta.

 

 

JUDGMENT

 

 

Justice E. Rubinstein

1.   This is an appeal of the judgment of the Haifa District Court (Vice-President Pizam and Justices Stemer and Shapiro) in CrimC 221/01, which was given on 15 December 2002, in which the appellant was convicted of murder with malice aforethought under s. 300 of the Penal Law, 5737-1977. The victim of the murder was his late sister Samia.

2.   (a) According to what is set out in the indictment and in the judgment of the court, on 9 May 2001 the appellant stabbed his 43 year old sister Samia eleven times with a knife, ten times in her back and once in her left hand, and thereby brought about her death.

The judgment found that the appellant discovered that the deceased, who was unmarried and lived with other unmarried sisters in their mother’s home, intended to go within a short time on a trip to Egypt on her own. The appellant opposed the deceased’s trip, because he thought that this was ‘unacceptable behaviour’ according to the customs of the Bedouin community with regard to unmarried women, and he tried to dissuade her from going. On the day of the deed, the appellant came to the deceased’s home and demanded that she give up the planned trip. The deceased refused. Because of her refusal, the appellant decided to kill her, and he subsequently left her home, went to his home, took a knife, hid it under his clothes and returned to her home. The appellant spoke to the deceased once again and demanded that she did not go to Egypt, but her mind remained unchanged. As a result, the appellant stabbed her and brought about her death; he began to stab her while she was standing, and continued even when she collapsed.

(b) The District Court convicted the appellant of an offence of murder with malice aforethought, under s. 300 of the Penal Law, 5737-19 (hereafter: the law). In a detailed verdict, the trial court reviewed the evidence and explained that, in the opinion of the court, the elements of the offence existed.

(c) The main question that was in dispute, before the trial court and now, is whether the prosecution proved the elements of the offence of ‘murder with malice aforethought.’ and especially the intention of the appellant to kill the deceased and the element of a lack of provocation. No one disputes the existence of the actus reus. The aspect of mens rea is composed, under the law — s. 301 of the law and case law — of three elements: a decision to kill, preparation, and an absence of provocation. With regard to the first element — a decision to kill — the District Court found that since this element is based on the fatal outcome and a desire that this outcome will indeed be realized, in our case the appellant confessed in his statement to the police (prosecution exhibit 16, unlike his testimony in the court, which we shall discuss below) that he had formed the desire to kill the deceased already when he went to bring the knife from his home. The manner of killing the deceased also testified to his intention to kill her; the many wounds made with a knife in sensitive parts of the body places the appellant under a presumption that he intended to cause the fatal outcome. The court reached the conclusion that the appellant did not act as an automaton, without any ability of stopping himself, but with independent thought, in a ‘logical’ sequence of actions that led to the realization of his purpose.

With regard to the element of preparation, the District Court held that the acts whereby the appellant went to his home, brought the knife and hid it on his person were sufficient to satisfy this element; this element would have been satisfied even if the knife had been in his possession the whole time, since it would have been sufficient for him to direct it at the deceased in order to satisfy the element of preparation.

In the trial court the appellant argued that the prosecution did not prove the element of the absence of provocation, in view of statements which he alleged the deceased made to him that his children were not his, a matter that was raised only in his testimony in the court, and also in view of the fact that the deceased wanted to travel to Egypt in defiance of the customs of his community. The court held that the deceased did not say anything to the appellant about his children, and even if she did say something, neither that nor her desire to travel to Egypt could constitute either an objective or a subjective provocation.

3.   (a) The appeal before us is against the conviction.

(b) The appellant’s main argument is that he did not intend to kill the deceased, and that the element of a lack of provocation was not satisfied. In this context, the appellant says that because he belongs to the Bedouin community, he refrained from raising the claim with regard to the true nature of the provocation, namely the insult with regard to his children, until his testimony in the court.

Alternatively, it was argued that the appellant’s act was carried out at a time when he was in an emotional state in which his ability to control his behaviour was limited, and therefore the case falls within the scope of s. 300(a) of the Penal Code, which allows a reduced sentence to be given in such cases instead of life imprisonment as a mandatory sentence.

4.   Deliberation and decision

(a) Section 300(a)(2) of the Penal Law provides that someone who brings about the death of a person with malice aforethought shall be charged with murder. Section 301 of the law provides — as aforesaid — the three elements of the component of malice aforethought: the decision to kill, the element of preparation and the absence of provocation.

(b) The decision to kill

(1) The decision to kill requires a mens rea of an intention that is reflected in the rational and voluntary sphere — an expectation of the fatal outcome and a desire or wish to realize it (CrimA 6167/99 Ben Shalush v. State of Israel [1], per Justice Procaccia). Proving the existence of the element of mens rea requires a subjective examination that addresses the expectation of the outcome and the desire to achieve it. In order to examine this, the courts are assisted by presumptions and objective evidence that can cast light on the intention. Thus, for example, case law has adopted a presumption that a person intends the natural consequences that ensure from his actions; in addition, it has formulated a set of subtests in order to reach conclusions about the existence of a decision to kill, in relation to all of the circumstances that accompany the incident (see CrimA 290/87 Sabah v. State of Israel [2], at pp. 364-366, per Justice D. Levin). In CrimA 228/01 Kalev v. State of Israel [3], at pp. 375-377, Justice Beinisch surveyed the various indications that point to the existence of a decision to kill:

‘Thus, for example, an implement that was used for committing the murder can serve as a significant indication of the existence of expectation and intention… the manner of the act and the nature of the injury also testify to the making of the decision to kill; for example, an injury in a sensitive part of the body has been recognized as an indication that proves a decision to kill, even if was only one blow, but it was in a sensitive and dangerous place’ (and see the references cited there).

The same is true of ‘the nature of the incident that led to the murder or previous statements that were made between the parties, and that can show a decision that was made with a sound mind and without provocation’ (ibid., at pp. 376-377).

(2) In our case, the evidence that was proved with regard to the circumstances of the incident and the sequence of events leads to the inevitable conclusion that the appellant reached a decision to kill his sister. In his confession to the police (prosecution exhibit 16A, at p. 2) he says clearly: ‘I said if she was convinced and said to me “I am not going,” I would not kill her, but if she insisted, I would kill her.’ When the deceased did not give in to the appellant’s request to cancel the trip to Egypt and continued to refuse to do so, he took a knife that was approximately 13 cm. long and approximately 4.6 cm. wide and he stabbed her — as aforesaid — eleven times in sensitive parts of her body. Two stab wounds on the right side of the back pierced the right lung, the inferior vena cava and the liver. Seven stab wounds on the left side of the back went through the left lung, an addition wound in the lower back went through the back muscles and another wound pierced the muscles of the left forearm. The number and location of the wounds and the lethal instrument that was used show that the appellant acted with malice aforethought, was aware of the consequences of his actions and desired to bring about the fatal outcome.

(3) As has been seen, the appellant’s claim that he stabbed his sister without having any possibility of controlling his actions is inconsistent with the evidence that was presented with regard to the sequence of events and the manner in which he behaved thereafter, as described above. The appellant made a decision in his heart that if the deceased would not give in to his demand to cancel the trip to Egypt, he would kill her. After the cruel act, he went out to the courtyard and told the members of the family who were present there that he had killed ‘Amu,’ washed his hands and the knife and covered the body with a rug. The appellant’s brother telephoned the police and the appellant himself spoke with the duty officer and told him of the death of the deceased.

(c) Preparation

The element of preparation has been interpreted in case law as a physical element in which the court examines the preparatory acts that accompanied the act of murder or the preparation of the implement that was used to commit the murder (CrimA 339/84 Rabinovitch v. State of Israel [4], at p. 259, per Justice E. Goldberg). It has also been said that ‘the act of preparation may take place on the spot, when the decision to kill is made. In practice, in many cases these two elements interconnect, when they arise and take place very shortly before the actual act of causing the death’ (CrimA 299/81 Tatruashwili v. State of Israel [5], at p. 147, per Justice D. Levin). Thus, for example, in Tatruashwili v. State of Israel [5], by taking the axe that the appellant found in the house, lifting it up and bringing it down on the deceased’s head, the act of preparation was begun and completed.

In the case before us, the District Court as aforesaid reached the substantiated conclusion that the appellant returned to his home after an argument with his late sister in order to bring the knife, and he hid it under his clothes. Notwithstanding, like the trial court I too am of the opinion that even according to the version, which was raised at a late stage, that the knife was in the appellant’s possession all day, bringing it out from under his clothes and directing it at the deceased was sufficient to satisfy the element of mens rea. It would appear that the issues in our case with regard to this point are not complex and speak for themselves.

(d) Absence of provocation

(1) The provocation, whose absence must be proved under s. 301 of the Penal Law is an external provocative act that takes place immediately prior to the act of the killing, and it must be of sufficient intensity to deprive the accused of the power of self-control and his ability to comprehend the possible outcome of his reaction (see the recent case of CrimA 6819/01 Gershuni v. State of Israel [6], per Justice Levy, and the case law cited in my opinion there). Was the appellant provoked? The answer to this cannot be yes.

(2) It is well known that provocation is made up of an objective element and a subjective element.

The subjective element concerns the question whether the provocative or offensive conduct did in practice have an effect on the accused to such an extent that it caused him to lose his self-control (CrimA 402/87 State of Israel v. Jondi [7], at p. 390, per President Shamgar).

The objective element concerns the question whether a civilized person, were he to be placed in the specific situation, would have lost his control and responded in the way in which the accused responded; ‘the objective test is mainly an ethical barrier, which is intended to impose norms of conduct’ (CrimA 686/80 Siman-Tov v. State of Israel [8], at p. 264, per Justice Shamgar) and its purpose is to provide an answer to the question whether the provocation directed at the appellant was so serious, in view of the circumstances of the case, ‘that it can be concluded that most people would have great difficulty in not submitting to its effect and therefore they would be liable to respond in the fatal manner as the accused responded’ (CrimA 396/69 Benno v. State of Israel [9], per President Agranat). In order to clarify this test, we should point out that it has already been held that ‘with regard to uttering curses, in response to which such great pressure was exerted on the neck that it was capable of resulting in the breaking of the bone, it makes no difference whether the appellant was accustomed to cursing in the past or experienced it before the incident for the first time… this cannot be regarded as a provocation that is capable of depriving him of malice aforethought’ (CrimA 655/78 Schmidman v. Attorney-General [10], at p. 73, per Justice Shamgar; see also CrimA 5413/97 Zorbeliov v. State of Israel [11], at p. 554, per Justice Levy).

(3) In our case, the following is the appellant’s version of events, as it developed:

(a) The provocation began with his sister’s ‘declaration of independence’ that she was going to Egypt as an unmarried woman, and it continued with the suppressed version that was raised in the court — an insult to his personal dignity by casting a doubt on whether he was the father of his children. In several statements made by the appellant on the date of the tragic event (9 May 2001) it can be clearly seen that the reason for the killing was the deceased’s desire to go to Egypt. Thus, in the arrest report made by Advanced Staff Sergeant-Major Yitzhak Cohen (prosecution exhibit no. 49) at 1:45 p.m., the appellant said ‘I killed her because she wanted to go to Egypt and I did not agree; I have made the mistake of my life.’ In a memorandum on that day, which was made by Advanced Staff Sergeant-Major Mansour Nazia (prosecution exhibit no. 42), when the appellant was interrogated after making an initial statement that ‘what happened, happened,’ ‘he [the appellant] said to me that he stabbed his sister Samia after he tried to dissuade her from going to Egypt and she insisted’ (p. 3). In a memorandum made by Advanced Staff Sergeant-Major Avi Sabah (prosecution exhibit no. 41), while the appellant was waiting to be interrogated, it is stated that the appellant expressed remorse for his deeds ‘and the whole time said: why did I stab her, I was concerned for my children… he knew and understood exactly what he had done and why, because according to him his sister (the deceased) wanted to go on a trip to Egypt and he refused and she insisted and therefore he murdered her.’ See also prosecution exhibits nos. 15 and 15a of the same date at 2:50 p.m. (Advanced Staff Sergeant-Major Samiah Mansour) and also prosecution exhibit no. 16 — the appellant’s statement — that when she insisted that if she did not go to Egypt she would leave the house, ‘I got up and killed her, now I am sorry… she did not deserve to be killed.’ All the evidence that we have listed hitherto describes the desire of the deceased to travel to Egypt as the reason for the murder. There is no other reason. In prosecution exhibit no. 15 the appellant also said: ‘she argued with me until the end and said to me… you are not my father, my father is dead… and I, since the day that my father died, am responsible for everything in the home, and she did not accept that and said: you are not my father.’

(b) However, a new version with regard to the reason for the killing was raised in the appellant’s testimony in the court (p. 132 of the court record, on 17 February 2002). Admittedly, he still explained that the trip to Egypt was the reason for the quarrel, since it was not in accordance with the customs of the Bedouin community with regard to the proper conduct for unmarried women: ‘from the viewpoint of family honour, I will have no more respect from people if she goes to Egypt. How can I let an unmarried girl travel alone to Egypt… this diminishes my honour and I will feel like a rubbish bin. This is my honour. This is a part of me, this is my flesh and blood’ (p. 131). But (at p. 132) a new factor was added, according to which after the quarrel ‘she [the deceased] said: first of all, you are not my father. You will not decide for me whether I will go or not. Before you decide for me, go and look at your children; you are a kind of black colour, and your children are white… I understood from this that the children were not mine, I lost control, I did not know what I was going to do and what I did, and the incident occurred.’ Later, at p. 133, he said: ‘I saw everything black, as if my wife was having an adulterous relationship with another man… would I keep an adulterous wife in the house?’ The appellant explained his suppression of this story until his testimony in the trial (at p. 135) as follows: ‘It is a question of my honour that people in the village should not hear what she said.’ He claimed that he did not tell this to the psychiatrists who examined him, for the same reason, because of honour (p. 147), but only to his own expert, Dr Naftali. It is not superfluous to point out that in his statement at the police station on the day of the event (prosecution exhibit no. 15a, at p. 16) the appellant was asked whether there was another reason for the murder that he did not wish to disclose, and he replied: ‘No, I say that this was the only reason.’

(c) We have before us, prima facie, two alleged issues of family honour: one is the honour that was offended by the trip of an unmarried woman alone; but since he understood — apparently — that this reason alone would not be accepted, as was certainly made clear to the appellant in various ways after the killing, the appellant raised the version of the personal insult to his dignity, and he also recruited for this purpose his mother, who did not mention her son’s statement in her statement on 9 May 2002 (prosecution exhibit no. 11), but spoke about it in the court (pp. 24-25). This, then, is the essence of the defence argument: the provocation arose from the insult to the honour of the family, and especially to the personal dignity of the appellant.

(4) Defence witness Sheikh Atrash Aakal explained in support (p. 156):

‘Family honour is one of the most sensitive issues with Bedouins, especially so in the Bedouin tribe; every Bedouin has his family honour and tribal honour, and respect for customs. He will not acquiesce to any injury to his honour and the honour of his family, especially where sexual offences are concerned.’

 Later, at p. 157, he said: ‘A trip by a Bedouin girl alone is one of the most serious red lines which no one allows himself to cross in the honour of the Bedouin family and tribe.’ The same applies to the implication that the children were not his: ‘This is an insult of the first order… it will not be forgiven.’ He also said with regard to family honour (p. 161): ‘In Bedouin society we do not justify the murder, but we are caught between the mentality and the customs and Israeli law, which is in our opinion a very respected and just law, and we believe in it, but we pay the price.’

(5) Do these claims support the existence of the subjective element of provocation? In order to consider whether we should accept this at all, it was necessary to believe the appellant’s version with regard to the deceased’s insult with regard to his being the father of his children, as a result of which he allegedly drew out the knife on the spot and killed his sister. The trial court did not believe this at all, and it concluded that the sole motive for killing his sister was the planned trip to Egypt, which was, according to the appellant, an insult to the family and its honour. From reading the evidence it is very hard to imagine that these remarks were made, since it is logical to suppose that had they been said, the appellant would have given expression to them at least to his doctors or someone close in his family during the long months — nine in total, from May 2001 to February 2002 — between the murder and his testimony in court. Indeed, the trial court did not accept the appellant’s explanations with regard to the suppression of this version. Moreover, the intensity of the emotion for provocation must be such ‘that it deprives the person of any ability to understand the consequences of his acts’ (per Justice Procaccia, in CrimA 759/97 Aliabiev v. State of Israel [12], at p. 475; S.Z. Feller, Fundamentals of Criminal Law, at p. 565). This is not what happened in our case, according to all the assembled evidence. It is well known that this court does not tend to intervene in the factual findings, and especially in the determinations of credibility, that are made by the trial court (CrimA 1258/03 A v. State of Israel [13]). Indeed, these statements were not only suppressed for a long time, but they were made at a time when the only version that can be heard is that of the appellant, since the deceased regrettably is no longer with us in order to give her version of this. With regard to the suppressed version, even according to the view that a person’s honour is violated by statements made with regard to his family honour and his personal honour, such as the paternity of his children, it is necessary to believe that the alleged provocation deprived him of self-control in such as way that it led to the act of murder, and life experience tells us that if this were the case, there would have been an immediate expression of this in some way or another, and the version would not have been suppressed in its entirety for such a long time, as it was.

(6) (a) But even if this factual claim of the appellant were accepted, which is not the case, and even if it were sufficient to satisfy the element of subjective provocation, which is not the case, this does not lead at all to a conclusion that a civilized person would, in response to an insult thrown at him in the course of a quarrel, lose his self-control to such an extent that he would take a knife and stab his sister again and again and again. In other words, even were we to assume the existence of the subjective element, the objective element certainly did not exist in my opinion. Who is the ‘civilized person’ whose temper we are examining within the framework of the objective test? Does this include a specific approach to various segments of the population and various cultures and their attitude to ‘murder for reasons of family honour’?

(b) The answer to this was given by President Shamgar in State of Israel v. Jondi [7], at p. 393:

‘We are speaking of a theoretical criterion, which is created by the court on the basis of a kind of synthesis of ideals and reality. The court creates for itself a theoretical image that reflects the expected manner of behaviour of the reasonable person in our society. In other words, we do not create an objective test on the basis of collecting information with regard to the accepted level of conduct in a particular group, but according to a theoretical construction which is the creation of the court, which the court fashions in an image that is admittedly fictional but is also humane. In other words, this is an image that may also fail to deal with a specific situation. Obviously this image is one of the specific time and not of past ages, but it does not mean that the court, in fashioning this image, must necessarily accept, whether it likes it or not, the average of corrupt behaviours and customs, in a specific period, of various groups or persons of various origins or tempers, and that it is not entitled to include within the characteristics of its creation elements of a desirable cultural norm… the objective test does not make any provision for subgroups… which include persons who watch violent films as opposed to those who only watch educational films, or those who place the immediate satisfaction of material desires at the centre of their existence as opposed to those who live a spiritual life.’

 It should be noted that in State of Israel v. Jondi [7] the approach of the District Court, which held by a majority that the objective test of the absence of provocation had not been proved, was overturned, and President Shamgar (with the agreement of Justices S. Levin and E. Goldberg) disagreed with the finding of the District Court that ‘it was very difficult indeed to define the nature and character of “civilized” ’ for this purpose.

(c) With respect, the remarks of President Shamgar are, in my opinion, as valid today as then. Admittedly, in a multi-faceted and multi-cultural society like Israeli society there will be areas where significance and attention will be given to various segments of the population, but there is no place for giving significance to this within the framework of the criminal law, especially in its physical manifestations, and certainly not when we are speaking of taking the life of another against a background of what is called family honour. The criterion is first and foremost an ethical one: the sanctity of life (see s. 1 of the Basic Law: Human Dignity and Liberty).

(d) Admittedly, much ink has been spilled with regard to the dilemmas that are presented by the approach of cultural relativity. On the one hand, arguments have been made against the creation of universal moral values and universal human rights that seek to impose ‘enlightened’ western culture on various segments of the population, as a symptom of an approach that does not recognize pluralism and multiculturalism. On the other hand, a dialogue that makes allowances — which is legitimate in itself — for the unique history and culture of every group may act as a magic word, which sometimes clouds its real significance and allows an abuse of that relativity in order to protect values that are incompatible with basic human rights as they have been formulated in our times. ‘Family honour murders’ are one of these. I am aware of the remarks of Prof. Y. Shefer in ‘The Reasonable Man and the Criminal Law,’ 39 HaPraklit 78, an article written in 1990 in which he found that in the serious areas of criminal law no place has been allowed in Israeli case law, inter alia, for provocation of the ‘reasonable person’ in the offence of murder, but I am unable to accept his conclusion, for ethical reasons.

(e) In Dr O. Kamir’s article, ‘How Reasonableness Killed Women — the Hot Blood of the “Reasonable Person” and the “Average Israeli Woman” in the Doctrine of Provocation in Azualos v. State of Israel,’ 6 Pelilim (1998) 137, at pp. 162-168), which concerns the judgment in CrimA 3071/92 Azualos v. State of Israel [14], per President Barak, criticism was directed, inter alia, also at the judgment in State of Israel v. Jondi [7], and the definition cited above from the remarks of President Shamgar (at p. 161). It should be pointed out that in Azualos v. State of Israel [14] the wife of the accused was found in the arms of another man; the accused killed them both, and provocation was proved, such that the offence of manslaughter was substituted for murder. In her article, Dr Kamir discussed the ‘reasonable man’ who invokes the protection of the defence of provocation, and as she says, in a scathing description of the characterization: ‘ “The reasonable man” is a person of honour, vulnerable and sensitive. When his right to his property is violated or his masculinity is violated, he must restore his honour and in the heat of the moment he kills his wife and her lover.’ In her book, A Question of Honour: Israeli Women and Human Dignity and in her article ‘A Love as Strong as Death or a Threat of Harassment’ in Cases concerning Love (O. Ben-Naftali and H. Naveh, eds.), at p. 475, Dr Kamir argues that the concept of honour incorporates four separate concepts: honour, dignity, glory and respect (at p. 476), and that in many ‘honour societies,’ like those of the Mediterranean, the honour of a man as a value — which is the issue that concerns us —depends upon two components: ‘The one is his own extrovert, bold, independent, generous, proud and aggressive behaviour’; and the other is ‘the modesty, naivety, piety, obedience and devotion of the women close to him (his mother, sister, wife and daughters).’ Special importance is attributed to the sexual inaccessibility of the women, since violating the sexuality of a woman is regarded as a source of shame, which violates not only her honour, but also the honour of the man who is responsible for guarding the access to her sexuality; therefore a father or brother of a girl is liable to punish her, and this symbolizes the control of her family over her, since, as aforesaid, by violating the norm of modesty she brings shame on those with whom she grew up. See also Manar Hassan, ‘The Politics of Honour: the Patriarchate, the State and the Murder of Women in the name of Family Honour,’ in Sex, Gender and Politics (1999) (D. Yizraeli et al., eds.) , at p. 267, which regards family honour as ‘a fortified wall behind which all the forces that restrict the liberty of the woman are gathered’ (p. 303); in one place, she describes the murder of a woman by her cousin because she refused to stop smoking, and elsewhere a woman was murdered because she refused to work outside the home. Kanaan Ahlas was murdered because she accepted a position of leadership; and a young murderer quotes the person who murdered his sister, because she said ‘that no one will tell me how to behave’ (see pp. 302-303).

(f) This is not the place to discuss at length the character of the reasonable man and the place that should be given to various outlooks within the framework of this concept, but it is clear that any argument concerning cultural differences and relativity cannot be a cloak for the subjugation and oppression of a segment of the population, which in our case is women, in the name of the value of family honour, and it certainly cannot justify the intolerable way that women are killed in the name of this value. There is no alternative but to make it clear to everyone: there is no place for any argument of ‘family honour’ as a motive for killing someone, whether a family member or not. No act of killing for the reason that family honour has been violated will be shown any understanding by the court in Israel. There is no difference, in this respect, between one murder and another; the human dignity of the victim, which has been irreversibly violated, takes precedence over the honour of the family. The right that is higher than all others is the one that requires no explanation, and was included in the Ten Commandments, ‘You shall not murder’ (Exodus 20, 12 [17]), which is the sixth commandment. Even before that, the spilling of blood appears among the seven commandments given to Noah, which according to Jewish tradition apply to the whole human race (see Babylonian Talmud, Sanhedrin 56b [18]): ‘Whoever spills the blood of man, by man his blood shall be spilled, for in the image of God He made man’ (Genesis 9, 6 [19]). See also Maimonides, Hilechot Melachim (Laws of Kings), 9, 1 [20], who says with regard to this and other commandments, ‘and logic dictates them’; in other words, these commandments are dictated also by human reason and common sense; see also ibid., 9, 4 [20]. See also N. Rakover, Law and the Noahides [21]. In Israel, as aforesaid, the right to life has been incorporated in the Basic Law: Human Dignity and Liberty.

(g) The issue naturally raises a question that goes beyond the scope of this tragic incident and concerns educating people to be tolerant and to eliminate situations in which one person raises his hand against another or turns his knife on another for reasons of family honour. We are now approaching the end of the sixth decade of the existence of the State of Israel, and we are in the twenty-first century, and still concepts of honour of this kind — which I do not denigrate as a matter of tradition, cultural, social and political experience and values — are also being used as an ‘explanation.’ I am aware that learned counsel for the defence does not identify with the explanation, but merely attributed it to his client, to the murder, and nothing more. There are authorities and parties whose task it is — and the court plays a certain role, but not a central one, in this — to act in order to eradicate these concepts in the social context, in addition to the criminal one: the education system, local and community leadership, etc.. It has been argued that it is a part of a value system, but it is not a decree from the Heavens, even if it is not easy to change it. Sheikh Atrash Aakal, who testified, spoke of the difficult position of Bedouins in this context; academic writers show that this old custom still prevails in various places. But it is the task of the Sheikh and others like him, and it is the task of the education system first and foremost, to act to eradicate the erroneous and perverse application of the issue of family honour. An educational process by the education authorities and the relevant leadership is essential, in my opinion, and the sooner the better.

(h) Admittedly, this court recently showed leniency in a case of an offence of a seventy year old man, who was sentenced to 9 months imprisonment for offences against his daughter, which, it was claimed, were committed against a background of family honour. Leniency was shown in view of his age and family circumstances, including the attitude of the daughter (CrimA 3800/05 Abu Balal v. State of Israel [15]). But it was expressly stated in that case (per Vice-President Cheshin):

‘Our remarks should not be interpreted as if we are saying that persons who commit an offence against a background of “family honour” should be treated leniently or that offences that are committed against a background of “family honour” should be considered with a tolerant approach. Certainly not.’

(i) I should mention that there is a further hearing pending in this court on the question whether, in determining the existence of the element of the absence of provocation, there is also a justification for considering the objective test (CrimFH 1042/04 Biton v. State of Israel). In Gershuni v. State of Israel [6], I said that I do not agree with those who believe that the objective test should be cancelled, since even in a society that respects the autonomy of the individual, within the framework of human dignity, the sanctity of human life is one of the basic principles in the Basic Law: Human Dignity and Liberty, and it is a normative infrastructure that is shared by all members of society; if we do not assume this, then in my opinion we will undermine the essential basic values of every civilized society.

(j) With regard to the appellant’s claim concerning an emotional disturbance that did not allow him to control his behaviour (s. 300A of the Penal Law), it would appear from the description of the sequence of events that the acts of the appellant were carried out with malice aforethought — not as a spontaneous and uncontrolled response, but out of a desire to protect the family honour and his status as head of the family. Moreover, even from the psychological opinions that were filed in the District Court it does not emerge that the appellant suffers from any psychological illness. In this context I accept the conclusion of the District Court, that even if the appellant suffered from a serious psychological disturbance at the time of committing the murder — an argument that was not accepted — there was no factual or legal causal link between it and his emotional state before the killing; there is no similarity between CrimA 7126/03 Ohanna v. State of Israel [16] (in which manslaughter was substituted for murder) and our case.

5.   Finally, in summary, the appellant murdered the deceased with malice aforethought, intending to bring about the fatal outcome and without proving the claim of provocation. I therefore propose to my colleagues that we should not allow the appeal, and that we should leave the sentence unchanged.

 

 

Justice M. Naor

I agree that the appeal should be denied. The trial court rightly did not accept the suppressed evidence of the appellant with regard to remarks that were purportedly said to him by his late sister, from which it was possible to understand that his wife had been unfaithful to him. I see no need to discuss, within the framework of this appeal, the question of what the law would be had the applicant’s factual claim been accepted, even if only as a result of his being given the benefit of the doubt.

 

Justice Y. Adiel

I agree that the appeal should be denied, as proposed by Justice E. Rubinstein, and I also agree with the comment of Justice M. Naor.

 

Appeal denied.

21 Tammuz 5765.

28 July 2005.

 

 

Morar v. IDF Commander in Judaea and Samaria

Case/docket number: 
HCJ 9593/04
Date Decided: 
Monday, June 26, 2006
Decision Type: 
Original
Abstract: 

Facts: The petitioners, who represent five Arab villages in the territory of Judaea and Samaria, claimed that the respondents unlawfully deny Palestinian farmers in those villages access to their agricultural land. The petitioners also claimed that the respondents do not act to prevent attacks and harassment perpetrated by Israeli inhabitants of the territory of Judaea and Samaria against Palestinian farmers and do not enforce the law against the Israeli inhabitants. In reply, the respondents explained that the agricultural land was closed only when it was necessary to protect the Palestinian farmers from harassment by Israeli inhabitants. The respondents also notified the court of the actions taken by them to enforce the law against Israeli inhabitants in Judaea and Samaria.

 

Held: The measure of denying Palestinian farmers access to their land for their own protection is disproportionate. The proper way of protecting Palestinian farmers from harassment is for the respondents to provide proper security arrangements and to impose restrictions on those persons who carry out the unlawful acts.

 

Law enforcement in Judaea and Samaria is insufficient and unacceptable, since the measures adopted have not provided a solution to the problems of harassment. The respondents were ordered to improve law enforcement procedures to deal with the problem properly.

Voting Justices: 
Primary Author
majority opinion
Author
concurrence
Author
concurrence
Full text of the opinion: 

HCJ 9593/04

Rashed Morar, Head of Yanun Village Council

and others

v.

1.         IDF Commander in Judaea and Samaria

2.         Samaria and Judaea District Commander, Israel Police

 

 

The Supreme Court sitting as the High Court of Justice

[26 June 2006]

Before Justices D. Beinisch, E. Rivlin, S. Joubran

 

Petition to the Supreme Court sitting as the High Court of Justice.

 

Facts: The petitioners, who represent five Arab villages in the territory of Judaea and Samaria, claimed that the respondents unlawfully deny Palestinian farmers in those villages access to their agricultural land. The petitioners also claimed that the respondents do not act to prevent attacks and harassment perpetrated by Israeli inhabitants of the territory of Judaea and Samaria against Palestinian farmers and do not enforce the law against the Israeli inhabitants. In reply, the respondents explained that the agricultural land was closed only when it was necessary to protect the Palestinian farmers from harassment by Israeli inhabitants. The respondents also notified the court of the actions taken by them to enforce the law against Israeli inhabitants in Judaea and Samaria.

 

Held: The measure of denying Palestinian farmers access to their land for their own protection is disproportionate. The proper way of protecting Palestinian farmers from harassment is for the respondents to provide proper security arrangements and to impose restrictions on those persons who carry out the unlawful acts.
Law enforcement in Judaea and Samaria is insufficient and unacceptable, since the measures adopted have not provided a solution to the problems of harassment. The respondents were ordered to improve law enforcement procedures to deal with the problem properly.

 

Petition granted.

 

Legislation cited:

Basic Law: Human Dignity and Liberty, 5752-1992, ss. 2, 3, 4.

Security Measures (Judaea and Samaria) (no. 378) Order, 5730-1970, s. 90.

 

Israeli Supreme Court cases cited:

[1]        HCJ 302/72 Hilo v. Government of Israel [1973] IsrSC 27(2) 169.

[2]        HCJ 6339/05 Matar v. IDF Commander in Gaza Strip [2005] IsrSC 59(2) 846.

[3]        HCJ 10356/02 Hass v. IDF Commander in West Bank [2004] IsrSC 58(3) 443; [2004] IsrLR 53.

[4]        HCJ 2612/94 Shaar v. IDF Commander in Judaea and Samaria [1994] IsrSC 48(3) 675.

[5]        HCJ 7957/04 Marabeh v. Prime Minister [2005] (2) IsrLR 106.

[6]        HCJ 3680/05 Tana Town Committee v. Prime Minister (not yet reported).

[7]        HCJ 3799/02 Adalah Legal Centre for Arab Minority Rights in Israel v. IDF Central Commander [2005] (2) IsrLR 206.

[8]        HCJ 1730/96 Sabiah v. IDF Commander in Judaea and Samaria [1996] IsrSC 50(1) 353.

[9]        HCJ 2753/03 Kirsch v. IDF Chief of Staff [2003] IsrSC 57(6) 359.

[10]     HCJ 1890/03 Bethlehem Municipality v. State of Israel [2005] IsrSC 59(4) 736; [2005] (1) IsrLR 98.

[11]     HCJ 2481/93 Dayan v. Wilk [1994] IsrSC 48(2) 456; [1992-4] IsrLR 324.

[12]     HCJ 7862/04 Abu Dahar v. IDF Commander in Judaea and Samaria [2005] IsrSC 59(5) 368; [2005] (1) IsrLR 136.

[13]     HCJ 292/83 Temple Mount Faithful v. Jerusalem District Police Commissioner [1984] IsrSC 38(2) 449.

[14]     HCJ 7052/03 Adalah Legal Centre for Arab Minority Rights in Israel v. Ministry of Interior [2006] (1) IsrLR 443.

[15]     HCJ 2056/04 Beit Sourik Village Council v. Government of Israel [2004] IsrSC 58(5) 807; [2004] IsrLR 264.

[16]     HCJ 2725/93 Salomon v. Jerusalem District Commissioner of Police [1995] IsrSC 49(5) 366.

[17]     HCJ 531/77 Baruch v. Traffic Comptroller, Tel-Aviv and Central Districts [1978] IsrSC 32(2) 160.

[18]     HCJ 5016/96 Horev v. Minister of Transport [1997] IsrSC 51(4) 1; [1997] IsrLR 149.

[19]     HCJ 4769/95 Menahem v. Minister of Transport [2003] IsrSC 57(1) 235.

[20]     HCJ 61/80 Haetzni v. State of Israel (Minister of Defence) [1980] IsrSC 34(3) 595.

[21]     HCJ 551/99 Shekem Ltd v. Director of Customs and VAT [2000] IsrSC 54(1) 112.

[22]     HCJ 153/83 Levy v. Southern District Commissioner of Police [1984] IsrSC 38(2) 393; IsrSJ 7 109.

[23]     HCJ 2431/95 Salomon v. Police [1997] IsrSC 51(5) 781.

[24]     HCJ 3641/03 Temple Mount Faithful v. HaNegbi (unreported).

[25]     HCJ 166/71 Halon v. Head of Osfiah Local Council [1971] IsrSC 25(2) 591.

 

For the petitioners — L. Yehuda.

For the respondents — E. Ettinger.

 

 

JUDGMENT

 

 

Justice D. Beinisch

The petition before us concerns the right of access of the residents of five Arab villages in the territory of Judaea and Samaria (hereafter: the territory) to their agricultural land. The original petition was filed on behalf of the residents of three villages (Yanun, Aynabus, Burin) and later the residents of two additional villages (A-Tuani and Al-Jania). According to what is alleged in the petition, the respondents — the IDF Commander in Judaea and Samaria (‘the IDF Commander’) and the Commander of the Samaria and Judaea District in the Israel Police (‘the Police Commander’) are unlawfully preventing Palestinian farmers, who are residents of the petitioning villages, from going to their agricultural land and cultivating it. They claim that the respondents are depriving them of their main source of livelihood on which the residents of the petitioning villages rely and that this causes the residents serious harm. It is also alleged in the petition that the respondents are not acting in order to prevent attacks and harassment perpetrated by Israeli inhabitants of the territory of Judaea and Samaria against Palestinian farmers and that they do not enforce the law against the Israeli inhabitants.

The course of the proceedings in the petition and the arguments of the parties

1.    Since the petition was filed at the end of 2004, it has undergone many developments. We shall discuss below, in brief, the main events in the course of the petition.

On 24 October 2004 the petition was filed for an order nisi ordering the respondents to show cause as to why they should not allow the residents of the petitioner villages, and the residents of the territory of Judaea and Samaria in general, to have access to their land throughout the year, and particularly during the olive harvest and the ploughing season. The court was also requested to order the respondents to show cause as to why they should not take the appropriate action in order to ensure the security of the Palestinian farmers when they cultivate their land.

The petition that was filed was of a general nature but it also contained an application for concrete and urgent relief, since at the time when the petition was filed the olive harvest had begun. After an urgent hearing of the petition was held on 1 November 2004, arrangements were made between the parties in order to resolve the existing problems and to allow the harvest to take place in as many areas as possible. These arrangements were successful and from the statements that were filed by both parties it appears that a solution to the petitioners’ problems was found and that the specific difficulties that were raised in the petition were mostly resolved.

2.    On 9 December 2004 an application was filed by the petitioners for an order nisi to be made in the petition. In this application the petitioners said that although the urgent and specific problems that arose during the current harvest season had been resolved, the petition itself addressed a ‘general modus operandi, which was practised by the security forces in extensive parts of the territory of the West Bank, as a result of which residents are denied access to their land.’ It was alleged that because the IDF Commander was afraid of violent confrontations between Palestinian farmers going to work on their land and Israeli inhabitants, the IDF Commander is in the habit of ordering the closure of Palestinian agricultural areas, which are defined as ‘areas of conflict.’ This denies the Palestinians access to their land and deprives them of the ability to cultivate it. It was argued that denying them access to their land is done unlawfully, since it is not effected by means of an order of the IDF commander but by means of unofficial decisions. It was also argued that the justification given for closing the area is the need to protect the Palestinian farmers against acts of violence against them by Israeli inhabitants. In addition to this, it was argued in the petition that the respondents refuse to enforce the law against the Israeli inhabitants who act violently towards the Palestinian farmers and their property.

On 14 January 2005 the respondents filed their response to the application. In the response, it was emphasized that according to the fundamental position of the Attorney-General, the rule is that the Palestinian inhabitants in the territory of Judaea and Samaria should be allowed free access to the agricultural land that they own and that the IDF Commander is responsible to protect this right of access from hostile elements that seek to deny the Palestinians access to their land or to harm them. The respondents stated that following meetings between the defence establishment and the Attorney-General, a comprehensive examination of the areas of conflict was made, and the purpose of this was to examine whether it was essential to continue to impose restrictions on access to agricultural areas and on what scale and for how long such restrictions are required. The respondents also said that where it transpires that areas of conflict make it necessary to continue to impose restrictions upon access, these will be declared closed areas and a closure order will be made with regard thereto in accordance with s. 90 of the Security Measures (Judaea and Samaria) (no. 378) Order, 5730-1970 (the ‘Security Measures Order’). At the same time it was stated that nothing in the aforesaid would prevent the closure of an area by virtue of an unwritten decision when the defence establishment had concrete information of an immediate and unforeseen danger to the Palestinian residents or the Israeli settlers in a specific area, if the entry of Palestinian farmers into that area would be allowed. In conclusion it was argued that in view of the fact that the immediate needs of the petitioners had been satisfied and in view of what is stated above with regard to the issue of principle addressed by the petition, there was no basis for examining the petitioners’ arguments within the scope of this proceeding and the petition should therefore be denied.

3.    On 1 March 2005 a hearing was held in the presence of the parties, at the end of which it was decided to make an order nisi ordering the respondents to show cause as to why they should not allow the residents of the villages access to their agricultural land on all days of the year and why they should not adopt all the measures available to them in order to prevent the harassment of the residents of the petitioning villages and in order to ensure that they could work their land safely.

4.    In their reply to the order, the respondents discussed the difficult security position in the area and reviewed some of the serious security incidents that recently took place in the areas adjacent to the petitioners’ villages. The respondents said that in many places in Judaea and Samaria Israeli towns had been built close to Palestinian villages and that this proximity had been exploited in the past to carry out attacks against the Israeli towns. The respondents also said that during the ploughing and harvesting seasons the fear of attacks increases, since at these times the Palestinian farmers wish to cultivate the agricultural land close to the Israeli towns and hostile terrorist elements exploit the agricultural activity in order to approach the Israeli towns and attack them. In view of this complex position, the respondents discussed the need to impose balanced and proportional restrictions on both the Israeli and the Palestinian inhabitants of Judaea and Samaria in order to minimize the loss of human life on both sides. The respondents again emphasized that the principle that guides their action is the duty to allow the Palestinian residents in Judaea and Samaria free access to their agricultural land and the duty to protect this right. The respondents gave details in their reply of the rules that they have formulated in order to implement this principle and the respondents mainly emphasized the change that has occurred in the security outlook in so far as dealing with the areas of conflict is concerned: whereas in the past the prevailing outlook was that all the areas of conflict — both those characterized by harassment of Palestinians by Israelis and those where the presence of Palestinians constituted a danger to Israelis — should be closed, now areas of conflict are closed only where this is absolutely essential in order to protect Israelis (para. 16(a) of the statement of reply). According to the reply, the Palestinians will no longer be protected against harassment by Israeli residents by means of a closure of areas to Palestinians but in other ways. The methods that will be adopted for the aforesaid purpose are an increase in security for the Palestinian farmers, operating a mechanism for coordinating access to the agricultural land and closing the areas of conflict to prevent the entry of Israelis into those areas at the relevant times. The respondents also said that the problematic areas of conflict, whose closure was required in order to protect the Israeli residents, would not be closed absolutely during the harvesting and ploughing seasons, but in a manner that would allow the Palestinian farmers access to them, by coordinating this and providing security. During the rest of the year, the Palestinians would only be required to advise the DCO of their entry into the areas of conflict. The respondents argued that the aforesaid principles have led to a significant reduction in the restrictions on the access of Palestinians to their land, both with regard to the size of the area that is closed and with regard to the amount of time during which the area is closed. Thus, with regard to the village of Yanun (which is represented by the first petitioner), it was decided to close a piece of land with an area of only 280 dunams, instead of 936 dunams in 2004; with regard to the village of Aynabus (the second petitioner), no land would be closed at all (after in the original reply of the respondents it was said that an area of 218 dunams would be closed); with regard to the village of Burin (the third petitioner), two areas amounting to only approximately 80 dunams would be closed; with regard to the village of A-Tuani (the sixth petitioner), three areas amounting to approximately 115 dunams would be closed; and in the area of the village of Al-Jania (the seventh petitioner), several pieces of land with a total area of 733 dunams would be closed.

With regard to the second part of the petition, which concerns law enforcement against Israeli residents, the respondents discussed in their reply the efforts of the police to prevent acts of harassment at the points of conflict, both from the viewpoint of prevention before the event (which mainly concerns increased deployment in the areas of the conflict at the relevant times) and from the viewpoint of law enforcement after the event (by maximizing the investigation efforts and filing indictments).

 5.   The petitioners filed their response to the respondents’ reply, in which they claimed that nothing stated therein changed the prevailing position, in which the Palestinian residents were refused free access to their land. The alleged reason for this is that they continue to suffer a de jure denial of access to their land — by virtue of closure orders, which the petitioners claim do not satisfy the tests of Israeli and international law — and a de facto denial of access, as a result of attacks and harassment on the part of Israeli inhabitants. The petitioners also complained of the continuing ineptitude of the police treatment of Israeli lawbreakers.

6.    After receiving the respondents’ reply and the petitioners’ response to it, two additional hearings were held in the case, and at the end of these the respondents were asked to file supplementary pleadings, including replies to the petitioners’ claims that there is no access to the agricultural land during the current harvesting season and that nothing is done with regard to the complaints of residents of the petitioning villages with regard to harassment against them. In the supplementary pleadings of 26 September 2005, the respondents discussed at length the deployment of the army and the police for the 2005 olive harvest. In reply to the questions of the court, the respondents said, inter alia, that in the course of the deployment a plan is being put into operation to determine days on which security will be provided for the areas of conflict, which has been formulated in coordination with the Palestinians; that several control mechanisms have been formulated with the cooperation of the civil administration, the police and the Palestinian Authority, whose purpose is to provide a solution to the problems that arise during the harvest; that the forces operating in the area will be strengthened in order to guard the agricultural work; that the police forces have taken action to improve their ability to bring lawbreakers to justice; that orders have been issued to the IDF forces, emphasizing the fundamental principle that the farmers should be allowed to go to harvest the olives and that they should ensure that the harvest takes place in a reasonable manner; and that there was an intention to make closure orders for Israeli areas only, together with restriction orders for certain Israeli inhabitants who had been involved in the past in violent actions.

In addition to the aforesaid, the respondents said in their reply that following another reappraisal of all the relevant factors and circumstances in the area, they had revised their position with regard to the use of closure orders directed at the Palestinian residents. The respondents said that the reappraisal was carried out against the background of the tension anticipated during the withdrawal from the Gaza Strip and in view of the concern that the olive harvest was likely to be characterized by many attempts on the part of Israeli inhabitants to harm Palestinian residents. According to the revised position, in addition to the security need to make use of closure orders where this was required in order to protect the security of the Israeli inhabitants, there was also a security need to make use of closure orders when the main purpose was to protect the Palestinian residents. At the same time the respondents informed the court that, in view of the aforesaid parameters, it had been decided in the reappraisal of the issue not to make closure orders for the land of the villages of A-Tuani and Yanun. The respondents also said that in the land of the villages of Burin and Al-Jania only areas amounting to approximately 808 dunams would be closed. Against the background of all of the aforesaid, the respondents were of the opinion that there was a significant improvement in the access of the Palestinian farmers to their land.

In an additional statement of the respondents, it was argued that the question of law enforcement against the Israeli settlers was being treated seriously both by the defence establishment and by the interdepartmental committee for law enforcement in the territories, which operates at the State Attorney’s Office. In this context the respondents discussed, inter alia, the efforts that were made to increase the supervision of security officers in Israeli towns and to increase supervision of the allocation of weapons to Israelis in the area, and the steps taken by the police in order to deal with offences carried out by Israeli inhabitants. They also addressed the handling of specific complaints that were made with regard to the villages that are the subject of the petition.

7.    The petitioners, for their part, filed on 30 November 2005 an additional supplementary statement, in which they said that during the olive harvest season of 2005 there had indeed been a certain change for the better from the viewpoint of the respondents’ deployment. In this regard, they discussed how greater efforts had been made by the civil administration to coordinate with the Palestinians the dates of the olive harvest, and that more requests by Palestinians to receive protection were granted. At the same time, the petitioners said that the results on the ground were not always consistent: whereas in the villages of Yanun and Al-Jania most of the farmers did indeed succeed in obtaining access to their land in order to carry out the harvesting on certain days during the season, this was not the case in the other petitioning villages, in which there was no real change in the access to the land. In any case, the petitioners argued that in general the situation remained unchanged, since the Palestinian farmers cannot access their land in the areas of conflict freely on a daily basis, both because of violence on the part of the Israeli inhabitants and because of various restrictions that the army imposes. The petitioners emphasized that this modus operandi, whereby as a rule the Palestinians are denied access to their land, except on certain days when protection is provided by the forces in the area, is the complete opposite of the right to free access, since, in practice, preventing access is the rule whereas allowing access is the exception.

8.    Shortly thereafter, on 2 January 2006, the petitioners filed an application to hold an urgent hearing of the petition. This was in response to several very serious incidents in which more than two hundred olive trees were cut down and destroyed on the land of the village of Burin. In the application it was stated that despite repeated requests to the respondents, no activity was being carried out by them at all to protect the petitioners’ trees and that no measures were being taken to stop the destruction of the trees. It was also claimed in the application that the ploughing season was about to begin and that the respondents were not taking the necessary steps in order to allow the residents of the petitioning villages safe access to their agricultural land and were not taking any action to prevent attacks and harassment by the Israeli inhabitants.

9.    In consequence of what was stated in the application, the petition was set down for a hearing. Shortly before this hearing, a statement was filed by the respondents, in which it was claimed that the incidents in which the olive trees were ruined were being investigated intensively by the competent authorities, but at this stage evidence has not been found that would allow the filing of indictments in the matter. It was also stated that the phenomenon of violent harassment by Israeli residents against Palestinian farmers had recently been referred to the most senior level in government ministries and that a real effort was being made to find a solution to the problem. In addition, it was stated that the Chief of Staff had orders several steps to be taken in order to reduce the phenomenon of the harassment of Palestinian farmers, including increased enforcement at the places where law and order were being violated, adopting administrative measures against lawbreakers and reducing the number of weapons held by the Israeli inhabitants of Judaea and Samaria. It was also stated that the deputy prime minister at that time, Mr Ehud Olmert, ordered the establishment of an inter-ministerial steering committee that would monitor the law enforcement operations carried out as a part of the measures taken to prevent acts of violence perpetrated by Israeli inhabitants in Judaea and Samaria.

10. At the last hearing that was held before us on 19 January 2006, the parties reiterated their contentions. The petitions again argued against the ineffectual protection afforded by the respondents to the Palestinian farmers who wish to have access to and cultivate their agricultural lands and against the forbearing approach adopted, according to them, towards the lawbreakers. The petitioners indicated in their arguments several problematic areas, including improper instructions given to the forces operating in the area, a failure to make orders prohibiting the entry of Israelis into the Palestinian agricultural areas, and so forth. The respondents, for their part, discussed the steps that were being taken and the acts that were being carried out in order to ensure that the residents of the petitioning villages had access to their lands and that they were protected.

Deliberations

General

11. The petition before us has raised the matter of a very serious phenomenon of a violation of the basic rights of the Palestinian residents in the territories of Judaea and Samaria and of significant failures on the part of the respondents with regard to maintaining public order in the territories. As we have said, the claims raised by the petitioners are of two kinds: one claim relates to the military commander denying the Palestinian farmers access to their land. In this matter, it was claimed in the petition that the closure of the area deprives the Palestinian residents of their right to freedom of movement and their property rights in a manner that is unreasonable and disproportionate and that violates the obligations imposed on the military commander under international law and Israeli administrative law. It was also claimed that it was not proper to protect the Palestinian farmers in a way that denied them access to their land. In addition it was claimed that closing the areas to the Palestinians was done on a regular basis without a formal closure order being made under section 90 of the Security Measures Order and therefore the denial of access to the land was not based upon a lawful order. The main additional claim that was raised in the petition addressed the failure of the respondents to enforce the law in the territories of Judaea and Samaria. The essence of the claim was that the respondents do not take action against the Israeli inhabitants in the territories that harass the Palestinian farmers and harm them and their property. In addition to these general claims, the petition also includes specific claims that required immediate action in concrete cases where access was being denied, and these claims were dealt with immediately (see para. 1 above).

The proceedings in the petition before us were spread out over several hearings; the purpose of this was to allow the respondents to take action to solve the problems that were arising and to find a solution to the claims raised before us, under the supervision of the Attorney-General and subject to the judicial scrutiny of the court. We thought it right to give the respondents time to correct what required correction, since there is no doubt that the reality with which they are confronted is complex and difficult and that the tasks imposed on them are not simple. Regrettably, notwithstanding the time that has passed, it does not appear that there has been any real change in the position and it would seem that no proper solution has been found to the serious claims of the Palestinian farmers concerning the violation of their right to cultivate their land and to obtain their livelihood with dignity, and to the injurious acts of lawbreaking directed against them. At the hearings that took place before us, a serious picture emerged of harm suffered by the Palestinian residents and contempt for the law, which is not being properly addressed by the authorities responsible for law enforcement. Therefore, although some of the claims that were raised in the petition were of a general nature, we have seen fit to address the claims raised by the petitioners on their merits.

Denying access to land

12. The territories of Judaea and Samaria are held by the State of Israel under belligerent occupation and there is no dispute that the military commander who is responsible for the territories on behalf of the state of Israel is competent to make an order to close the whole of the territories or any part thereof, and thereby to prevent anyone entering or leaving the closed area. This power of the military commander is derived from the rules of belligerent occupation under public international law; the military commander has the duty of ensuring the safety and security of the residents of the territories and he is responsible for public order in the territories (see art. 23(g) and art. 52 of the Regulations concerning the Laws and Customs of War on Land, which are annexed to the Fourth Hague Convention of 1907 (hereafter: ‘the Hague Regulations’); art. 53 of the Convention relative to the Protection of Civilian Persons in Times of War, 1949 (hereafter: ‘the Fourth Geneva Convention’); HCJ 302/72 Hilo v. Government of Israel [1], at pp. 178-179). This power of the military commander is also enshrined in security legislation in section 90 of the Security Measures Order (see, for example, Hilo v. Government of Israel [1], at pp. 174, 179; HCJ 6339/05 Matar v. IDF Commander in Gaza Strip [2], at pp. 851-852). In our case, the petitioners do not challenge the actual existence of the aforesaid power but the manner in which the military commander directs himself when exercising his power in the circumstances described above. Therefore the question before us is whether the military commander exercises his power lawfully with regard to the closure of agricultural areas to Palestinian residents who are the owners or who have possession of those areas.

In order to answer the question that arises in this case, we should examine the matter in two stages: in the first stage we should seek to ascertain the purpose for which the power to close areas is exercised by the military commander, and we should also examine the various criteria that the military commander should consider when he considers ordering a closure of areas in the territories. In the second stage we should examine the proper balance between these criteria and whether this balance is being upheld in the actions of the military commander in our case.

The purpose of adopting the measure of closing areas

13. According to the respondents’ position, the purpose of adopting the measure of closing areas is to help the military commander carry out his duty of maintaining order and security in the area. Indeed, no one disputes that it is the duty of the military commander to ensure public order and the security of the inhabitants in the area under his command. Article 43 of the Hague Regulations sets out this duty and authorizes the military commander to take various measures in order to carry out the duty:

     ‘The authority of the legitimate power having in fact passed into the hands of the occupant, the latter shall take all the measures in his power to restore, and ensure, as far as possible, public order and safety, while respecting, unless absolutely prevented, the laws in force in the country.’

See also HCJ 10356/02 Hass v. IDF Commander in West Bank [3], at pp. 455-456 {64-65}. It should be emphasized that the duty and authority of the military commander to ensure security in the territory apply with regard to all the persons who are present in the territory that is subject to belligerent occupation. This was discussed by this court, which said:

     ‘… In so far as the needs of maintaining the security of the territory and the security of the public in the territory are concerned, the authority of the military commander applies to all the persons who are situated in the territory at any given time. This determination is implied by the well-known and clear duty of the military commander to maintain the security of the territory and by the fact that he is responsible for ensuring the safety of the public in his area’ (per Justice Mazza in HCJ 2612/94 Shaar v. IDF Commander in Judaea and Samaria [4], at p. 679).

(See also HCJ 7957/04 Marabeh v. Prime Minister [5], at para. 18, and HCJ 3680/05 Tana Town Committee v. Prime Minister [6], at paras. 8-9).

As we have said, the respondents’ argument is that the closure of the areas is done for the purpose of maintaining order and security in the territories. It should be noted that within the scope of this supreme purpose, it is possible to identify two separate aspects: one concerns the security of the Israelis in the territories and the other the security of the Palestinian residents. Thus in some cases the closure of the areas is intended to ensure the security of the Israeli inhabitants from the terror attacks that are directed against them, whereas in other cases the closure of the areas is intended to ensure the security of the Palestinian farmers from acts of violence that are directed against them. We shall return to these two separate aspects later, but we should already emphasize at this stage that in order to achieve the two aspects of the aforesaid purpose the military commander employs the same measure, and that is the closure of agricultural areas owned by the petitioners and denying the Palestinian farmers access to those areas.

The relevant criteria when exercising the power to close areas

14. As a rule, when choosing the measures that should be adopted in order to achieve the purpose of maintaining public order and security in the territories, the military commander is required to take into account only those considerations that are relevant for achieving the purpose for which he is responsible. In our case, when he is called upon to determine the manner of adopting the measure of closing areas, the military commander is required to consider several criteria.

On the one hand, there is the value of security and the preservation of the lives of the residents of the territories, both Israelis and Palestinians. It is well-known that the right to life and physical integrity is the most basic right that lies at the heart of the humanitarian laws that are intended to protect the local population in the territories held under the laws of belligerent occupation (see HCJ 3799/02 Adalah Legal Centre for Arab Minority Rights in Israel v. IDF Central Commander [7], at para. 23 of the opinion of President Barak). This right is also enshrined in Israeli constitutional law in ss. 2 and 4 of the Basic Law: Human Dignity and Liberty, and there is no doubt at all that this is a right that is on the highest normative echelon (see HCJ 1730/96 Sabiah v. IDF Commander in Judaea and Samaria [8], at p. 368; HCJ 2753/03 Kirsch v. IDF Chief of Staff [9], at pp. 377-378). All the residents of the territories — both Palestinians and Israelis — are therefore entitled to enjoy the right to life and physical integrity, and a fundamental and primary criterion that the military commander should consider when deciding to close areas is the criterion of the protection of the life and physical integrity of all the residents in the territories.

The petition before us concerns agricultural areas that are owned by Palestinian inhabitants and that are closed by the order of the military commander. Therefore, the right to security and the protection of physical integrity is opposed by considerations concerning the protection of the rights of the Palestinian inhabitants, and in view of the nature of the case before us, we are speaking mainly of the right to freedom of movement and property rights. In the judgment given in HCJ 1890/03 Bethlehem Municipality v. State of Israel [10], we said that the freedom of movement is one of the most basic human rights. We discussed how in our legal system the freedom of movement has been recognized both as an independent basic right and also as a right derived from the right to liberty, and how there are some authorities that hold that it is a right that is derived from human dignity (see para. 15 of the judgment and the references cited there). The freedom of movement is also recognized as a basic right in international law and this right is enshrined in a host of international conventions (ibid.). It is important to emphasize that in our case we are not speaking of the movement of Palestinian residents in nonspecific areas throughout Judaea and Samaria but of the access of the residents to land that belongs to them. In such circumstances, where the movement is taking place in a private domain, especially great weight should be afforded to the right to the freedom of movement and the restrictions imposed on it should be reduced to a minimum. It is clear that restrictions that are imposed on the freedom of movement in public areas should be examined differently from restrictions that are imposed on a person’s freedom of movement within the area connected to his home and the former cannot be compared to the latter (see HCJ 2481/93 Dayan v. Wilk [11], at p. 475).

As we have said, an additional basic right that should be taken into account in our case is, of course, the property rights of the Palestinian farmers in their land. In our legal system, property rights are protected as a constitutional human right (s. 3 of the Basic Law: Human Dignity and Liberty). This right is of course also recognized in public international law (see HCJ 7862/04 Abu Dahar v. IDF Commander in Judaea and Samaria [12], at para. 8 and the references cited there). Therefore, the residents in the territories held under belligerent occupation have a protected right to their property. In our case, there is no dispute that we are speaking of agricultural land and agricultural produce in which the petitioners have property rights. Therefore, when the petitioners are denied access to land that is their property and they are denied the possibility of cultivating the agricultural produce that belongs to them, their property rights and their ability to enjoy them are thereby seriously violated.

15. Thus we see that the considerations that the military commander should take into account in the circumstances before us include, on the one hand, considerations of protecting the security of the inhabitants of the territories and, on the other hand, considerations concerning the protection of the rights of the Palestinian inhabitants. The military commander is required to find the correct balance between these opposite poles. The duty of the military commander to balance these opposite poles has been discussed by this court many times, and the issue was summarized by President Barak in Marabeh v. Prime Minister [5] as follows:

     ‘Thus we see that, in exercising his power under the laws of belligerent occupation, the military commander should “ensure public order and safety.” Within this framework, he should take into account, on the one hand, considerations of the security of the state, the security of the army and the personal safety of everyone who is in the territory. On the other hand, he should consider the human rights of the local Arab population’ (para. 28 of the judgment [5]; emphases supplied).

See also Hass v. IDF Commander in West Bank [3], at pp. 455-456 {64-65}.

16. There is no doubt that in cases where the realization of human rights creates a near certainty of the occurrence of serious and substantial harm to public safety, and when there is a high probability of harm to personal security, then the other human rights yield to the right to life and physical integrity (HCJ 292/83 Temple Mount Faithful v. Jerusalem District Police Commissioner [13], at p. 454; Hass v. IDF Commander in West Bank [3], at p. 465 {76}). Indeed, in principle, where there is a direct conflict, the right to life and physical integrity will usually prevail over the other human rights, including also the right to freedom of movement and property rights. The court addressed this principle in HCJ 7052/03 Adalah Legal Centre for Arab Minority Rights in Israel v. Ministry of Interior [14], where it said:

     ‘When there is a direct confrontation and there is a concrete risk to security and life, the public interest indeed overrides protected human rights, and the same is the case where there is a concrete likelihood of a risk to life’ (para. 11 of my opinion [14]).

Notwithstanding, the balance between the various rights and values should be made in such a way that the scope of the violation of the rights is limited to what is essential. The existence of risks to public safety does not justify in every case an absolute denial of human rights and the correct balance should be struck between the duty to protect public order and the duty to protect the realization of human rights. The question before us is whether the manner in which the military commander is exercising his power to close areas for the purpose of achieving security for the Israeli residents on the one hand and the Palestinian residents on the other properly balances the conflicting considerations. We shall now turn to consider this question.

The balance between the relevant considerations

17. As we have said, in order to achieve the purpose of preserving security in the territories, the military commander adopts the measure of closing agricultural areas that are owned by Palestinians and in doing so he violates the right of the Palestinian residents to freedom of movement on their land and their right to have use of their property. We therefore discussed above the purpose for which the military commander was given the power to close the areas and the relevant criteria for exercising this power. Now we should consider whether the military commander properly balanced the various criteria and whether the measures adopted by the military commander satisfy the principle of proportionality that governs him in his actions.

18. The centrality of the principle of proportionality in the actions of the military commander has been discussed by this court many times (see, for example, HCJ 2056/04 Beit Sourik Village Council v. Government of Israel [15], at pp. 836-841 {293-298}). The manner in which the military commander exercises his power to close agricultural areas in the territories inherently results in a violation of the rights of the Palestinian residents and therefore this violation should satisfy the principle of proportionality. According to the proportionality tests, the military commander has the burden of showing that there is a rational connection between the measure adopted and the purpose (the first subtest of proportionality); he is required to show that, of the various appropriate measures that may be chosen, the measure adopted causes the least possible harm to the individual (the second test); and he is also required to show that adopting the aforesaid measure is proportionate to the benefit that arises from employing it (the third subtest).

19. According to the aforesaid tests, is the harm caused to the petitioners as a result of the closure of the agricultural land by the military commander proportionate? The proportionality of the measure is examined in relation to the purpose that the military commander is trying to achieve with it. ‘The principle of proportionality focuses… on the relationship between the purpose that it wants to realize and the measures adopted to realize it’ (Beit Sourik Village Council v. Government of Israel [15], at p. 839 {296}). In our case, the respondents claim that the closure of the areas is done for one purpose, which has two aspects: in certain circumstances it is for the protection of the Israeli inhabitants and in other circumstances it is for the protection of the Palestinian farmers. There are cases where the purpose is a mixed one, and the closure is intended to protect the lives of all the inhabitants, both Israeli and Palestinian, and in these circumstances the discretion of the military commander will be examined in accordance with the main purpose for which the power was exercised. Accordingly, we should examine the manner in which the military commander exercises the power of closure with regard to all of the aforesaid circumstances. First we shall examine the proportionality of the use of the power to close areas with regard to the purpose of protecting the security of the Israeli inhabitants and afterwards we shall examine the proportionality of the use of this measure with regard to the purpose of protecting the security of the Palestinian farmers.

Protecting the security of Israeli inhabitants

20. In so far as the protection of the security of the Israeli residents is concerned, the respondents argued that in order to achieve this purpose, in a period when brutal and persistent terrorist activity is taking place, the closure of areas near Israeli towns so that Palestinians cannot enter them is needed in order to prevent the infiltration of terrorists into those towns and the perpetration of acts of terror against the persons living there. The respondents explained that the access of the Palestinian farmers to agricultural land adjoining the Israeli towns is exploited by the terrorist organizations to carry out attacks against the Israeli towns, and that the presence of the Palestinian farmers on the land adjoining the Israeli towns serves the terrorists as a cloak and helps them to infiltrate those areas. The proximity of the agricultural land to Israeli towns is exploited particularly in order to carry out attempts to infiltrate the Israeli towns, for the purpose of carrying out attacks in them, and also for the purpose of long-range shooting attacks. Because of this, the respondents explained that there is a need to create a kind of barrier area, into which entry is controlled, and thus it will be possible to protect the Israeli inhabitants in an effective manner.

After considering the respondents’ explanations and the figures presented to us with regard to the terror activity in the areas under discussion in the petition, we have reached the conclusion that the measure of closing areas adjoining Israeli towns does indeed have a rational connection with the purpose of achieving security for the inhabitants of those towns. As we have said, the protection of the security of the Israeli inhabitants in the territories is the responsibility of the military commander, even though these inhabitants do not fall within the scope of the category of ‘protected persons’ (see Marabeh v. Prime Minister [5], at para. 18). The proximity of the Palestinian agricultural land to the Israeli towns, which is exploited by hostile terrorist forces, presents a significant risk to the security of the Israeli residents, and contending with this risk is not simple. The closure of the areas from which terrorist cells are likely to operate, so that the access to them is controlled, is therefore a rational solution to the security problem that arises.

With regard to the second test of proportionality — the least harmful measure test — according to the professional assessments submitted to us, no other measure that would be less harmful and that would achieve the purpose of protecting the security of the Israeli residents was raised before us. The military commander is of the opinion that the unsupervised access of Palestinians to areas that are very close to Israeli towns is likely to create a serious threat to the security of the Israeli inhabitants and there is no way to neutralize this threat other than by closing certain areas to Palestinians for fixed and limited periods. The military commander emphasized how the closure of the areas to the Palestinians will be done only in areas where it is absolutely essential and that there is no intention to close areas of land beyond the absolute minimum required in order to provide effective protection for the Israeli inhabitants. The military commander also said that the period of time when the areas would be closed to the Palestinian residents would be as short as possible and that the periods when access was denied would be limited. The military commander emphasized that he recognizes the importance of the right of the Palestinian farmers to have access to their land and to cultivate it and that making closure orders from time to time would be done while taking these rights into account and violating them to the smallest degree. The military commander also emphasized the intention to employ additional measures in order to ensure the protection of the rights of the Palestinians and that by virtue of the combination of the various measures it would be possible to reduce to a minimum the use of closure orders. From the aforesaid we have been persuaded that the military commander took into account, in this regard, the absence of any other less harmful measure that can be used in order to achieve the desired purpose. The other measures discussed by the respondents are insufficient in themselves for achieving the purpose and therefore there is no alternative to using also the measure of closing areas that adjoin Israeli towns for a limited period, in order to provide security.

With regard to the third test of the principle of proportionality — the proportionate or commensurate measure test — the benefit accruing to the Israeli inhabitants from the closure of the areas, from a security perspective, and the protection of the value of preserving life without doubt exceeds the damage caused by employing this measure, provided that it is done in a prudent manner. It should be remembered that, according to the undertaking of the military commander, the closure of the area will not cause irreversible damage to the Palestinian farmers, since by prior arrangement they will be allowed to have access to all of the agricultural land and to carry out the necessary work.

Consequently our conclusion is that subject to the undertakings given by the respondents, exercising the power to deny the Palestinians access to the areas that are very close to Israeli towns, in so far as this derives from the need to protect the Israeli towns, is proportionate. Indeed, the use of the measure of closing the areas inherently involves a violation of basic rights of the Palestinian residents, but taking care to use this measure proportionately will reduce the aforesaid violation to the absolute minimum.

21. It should be re-emphasized that the actual implementation of the military commander’s power to close areas should be done proportionately and after a specific and concrete examination of the conditions and character of the risks that are unique to the relevant area (cf. HCJ 11395/05 Mayor of Sebastia v. State of Israel (not yet reported)). In this regard it should be noted that, before filing the petition, the respondents defined a range of 500 metres from the boundaries of an Israeli town as the necessary security limits for the closed area, but following the hearings that took place in the petition this range was reduced and in practice areas were closed within a range of between only 50 and 300 metres from Israeli towns, as needed and according to the topography of the terrain, the nature of the risk and the degree of harm to the Palestinian residents in the area. Determining the security limits in the specific case is of course within the jurisdiction of the military commander, but care should be taken so that these ranges do not exceed the absolute minimum required for effective protection of the Israeli inhabitants in the area under discussion, and the nature and extent of the harm to the Palestinians should be examined in each case. In addition, whenever areas are closed it should be remembered that it is necessary to give the Palestinian residents an opportunity to complete all the agricultural work required on their land ‘to the last olive.’ It should also be noted that closing the areas should be done by means of written orders that are issued by the military commander, and in the absence of closure orders the Palestinian residents should not be denied access to their land. Nothing in the aforesaid prejudices the commander’s power in the field to give oral instructions for a closure of any area on a specific basis for a short and limited period when unexpected circumstances present themselves and give rise to a concern of an immediate danger to security that cannot be dealt with by any other measures. But we should take care to ensure that the power to order the closure of a specific piece of land without a lawful order, as a response to unexpected incidents, should be limited solely to the time and place where it is immediately required. In principle, the closure of areas should be done by means of an order of which notice is given to whoever is harmed by it, and the residents whose lands are closed to them should be given an opportunity to challenge its validity. Within the limitations set out above and subject thereto, it can be determined that closing areas close to Israeli towns is proportionate.

Protecting the security of Palestinian farmers

22. As we said above, the purpose of maintaining order and security in the territories has two aspects, and for each of these we should examine the proportionality of the use of the measure of closing areas. We discussed above the proportionality of the military commander’s use of the power to close areas to achieve the first aspect — the protection of the security of the Israeli inhabitants. Now we should consider whether the military commander has exercised his power proportionately also with regard to the second aspect of the purpose — providing protection for the security of the Palestinian farmers.

23. According to the respondents’ explanations, there is no alternative to closing off the agricultural areas to their Palestinian owners, since the Palestinian farmers often suffer from harassment by the Israeli inhabitants when they enter their land. The respondents said that every year the olive harvest is a focal point for conflicts between Israeli settlers and Palestinian farmers and that in a large number of cases these conflicts result in serious harm to the lives and property of the Palestinian farmers. Because of the aforesaid, the military commander adopts the measure of closing areas to the Palestinian farmers in order to realize the purpose of protecting them against attacks directed at them.

24. The question of denying a person access to certain land, when he has a right of access to it, for the purpose of protecting his security and for the purpose of preserving public order is not new in Israel and it has been considered in our case law several times (see, for example, Temple Mount Faithful v. Jerusalem District Police Commissioner [13]; HCJ 2725/93 Salomon v. Jerusalem District Commissioner of Police [16]; HCJ 531/77 Baruch v. Traffic Comptroller, Tel-Aviv and Central Districts [17]; HCJ 5016/96 Horev v. Minister of Transport [18]). In these judgments and others, the court considered the question of the conflict between the public interest of order and security and the duty of protecting basic human rights such as freedom of worship, freedom of movement and freedom of expression.

In our case, as we have said, assuming that the violation of the Palestinians’ right of access to their land is done for the proper purpose of protecting their lives, we should consider whether the closure of the agricultural areas to the Palestinians in order to protect them is a proportionate violation of their rights. After studying the written pleadings and hearing the arguments of the parties, we have reached the conclusion that in the prevailing circumstances the exercising of the military commander’s power to close land to Palestinians for the purpose of protecting them is disproportionate. Of course, no one disputes that closing the area and preventing the access of Palestinians to their land does achieve a separation between them and the Israeli inhabitants and thereby protects the Palestinian farmers. But the use of the power of closure for the purpose of protecting the Palestinian inhabitants violates the right of the Palestinian inhabitants to freedom of movement and their property rights to a disproportionate degree and it does not satisfy the subtests of the principle of proportionality. We shall explain our position below.

25. Exercising the power to close areas that are owned by Palestinians for the purpose of protecting them does not satisfy the first subtest of proportionality, since there is no rational connection between the means and the end. The rational connection test is not merely a technical causal connection test between means and end. Even when use of a certain measure is likely to lead to realization of the desired purpose, this does not mean that there is a rational connection between the means and the end and that the means is suited to achieving the end. The emphasis in the rational connection test is whether the connection is rational. The meaning of this is, inter alia, that an arbitrary, unfair or illogical measure should not be adopted (see HCJ 4769/95 Menahem v. Minister of Transport [19], at p. 279; A. Barak, Legal Interpretation — Constitutional Interpretation, at pp. 542, 621). In our case, the areas that are closed are private areas that are owned by Palestinians whose livelihood depends upon their access to them. On the other hand, the threat to the security of the Palestinians is the perpetration of acts of harassment by Israeli lawbreakers. In these circumstances, the closure of the areas to the Palestinian farmers in order to contend with the aforesaid threat is not rational, since it is an extremely unfair act that results in serious harm to basic rights while giving in to violence and criminal acts. Admittedly, closing the areas is likely to achieve the purpose of protecting the Palestinian farmers, but when the discretion of the military commander in closing the areas is influenced by the criminal acts of violent individuals, who violate the rights of the inhabitants to their property, the discretion is tainted (see Baruch v. Traffic Comptroller, Tel-Aviv and Central Districts [17], at p. 165; Horev v. Minister of Transport [18], at pp. 77 {235} and 118-120 {286-290}). A policy that denies Palestinian inhabitants access to land that belongs to them in order to achieve the goal of protecting them from attacks directed at them is like a policy that orders a person not to enter his own home in order to protect him from a robber who is waiting for him there in order to attack him. In the circumstances of the case before us, it is not rational that this policy should be the sole solution to the situation in the area, since it violates the rights of the Palestinian farmers to freedom of movement and their property rights disproportionately.

The use of the measure of closing the area to Palestinians for the purpose of protecting the Palestinians themselves is inconsistent with the basic outlook of the military commander with regard to protecting the inhabitants against harassment. When the military commander seeks to protect the security of the Israeli inhabitants he takes the step of closing the area to Palestinians, whose entry into the area may be exploited by terrorists. With regard to this purpose we said that the measure chosen is proportionate since placing a restriction on the party from which the danger may arise achieves the purpose of protecting the Israeli inhabitants by means of a proportionate violation of the protected rights of the Palestinian farmers. By contrast, when the purpose sought is to protect the security of the Palestinian farmers from acts of violence directed against them, it is right that the appropriate measure should be directed against the party causing the danger, i.e., against those persons who carry out the attacks on the Palestinian farmers. The problem is that when he seeks to protect the Palestinian farmers, the military commander has once again chosen to act against them, even when they are the victim of the attacks. It is clear therefore that the use of the measure of closing the area to the Palestinian farmers when the purpose is to protect the Palestinians themselves is not an appropriate use of the aforesaid measure, and it is contrary to our sense of justice. This situation is not proper and therefore the use of the measure of closing areas as the standard and only measure for protecting Palestinian inhabitants who are attacked on their land is a use that is disproportionate and inconsistent with the duties imposed on the military commander.

26. It should be noted that now we have found that the measure adopted is not at all appropriate or suited to the purpose for which it was intended (the first test of proportionality), we are not required to examine whether the measure is consistent with the other tests of proportionality. Nonetheless we should point out that in the circumstances of the case it is also clear that the measure adopted is not the least harmful measure, nor is it proportionate to the benefit that arises from it (the two remaining tests of proportionality). In this regard, it should be stated that the respondents themselves discussed in their responses other measures that could be adopted in order to realize the purpose of protecting the Palestinian inhabitants when they wish to cultivate their land. Inter alia, the respondents mentioned their intention to increase the security given to the Palestinian inhabitants when carrying out the agricultural work by means of increasing the forces in the area, and also their intention to issue restriction orders against certain Israeli inhabitants who were involved in the past in acts of violence and who, in the military commander’s opinion, present a danger. The use of these measures and other additional measures that were mentioned by the respondents is likely to achieve the purpose of protecting the Palestinian inhabitants who wish to cultivate their land without disproportionately violating the right of the Palestinian farmers to freedom of movement on their land and their property rights.

27. Naturally, it is not possible to rule out entirely the use of the measure of closing an area to the party that is being attacked in order to protect him (see Salomon v. Jerusalem District Commissioner of Police [16]). The matter depends on the circumstances of the case, the human rights that are violated and the nature of the threat. This is for example the case when there is concrete information of a certain risk and according to assessments it is almost certain that it will be realized and it is capable of seriously endangering security and life. In our case, these conditions are not satisfied. In the case before us the violation of the rights is serious, whereas the threat is one which from the outset can and should be handled in other ways that violate rights to a lesser degree. In addition, the closure of the areas was done in our case in a sweeping manner for prolonged periods, on the basis of a general assessment, and not pursuant to a specific concrete assessment. Therefore, the relevant circumstances in our case are what make the use of the measure of closing the area to the Palestinian farmers in order to protect them disproportionate.

Denying access — summary

28. The inescapable conclusion is therefore that the manner in which the military commander exercised his discretion to deny Palestinians access to agricultural areas that belong to them, in order to realize the purpose of protecting their security, is not consistent with the proportionate measure test that governs the respondents, and therefore it is unacceptable. As a rule, the military commander should carry out his duty to protect the security of the Palestinian inhabitants in another manner, and not by closing the agricultural areas, provided that his command responsibility is not prejudiced. The ‘conflict areas,’ which are closed to the Palestinians in order to protect the Palestinians themselves, should therefore remain open to the movement of Palestinians and the respondents should adopt all the measures that are required in order to ensure the security of the Palestinians farmers in those areas. The protection of the Palestinians should be afforded by providing proper security, giving clear instructions to the military forces and the police with regard to how they should act, and imposing restrictions that will be effective against those persons who harass the Palestinians and break the law. With regard to the closure of areas belonging to Palestinian inhabitants when the purpose that is being sought is the protection of the Israeli inhabitants against terrorist activity, in such a case the measure of closure may be proportionate, provided that the military commander exercises his power on the smallest scale possible and while observing the rules set out above.

Law enforcement in the territories of Judaea and Samaria

29. As we have said, the second head of the petition was directed against the respondents’ failures to enforce the law in the territories against the Israeli inhabitants. The petitioners claim that the respondents are not doing enough in order to prevent the Israeli inhabitants from harassing the Palestinian farmers who are cultivating their land and that they are not taking action to prevent harm to the Palestinians and their property. We shall now turn to examine these contentions.

30. As we said in para. 13 above, article 43 of the Hague Regulations sets out the duty and power of the military commander to maintain order and security in the territory under his control. There is no doubt that one of the main duties for which the military commander is responsible within this framework is the duty to ensure that the law is upheld in the territories (see HCJ 61/80 Haetzni v. State of Israel (Minister of Defence) [20], at p. 595; Abu Dahar v. IDF Commander in Judaea and Samaria [12], at para. 7).

A discussion of the general subject of law enforcement in Judaea and Samaria and the many problems that this entails falls outside the scope of the petition before us. This is without doubt a serious problem with which the State of Israel has been contending for many years. A detailed review and recommendations on this issue can be found in the report of the Commission of Inquiry into the Hebron Massacre (1994), at pp. 157-200, 243-245 and 250-251 (hereafter: ‘the Shamgar Commission report’). It should be noted that the Shamgar Commission report extensively considered the problem of law enforcement against the Israeli settlers in the territories and several specific contentions were raised with regard to the harassment of Palestinians by Israeli inhabitants by means of physical attacks, the destruction of property and uprooting orchards. The Shamgar Commission report also gives details of claims concerning the ineffective handling of law breaking and inter alia the report discusses the phenomena of not carrying out police investigations, delays in carrying out investigations, not filing indictments and so on (see pp. 192-193 of the Shamgar Commission report). The Shamgar Commission made its recommendations and these led, inter alia, to the creation of the Samaria and Judaea division of the police, which operates in the territories under the control of the military commander and deals with all the issues that concern policing in those territories.

But notwithstanding the repeated discussion, both in the report and on other additional occasions, of the problems relating to law enforcement in the territories, and notwithstanding the steps taken in this field in the past, the petition reveals the ineffectiveness of the respondents in enforcing the law against those persons who break it and cause physical injury to the Palestinian farmers and damage to their property. The physical security of the Palestinian farmers is in real danger when they go to cultivate their land, because of serious acts of violence on the part of Israeli settlers. The property of the Palestinian farmers also suffers from lawlessness when, after a day’s work, under the cover of night lawbreakers return to the agricultural land in order to uproot trees and damage agricultural implements.

No one disputes that the petitioners are deprived of their basic rights to security and property because of these lawbreakers. Moreover, no one disputes that it is the duty of the respondents to prevent this infraction of security and public order. This duty is enshrined in the rules of international humanitarian law; see, for example, art. 27 of the Fourth Geneva Convention that states with regard to ‘protected persons’ that:

     ‘Protected persons are entitled, in all circumstances, to respect for their persons, their honour, their family rights, their religious convictions and practices, and their manners and customs. They shall at all times be humanely treated, and shall be protected especially against all acts of violence or threats thereof and against insults and public curiosity’ (emphasis supplied).

Maintaining an effective law enforcement system in the territories of Judaea and Samaria is naturally mandated also by the duties imposed on the respondents under Israeli law.

31. It is important to emphasize that the lawbreaking acts that are perpetrated against the Palestinian farmers are carried out by a small and extreme group of Israelis who by their acts stain the reputation of all the Israeli settlers in Judaea and Samaria. The acts of the extremists harm not only the security, safety and property of the local inhabitants but also sully the image that the Israeli settlers wish to nurture, an image of law-abiding citizens, and they also taint the image and reputation of the whole of the State of Israel as a state that respects the supremacy of law and justice. The respondents ought therefore to act with greater force against the lawbreakers so that this phenomenon is eradicated.

32. In their most recent statements, the respondents described the measures that were being adopted in order to re-establish order. To this end, we were presented with affidavits of the senior commanders in the area both from the police and from the army. In one of the hearings that took place, the Samaria District Commander was present and he described the treatment of the phenomenon of harassment of Palestinian famers, and we made a note of his undertaking to act in so far as possible to protect the Palestinian farmers when they go to cultivate their land. In addition, as we said in para. 9 above, it would appear that the matter is being considered at the highest level, as it ought to be. Nonetheless, despite the declarations that were made by the respondents in their responses, it would appear that no solution has yet been found to the problem of the repeated harassment of Palestinians when they go to their land in order to cultivate it and to the problem of the damage to the farmers’ property, and especially the uprooting of the trees. Notwithstanding the steps that have been adopted in order to ensure the security of the Palestinian farmers, and a certain improvement that has taken place, the position is far from satisfactory. As we described in para. 8 above, recently — while the petition was pending — we witnessed a significant increase in the violent acts against the farmers and their crops. Because of this deterioration, on 2 January 2006 the petitioners filed the application mentioned in para. 8, in which an urgent hearing of the petition was sought. At the hearing that was held, the respondents once again described the measures that have been taken, but it would appear that the facts on the ground speak for themselves and that too little has been done in order to protect the rights of the petitioners. This situation is intolerable and unacceptable and the respondents should take action in order to put matters to rights immediately.

33. In view of the aforesaid, we pondered at length the order that this court should issue with regard to enforcement of the law in the territories. ‘Law enforcement is a fundamental element of the rule of law… it is one of the main functions of any government. The competent authorities may not shirk this duty’ (HCJ 551/99 Shekem Ltd v. Director of Customs and VAT [21], at p. 125). It need not be said that there is no need for this court to issue an order that directs the respondents to enforce the law and carry out their duties (ibid.). This is especially the case where the respondents themselves confirm their commitment to protect the rights of the petitioners and promise to act in so far as possible in order to carry out their duties. There is therefore no doubt that the respondents should act with all the means at their disposal in order to protect the security of the Palestinian farmers who come to work on their land and they should act in order to protect the property rights of the petitioners so that they are not violated unlawfully. Even though the court does not have the power to determine the size of the forces that will be allotted for these tasks and what operations will be carried out, we do have the power to say that the protection of the security and property of the local inhabitants is one of the most fundamental duties imposed on the military commander in the territories. We are aware that the declaration of intentions made by counsel for the respondents in this matter is not mere words. We are persuaded that the establishment of the inter-ministerial committee and the experience in dealing with law enforcement in the territories are steps that were chosen in good faith and in recognition of the duty of imposed on the army and the police operating in the territories. But plans and intentions are one thing and results another, and the results do not indicate success in the field of enforcement.

Therefore, notwithstanding the difficulty in giving judicial directions in this matter, we have seen fit to address in general the principles that should guide the respondents in dealing with this matter. First, action should be taken to ensure the security of the Palestinian farmers when they go to work on the land and, if necessary, to protect them when the agricultural work is being carried out. Second, clear and unequivocal instructions should be given to the forces operating in the field as to how to act in order not to prevent those inhabitants who are entitled thereto from having access to their land, unless there is a lawful ground for doing so. Third, forces should be deployed in order to protect the property of the Palestinian inhabitants. Fourth, complaints that are made by the Palestinian inhabitants should be investigated on their merits and the investigation should be completed as soon as possible. Investigations should be made immediately when information is received with regard to acts of harassment, and patrols should be deployed by the army and the police in order to discover such acts. It should be noted that in the current situation it is very doubtful whether the police units that were established for this purpose in the territories have been given all the resources required in order to carry out the enforcement. The enforcement mechanisms — investigations and indictments — should be improved. The respondents should act on their own initiative in order to discover the lawbreakers and bring them to justice and they should consider which measures should be adopted in order to prevent recurrences of the blatant acts of lawbreaking.

34. Subject to the aforesaid guidelines and the right of the petitioners to apply once again to this court with concrete problems at any time, if these guidelines are not upheld, we are of the opinion that the second part of the petition has been addressed. We can merely reiterate the remarks that were written in the summary of the Shamgar Committee Report in the chapter dealing with law enforcement, which is no less relevant today and has not yet been properly implemented:

     ‘We accept the premise that in the absence of effective law enforcement there is also no effective government. In an atmosphere in which everyone does what seems right in their own eyes, without being subject to any real risk that he will be brought to justice if he oversteps what is permitted, the propriety of the actions of the authorities responsible for effective control of the territories is impaired. The Supreme Court said years ago that the rule of law cannot be created ex nihilo and is not merely a matter of theory. It should be expressed in a concrete and daily manner in the existence of binding normative arrangements and in enforcing these in practice with respect to everyone…’ (p. 243 of the Shamgar Committee Report).

Summary

33. The result is that we declare that except in cases of a concrete need, which arises from reliable information or real warnings in the field, the military commander should, as a rule, refrain from closing areas in a manner that prevents the Palestinian inhabitants from having access to their land for their own protection, since the use of this measure in these circumstances is disproportionate. Adopting the measure of closing areas, which should be restricted to the absolute minimum, may be proportionate only when it is done in order to protect the Israeli inhabitants, subject to the restrictions and the conditions that we discussed in paras. 20-21 above.

With regard to the deficiencies in the field of law enforcement in the territories, the handling of these complaints is within the jurisdiction of the respondents and the whole issue is being considered by the most senior decision makers in the State of Israel. It is to be presumed that they will have the wisdom to deal with the complaints that the petitioners have raised and that they will do so with the speed and efficiency required by the nature, character and importance of law enforcement.

 

 

Justice E. Rivlin

I agree with the opinion of my colleague Justice D. Beinisch and its reasoning in every respect.

The response to the violation of the right of Palestinian inhabitants not to be harassed when cultivating their land does not lie in placing restrictions upon the Palestinians themselves. An aggressor should not have the right to ‘veto’ the right of his victim. Therefore I agree with my colleague’s declaration that, as a rule, the military commander should refrain from closing areas in a manner that denies the Palestinian residents the possibility of access to their agricultural land for their own protection. I also agree with her remarks with regard to the deficiencies in law enforcement.

 

 

Justice S. Joubran

1.    I agree with the opinion of my colleague Justice D. Beinisch and all of the reasoning that appears in her opinion.

2.    I think that there is no need to speak at length on the harm that is likely to be suffered by the Palestinian inhabitants if they are denied access to the agricultural land that they own. Here it should be emphasized that in most cases these are inhabitants whose land serves as the main if not the only source of livelihood for them and their families. It is clear that during periods of intensive agricultural work, such as during the olive harvest season, the damage that may be caused to the livelihood of these inhabitants is far greater. Therefore, the court has the duty to ensure that the violation of these rights of the Palestinian inhabitants is proportionate and not excessive (cf. and see Marabeh v. Prime Minister [5]).

3.    My colleagues rightly reached the conclusion that in general there is no basis for allowing a violation of the rights of the Palestinian inhabitants to cultivate their land merely because of the desire to protect their lives from persons who wish to harass them. This conclusion is consistent with the principle that this court has stated time and again in a whole host of judgments that ‘a person should not be deprived of his liberty because of the violent opposition to the exercising of that liberty’ (HCJ 153/83 Levy v. Southern District Commissioner of Police [22], at p. 404 {120}; see also HCJ 2431/95 Salomon v. Police [23]; Horev v. Minister of Transport [18]; HCJ 3641/03 Temple Mount Faithful v. HaNegbi [24]). Even though most of the aforesaid cases mainly concerned the protection of the rights of freedom of worship, freedom of movement and freedom of speech, no one denies that what was said there applies to our case too, mutatis mutandis, especially in view of the importance attributed to the protection of property rights in our legal system.

4.    Imposing severe restrictions on the Palestinian inhabitants by closing agricultural areas, even as a result of a concern that they may be harmed by the criminal acts of violent persons, amounts de facto to placing the keys to exercising the right of freedom of movement and property rights in the hands of those lawbreaking persons, who wish to prevent the Palestinian inhabitants from cultivating their land. Moreover, imposing such restrictions on the Palestinian inhabitants is tantamount to rewarding violence, and it sends the wrong message of surrender and capitulation to those lawbreakers, even at a cost of a violation of the fundamental principles on which our system of government is based. In this context I think it appropriate to cite the remarks of President Barak in Horev v. Minister of Transport [18]:

‘A government authority whose path is influenced by violence on the street will ultimately lose its way’ (ibid. [18], at p. 80 {235}).

5.    I agree with the view that maintaining public order and the security of the Palestinian inhabitants should be done by means of adopting appropriate measures against those lawbreakers and not by imposing additional restrictions on the victims of the violence. Similar remarks have been uttered by this court elsewhere, when it said:

‘Keeping the peace does not mean capitulating to those who threaten to breach it, but the opposite: giving shelter and protection to their victims’ (HCJ 166/71 Halon v. Head of Osfiah Local Council [25], at p. 594).

Indeed, one of the duties of the military commander, who is responsible for upholding the law and keeping the peace in the territories, is to adopt reasonable measures in order to prevent those persons from stopping the Palestinian farmers from cultivating their land, while realizing their right to freedom of movement and their property rights. The military commander has many different ways of protecting the security of the Palestinian residents, including by increasing the security presence or closing areas of conflict to prevent the entry of Israelis. Denying the Palestinian inhabitants access to their land should be the last resort, not the first.

6.    In this context I accept the determination that there may be exceptional cases in which the great probability of danger to human life, as well as the scope of the anticipated harm, may justify closing a certain area for fixed period on the basis of definite and specific intelligence. But in order that these exceptional cases do not become the rule, we cannot agree to preventative measures of a sweeping closure of large areas for lengthy periods of time.

 

 

Petition granted.

30 Sivan 5766.

26 June 2006.

 

Mondrowitz v. State of Israel

Case/docket number: 
CA 2144/08
Date Decided: 
Sunday, November 14, 2010
Decision Type: 
Appellate
Abstract: 

[This abstract is not part of the Court's opinion and is provided for the reader's convenience. It has been translated from a Hebrew version prepared by Nevo Press Ltd. and is used with its kind permission.] 

 

An appeal against the decision by the Jerusalem District Court whereby the State’s request to declare the appellant eligible for extradition to the United States, and this in order that he be criminally prosecuted for serious sex offenses against minors which he allegedly committed in the 1980s, must be granted. Until 1984, when he moved to Israel, the appellant was a resident and citizen of the United States. The indictment against the appellant was submitted in the United States in 1985, and it alleges he committed the sex offenses between 1980 and 1984. While the offenses were committed, and at the time that the indictment was submitted, the offenses in the indictment were considered “extraditable offenses” under the Israeli Extradition Act. However, they were not included in the definition of “extraditable offenses” under the extradition treaty between Israel and the United States, and thus Israel denied the United States’ 1985 extradition request. Only in 2007 the amendment to the extradition treaty, which expanded the definition of “extraditable offenses” to include offenses such as alleged in the relevant indictment, came into effect and the United States again requested that the appellant be extradited to it. The appellant was arrested and a petition to declare him eligible for extradition to the United States was granted. Thus this appeal. The appellant’s main argument is that in the 22 years that passed since the indictment was submitted against him in the United States the offenses on the basis of which his extradition to the United States was requested have passed the statute of limitations under Israeli law. Therefore, the extradition request must be denied due to the statute of limitations exception under section 2B(a)(6) of the Extradition Act. The appellant further argues that he must not be considered as someone who evaded or fled justice for the purposes of applying section 94A of the Criminal Procedure Act, as he did not flee the United States and did not hide in Israel. In addition to all this, the appellant maintains that from an international law perspective, for reasons of absolution, criminal justice estoppel[1] and the public interest – under their meaning within Israeli law – it is wrongful to extradite him to the United States.

 

The Supreme Court (in a decision authored by Justice A. Procaccia and joined by Justices E. Rubinstein and M. Naor) granted the appeal, for the following reasons:

 

The amendment to the treaty in terms of its temporal application and impact on the appellant’s case: The treaty was amended in 2007 by way of re-categorization of “extraditable offenses” and it directly impacts the procedure of enforcing the criminal norm upon the requested but does not impact the actual criminal liability that is attributed to the appellant. Therefore, the outcome of the amendment in terms of its temporal application does not conflict with the interpretive presumption that prohibits retroactive criminal legislation and bars restricting the principle of legality in criminal law and procedure. The treaty amendment in the case at hand applies actively on an extradition procedure that effectively began as a result of the amendment and for which it waited many years. In such circumstances, the treaty amendment’s temporal application is active application and it does not pose any difficulties in terms of a potential violation of the appellant’s rights in this particular context. Therefore, to the extent that the temporal application of the amendment to the offenses attributed to the appellant, there is no flaw to be found in the extradition process.

 

Exceptions to extradition: section 2B(a)(7) of the Extradition Act – the absolution of the requesting state: In order for the absolution exception to be met, the requesting state must clearly and unequivocally express its position that it withdrew from the possibility of prosecuting the wanted person and that it no longer awaits the opportunity to do so. In our case, the “absolution” exception to extraditing the appellant to the United States was not met. Although the United States’ authorities acted to close the cases against the appellant, they did leave certain legal procedures pending, seemingly out of expectation that once the obstacles to extradition be lifted through a proper amendment to the treaty, the procedures may be renewed.

 

An exception to extradition: section 2B(a)(6) of the Extradition Act – the offenses passing the statute of limitations under Israeli law: Once the offenses on the basis which extradition of a person who is in Israel have passed the statute of limitations under Israeli law, the extradition is barred. In the case before us, the statute of limitations begins to run out from the time the indictment was filed in 1985. None of the steps taken by the United States’ authorities and by in the Interpol after submitting the indictment constituted “investigation” steps which stop the watch on the statute of limitations, unless these were activities intended to keep the appellant’s matter “alive and well” with the expectation that at some point in time his extradition would become possible if and when the treaty is amended. In the meantime, two periods of limitations have elapsed, each of 10 years. It seems this conclusion would have been sufficient in order to end this appeal with the outcome that the appellant’s offenses have passed the statute of limitations under Israeli law and thus the statute of limitations exception according to which the Act prohibits extradition has been met, and since the requirement for “double criminality” as a condition for extradition has not been met either.

 

The principle of “inability to act” as a cause for suspending the time laps of limitations in criminal law: there is a position, expressed in various contexts, that the limitations arrangement in section 9(c) of the Criminal Procedure Act, which addresses events that suspend limitations, may be supplemented by the general principle (which is absent from the black letter law) that where it is impossible for the competent authority to advance criminal proceedings for an obstacle or cause that is out of its control, this can suspend the period of limitations and reset it once the obstacle has been lifted. The principle of “inability to act” – whether by statute or by a factual situation that is a result of a “higher power” – was not widely applied in Israeli law, to the extent that it is an exception to explicit statutory arrangements in these matters. Without determining the issue of whether this principle must be applied, the circumstances of the appellant – where only the language of the extradition treaty between Israel and the United States created a legal bar from extraditing the appellant until the year 2007 – do not constitute “inability to act”, whether by law or by facts, or whether by a “higher power” that could suspend the limitations period for prosecuting or extraditing the defendant. This is certainly the case when the general principle of “inability to act” is applied by way of narrow interpretation, which is required as a result of the harm caused to the rights of suspects and defendants and their interest not to be subject to a swinging sward of the criminal process for longer periods than the limitations period as was established in section 9 of the Criminal Procedure Act, including the events it defines as limitations-suspending.

 

The fact that the appellant fled the borders of the requesting state, where he committed the offenses, is not a cause for “inability to act” that may suspend the criminal limitations period under Israeli law. This is different than circumstances where the wanted person avoided an extradition procedure that is conducted in Israel, which may under certain circumstances serve as such cause under section 94A of the Criminal Procedure Act, which will be discussed below.

 

Suspending the limitations period under section 94A of the Criminal Procedure Act – suspending proceedings due to the defendant’s evasion of justice: the statutory provision regarding suspending the limitations period due to “suspension of proceedings” as addressed by section 94A of the Criminal Procedure Act concern only the evasion of a defendant from justice in terms of proceedings that are held in Israel – whether criminal proceedings or extradition procedures decided in an Israeli court. This provision cannot be implemented in regards to a defendant’s evasion from justice in the state, which seeks his extradition, as long as the defendant is available in the extradition procedure and has not evaded it, as is the case here. Section 94A as it relates to extradition, is applicable to circumstances where a defendant flees Israeli law when an extradition procedure is held against him in Israel. In such circumstances the proceeding may be suspended and the suspension period will not count against the limitations period, but this only when at the time the extradition proceeding began the offenses subject to the extradition have not yet passed the statute of limitations.

 

Exception to extradition: section 2B(a)(8) of the Extradition Act – public interest: even where there no exception to limitations that could bar the appellant’s extradition, it would have been possible to bar his extradition to the United States for reasons related to the public interest in Israel. Given that 23 years have passed between the time the offenses attributed to the appellant were committed and the time the extradition proceedings began in 2007, and when he was continuously within the reach of Israeli law enforcement authorities and is location in Israel was not concealed, and in light of the fact that the governments of Israel and the United States had the possibility of amending the treaty and bring to his extradition for many years before this was actually done. Extraditing the appellant after so many years of waiting is not only a substantive infringement of his right to due process, but it is also an extreme deviation from fundamental values and principles at the core of the Israeli legal system, including the criminal process. On the overall balance, reasons of the “public interest” and “criminal justice estoppel” justify preventing the appellant’s extradition to the United States.

 

Justice E. Rubinstein adds that in a practical sense in light of the impossibility to extradite the appellant’s position was highly similar to that of Israeli defendants that the amendment to the Extradition Act from 1978 prohibited their extradition. The solution sought, in order to prevent Israel from becoming a refuge for criminals, was – with all difficulties involved – to prosecute in Israel as a residual solution. Justice Rubinstein agrees with the issue of the application of the limitations exception, but dissents on the matter of the application of the exceptions regarding the public interest and “criminal justice estoppel”.

 

Justice M. Naor: In the case at hand, the time the limitations period began was at the time the indictment was submitted against the appellant in 1985, and since that time there were no events that could suspend the limitations period. This means that more than 10 years have elapsed since the indictment was filed and until the time that section 94A of the Criminal Procedure Act came into effect. This provision was enacted after the “first” limitations period has elapsed and thus it bears no impact on our matter. The way to “overcome” the “first” limitations period (if this is at all possible) is therefore through applying the “inability to act” principle. Though this is not a principle that is included explicitly on the law books, Justice Naor leans toward to position that this principle does belong in the judicial toolbox generally, and also in the case at hand. Only in this case there was not an absolute inability to act and thus the appeal must be granted. Beyond the necessary scope, Justice Naor, too, believes that a decision to extradite the appellant does not compromise the public interest and that there is no room to recognize, under the circumstances, a “criminal justice estoppel.” It would have been just and correct to prosecute the appellant in order to examine the matter of his guilt or innocence.

 

[1] Editor’s note - We use this term to refer to the Israeli doctrine of “Hagana min HaTzedek” literally translated as “protection from justice.” It does not have a fully parallel in American law but it is closest in spirit to doctrines such as abuse of process, outrageous conduct, double jeopardy, entrapment by estoppel. The doctrine was first adopted by the Israeli Supreme Court in CrimApp 2910/94 Yefet v. State of Israel, IsrSC 50 (2) 221, where the Court ruled in favor of the appellant's claim of "Hagana min HaTzedek" based on Basic Law: Human Dignity and Liberty and the inherent power of the court to quash a charge that is contrary to justice and fairness.

Voting Justices: 
Primary Author
majority opinion
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concurrence
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concurrence
Full text of the opinion: 

 

The Supreme Court sitting as the Court of Criminal Appeals

 

 

Criminal Appeal 2144/08

 

Before:

The honorable Justice A. Procaccia

The honorable Justice M. Naor

The honorable Justice E. Rubinstein

 

 

 

 

 

The Appellant:

Abraham Mondrowitz

 

 

v.

 

The Respondent:

State of Israel

 

 

 

Appeal from the judgment of the Jerusalem District Court on February 10, 2008, in Misc. Motions file 10302/07, rendered by the Honorable Judge N. Ben-Or

 

On behalf of the Appellant:

Eitan Maoz, attorney at law; Nati Simchoni, attorney at law; Oren Aderet, attorney at law

 

On behalf of the Respondent:

Merlin Mazal, attorney at law; Nili Gesser, attorney at law

 

 

Judgment

 

Justice A. Procaccia:

 

              This is an appeal from the judgment of the Jerusalem District Court (the honorable Judge N. Ben-Or) which ruled that the state’s motion to declare the Appellant extraditable to the United States should be granted, for the purpose of trying him on criminal charges there for grave sexual offenses against minors, allegedly committed by him in the 1980s.

 

The factual background and the legal proceedings

 

1.           The Appellant, born in 1947, is a psychologist by profession, and was a resident and citizen of the United States until 1984. In November 1984, the Appellant arrived in Israel; in 1996 he received Israeli citizenship; he has lived in Israel from the time of his arrival to this day, and has not left its borders.

 

2.           During November 1984, the New York police opened a criminal investigation against the Appellant, on the suspicion that he had committed various sexual offenses against minors. In December 1984, a warrant was issued for his arrest; a short time thereafter, the New York police learned that he had fled to Israel. In February 1985, an indictment was brought against the Appellant in a New York court. In that indictment, which remains in effect to this day, the Appellant was charged with five counts of first-degree sodomy under Article 130.50 of the penal law of the State of New York; eight counts of first-degree sexual abuse under Article 130.65 of the aforementioned law; and another count for the offense of endangering the welfare of a minor under Article 260.10 of said law. Said offenses were alleged to have been committed by the Appellant in his home between 1980 and 1984; the victims were five boys, minors at that time, aged nine to fifteen.

 

3.           On the basis of the indictment that was filed, in February 1985 a New York court issued a warrant for the arrest of the Appellant, which remains in effect to this day. Another arrest warrant was issued against him by a federal court because of the suspicion that he had fled illegally from the United States in order to evade the law. This order remained in effect for 10 years until it was canceled in February 1995.

 

4.           In March 1985, the United States Department of Justice sent a request to the State of Israel to arrest the Appellant based on the indictment that had been brought against him, until an official extradition request could be submitted in the matter. In May 1985, the Israeli Ministry of Foreign Affairs responded that it could not accede to the request that had been submitted by the United States, because the offenses attributed to the Appellant were not “extraditable offenses” in accordance with the existing extradition treaty between the government of the State of Israel and the government of the United States, which was signed in Washington on December 10, 1962, and went into effect on December 5, 1963 (the Convention on Extradition Between the Government of the State of Israel and the Government of the United States of America, Convention 505 documents, Volume 13, at p. 795; hereinafter: the Convention of Extradition or the Convention). At the time that Israel’s response was given to the request by the United States to arrest the Appellant, Article II of the Convention contained a list of 30 offenses defined as “extraditable offenses.” Among them was the crime of rape. However, the offenses with which the Appellant was charged in the indictment - sodomy, sexual abuse and endangering the welfare of a minor - were not included in the detailed listing of “extraditable offenses” in the Convention. As will be explained below, the offenses listed in the indictment against the Appellant were always compatible with the definition of “extraditable offenses” under Israel’s Extradition Law and the amendments thereto. The obstacle to extradition focused on the definition of “extraditable offense” in the Convention between Israel and the United States, which did not include the indictment offenses within the realm of “extraditable offenses” under the Convention. On that basis, Israel notified the United States that it would not be able to accede to its request to arrest the Appellant, thereby enabling extradition proceedings to begin.

 

5.           In July 1987, at the request of the FBI, Interpol issued a “Red Notice” in the matter of the Appellant. That Notice contained a national arrest warrant, along with a request to the effect that if the Appellant should be located, he should be arrested immediately as a candidate for extradition (hereinafter: the Red Notice).

 

6.           In 1988, an amendment to the Penal Law, 5737-1977 (hereinafter: the Penal Law) was passed in which, inter alia, the definition of the offense of sodomy was changed, and it established that “a person who commits an act of sodomy on another person under one of the circumstances enumerated in Article 345, mutatis mutandis, shall be deemed equivalent to a rapist” (Article 347 (B) of the Penal Law; the Penal Law (Amendment No. 22) 5748-1988, Compendium of Laws 5748 1246, at p. 62; the bill and explanations were published in the Penal Law Bill (Amendment No. 26) 5746-1986, 303). The day after the amendment to the law was passed, the Israeli authorities notified the American authorities that the Israeli law in that context had been amended and that, under the amendment, an act of sodomy in the circumstances of rape was now deemed equivalent to rape. This notice did not lead to an extradition request from the United States government. Their position was that said amendment in the Israeli law did not change the legal situation, which had prevented the extradition of the Appellant to the United States in the past, and that only by means of a suitable amendment to the Convention would it be possible to overcome the legal obstacle and implement his extradition. The letter P/1 indicates that, when the request to arrest the Appellant in 1985 failed, the competent entities in the United States reached the conclusion that only a suitable amendment to the definition of “extraditable offenses” in the Convention may lead to his extradition.

 

7.           When the competent authorities in the United States learned that, in the existing situation, the extradition and trial of the Appellant could not progress, they gradually began to close the files that were pending against him. Thus, in July 1993, the United States Department of State returned the extradition documents in the matter of the Appellant to the Department for International Agreements and International Litigation of the Ministry of Justice; in September 1993, the Kings County prosecuting authorities advised that they would not continue to handle the matter as long as he was not returned to the United States or arrested in another place; subsequently, the International Department issued an administrative closure of the file; in January 1995, the New York police closed the file that had been opened by its offices; in February 1995, the federal arrest warrant was canceled; in April 1995, the FBI notified Interpol of the closure of the file against the Appellant; and in June 1995, Interpol canceled the Red Notice. However, the indictment and the original arrest warrant remained in effect the entire time.

 

8.           Along with all of the above, official contacts began between the government of Israel and the government of the United States to amend the Convention. These contacts only bore fruit in July 2005, when the parties signed a protocol to amend the Convention, establishing that the list of “extraditable offenses” contained in Article 2 of the Convention up to that time would be replaced with a general provision stating that any offense for which the maximum punishment is one or more years’ imprisonment would be deemed an “extraditable offense.” This amendment in the protocol went into effect in January 2007 (hereinafter: the Amendment to the Convention or the Amending Protocol).

 

              It should also be noted that until 2001, the Extradition Law, 5714-1954 (hereinafter: the Extradition Law or the Law) had defined an “extraditable offense” in accordance with Article 2 of the Law, with a reference to an addendum to the Law. This addendum included details of various offenses, including the offenses that constitute the object of the indictment against the Appellant. The 2001 amendment to the Law states that an “extraditable offense” is any offense which, had it been committed in Israel, would have been punishable by one year’s imprisonment or a more severe sentence. The wording of the Amendment to the Convention, which was implemented in 2005 for the purpose of defining “extraditable offenses,” followed that of the 2001 amendment to the Extradition Law.

 

9.           On the basis of the amendment to the definition of “extraditable offenses” in the Convention, in September 2007 the government of the United States submitted a request to Israel to extradite the Appellant into its custody for the criminal offenses attributed to him. In November 2007, the Appellant was arrested in Israel by the Israel police under Article 6 of the Extradition Law. A short time thereafter, a petition was filed before the Jerusalem District Court to declare the Appellant extraditable to the United States, and his arrest was extended until the conclusion of the extradition proceedings.

 

10.         In the District Court, the Appellant claimed that he could not be extradited to the United States because of the existence of three exceptions to the extradition, which are set forth in the Extradition Law: first, he claimed that the offenses attributed to him in the American indictment had lapsed under the  laws of the State of Israel, and, therefore, the exception of limitation for extradition under Article 2B (A) (6) of the Extradition Law was fulfilled; second, he claimed that he was cleared of the offenses in the United States, and, therefore, the exception of limitation for extradition under Article 2B (A) (7) of the Extradition Law was fulfilled; and third, he claimed that his extradition would offend “public policy” in Israel, and, therefore, the exception set forth in the provision of Article 2B (A) (8) of the Extradition Law was fulfilled. The Appellant further argued that the doctrine of “abuse of process” was available to him due to the long period of time that had elapsed since the offenses attributed to him were committed, and in view of the substantial delay that occurred in filing the request to extradite him.

 

              In a detailed and reasoned judgment, the District Court denied these arguments one by one and declared the Appellant extraditable to the United States. The appeal before us turns on this declaration.

 

The judgment of the District Court

 

11.         With regard to the issue of the statute of limitations, the District Court relied on Article 9 of the Criminal Procedure Law [Consolidated Version], 5742-1982 (hereinafter: the Criminal Procedure Law), under which the statute of limitations for a felony is ten years from the date on which the offense is committed. It was determined that this provision applies to the Appellant, but under Article 9 (C) of this Law, there are events that toll the running of the limitation period and lead to the beginning of its counting anew. These events also apply to extradition proceedings. For the purpose of deciding, the Court posed three questions: First - Would it have been possible to extradite the Appellant to the United States as of 1988, when the Israeli Penal Law was amended; and, alternatively, would it have been possible to try him in Israel under Article 15 of the Penal Law? Second - If it had been impossible to extradite the Appellant, does this have a ramification for the tolling of the limitation period? Third - Might Article 94A of the Criminal Procedure Law serve as the basis for tolling the limitation period if the impossibility of the extradition itself does not serve to suspend it?

 

12.         The Court decided these questions as follows: First - It rejected the argument that it would have been possible to extradite the Appellant back in 1988, in view of the amendment to the Penal Law which states that an act of sodomy under circumstances of rape is equivalent to rape. The Court stated that, until the Amendment to the Convention in 2007, it would not have been possible to extradite the Appellant to the United States, since the aforesaid amendment to the Penal Law did not create a complete overlap between the sodomy offense and the rape offense, nor did it cancel the independent status of each of the offenses in question. Hence, even after the amendment to the Penal Law, the legal situation with regard to the extraditable offenses remained as it was, and the offenses with which the Appellant had been charged did not constitute “extraditable offenses.” According to the Court, even if internal Israeli law was changed, it did not affect the provisions of the Convention, which show that, until the amendment in 2007, the offense of sodomy, like the other offenses attributed to the Appellant, remained excluded from the list of “extraditable offenses,” and he could not be extradited for them.

 

              Second, the District Court rejected the Appellant’s argument that there was no impediment to trying him in Israel and since the Israeli authorities had refrained from doing so, the acts attributed to him were subject to the statue of limitations. In this context, the Court ruled that, while the penal laws of Israel apply to extra-territorial felonies and misdemeanors committed by someone who was a citizen or resident of Israel at the time of committing the offense or thereafter and, therefore, theoretically, it would have been possible to try the Appellant in Israel, in practice, since the victims of the sexual abuse attributed to the Appellant are all citizens and residents of the United States, and all of them were minors at the time the offenses were committed, it cannot be assumed that, on a practical level, these complainants could have left their homes and come to Israel for the purpose of giving testimony. In such a situation, without coercing the witnesses and in view of the practical difficulty involved in conducting the trial in Israel and meeting the burden of proof of the Appellant’s guilt beyond a reasonable doubt, the Israeli prosecution, in effect, would not have been able to conduct a criminal trial against the Appellant in Israel. Hence, even if it had been theoretically possible to order that the Appellant be tried in Israel, the Israeli court did not have the effective ability to subject him to the full force of the law.

 

              Third, the Court assumed that there had been an impediment to trying the Appellant in Israel, and to his extradition as well, prior to the Amendment to the Convention in 2007. It stated that this impediment affected the running of the limitation period. In relying on the case law of this Court, Judge Ben-Or ruled that, first, there is no complete legislative arrangement on the issue of limitation in criminal offenses, so this issue is open to adjudicative development. It was also ruled that one of the general basic principles in this matter is that limitation does not work against someone who does not have the power to act. This is particularly true when the person claiming the applicability of the limitation is the one who deliberately created the impediment to taking action. In the circumstances of the matter, there was an impediment, under the Convention, to extraditing the Appellant to the United States, since the offenses of which he was accused in the United States did not constitute “extraditable offenses” under the Convention and, therefore, the limitation period was suspended until the impediment was removed by the Amendment to the Convention. The argument that the Convention of Extradition could have been amended before then cannot be used by a fugitive from justice, according to case law. Hence, the limitation must be counted as of the date of the amendment to the Convention in 2007, and not before that.

 

              Fourth, the lower court also contended with a possible argument whereby an express provision of a law is required to suspend the running of the limitation period in the case of an impediment to taking action. To that end, it invoked Article 94A of the Criminal Procedure Law. This provision states that a court to which an indictment is submitted is entitled to suspend proceedings if it learns that the defendant cannot be brought for continuation of his trial, and if the defendant evaded the law, the period of the suspension, up to the resumption of the proceedings, will not be counted in the limitation period. The lower court explained that, under the circumstances of the matter, the Appellant can be deemed to have evaded American Law, and, by analogy and “conversion of data,” it is possible to apply to the circumstances of this proceeding the rationale of the provision in Article 94A of the Criminal Procedure Law, which enables, with the approval of the attorney general, the resumption of legal proceedings that were suspended in relation to someone who evaded the law, even if the periods of limitation have lapsed under Section 9 of the Criminal Procedure Law. In this way, Article 94A  may also serve as the statutory basis for suspending the running of the limitation in this case.

 

              The court further believed that there is no problem with the fact that Article 94A of the Criminal Procedure Law went into effect only in 1995, more than ten years after the indictment was brought against the Appellant in the United States and ostensibly after the offenses attributed to him in the indictment had expired under Israeli law. According to the lower court, this provision of the law embodies an existing principle and only proclaims its existence. Therefore, the date on which it went into effect in its statutory guise neither adds nor detracts; alternatively, the issuing of the Red Notice by Interpol halted the running of the limitation, in its capacity as an “investigative action,” which constitutes a delaying factor, and, therefore, when Article 94A of the Criminal Procedure Law went into effect, it was possible to apply it to the offenses in question, which had not yet lapsed.

 

              Fifth, the Court rejected the Appellant’s claim that there was no reason to extradite him because of fulfillment of the exception set forth in Article 2B (A) (7) of the Extradition Law which deals with the “forgiveness” of the offenses attributed to him by the requesting country. From a factual standpoint, it was noted that the files connected with the case had been closed “conditionally,” as long as the Appellant could not be seized and in the absence of any benefit in leaving the files open. However, the indictment and the original arrest warrant that was issued as a result had never been canceled; the American authorities had continued to deal with the Appellant’s case and had not abandoned it; and, over the years, operations and contacts had been conducted between the governments of the two countries in his case. It was ruled that these facts were not consistent with the claim of “forgiveness,” because the existence of forgiveness requires the positive exercise of powers by a government authority, whereby said exercise must unequivocally attest to abandoning the objective of trying the accused in a criminal proceeding.

 

              Sixth, the Court rejected the claim that, in this case, the exception to extradition set forth in Article 2B (A) (8) of the Extradition Law, which prevents extraditions that offend “public policy,” was fulfilled. The court noted that, even though an extreme delay in submitting an extradition request may be considered as offending “public policy,” for the purpose of implementing the exception it must be shown that extradition under those circumstances constitutes a clearly unjust act. In this case, where the authority was impeded from acting, and the defendant himself was the one who created the cause of the impediment to his being placed on trial by fleeing from the requesting country, it cannot be said that there was a delay on the part of the authority in a way that gave rise to the “public policy” exception. According to the Court, there may be circumstances in which it would not be right to exercise the full rigor of the law against a defendant for reasons of “public policy” or “abuse of process”, even when the running of the limitation period is tolled because of his deliberate conduct, and even without a delay on the part of the authorities. However, in this case, considering the nature of the offenses ascribed to the Appellant and their gravity, along with the status of the victims of those offenses, all but one of whom still wish to cooperate with the authorities and to bring the force of the law to bear on him, begs the conclusion that the Appellant does not have a defense based on the doctrine of “abuse of process,” and that his extradition does not violate “public policy.”    

 

13.         In light of the above, the lower court declared the Appellant to be extraditable, except for the eighth count of the indictment, for which , it was advised that the United States had rescinded the extradition request because it had lapsed under American law.

 

The parties’ arguments on appeal

 

The Appellant’s arguments

 

14.         The Appellant’s principal arguments focus on the issue of the limitation period for the offenses attributed to him in the indictment that was filed against him in the United States. According to the Appellant, under Articles 9 (A)(2) and 9 (C) of the Criminal Procedure Law, a “double” limitation period has lapsed for these offenses, in the following senses: first, an initial limitation period ended in February 1995, after 10 years had elapsed from the date of the filing of the indictment against him; second, a second limitation period lapsed in March 1998, after 10 years had passed since the date on which the American authorities learned of the amendment to the Israeli Penal Law, from which time an act of sodomy under circumstances of rape could be considered equivalent to rape, since, as a result of the amendment to the law, the treaty could be interpreted to include the indictment offenses with which the Appellant was charged as “extraditable offenses.”

 

15.         With regard to the first limitation period, the only act that should be addressed above and beyond the filing of the indictment in February 1985, is the issuing of the Red Notice by Interpol. In this matter, it is argued that this Notice does not fall into the realm of “investigation pursuant to legislation” or “a proceeding on behalf of the Court,” which toll the running of the limitation period under Article 9 (C) of the Criminal Procedure Law. Since no other action was taken that would serve to toll the running of the limitation period, it lapsed for the offenses in February 1995, after 10 years had passed from the date of the filing of the indictment.

 

              The Appellant further argues, with regard to the first period, that the lower court erred in its belief that there was an impediment to bringing him to trial, which served to toll the running of the limitation period until the date of the Amendment to the Convention. According to his argument, Article 94A of the Criminal Procedure Law, which was discussed in the ruling of the lower court, does not even apply to the first limitation period, because it entered into force following the expiration of that period and, accordingly, is not in any way applicable to this matter.

 

16.         With regard to the second limitation period, the Appellant argues that there was no impediment, under any law, to his extradition following the amendment to the Penal Law, and from the date of the notice issued by Israel to the United States with regard to the amendment, on March 23, 1988. The United States, however, did not act in accordance with that notice and did not file a request for extradition pursuant thereto. According to the Appellant’s argument, Israel believed, at the time, that it was possible to extradite him, and that there was no impediment to doing so. Moreover, the United States, by the very fact of filing the request for extradition in 1985, expressed its position that there was no impediment to extraditing the Appellant, even at that stage. The position of the United States in 1985, and the position of Israel with regard to the elimination of the impediment to extradition in 1988, gave rise to a situation whereby, at the very least, starting in 1988, it was possible to extradite the Appellant to the United States, and there was no longer any impediment to doing so. This is particularly applicable in light of the broad interpretation that has been given in case law to the concept of “extraditable offenses” for the purposes of the extradition conventions. Therefore, between 1988 – the date of the amendment to the Penal Law – and 1998, a second limitation period lapsed, during which nothing was done with regard to the Appellant’s extradition. Only in November 2007, approximately 9 years after the second limitation period lapsed, did the formal extradition proceedings begin. This is an additional time interval which nearly amounts to a third limitation period, during which no action was taken toward extraditing the Appellant.

 

17.         The Appellant argues further that the lower court erred in assuming that it was not possible to try him in Israel. According to his argument, even if some practical difficulties were involved in conducting the trial in Israel, because the witnesses were in the United States, this is not equivalent to an “impediment” to trying him before a court in Israel for extra-territorial offenses, pursuant to Article 15 of the Penal Law. In addition, the difficulties which the lower court had in mind diminished as the years went by and the principal witnesses for the prosecution grew up, and as the means of investigating witnesses from abroad and obtaining their testimony developed. There was, accordingly, no impediment to bringing the Appellant to trial in Israel.

 

18.         Counsel for the Appellant have attacked the approach adopted by the lower court in applying a doctrine of general impediment as an element which tolls the running of the limitation period in criminal cases. They claim, that there is no foundation for this doctrine under law, and that Article 9 of the Criminal Procedure Law, in combination with Article 94A of that Law, are what define, statutorily and conclusively, the situations that toll the running of the limitation period in criminal cases. These provisions constitute an overall legislative arrangement in this matter, and it is not appropriate to apply the doctrine of general impediment to that arrangement and to deduce, on the basis of that doctrine, that the running of the limitation period should be tolled. The application of the doctrine of general impediment to the statute of limitations in criminal cases conflicts with the principle of legality in criminal matters and contradicts the duty of interpreting criminal law in favor of the accused. Even if any doubt arises in this context, it works in favor of the accused.

 

19.         The Appellant further argues that he should not be deemed to have evaded or fled from justice for the purpose of application of Article 94A of the Criminal Procedure Law, and that the same applies with regard to the argument of general impediment. He did not flee the United States and did not hide out in Israel. He merely refrained from returning voluntarily to the United States, and thereby exercised his constitutional right not to be extradited to another country. In addition, Article 94A of the Criminal Procedure Law does not apply to the matter, because the Appellant should not be deemed a person whom it would have been impossible to bring to trial. Furthermore, his trial has not yet begun and this, too, is one of the conditions for the applicability of the provision in question, which is not met in this case.

 

20.         In addition to all that set forth above, the Appellant claims that, both from the standpoint of international law and for reasons of “forgiveness,” “abuse of process” and “public policy” – as these terms are to be understood in Israeli jurisprudence – it would not be fitting and proper to extradite him to the United States. First, from the international standpoint, the passage of time is significant in the context of the right of an accused to a fair criminal proceeding (as set forth, for example, in Article 6 (1) of the European Human Rights Convention). Second, the United States should be considered as having forgiven the Appellant, in practical terms, for his actions, if we may judge by its conduct over many years. In addition, after nearly three decades, there is relevance to the principle of “public policy,” and to the integrated principle of “abuse of process”, which constitute an express statutory exception to extradition, pursuant to Article 2B (A) (8) of the Extradition Law. The right to a rapid conclusion of the proceedings is a material right in criminal law, and the limitation periods, which expired, reflect a public interest in not bringing to trial, combined with the accused’s personal interest in obtaining a fair criminal proceeding and preventing perversion of justice against him.

 

The arguments by the state

 

21.         The state argues that the ruling by the lower court should be adopted.

 

              According to its argument, the basic assumption is that the limitation periods for the acts committed by the Appellant have not lapsed under United States law, and the question is whether they have lapsed under Israeli law. The answer which must be given to this question is in the negative, in light of the following principal arguments: the guiding principle is that “an offender will not benefit,” and a fugitive from justice is not entitled to benefit from the result of his misdeeds; with regard to the statute of limitations in criminal cases, the general principle is that the running of the limitation period is tolled when there is a legal impediment to continuing with criminal proceedings against a person, as may be learned from Articles 9 (C), 9 (D) and 94A of the Criminal Procedure Law; such an impediment, which has tolled the running of the limitation period, applies in this case. Accordingly, the limitation period did not expire prior to the request for extradition filed by the United States government.

 

22.         In greater detail, the state argues as follows: first, the Appellant is subject to the principle that “an offender will not benefit from his offense.” In fleeing to Israel, the Appellant escaped the fear of justice in the United States for nearly three decades; a fugitive from justice is not entitled to benefit from his escape.

 

              Second, Article 94A of the Criminal Procedure Law embodies the principle that a criminal must not benefit from his flight. The Appellant should be considered a fugitive from justice in the United States and, accordingly, he is “one who evades the law,” in the words of the provision in question. The fact that he did not hide within Israel does not negate the fact that he fled the United States law enforcement authorities.

 

              Third, the impossibility of extraditing the Appellant to the United States pursuant to the Convention, prior to its amendment, presented an obstacle to the extradition. Until the amendment of the Convention, there was an absolute impediment to his being brought to trial. That legal impediment was combined with the behavior of the offender himself and, under circumstances of this type, it is not appropriate to enable the Appellant to benefit from the argument of the lapsing of the statute of limitations. Only since 2007, the year in which the Amending Protocol of the Convention went into effect, has it been possible, for the first time, to extradite the Appellant to the United States, and the position that was firmly held by the United States was that, prior to the aforesaid amendment, it was not possible to implement the extradition according to the wording of the Convention up to that time.

 

              Fourth, it is not appropriate to intervene in the attorney general’s discretion not to bring the Appellant to trial in Israel, particularly since conducting such a trial in Israel would have been fraught with difficulties. In any event, the United States preferred to hold the trial within the territorial jurisdiction in which the offenses were committed; it should further be recalled that Israel’s in personam-active jurisdiction with regard to criminal offenders who have an affinity to Israel, and who have committed offenses outside Israel, is residual by nature.

 

              Fifth, the 1988 amendment to the Penal Law did not eliminate the impediment to extradition, because it did not overlap the offenses of sodomy and rape. Accordingly, this amendment did not affect the definition of “extraditable offenses” in the Convention, until the Convention was amended in 2007. This means that it would have been possible to implement the extradition only after the Convention was amended.

 

              Sixth, the running of the limitation period with regard to the offenses attributed to the Appellant was tolled by a number of investigative operations by the United States authorities, under Articles 9 (C) and (D) of the Criminal Procedure Law. These actions include: a first arrest warrant issued against the Appellant in December 1984; the indictment filed against him in February 1985; an additional arrest warrant issued immediately thereafter; and a federal arrest warrant, also issued that month; in addition, the Red Notice was distributed in July 1987; between 1990 and 1994, contacts with Interpol were initiated by the US authorities to clarify their interest in extraditing the Appellant, and the FBI continued its tracking operations to locate him; in January 1995, the New York police resumed its efforts to locate witnesses; in November 1999, a detective from the New York police force was appointed to investigate the case and a number of actions were performed by him; in July 2000, as a result of information that the Appellant had filed an application for a US passport, the International Department notified Interpol that he was still wanted, and various police efforts were made (ascertaining that the arrest warrant was up to date, distributing his photograph, and informing the Border Police that his arrival was expected), to ensure that he would be arrested upon his return.

 

              With regard to the Red Notice, the state argues, in detail, that this is not merely an administrative operation, but rather, a material and essential tool for enforcing the law and locating fugitives, which constitutes an “investigation-promoting” operation, as it can lead taking active measures to locate and arrest a person. According to the approach adopted by the state, the gamut of actions described, and especially the Red Notice and the attempt to locate witnesses, are concrete investigative actions, which tolled the running of the limitation period for the purposes of Article 9 (C) of the Criminal Procedure Law. In light of the fact that, between the performance of the last investigative action and the filing of the request for extradition, the limitation period had not yet lapsed, we see that, on the date of the enactment of Article 94A of the Criminal Procedure Law - March 31, 1995 - the limitation period for the offenses attributed to the Appellant had not yet lapsed under the statute of limitations and, accordingly, that provision applies to him. It is further argued that the United States authorities could not have been expected to take more action than they did, and that the fact that, between 1985 and 2007, they refrained from filing pointless requests for the extradition of the Appellant should not be held against them; nor can the authorities in a foreign state be expected to take measures to adapt their extradition laws and proceedings to the statute of limitations in force in Israel, so that, at the appropriate time, a request for extradition they would address to Israel would comply with the requirements of the local law.

 

              Seventh, the state goes on to argue that the European Human Rights Convention is of no avail to the Appellant, in light of his having evaded the law. Furthermore, Israel and the United States have not signed the Convention, and the right to conduct a trial within a reasonable period of time does not apply to a person who has evaded the law.

 

              Eighth, it is argued that, in this case, the conditions for the exception to extradition, which concerns “forgiveness” on the part of the requesting country, pursuant to Article 2B (A) (7) of the Extradition Law, have not been met. “Forgiveness,” for the purpose of this exception, must be deliberate and express, and requires a formal legal expression. Without that, it does not exist. In this case, shortly after the Amendment to the Convention Protocol, and once the path had been cleared for it to do so, the United States requested the Appellant’s extradition. This indicates that there was no valid “forgiveness” for the purpose of applying the exception. Furthermore, the indictment and the original arrest warrant were not canceled, and the files were closed only “conditionally.”

 

              Finally, in the opinion of the state, the extradition of the Appellant is also not contrary to “public policy,” nor does it give rise to a valid argument of “abuse of process”. The long period of time that elapsed between the perpetration of the offenses and the realization of the extradition does not result from delay but, rather, from a legal impediment, pursuant to the limitations of the Convention of Extradition. The Appellant’s flight was what gave rise to the need for his extradition, and the passage of time leading up to the extradition should be evaluated, inter alia, against the background of the gravity of the offenses attributed to him.

 

Supplementary arguments

 

23.         As part of the oral pleadings that were held before us in the appeal, various questions arose which transcended the arguments by the parties. These included the question of the legal effect, in terms of applicability in time, of the 2007 Amendment to the Convention, which led to a change in the definition of “extraditable offenses” in the Convention, and whether it applies to offenses dating from 1984, which are attributed to the Appellant and which, at the time they were perpetrated, were not considered “extraditable offenses” pursuant to the Convention. This question is related to a broader question, pertaining to the applicability in time – retroactive, active or prospective – of amendments of this type to extradition conventions, with regard to offenses that preceded the amendment in question.

 

24.         Counsels for the Appellant, in this context, analyzed the general principles that apply to the retrospective application of legislation, which may presumably be ruled out insofar as it purports to apply to actions that were already completed prior to its enactment, since it leads to a change in the legal outcome of situations that have already concluded. On the other hand, insofar as the purpose of the legislation is to govern an existing and ongoing situation which has not yet been completed, the application is active and prospective, and this does not create any difficulty. In the present case, it has been argued that applying the Amendment to the Convention to the offenses attributed to the Appellant would mean a retrospective application of the Amendment, given that such application affects the criminality of the act, and not only the procedural process that is related to the Extradition Law. The Amendment to the Convention, which changed the definition of “extraditable offenses,” was imposed upon an extradition process that had completely ended prior to the Amendment and, accordingly, it does not apply to this matter as, otherwise, this would mean that it is applied in a wrongfully retrospective manner.

 

25.         The position of the state is that, at the level of substantive law, the condition of “double criminality” for the offenses was met with regard to the offenses committed by the Appellant, even prior to the Amendment to the Convention, because the Extradition Law, as it stood prior to the Amendment, included, in its broad definition of the meaning of the concept of “extraditable offenses,” the offenses attributed to the Appellant as well. This means that, at the level of primary legislation, the offenses attributed to the Appellant constituted “extraditable offenses” even prior to the Amendment to the Convention. The legal deficiency, in its entirety, resulted from the narrow definition of the “extraditable offenses” in the Convention, and from that alone. In fact, Article 11 of the protocol of the 2007 Amendment to the Convention expressly states that it is to apply to offenses that were committed both before and after it went into effect. This retrospective application of the Amendment to offenses that were committed prior its going into effect is consistent with Israeli and international law with regard to extradition conventions. In fact, extradition conventions also apply to offenses that were committed prior to their enactment. The provisions of extradition conventions are procedural, rather than substantive by nature, and, accordingly, there is no impediment to applying them retrospectively. The Court must examine whether an extradition convention exists and what its provisions are at the time of the hearing of the request for extradition, in contrast to the question of whether such a convention existed at the time the offenses were committed and what the content of its provisions was at the time. The definition of the types of “extraditable offenses” is included within the procedural provisions governing the ways of realizing the offender’s legal affinity to the requesting country. The extradition process answers the procedural question of how to clarify the criminal liability of an accused for perpetrating the offenses attributed to him in the requesting country. Accordingly, there is nothing wrong with applying the 2007 Amendment to the Convention to the Appellant’s case, even though the offenses attributed to him were committed prior to the Amendment, and even though, at the time they were committed, they were not classified as “extraditable offenses” pursuant to the Convention between Israel and the United States.

 

Motion to permit the filing of a position on behalf of the victims of the offenses

 

26.         A short time after the hearing of the appeal, an organization called “Survivors for Justice”, the members of which are survivors of sexual assault in the Orthodox Jewish communities of the United States, and two of its founders, who are among the Appellant’s victims (hereinafter: the Applicants), filed a motion to permit them to present the position of the victims of the offenses regarding the harm they would sustain if the appeal were allowed. The motion states that, although the possibility of presenting such a position is not found in the ordinary codes of procedure, hearing the position of  the victims of an offense, as part of the judiciary proceeding, is not foreign to the codes of procedure in Israel, especially following the enactment of Basic Law: Human Dignity and Liberty and the Rights of Victims of an Offense Law, 5761-2001 (hereinafter: the Rights of Victims of an Offense Law); it is also possible by virtue of the inherent authority of the Court; and it cannot violate the rights of the Appellant or the good order of the proceeding, because the balance between the rights of the victims of the offense and the rights of the accused is, in any event, part of the  of considerations that the Court must examine in the extradition process.

 

27.         The state and the Appellant are both opposed to this motion.

 

              The state argues that the status of the victims of an offense in extradition proceedings requires separate study and discussion, and that, at this time, this matter is not directly governed by law. This proceeding and all its circumstances is not the proper place to discuss this issue, especially since the victims’ position, in the context of the offenses that are the object of the extradition request, was discussed extensively in the state’s arguments. Furthermore, both of the pleaders with whom the motion originated are not among the victims of the offenses according to the indictment filed against the Appellant. Accordingly, they do not fall under the definition of “victims of an offense” in this proceeding.

 

              The Appellant also argues that the Applicants do not fall under the definition of “victims of an offense” under the Rights of Victims of an Offense Law. Furthermore, presenting the position of victims of an offense in extradition proceedings is not even possible. According to his argument, even if the Applicants had a recognized status in extradition proceedings under law, their position, as is customary under the Rights of Victims of an Offense Law, is presented through the office of the state attorney, and not directly in pleadings before the Court. Therefore, even though, as a general rule, the position of victims of an offense should be heard, it is not appropriate for it to be heard in this proceeding.

 

28.         The motion should be denied. The status of victims of an offense in extradition proceedings has not been expressly anchored in law and requires separate discussion and clarification. In addition, the Applicants in this case prima facie do not meet the definition of “victims of an offense,” as this term is used in the Rights of Victims of an Offense Law. In any event, the state, in its extensive argumentation, commented on the harm which was done to the victims of the offenses attributed to the Appellant, pursuant to the indictment which was filed against him. In light of the above, allowing the motion will make no substantive contribution to clarifying the various aspects that arise in this proceeding. Hence, in the context before us, it is also not appropriate to rule on the fundamental aspects of the status of victims of an offense in extradition proceedings.

 

Discussion and decision

 

General background

 

29.         An indictment was filed against a person in a certain country in 1985, for grave crimes committed in that country. The person fled to Israel, which has an extradition treaty with the country in question. The extradition proceedings were not executed for 22 years, due to the wording of the convention of extradition between the two countries, which did not contain, within its definition of “extraditable offenses,” the offenses specified in the indictment against the person wanted for extradition. The extradition proceedings did not take shape until 2007, the year in which the convention was amended, leading to a change in the definition of “extraditable offenses,” to include the offenses in the indictment against the person in question. Is it possible, under those circumstances, to extradite the accused to the country requesting the extradition, after 22 years have elapsed from the date on which the indictment was filed, when, throughout all that time, he was within the reach of Israel’s law-enforcement authorities for the purpose of his extradition? Can an extradition proceeding, under these circumstances, have the strength to withstand the exception to extradition set forth in the Extradition Law, under which a person may not be extradited to the requesting country for an offense that has expired under the statute of limitations stipulated in the laws of the State of Israel? Does such a proceeding have the strength to withstand the exception to extradition, as set forth in the Law, regarding the harm to “public policy,” which encompasses, inter alia, the principle of “abuse of process” and the accused’s right to due process, in view of the large amount of time that has elapsed since the offenses were committed and the indictment filed, and up to the opening of the extradition proceedings? Meanwhile, the question arises as to whether the Amendment to the Convention, by way of changing the definition of “extraditable offenses,” constitutes an improper retrospective application, insofar as it is applied to offenses that were committed prior to the change, or whether this is an active application of a contractual arrangement between countries, which is lawfully exercised with regard to offenses that were committed prior to the Amendment to the Convention. These, in essence, are the issues to be decided in the present proceeding.

 

30.         The answer to the above questions is largely affected by an overview of the status and location of the extradition laws in Israel within the overall normative fabric of the Israeli legal system and constitutional law in particular. The harmonious integration of extradition laws within the framework of the basic constitutional principles that establish the basic rights of mankind to freedom, including freedom from extradition, and the close relationship between the extradition proceedings and criminal law in Israel – both substantive and procedural – have a direct impact on the proper response to the questions before us. In addition to all this, in the interpretation and application of the extradition laws, considerable weight is also given to Israel’s obligations vis-à-vis the Convention member states to assist and cooperate in bringing offenders to justice within their territory, as part of its duties as a member of the international community.

 

On the status of the extradition laws, their purposes and their normative characterization

 

31.       The conceptual basis of Israel’s extradition law is founded on three levels. The first level embodies mankind’s constitutional right not to be extradited, which is anchored in the Basic Law: Human Dignity and Liberty. Article 5 of the Basic Law states that: “There shall be no deprivation or restriction of the liberty of a person by imprisonment, arrest, extradition or otherwise.” With these words, the Basic Law declares the constitutional status of mankind’s right not to be extradited to another country for the purpose of conducting his criminal trial – a status that requires all government authorities to honor that right (Article 11 of the Basic Law). The Basic Law also states that the restriction of the right to liberty is possible, but subject to the terms and conditions set forth in the limitations clause (Article 8 of the Basic Law). The second level consists of the Extradition Law and the Extradition Regulations (Procedures and Rules of Evidence in Petitions), 5731-1970, which were enacted thereunder. These pieces of legislation jointly create a detailed operational mechanism for the extradition of a person in Israel to another country, which seeks to bring him before a criminal court in its territory. Article 1 of the Extradition Law states that: “A person located in Israel may only be extradited to another country pursuant to this Law,” and other provisions of the Law set forth the preliminary conditions for extradition and the various exceptions to extradition that preclude the extradition of a person to the requesting country. The third level is that of the international conventions that Israel has signed with other countries, which govern the specific extradition relations between the State of Israel and the various countries on the international level. The conventions are given legal status in Israel by virtue of the Extradition Law, Article 2A (A) (1) of which states that a necessary condition for the extradition of a person is that “between the State of Israel and the requesting country, there is an agreement regarding the extradition of offenders” – an agreement that may be bilateral or multilateral, and which may be general, with regard to the extradition of wanted persons in general, or individual, with regard to the extradition of a specific wanted person. In this way, the Extradition Law grants “approval, under domestic law, to the convention of extradition, and makes it – in the words of the Law – a component of Israeli law” (Criminal Appeal 6914/04, Feinberg v. Attorney General, IsrSC 59 (6) 49, 63 (2005), hereinafter: the Feinberg Case). The conventions express the shared desire of the signatory countries for the existence of an operative legal infrastructure, which enables reciprocal cooperation among them in the extradition of offenders (Criminal Appeal 7303/02, Hekesh v. State of Israel, IsrSC 57 (6) 481, 495 (2003), hereinafter: the Hekesh Case). Upon signing, the conventions become an integral part of Israeli law; they are “conditional to the existence of extradition relations, and are what casts extradition law's substantial content.” (Criminal Appeal 4596/05, Rosenstein v. State of Israel, paragraph 15 of the ruling rendered by Justice Levy (unpublished, November 30, 2005), hereinafter: the Rosenstein Case; a petition for an additional hearing was denied: Further Criminal Hearing 11414/05, Rosenstein v. Attorney General (unpublished, January 31, 2006)).

 

32.         In long-term comprehensive case law, this Court has pointed out the various purposes underlying the extradition laws and the great importance inherent in them. The principal purpose of these laws is to give the international community the legal means to contend with the spread of crime throughout the various countries, by way of reciprocal cooperation and assistance to the authorities (Criminal Appeal 6182/98, Sheinbein v. Attorney General, IsrSC 53 (1) 625, 639 (1999), hereinafter: the Sheinbein Case). Associated with this general purpose are additional purposes, primarily that of preventing offenders from evading the law and preventing the transformation of the State of Israel into a shelter for offenders, with the risk that this entails for the well-being and safety of the public in Israel, and in light of the damage to Israel’s image in the eyes of other countries, and even in its own eyes (Hekesh Case, at 498). Another purpose involves promoting the principle that a person should be tried according to the most natural legal system under the circumstances of the case, which is indicated by the majority of contacts linking it to the accused and the offenses attributed to him (Rosenstein Case, paragraphs 39-42; Criminal Appeal 250/08, Anonymous v. Attorney General, paragraph 34 (unpublished, March 12, 2009), hereinafter: the Anonymous Case).

 

33.         The general importance entailed in accomplishing all of these purposes becomes even greater in light of the sophistication, organization and complexity that characterize international crime, which has continued to develop over the last few generations. With the development of international access routes and communications, crime tends to cross spatial and national borders and to expand throughout the length and breadth of various countries. International crime, which is becoming more and more frequent, is reflected, inter alia, in the offenses of global terrorism, human trafficking, money laundering, trafficking in dangerous drugs, and computer and Internet offenses. These phenomena are increasing in intensity with the development of communications media, accessibility and the opening of borders between countries and areas throughout the world (Rosenstein Case, paragraph 30; Hekesh Case, at 495-496). Under these circumstances, cooperation between legal institutions in the various countries is even more essential in the war on international crime. The extradition laws are one of the means that have acquired unparalleled importance in the war on crime (Rosenstein Case, id.).

 

34.         From the standpoint of domestic law, the extradition proceedings, according to their classification, are considered to be an integral part of the criminal proceeding required to bring a person to justice for his actions. The unique aspect of extradition proceedings is the need to transfer an accused from the territory of the requested country to the territory of the requesting country, for the purpose of bringing him to trial for offenses that have a direct link to the latter country (S.Z. Feller, The Extradition Laws 68 (1980), hereinafter: Feller, Extradition  Laws). To wit:

 

“A criminal proceeding is any proceeding that is implemented as part of the process of ensuring that the accused is punished for his offense, and extradition is nothing more than a proceeding of this type; the only thing that makes it unique is that the accused is handed over to justice in another country” (S.Z. Feller, “On the Retroactivity of the Extradition Laws and the Impact of Pardon Thereon” [Hebrew], Mishpatim 4 403, 412 (1973), hereinafter: Feller, On Retroactivity).

 

Extradition is, accordingly, a component in the process of criminal law enforcement, and it is intended, for the establishment of international cooperation, to enable the requesting country to mete out justice to an offender who committed offenses within its territory and to prevent the frustration of criminal law by offenders who flee to the territory of other states. At the same time, it is important to emphasize that the international component that is inherent to the extradition proceeding does not derogate from its nature as a criminal proceeding, which is “a proceeding for the enforcement of the laws of the State of Israel” (HCJ 3992/04, Maimon-Cohen v. Mr. Sylvan Shalom, Minister of Foreign Affairs, IsrSC 59 (1) 49, 57 (2004), hereinafter: the Maimon-Cohen Case). This statement is amply clarified by Prof. Feller in his book:

 

“What makes extradition unique, relative to other criminal proceedings, is... that it is an international proceeding; aside from that, however, there is no difference between it and the other measures that are required, in each individual case, as applicable and necessary, in order to try a person for a criminal offense or to enforce the sentence that was passed upon him for that offense” (Feller, Extradition Laws, at 25 and at 71).

 

              In any event, the basic principles of the Israeli legal system, including the protection of the rights of accused persons, on which criminal proceedings are founded, apply to the same extent to extradition proceedings as well.

 

35.         Within the distinction between substantive criminal norms, which establish the framework of criminal liability for an accused, and procedural criminal norms, which have to do with the nature of the criminal proceeding that is designed to enforce the substantive criminal norms, it is customary to classify extradition in the second category. The rules of criminal proceedings establish the patterns for bringing an accused to justice; within those patterns, criminal liability is examined and substantive criminal law is enforced. The extradition laws are part of procedural criminal proceedings (Sheinbein Case, at 659). They govern various aspects related to bringing an offender to justice in the requesting country; the various exceptions to extradition are imposed as part of the requirement for criminal proceedings to ensure fair legal proceedings for the accused (Feller, Extradition Laws, at 67). The extradition laws do not settle the question of a person’s criminal liability; rather, they ensure that a proper criminal proceeding will take place, so that it will be possible, within that proceeding, to ascertain the criminal liability, while assisting the international community in its war on crime (Criminal Appeal 3025/00, Harosh v. State of Israel, IsrSC 54 (5) 111, 121 (2000), hereinafter: the Harosh Case; cf. Criminal Appeal 7569/00, Yagodyev v. State of Israel, IsrSC 56 (4) 529, 551-554 (2002), hereinafter: the Yagodyev Case; Rosenstein Case, paragraph 43).

 

The link between the extradition laws and constitutional law in Israel

 

36.         The right to liberty was recognized as a basic right with a special constitutional status upon the enactment of Basic Law: Human Dignity and Liberty (HCJ 5319/97, Kogan v. Judge Advocate-General, IsrSC 51 (5) 67, 81-82 (1997); Criminal Appeal 4424/98, Silgado v. State of Israel, IsrSC 56 (5) 529 (2002), hereinafter: the Silgado Case; Criminal Appeal 111/99, Schwartz v. State of Israel, IsrSC 54 (2) 241, 272-273 (2000) hereinafter: the Schwartz Case; and, recently, see: HCJ 2605/05, Academic Center of Law and Business v. Minister of Finance, paragraph 20 of the ruling handed down by Supreme Court President Beinisch (unpublished, November 19, 2009)). The prohibition against violation or limitation of liberty, beyond that permitted by the limitations clause, also applies, as set forth above, with regard to extradition proceedings (Articles 5 and 8 of the Basic Law).

 

37.         The right to liberty in the context of extradition proceedings has two principal characteristics. One of these is the right to personal liberty, in the narrow sense of freedom from arrest or imprisonment (Silgado Case, Supreme Court President Barak, at 549). The other is the right to liberty in the broad sense, which extends to a person’s freedom of choice, which entitles him to select the environment in which he will live and the social, cultural and legal norms that will apply to him. Liberty, including both aspects, is violated when a person is extradited to another country and subjected to the legal system prevailing in that country (Rosenstein Case, paragraph 37). Criminal law was definitively influenced by the revolution that took place in the perception of human rights in Israel. This revolution affected the substantive level of criminal law and its pivotal principles, including the principle of legality in criminal matters and the means of punishment; no less importantly, it affected criminal proceedings, the principles of which are closely linked to the protection of individual liberty (Miscellaneous Criminal Motions 537/95, Ghanimat v. State of Israel, IsrSC 49 (3) 355, 421 (1995) (Supreme Court President Barak)). The recognition of the right to personal liberty as a constitutional right has a decisive effect on the interpretation and implementation of the rules of criminal proceedings, with all of the ramifications thereof, including the laws of extradition (Schwartz Case, at 273).

 

38.         Recognition of the constitutional right to individual freedom from extradition has a direct impact on the manner of applying the laws of extradition and the laws that are ancillary to the extradition proceedings:

 

“In fact, when we are faced with a norm from the area of extradition law, we must interpret it according to its purpose, as that emerges from the gamut of necessary considerations in the matter. In so doing, we must give consideration to realization of the important public interest embodied in these laws, but also to the fact that freedom from extradition is a basic right which was determined by the  Basic Law: Human Dignity and Liberty...” (Sheinbein Case, at 658, 660 (emphasis not in the original); Ghanimat Case, at 412-422).

 

39.         Alongside the constitutional right to individual freedom from extradition is the purpose of the extradition laws, which are founded on Israel’s duty to lend a hand in the war on international and transnational crime, and to comply with the duty of reciprocity in extraditing offenders to the countries in whose territory the offenses were committed.

 

40.         Accordingly, in addition to the important public interest which the laws of extradition are intended to serve – the exercise of active measures toward international cooperation in the area of law enforcement – there is the basic constitutional right of the individual, which is recognized in constitutional law in Israel, to freedom from extradition (Sheinbein Case, at 659-660). Violation of that right, inter alia through extradition proceedings, is only permitted insofar as it complies with the test set forth in the limitation clause of the Basic Law – that is: it must be carried out within the Law or pursuant thereto; it must be appropriate to the values of the country; it must be implemented for a proper purpose; and it must not be in excess of that required (Hekesh Case, at 495; Anonymous Case, paragraph 16).

 

The affinity between the laws of extradition and the overall normative fabric of the law

 

41.         In addition to the necessary link between the laws of extradition and constitutional law, it is also necessary to ensure a harmonious integration of the laws of extradition with the overall normative system of the laws of the State of Israel, including criminal law. The Extradition Law is not “a law that dwells alone”; rather, it lives in its natural environment and constitutes an integral part of the basic values and concepts that underlie the entire legal system:

 

“Indeed, presumably the purpose of any piece of legislation is to maintain and promote harmony in the law... The entire system strives to achieve normative harmony” (Aharon Barak, Interpretation in Law – The Interpretation of Legislation (Volume II) 589-591 (1993), hereinafter: Barak).

 

Like any piece of legislation, the laws of extradition must also be interpreted and applied with a view to the realization of the basic social concepts and values underlying the legal system. Accordingly, the interpretation of the laws of extradition must be reconciled with the spirit and the basic principles that are common to Israeli society, and which constitute the background for the entire normative method. Accordingly, it has been said that:

 

“The general purpose of any piece of legislation is composed of the set of values of the State of Israel. This accounts for the relative nature of the basic principles and the need to create a balance among them, and between them and the specific purpose of any piece of legislation. The Extradition Law must also be interpreted within this framework. The Extradition Law is not a legislative unit that is disconnected from the set of laws and values of the state. Like any law, the Extradition Law is ‘a creature that lives in its environment’... It must be interpreted against the background of the values and principles of the legal system in Israel... What is necessary is a balancing and weighing operation, pursuant to which the final purpose and exercise of the Extradition Law in the concrete case will be determined” (HCJ 3261/93, Manning v. Minister of Justice, IsrSC 47 (3) 282, 286 (1993)).

 

42.         In addition to the aim of achieving harmony between the extradition laws and agreements and the entire internal legal system, we must strive to apply the laws of extradition in a way that takes into consideration the international undertakings that Israel has assumed at the level of international law. “A rule of interpretation is that it is necessary and proper to act to bridge the gap between law and convention, so that the two may live in peace without contradicting each other” (Civil Appeal 1137/93, Eshkar v. Heims, IsrSC 48 (3) 641, 659 (1994), hereinafter: the Eshkar Case; Barak, at 474-477). However, when the two normative systems – domestic and international – cannot be fully reconciled with each other in the area of extradition, preference must be given to the national norm over the international norm. The national norm is the State’s source of strength, and its powers and values are derived from it. Its international obligation also results from the national, domestic norm. When the international obligation cannot be reconciled with domestic law and the basic values of the domestic system, the domestic norm will prevail in the conflict between the two systems. Prof. Feller commented on this in his book:

 

“It is preferable for the two normative systems to be appropriate to each other, so that, when the second system (the system of norms at the international level – A.P.) is exercised, the obligations and rights of the first (the system of norms at the national level – A.P.) will be fully accomplished. If they are not appropriate in their entirety, the second system will prevail, because the extradition relationship is realized only through the authorities of the states, and they are only subject to the system of norms that are binding upon them, even if the exercise of those norms may give rise to a conflict with undertakings on the level of international relations. ... The origin of the norm with regard to extradition is always national law, even when it draws its content from international law or even from foreign law, because even this drawing itself occurs by virtue of national law. If national law does not enable international law to be fully drawn on it, then, as set forth above, the state authorities must obey the national law, even if this alienates them from an international undertaking” (Feller, Extradition  Laws, at 57; emphasis not in the original).

 

43.         Against the background of these “basic guidelines,” which define the place and the status of the laws of extradition within the overall normative framework of the law of the country, and against the background of the place and the importance of international extradition treaties to which Israel is a party, and which are intended to integrate Israel into the community of nations of the world in their joint war on crime, we will now go on to analyze the issues that require a response in this proceeding.

 

The issues for decision

 

44.         Before us are four principal issues that require a decision:

 

              (1)      What is the effect of the 2007 Amendment to the Convention of Extradition, from the standpoint of its applicability in time, to offenses that were committed prior to its effectiveness, and that were not included under “extraditable offenses” in the Convention before that time? What is the impact of this on the Appellant in this case?

 

              (2)      Should the conduct of the authorities in the United States over the years be viewed as “forgiveness” of the offenses which were committed by the Appellant, in a manner that constitutes an exception to extradition pursuant to the Extradition Law?

 

              (3)      Is the Appellant’s case subject to the statute of limitations under the laws of Israel, which constitutes an exception to extradition pursuant to the Extradition Law, and does a circumstance which tolls the running of the limitation period apply with regard to him?

 

              (4)      Does the extradition of the Appellant, after 22 years have elapsed between the filing date of the indictment against him and the commencement of the extradition proceedings, constitute a violation of “public policy,” which is tantamount to a qualification to extradition pursuant to the Extradition Law?

 

              We shall examine each of these questions separately.

 

The Amendment to the Convention, in terms of  applicability in time, and its impact on the Appellant’s case

 

45.         The indictment was filed against the Appellant in the United States in 1985, and attributes to the Appellant the perpetration of offenses in the years 1980-1984. At the time when the acts were committed, and at the time when the indictment was filed, the offenses in the indictment were considered to be “extraditable offenses” pursuant to Israel’s Extradition Law. However, they were not included under “extraditable offenses” pursuant to the Convention of Extradition between Israel and the United States. Only in 2007 did the Amendment to the Convention become effective, which expanded the definition of “extraditable offenses” to include the offenses that are the object of the indictment in this case. Prior to the Amendment to the Convention, it was not possible to extradite the Appellant from Israel to the United States, because the condition that requires the offenses, which are the object of the extradition, to be “extraditable offenses” under the extradition agreement between the two countries, was not met.

 

              What is the legal effect of the Amendment to the Convention, in terms of its applicability in time, which transformed the offenses attributed to the Appellant into “extraditable offenses” pursuant to the Convention, approximately 23 years after the date on which the acts were perpetrated?

 

46.         The presumption that excludes retrospective legislation is axiomatic in our legal system, as has already been stated: “A major rule in the interpretation of laws is that the provisions of the law are presumed to be directed toward the future and not retroactive, unless a retroactive provision is expressly or clearly implied by the law” (Civil Appeal 27/64, Bader v. Israel Bar Association, IsrSC 18 (1) 295, 300 [1964]; the Harosh Case, at 119; on the presumption and the reasons therefor, see: Barak, at 617-621). The presumption that excludes the retrospective application of a piece of legislation may, therefore, be refuted, insofar as the language and purpose of the law can indicate the retrospective application of the provisions thereof.

 

47.         In the area of penal law, the principle that excludes the retrospective application of a piece of legislation is reconcilable with the principle of legality anchored in Article 1 of the Penal Law, which specifies:

 

No penalty other than according to law

No offense, and no penalty for an offense, shall exist other than as specified within the Law or pursuant thereto.”

 

              The principle of legality in criminal matters is reconcilable with the rule which holds that no retroactive penalties may be applied. Article 3 of the Penal Law states as follows:

 

No retroactive penalty

3. (A) Legislation that gives rise to an offense shall not apply to an act that was performed prior to the date of publication of such legislation as a law, or the date it went into effect, whichever is later.

(B) Legislation that establishes a penalty for an offense that is more severe than the penalty established for said offense at the time it was committed shall not apply to an act that was performed prior to the date of publication of such legislation as a law, or the date it went into effect, whichever is later; however, the updating of the amount of a fine shall not be deemed to constitute the exacerbation of a penalty.”

 

48.         How do these general principles affect the question of the applicability in time of the Amendment to the Convention, which led to a change in the definition of “extraditable offenses” pursuant to the Convention, and does it apply to offenses that were perpetrated many years before the Amendment was drawn up and which, at the time they were perpetrated, were not deemed “extraditable offenses” as set forth above?

 

              The answer to this question is a double one:

 

              First, the application of a subsequent amendment to a convention, with regard to offenses that were perpetrated before the amendment was drawn up, does not violate the principle of legality in criminal matters, because that principle, like the principle which dictates “No retroactive penalty,” concerns the substantive norms of criminal law and refers to the aspect of liability in criminal cases, in contrast to proceedings for implementing and enforcing criminal law.

 

              The laws of extradition, including conventions of extradition, constitute part of the set of laws pertaining to criminal proceedings, which establish the rules for bringing an accused to justice in criminal court. They do not pertain to questions of criminal liability. For this reason, the applicability in time of an amendment to a convention, which changes the definition of the concept of “extraditable offenses,” to offenses that were committed a long time before the amendment was made, does not conflict with the principle of legality, or to the prohibition against retroactive penalties in criminal cases. Had the laws of extradition affected the criminality of the act, pursuant to the substantive law of the requesting country or the requested country, the application of the amendment to offenses perpetrated in the past might well have violated the principles of legality and of no retroactive penalty. This, however, is not the case with regard to the laws of extradition, which have nothing to do with the level of criminal liability; rather, they concern the procedural process of enforcing criminal law. As a general rule, a pending procedural process that has not yet been completed does not give rise to vested rights or defensible expectations with regard to future changes in the law.

 

              Secondly: the opinion that the laws of extradition may have retrospective application and apply to actions and situations that occurred before they went into effect, has been firmly established for years. In this way, conventions of extradition may apply to accused persons and to offenses that were committed a long time before the conventions were signed (Yagodyev Case, at 555). The ruling in the Hackstetter Case reads as follows:

 

“A well-known rule of international law was that, in the absence of any express provision to the contrary, conventions of extradition are applied retroactively, even with regard to offenses that were committed before they went into effect... We have found various justifications for this in various rulings and books: there are those who say that the duty of extradition is a duty that is incumbent upon the states by virtue of international law, and the conventions are simply intended to determine the ways to perform and uphold that duty; in any event, there is no importance to either the date on which the conventions were signed or the date on which the offenses were committed. There are those who say that, by their very nature, conventions of extradition cannot violate individual rights, because conventions are between states, and their subject matter is nothing more than the reciprocal rights and duties of those states. There are those who say that the prohibition against the retroactive application of the penal laws does not apply to anything other than the legislation of laws that create offenses and impose or increase penalties, and that conventions of extradition, by nature, do not create offenses and do not impose or increase penalties. And some say, that provisions of conventions of extradition are, by their nature,, procedural and not substantive provisions, and a major rule holds that procedural provisions, which have to do with nothing but procedure, apply retroactively even in criminal cases” (Criminal Appeal 557/71, Hackstetter v. State of Israel, IsrSC 26 (1) 241, 244-245 (1972), hereinafter: the Hackstetter Case).

 

              These reasons have been supplemented by the following: “Refraining from a retroactive application of a convention of extradition may damage the core of the extradition laws; on the other hand, applying a convention retroactively cannot in any way harm the legitimate expectations of the states, or of the individual whom they are seeking to bring to justice” (Yagodyev Case, Justice Heshin, at 556). According to this approach, it was ruled that the Extradition Law and the conventions of extradition apply even to offenses that were committed before the Law was enacted and before the conventions were signed. According to this approach and, a fortiori, an amendment to a convention, which changes the definition of an “extraditable offense” in the convention, also applies, from the standpoint of time, to offenses that were perpetrated before the amendment went into force.

 

49.         A different approach to examining the applicability in time of amendments to the Extradition Law and to conventions of extradition, with regard to offenses that were perpetrated prior to said amendments, applies the general presumption against retrospective application of the law to the matter, unless they include a clear and unequivocal provision with regard to the applicability. According to that approach, the presumption excluding retrospective application of the law is a general principle of interpretation, which applies not only to questions of criminal liability, but also to matters of a procedural nature, when the processes in question have already come to an end. As long as the procedural process has not begun, or is pending and has not come to an end, the application of the new law from the standpoint of time is active and not retrospective. Accordingly, in this reality, the existing presumption regarding the exclusion of retrospective application does not apply. Applying the Amendment to the Convention to procedural situations that have not yet come to an end is not retrospective application; rather, it is active application and is not subject to the presumption that negates the application of an amendment to a law or to a convention with regard to offenses committed before the time of the amendment. On the other hand, applying the amendment to situations that ended before it took effect is, by its nature, retrospective, and – like any other law – requires the existence of an express provision specifying the retroactive application of the amendment, as a precondition for its application in that way. In fact, “the applicability of the Extradition Law, or of the conventions of extradition, is immediate and, therefore, immediately upon taking effect, they enable the initiation of proceedings pursuant thereto, even with regard to offenses that were committed previously, and this does not mean that their applicability is ‘retroactive’” (Feller, On Retroactivity, at 410; Harosh Case, at 119-120). This matter was clarified in the Harosh Case (Supreme Court President Barak):

 

“In order to succeed in the argument that the new law is retrospective with regard to extradition proceedings – rather than with regard to criminal liability itself – Harosh would have had to indicate that the extradition proceedings before the courts had concluded under the previous law, and that the new law now enabled them to be reopened. He cannot do this, because no extradition proceedings whatsoever were opened before the courts – and, in any event, such proceedings certainly did not come to an end – regarding to Harosh. What we have here is an extradition proceeding that was opened after enactment of the new law. Accordingly, the application of this new law to the extradition of Harosh will not be a retroactive application, but rather, an active one” (id., at 119; emphases not in the original; see also: Yehuda Blum, “On the Question of the Retroactive Application of Extradition Agreements” [Hebrew], Hapraklit 22 316, 317 (1966); and his article on the subject: “Retroactivity of the U.S.-Israel Extradition Treaty,” Isr. L. Rev. Vol. 1 356-357 (1966); M. Cherif Bassiouni, International Extradition – United States Law and Practice (5th edition, 2007) 141, hereinafter: Bassiouni; see also: In the Matter of the Extradition of Ernst (S.D.N.Y. 1998) U.S. Dist. Lexis 710).

 

From the general to the specific

 

50.         The object of the Amendment to the Convention on Extradition between the United States and Israel referred to the reclassification of “extraditable offenses.” This Amendment was also in line with the provision of the Extradition Law which, as a precondition for extradition, required the accused to have been charged or convicted, in the requesting country, of an “extraditable offense” (Article 2A (A) (2) of the Extradition Law).

 

              An “extraditable offense,” for the purpose of the matter at hand, is primarily defined in the Extradition Law itself, which specifies, from the standpoint of domestic law, the offenses that enable extradition under the Israeli legal system. This, however, is not sufficient. Within this framework, it is necessary to attribute concrete significance to the classification of offenses as “extraditable offenses” in the specific convention of extradition between Israel and the other country that signed the convention. As long as an offense has not been defined as an “extraditable offense” in the convention, no extradition can be carried out for said offense, even if it is defined as an “extraditable offense” in the Extradition Law. This means that, in order for an “extraditable offense” to exist, two cumulative criteria are required: the definition of the offense as an “extraditable offense” pursuant to Israel’s Extradition Law; and its definition as an “extraditable offense” pursuant to the relevant convention. In this way, the Extradition Law determines the broad “outer circle” for the definition of “extraditable offenses,” and the conventions may narrow that circle by specifying, in the “inner circle,” which offenses will be classified as “extraditable offenses” for the purposes of the convention.

 

51.         The Extradition Law was amended in 2001 and established, in Article 2 (A), a broad definition of an “extraditable offense,” as “any offense which, had it been committed in Israel, would be punishable by one year’s imprisonment or a more severe sentence.” This amendment replaced the previous definition that specified certain types of offenses for the purpose of the definition in question. Pursuant to the definitions in the Extradition Law, both originally and following the amendment, the offenses attributed to the Appellant constituted “extraditable offenses.” Nonetheless, until the Amendment to the Convention in 2007, the offenses in the indictment against the Appellant did not comply with the definition of “extraditable offenses” pursuant to the Convention. The definition in the “outer circle” complied with the condition, but the definition in the “inner circle,” within the confines of the Convention, did not. The 2001 amendment of the Extradition Law did not affect the definition in the Convention, and it was not possible, by way of interpretation, to deduce that, from that time forth and thereafter, the offenses in the indictment also constituted “extraditable offenses” under the Convention. Only in 2007, as a result of the Amendment to the Convention, was a correlation created between the definition of an “extraditable offense” in the Extradition Law and the definition of an “extraditable offense” in the Convention, and only from that stage onward did the initiation of the extradition proceeding become possible.

 

52.         The 2007 Amendment to the Convention, which reclassified the “extraditable offenses,” directly concerns the process of enforcement of the criminal norm with regard to the wanted person, but has no impact on the actual criminal liability attributed to him. Therefore, the effects of the Amendment, from the standpoint of its applicability in time, do not clash with the interpretive presumption that excludes retroactive penal legislation and prohibits violation of the principle of legality in criminal matters. The Amendment to the Convention, in this case, applies actively to an extradition proceeding which, in actual fact, was only initiated as a result of the Amendment, and which waited for the Amendment for many years.

 

53.         It is true that the request for extradition, which was filed in 2007, was not the first measure taken by the United States government, in an attempt to bring about the extradition of the Appellant to its territory. Nonetheless, the first proceeding initiated by the United States in 1985 was a preliminary procedure to extradition, which did not mature into a formal extradition proceeding due to the non-fulfillment of the condition regarding classification of the offenses in the indictment, with which the Appellant was charged, as “extraditable offenses” at the time. Only as a result of the Amendment to the Convention, in 2007, was an extradition proceeding initiated. In this state of affairs, the Amendment to the Convention applies actively, from the standpoint of time, and does not present any difficulty regarding a possible violation of the rights of the accused in this specific context.

 

54.         For the aforementioned reasons, there is nothing wrong with the extradition proceedings, with regard to the Amendment’s applicability in time to the offenses in the indictment which are attributed to the Appellant.

 

An exception to extradition: the “forgiveness” of the requesting country – is that condition fulfilled in this case?

 

55.         Article 2B (A) (7) of the Extradition Law specifies the following:

 

Exceptions to extradition

2B. (A) A wanted person shall not be extradited to the requesting country in any of the following cases:

...

(7) If the request for extradition was filed as a result of an offense for which the wanted person was pardoned or forgiven in the requesting country.

 

              Is the exception to extradition, with respect to “forgiveness,” fulfilled in this case?

 

56.         The obvious answer to this question is in the negative. In order for the exception of “forgiveness” to be fulfilled, the requesting country must clearly and unequivocally make a statement to the effect that it has waived the option of bringing the wanted person to trial, and that it is no longer waiting for an appropriate time to do so. Admittedly, “forgiveness” does not have to be expressed in terms of a declared, overt and explicit act; it may also be learned from the behavior of the requesting country, such as the cancellation of an indictment, the cancellation of arrest warrants, the closure of files, and the avoidance of any action with regard to the investigation and the indictment for many years. The very fact of the filing of an extradition request does not necessarily constitute an indication of the absence of “forgiveness” which, as set forth above, may be learned from the behavior of the requesting country prior to the initiation of the proceeding; otherwise, there would have been no reason to establish the exception of “forgiveness” in the Extradition Law, which is applicable precisely in cases where a request for extradition has been filed. However, in order for the exception of “forgiveness” to exist in the context of extradition laws, the requesting country is required to exhibit clear and unequivocal behavior, which is not subject to any doubt whatsoever (Criminal Appeal 3439/04, Bazaq (Bouzaglo) v. Attorney General, IsrSC 59 (4) 294, 303-304 (2005), hereinafter: the Bazaq Case; Criminal Appeals 739/07, Efrat v. Attorney General, paragraph 11 (unpublished, June 7, 2007), hereinafter: the Efrat Case).

 

57.         In the case before us, the exception of “forgiveness” was not fulfilled for the purpose of the Appellant’s extradition to the United States. No express “forgiveness” was ever given by the United States authorities in the Appellant’s case. As for the behavior of the United States – that behavior was composed of various measures taken over the years. True, in 1995, the authorities gradually began to close their pending files. Thus, in January 1995, the New York police file was closed; similarly, in February 1995, the federal arrest warrant was canceled; and in June 1995, the Red Notice was canceled as well. However, the original arrest warrant and the indictment itself have remained pending to this very day and were never canceled.

 

              The circumstances described above do not amount to “forgiveness” for the purpose of the extradition laws. While the United States authorities took measures toward closing files against the Appellant, they nonetheless left certain parts of the criminal procedure untouched – apparently in the expectation that, once the impediment to extradition had been eliminated by means of an appropriate amendment to the Convention, it would be possible to resume the process. Under those circumstances, the exception of “forgiveness” is not applicable against extradition, and the argument in this regard is denied.

 

An exception to extradition: the lapsing of the limitation period for the offenses under the laws of the State of Israel – is that condition fulfilled in this case?

 

58.         The Appellant’s principal argument is that, because 22 years have passed since the filing of the indictment against him in the United States, the offenses for which his indictment is sought have expired under the statute of limitations pursuant to Israeli law. As such, the request for extradition should be denied, due to the statute of limitations exception, pursuant to Article 2B (A) (6) of the Extradition Law.

 

59.         The Extradition Law states as follows:

 

Exceptions to extradition

2B. (A) A wanted person shall not be extradited to the requesting country in any of the following cases:

...

(6) If the request for extradition was filed as a result of an offense or penalty for which the limitation period has lapsed, pursuant to the laws of the State of Israel.”

 

              In specifying the lapsing of the offenses or the penalties pursuant to the laws of the State of Israel as an exception that precludes extradition, the Israeli legislators clarified the great importance they attribute to the passage of time between the date of perpetration of the criminal act and the date on which the accused is brought to trial before a criminal court, as a cardinal consideration in protecting the rights of persons accused in a criminal proceeding within the Israeli legal system. As a value of special constitutional importance, it was applied by Israeli law within the framework of extradition proceedings as well. In so doing, the Israeli legislators emphasized the superiority of the consideration of protecting the rights of accused persons – within the institution of the statute of limitations – even relative to the important values that the institution of extradition seeks to accomplish: international cooperation in the extradition of offenders, as part of the worldwide war on crime. In specifying the exception to the statute of limitations under Israeli law, the Israeli legislators emphasized the existence of the duty of protecting the rights of persons accused in criminal proceedings, according to the values of the domestic legal system, even in the case of an extradition proceeding, which is designed to enable cooperation between countries in enforcing the criminal laws against perpetrators of grave crimes. In the view of the Israeli legislators, not even the importance of the extradition proceedings for the purpose of enforcing criminal norms at the international level, nor the importance of cooperation between the convention member states to achieve the purposes of the extradition laws, has diminished the need to take pains to protect the rights of accused persons from belated law enforcement, which extends beyond the criminal limitation period as defined under Israeli law; in this context, the Israeli legislators have kept in mind the constitutional right to freedom – not only from arrest and imprisonment, but from extradition as well. In this regard, the Israeli legislators gave clear expression to the superiority of the values of the domestic legal system, even relative to Israel’s international undertakings vis-à-vis the convention member states, in light of the nature of those values as basic concepts of human rights under prevailing law in Israel. Accordingly, in examining the question of the lapsing of offenses attributed to a person for whom extradition is sought, it is necessary to clarify whether the offenses have expired according to the concepts of domestic Israeli law, and to accomplish, in interpreting the Extradition Law, the principal purpose for which the exception to the statute of limitations was enacted – the purpose of protecting the right to liberty of a person for whom extradition is sought, after the lapsing of the limitation period between the date of the offense attributed to him and the commencement of the extradition proceedings.

 

60.         The subject of the statute of limitations as an exception to extradition appeared even in the original version of the Extradition Law, in which a “double” test was imposed regarding the statute of limitations. According to that test, the extradition of a wanted person to a requesting country was not possible if the limitation period for “that offense or the penalty imposed upon him has lapsed, under the laws of the requesting country or under the laws of the State of Israel” (Article 8 (2) of the Extradition Law as it was then worded). In 2001, the provision in question was amended; the amendment clarified that, from that time forth, it would not be possible to extradite a wanted person in cases in which the limitation period for  the offense attributed to him, or the penalty imposed upon him, had lapsed under the laws of the State of Israel, irrespective of the question of the statute of limitations in the requesting country. The reason for this change was explained in the explanatory note to the Extradition Bill (Amendment 8), 5761-2000, which stated as follows: “It is proposed to establish that the laws of the statute of limitations of the State of Israel alone are what shall prevent the extradition of a wanted person to the requesting country; the legal assumption is that an enlightened state does not demand the extradition of a person unless there is no impediment to the application of its laws to that person, once he has been extradited” (Bill 154, at 158; Efrat Case, paragraph 4).

 

61.         The exception regarding the statute of limitations has been linked, in the legal literature, to the basic condition for extradition concerning the requirement of “double criminality,” i.e.: that it would be possible to bring the wanted person to justice before a criminal court in Israel, had the criminal laws of the State of Israel applied to him. This has been expressed as follows:

 

“This basic condition is also reflected in the fact that, if the limitation period for the offense or the penalty has lapsed under Israeli law, the person will not be extradited, although under the laws of the requesting country, the limitation period has not yet lapsed. And the reason for this is that the state should not and cannot extend legal assistance in the form of extradition unless there is complete and simultaneous symmetry, from the standpoint of the right to bring the accused to justice, between the requesting country and the requested country, with the exception of the special factor that conferred jurisdiction for the offense upon the requesting country alone. The conditions for extradition concerning the requested country are no less important than those that concern the requesting country; in fact, quite the opposite is true – they are more important” (Feller, On Retroactivity, at 417; emphases not in the original).

 

              The author further noted:

 

“A major rule holds that the authority of the requested country for extradition is subject to its authority with regard to direct adjudication, were the matter in question adjudicable within the state. … The adjudicability of the matter in this country means that an act was an offense in the requested country at the time it was committed, and no legal entity has yet intervened that might to expropriate the right to bring the accused to justice for that offense and in that country, were it to have jurisdiction over the act, whether because it was perpetrated within the territory of the country or for any other reason” (id., at 418-419).

 

              The lapsing of the limitation period for the extraditable offenses, or their penalties, pursuant to the concepts of Israeli law is, therefore, an exception to the extradition of the person to the requesting country, which affects the very crux of the judiciary power to institute the extradition proceedings.

 

62.         The question in this case is, therefore, whether, according to the concepts of the Israeli legal system, the limitation period for the offenses in the indictment against the Appellant lapsed prior to the initiation of the extradition proceedings against him in 2007.

 

              More precisely: in examining this question, we may assume that there is ostensibly no procedural barrier, with respect to the statute of limitations, to trying the Appellant in the United States and according to its laws. This may be because of his having evaded the law in the United States, which, according to American law, may toll the running of the limitation period and may not constitute a procedural barrier to bringing the fugitive to justice, even after many years; or it may be because the filing of the indictment in the United States, in and of itself, tolled the running of the limitation period. Given that assumption, we must examine whether the statute of limitations applies to the offenses in the indictment against the Appellant under Israeli law, as this is the meaning of the exception imposed by the statute of limitations on extradition under the Extradition Law, which requires examination of the statute of limitations under the laws of the State of Israel.

 

The statute of limitations in criminal cases under the laws of the State of Israel – the law and its purposes

 

63.         The subject of the statute of limitations in criminal cases is governed, under Israeli law, by the provisions of Articles 9 and 10 of the Criminal Procedure Law; Article 9 deals with the lapsing of the limitation period for offenses, and Article 10 deals with the lapsing of the limitation period for penalties. The provisions relevant to this case are those in Articles 9 (A), (C) and (D) of that Law, which state as follows:

 

Lapsing of the limitation period for offenses

9. (A) In the absence of another provision in this matter in any other law, a person shall not be tried for an offense if the following periods have lapsed since the date on which it was committed:

 

(1) For a felony for which the penalty is death or life imprisonment – 20 years.

(2) For another felony – 10 years.

(3) For a misdemeanor – five years.

(4) For a  transgression– one year.

 

(C) For a felony or a misdemeanor, for which, within the periods set forth in subsection (A), a statutory investigation was held, or an indictment was filed, or a proceeding was conducted on behalf of the Court, the counting of the periods shall begin on the last day of the proceeding in the investigation, or on the date of filing of the indictment, or on the last day of the proceeding on behalf of the Court, whichever is later.

 

(D) The provisions of subsection (C) shall apply to an extraditable offense for which a request for extradition was submitted to the State of Israel, and any of the actions set forth in said subsection, which was carried out in the requesting country, shall extend the counting of the limitation period for said offense pursuant to this Article, as if it had been carried out in Israel.

 

64.         In Israeli law, the arrangements governing the statute of limitations in criminal matters are characterized by a great degree of rigidity. Criminal law establishes defined periods of limitation for  offenses, in accordance with their classification on a scale of severity. Upon the lapsing of these periods, the possibility of enforcing criminal law on the offender is absolutely negated, and the court has no further discretion in this regard: “The lapsing of the limitation period for the offense, as an exception to the realization of criminal liability, blocks any proceeding that is intended to impose criminal liability for an offense that has expired” (S.Z. Feller, Elements of the Penal Laws [Hebrew], Volume II, 637-638 (1987), hereinafter: Feller, Elements of the Penal Laws). The date on which the limitation period for the offense lapses is razor-sharp. On the day before the limitation period lapses, the accused is liable for a criminal offense; on the day thereafter, he is exempt from criminal liability (Criminal Appeal 347/07, Anonymous v. State of Israel, paragraph 8 of the ruling rendered by Justice J. Alon (unpublished, November 18, 2007), hereinafter: the Anonymous Case 2). However, a generally accepted opinion is that the effect of the statute of limitations in criminal matters is “procedural” and not “substantive,” and that, as a general rule, an accused may waive the argument, and such a waiver is legally valid (Criminal Appeal 6629/98, Heller v. State of Israel, IsrSC 56 (4) 346, 352-353 (2002)).

 

65.         Setting “razor-sharp” deadlines on the lapsing of limitation periods for offenses may involve a certain degree of arbitrariness. However, it has already been stated that: “This is the fate of times, dimensions, weights, distances and various other measurable concepts, the outermost edges of which are somewhat arbitrary. And this is a known fact” (Bazaq Case, at 307). This rigidity has a clear component of protection of the substantive right to liberty of accused persons, who are entitled to expect that the sword of being brought to justice, hanging over their heads for many years, will be lowered upon the lapsing of a long limitation period, and that they will not be forced to live in fear of being brought to trial for an unlimited period of time.

 

66.         The reasons for setting limitation periods for criminal offenses are complex.

 

              First, from the general public standpoint, the lapsing of the limitation period leads to forgetting and forgiveness, the roots of which are implanted in the passage of time. The more time elapses, the more likely public interest in trying the offender will fade. Time dulls the pain and blunts the significance of the offense (HCJ 1618/97, Sachi v. Municipality of Tel Aviv-Yafo, IsrSC 52 (2) 542, 574 (1998)).

 

              Second, from the standpoint of the accused’s interests, it is preferable for the criminal procedure being conducted against him to end quickly. Having the status of a suspect or an accused disrupts a person’s life, subjects him to a social stigma and requires him to invest vast resources in conducting his defense. The right of an accused to a rapid conclusion of his trial has been recognized as a basic right for persons accused in criminal procedures, as part of the constitutional right to liberty. According to the concepts of Israel’s legal system, the conclusion of a criminal procedure within a reasonable period of time is considered to be one of the aspects of the constitutional right to a fair criminal proceeding.

 

              Third, another reason for the statute of limitations stems from the interest in clarifying the truth, in view of the fear that, as time passes, evidence is lost and witnesses’ memories fade, the ability to clarify the facts will decline. The effect of this reason is palpable vis-à-vis both the accused and the entire public; after all, clarifying the truth in a criminal trial – which means refraining from convicting an innocent person and convicting the person responsible for committing the offense – is a public interest of supreme importance. It is certainly also in the interests of the person who is facing trial.

 

              Fourth, the value of the statute of limitations in criminal cases also involves the aspect of the system-wide benefit, which is derived from the importance of rapid, efficient enforcement of criminal law, as well as from the wish to provide the enforcement authorities with an incentive to conclude the handling of the offenses relatively quickly, in order to clear the way and free up time for the next matters in line (for the entire set of considerations, see: HCJ 6972/96, The Movement for Quality Government v. Attorney General, IsrSC 51 (2) 757, 769-773 (1997), hereinafter: The Movement for Quality Government Case; HCJ 4668/01, MK Yossi Sarid v. Prime Minister, IsrSC 56 (2) 265, 286 (2001); Civil Service Appeal 9223/02, Zaarur v. Civil Service Commission, IsrSC 57 (2) 77, 82 (2003); Criminal Appeal 9657/05, Anonymous v. State of Israel, paragraph 24 of the ruling handed down by Justice Levy (not yet published, March 3, 2009)).

 

67.         The arrangement governing the statute of limitations for criminal offenses, as established under law, reflects a balance among various considerations that pertain to the public interest as well as to the offender’s private interest: “The balancing point is between the basic interest in bringing offenders to trial, the strength of which diminishes over time, and the need for rapid proceedings. The balancing point is also influenced by the effect of the interest in clarifying the truth, which may strengthen or weaken the recognition of the statute of limitations” (The Movement for Quality Government Case, at 774). By virtue of this balance, the law also recognizes various situations that are capable of tolling the running of the limitation period in criminal cases. In fact, the usual starting point in time for the limitation period is the date on which the offense was committed (Article 9 (A) of the Criminal Procedure Law). However, as set forth in Article 9 (C) of that Law, a statutory investigation, the filing of an indictment or a proceeding on behalf of the court may toll the running of the limitation period and to start it running again, whereby these points in time serve as “later starting points for restarting the running of the limitation period” (The Movement for Quality Government Case, Justice Strasberg-Cohen, at 777). With regard to these causes for tolling the running of the limitation period, the following has already been clarified:

 

“What interests us is halting the running of the limitation period and absolutely wiping out the period that elapsed, and not just delaying the count. Each time one of the ‘events’ set forth in the article occurs, the counting of the limitation period begins anew. Accordingly, a person who committed an offense will not be able to take shelter under the wings of the statute of limitations unless a limitation period has lapsed which began with the latest of the proceedings set forth in Article 9 (C). A direct result of that is that many more years than those set forth in Article 9 (A) might elapse between the date on which the offense was perpetrated and the filing of an indictment – if investigative procedures are conducted from time to time in the course of those years. All this, of course, applies as long as the time interval between one procedure and the next does not exceed the limitation period” (id., at 765-766).

 

68.         The lapsing of the limitation period under the laws of the State of Israel, for offenses in an indictment for which the extradition of a person located in Israel is sought, blocks the extradition. “The argument of the lapsing of the limitation period is an argument that blocks extradition” (Bazaq Case, Justice Heshin, at 304).

 

69.         The exception to extradition due to the lapsing of the limitation period for the offenses under Israeli law, is not only rooted in the concept that it is necessary to protect the accused’s right to a fair criminal proceeding. Rather, it is also compatible with the principle of “double criminality,” which is a basic principle of the laws of extradition. As set forth above, one of the conditions for extradition is that a person must have been charged or convicted of an “extraditable offense” in the requesting country (Article 2A (A) (2) of the Extradition Law), and an “extraditable offense” is defined as an offense which, had it been committed in Israel, would have been punishable by one year’s imprisonment or a more severe sentence (Article 2 (A) of the Law). The principle of “double criminality” is not realized in its entirety when, in the requested country – Israel – it is not possible to try the person in a criminal court, due to the lapsing of the limitation period for the offenses attributed to him, even if the presumption is that the lapsing of the limitation period does not wipe out the offenses, but merely constitutes a barrier to trying him for them. The principle of “double criminality” is not limited solely to the existence of the accused’s dual criminal liability according to the laws of the requesting country and the requested country. It is also necessary for there to be, under both legal systems, a real ability to try him before a criminal court in each of the two countries. Thus, if it is not possible to bring an accused to trial before a criminal court in Israel, he must not be extradited to the requesting country, even if there is no limitation on the ability to hold his trial in that state. This applies, inter alia, to the lapsing of the limitation period for offenses. Prof. Feller comments on this as follows:

 

“A minimal basic condition, which exists in any normative system with regard to extradition, is that a person must not be extradited unless it would have been possible to try him in Israel, had the criminal laws of the State of Israel applied to him; ... A direct result of this is that, if there were any impediment to the initiation of criminal proceedings against the wanted person, were he to be brought to justice for the same offense under the laws of the State of Israel, the state is not entitled to lend a hand, through the use of extradition proceedings, to another country, thereby enabling the other country to initiate criminal proceedings against him. The scope of the authority of the requested country for extradition is subject to the scope of its authority with regard to direct adjudication, if the wanted person was subject to adjudication in that country for the offense for which the extradition is sought” (Feller, On Retroactivity, at 417; emphasis in the original).

 

70.         Hence, in cases where the limitation period has lapsed under Israeli law for the offenses in an indictment that are attributed to an accused, and those offenses are no longer punishable under that law, Israel is not entitled to initiate extradition proceedings for such a wanted person. This is because there is an impediment that prevents Israel itself from initiating a criminal proceeding on Israeli territory against such a person, and the impediment originates in the lapsing of the limitation period for the offenses under the statute of limitations. In any event, the requirement of “double criminality,” which is a precondition for extradition, is not met.

 

Actions that toll the running of the limitation period in criminal cases

 

71.         Article 9 (C) of the Criminal Procedure Law enumerates various causes that toll the running of the limitation period for offenses under Israeli law. These causes are a statutory investigation, the filing of an indictment or a proceeding on behalf of a court. Article 9 (D) of the Criminal Procedure Law specifies that these causes also apply with regard to extradition, insofar as they apply with regard to the requesting country. The law creates an equivalency, for the purpose of extradition, between actions that toll the running of the limitation period in a criminal procedure in Israel and identical tolling actions that take place in the requesting country. From this point of view, the public interest in enforcing criminal law on the accused is given priority over the interest of such an accused in the rapid completion of the proceeding in his case; this priority is based on recognition of the need to give law enforcement authorities effective tools for taking measures aimed at bringing offenders to justice, and on the understanding that, at times, the authorities encounter difficulties in solving crimes and collecting the evidence required for the purposes of the trial, and that time – occasionally, even a long time – is required for the completion of these actions. This is the case with regard to trials in Israel, and also with regard to extradition proceedings, when the actions involved in the investigation and the trial are carried out in the requesting country. The situations that toll the running of the limitation period pursuant to Article 9 (C) of the Criminal Procedure Law are intended to give law enforcement authorities the possibility of doing their work unhampered by the constraints of the statute of limitations throughout the police investigations, throughout the actions implemented by the prosecution for the purpose of filing an indictment, and throughout the legal proceedings thereafter. To enable the authorities to enforce the law, priority was given to ensuring that the accused are prosecuted to the full extent of the law, over the value of preventing a delay in justice for the accused. All this applies as long as such actions are being implemented and proceedings are taking place in a manner that justifies the delay. However, when the investigative actions have been completed and an indictment has been filed, and no further investigative actions are performed, and yet no judiciary proceedings are taking place, the limitation period begins anew on the date of filing the indictment.

 

72.         The interpretation of the term “investigative actions”, for the purpose of tolling the running of the limitation period, calls for adherence to the true purpose for which the authorities were given an extended period of time to act, without the fear that the limitation period for the offenses would lapse. This interpretation does not allow the term in question to be stretched beyond its boundaries, in order to obtain an improper extension at the expense of the basic right of the subject or the accused to a rapid and proper criminal proceeding which will fully examine the question of his criminal liability.

 

73.         The meaning of the term “a statutory investigation,” as an act that tolls the running of the limitation period in criminal cases pursuant to Article 9 (C) of the Criminal Procedure Law, has been discussed extensively in case law. It has been emphasized that an investigative action as set forth above must be a genuine action, rather than a pointless proceeding, which is solely intended for the purpose of tolling the running of the limitation period, and an administrative procedure that amounts to no more than preparation for an investigation is not sufficient. The proceeding that must take place is one that reflects a genuine act that prepares the future criminal action (Criminal Appeal 207/56, Sawitat v. Attorney General, IsrSC 11 (1) 518, 523-524 (1957); Criminal Appeal 309/78, Barami v. State of Israel, IsrSC 33 (1) 576, 577-578 (1979), hereinafter: the Barami Case; Criminal Appeal 211/79, Gazit & Shaham Construction Co. Ltd. v. State of Israel, IsrSC 34 (1) 716, 720-722 (1979), hereinafter: the Gazit & Shaham Case; Leave for Appeal 268/85, Habasha v. State of Israel, IsrSC 39 (2) 335, 336 (1985); Leave for Appeal 1596/98, Halil v. State of Israel (unpublished, May 5, 1998); Criminal Appeal 4745/97, Bonei Habira Ltd. v. State of Israel, IsrSC 52 (3) 766, 786-787 (1998); Anonymous Case 2 and references id.). The various aspects of case law in this regard were recently summarized by Kedmi in his book; the highlights of that summary are as follows:

 

“A statutory investigation, in this context, may be an investigation by the police, and it may be by any person or entity with the statutory power to conduct an investigation for that offense, provided that the investigation in question is intended to prepare the criminal action in connection with that offense. The filing of the complaint, in and of itself, does not constitute an investigative procedure, nor does it entail the opening of an investigation; an investigative procedure must be “an official, substantive and practical proceeding, rather than mere ‘preliminary clarifications’ or ‘collection of information’, which do not entail the performance of  true investigative actions” (Jacob Kedmi, On Criminal Procedure [Hebrew], Part II 1322 (2009) and references id.; for a review of case law on this subject, see also: Zalman Yehudai, The Laws of the Statute of Limitations in Israel [Hebrew], Volume I 364-370 (1991); cf. Bazaq Case, at 306-307; Criminal Appeal 7014/06, State of Israel v. Limor, paragraph 50 (unpublished, September 4, 2007), hereinafter: the Limor Case).

 

74.         An investigative action, which can toll the running of the limitation period, is therefore characterized by a real action that prepares and promotes the criminal action. It consists mainly of the  collection of evidence. In most cases, this is implemented prior to the filing of an indictment. The performance of investigative actions after the filing of an indictment is a non-routine procedure, which is intended to complement an investigation that was already performed, when new material is discovered or new channels for investigation are opened, which had not been known previously, or when witnesses are discovered who had not been available at an earlier stage. Various actions on behalf of the prosecution following the completion of the investigation, which are not related to the investigation and are not intended to promote it, will not be considered investigative actions for the purpose of tolling the running of the limitation period. Various actions performed by the prosecution following the filing of an indictment, which are intended to locate the offender or to bring him to justice, are not defined as investigative actions. Should new investigative actions be performed in the course of the legal proceeding, they are, in any event, encompassed within it, in view of its nature as an act that tolls the running of the limitation period, whereby a new limitation period begins only upon the conclusion of the judicial proceeding.

 

75.         The statute of limitations in criminal cases is one of the important procedural rights of the accused, within the framework of his constitutional right to liberty, granted to him by constitutional law. The tolling of the limitation period, following one of the aforementioned events, enables an extension, and at times a considerable extension, of the period within which criminal proceedings may be initiated against the accused. By its very nature, it violates his constitutional right; therefore, it must be proportional and must serve a proper purpose. Interpretation of the question of the concrete existence of events that toll the running of the limitation period is cautious and tends to be restrictive, in light of the impact of those events on the accused’s basic right to liberty. The burden of proof for the existence of such events is incumbent upon the prosecution, and doubt in these matters works in favor of the accused:

 

“Once the limitation period set forth under law had lapsed, ... the state was required to prove that, within that period, the running of the limitation period was tolled by the opening of an investigation... and because it did not meet that burden, the accused is entitled to benefit from the passage of time” (Barami Case, at 578, emphasis not in the original; see also: Gazit & Shaham Case, at 721; Anonymous Case 2; Articles 34U and 34V of the Penal Law).

 

From the general to the specific: application of the provisions governing the statute of limitations, pursuant to Article 9 of the Criminal Procedure Law, to the Appellant

 

76.         The offenses attributed to the Appellant in the indictment that was filed against him in the United States are felonies. Accordingly, pursuant to Article 9 (A) (2) of the Criminal Procedure Law, the limitation period for them is 10 years. The indictment attributes to the Appellant sexual offenses committed during the years 1980-1984; on the other hand, the request for extradition on behalf of the United States was filed in 2007. In actual fact, two limitation periods had lapsed, one after the other, between the time the offenses were committed and the initiation of the extradition proceeding, without the Appellant having been brought to trial. The first period began in 1984, at the time the last of the offenses was committed, and ended in 1994; thereafter, an additional limitation period lapsed between 1995 and 2005. After the end of the second limitation period, two more years went by before the initiation of the extradition proceedings in 2007, which opened a third limitation period in this case.

 

During this long period of time, since the offenses attributed to the Appellant were committed, was the limitation period tolled by one of the tolling actions set forth in Article 9 (C) of the Criminal Procedure Law?

 

77.         It appears that the only action that may be defined as tolling the running of the limitation period is the action related to the filing of the indictment in the United States in 1985, following the conclusion of the investigations by the American investigative authorities. Following the filing of the indictment, various actions were implemented by the American authorities in connection with trying the Appellant before a criminal court. These actions, however, were not investigative procedures or proceedings on behalf of the court, as these terms are used in Article 9 (C) of the Criminal Procedure Law, which may postpone the running of the limitation period to a date later than the date of filing the indictment in 1985, after which a new counting of the period since  perpetration of the offenses began.

 

78.         The extradition proceedings in the Appellant’s case were actually blocked due to non-fulfillment of the condition under extradition law, whereby the offenses in the indictment must constitute “extraditable offenses” pursuant to the Convention, until the Convention was amended. During the resultant period of the impediment to extradition, various actions were, in fact, implemented by the United States authorities with a view to bringing the Appellant to justice before a criminal court; these, however, do not constitute actions that  toll the running of the limitation period pursuant to Article 9 (C) of the Criminal Procedure Law, nor do they comply with the concept of “statutory investigation” or “proceeding on behalf of the Court,” which toll the running of the limitation period, pursuant to the aforementioned provision.

 

79.         Thus, the issue of the original warrant for the Appellant’s arrest, along with the filing of the indictment, does not constitute an “investigative action”; rather, it is an outcome derived from a completed investigation. The Red Notice, which was issued by Interpol, is not a “statutory investigation”; rather, it is a request to the various countries to arrest the Appellant in order to enable his extradition to the United States and his trial on United States soil. This is not an investigative action; rather, it is an action by an international law enforcement authority aimed at achieving the arrest of the Appellant and bringing him to trial in the United States. Giving a broad interpretation to the Red Notice as an action that constitutes a “statutory investigation” cannot be reconciled with the purpose of the provision, nor is it in line with the duty of restrictive interpretation of the causes that toll the running of the limitation period pursuant to Article 9 (C) of the Criminal Procedure Law, in their capacity as exceptions that extend the limitation period, and thereby violate the accused’s right to freedom from criminal proceedings and extradition. In fact:

 

“Giving a broad interpretation to the expression ‘investigation’ for the purpose of setting a starting date for the running of the limitation period, in such a case, would give rise to a situation where society would ‘place a person in the dock’ approximately a decade after the perpetration of the offenses attributed to him, although his trial had not yet begun. It is difficult to imagine a greater distortion of justice” (The Movement for Quality Government Case, at 788).

 

              And if this was said of a period of approximately 10 years, it must apply a fortiori when the period in question is more than two decades, as in the present case.

 

80.         As for other actions that were implemented by the authorities in the United States from the filing of the indictment to the opening of the extradition proceedings – these, too, do not come under “investigative actions” that are capable of tolling the running of the limitation period. They are actions by the American law enforcement authorities that were intended to lead to the implementation of the criminal proceeding by extraditing the Appellant to United States territory. These actions are not  “investigatory,” nor are they a “proceeding on behalf of the court,” both of which toll the running of the limitation period. The extradition proceeding that was initiated in 2007 might have halted the limitation period as a tolling event, had it not been initiated after two – and even more than two – cumulative limitation periods had lapsed, whereby the event that begins the counting is the date of filing the indictment, in 1985. In any event, a considerable part of the actions that were performed by the American administrative authorities in the Appellant’s case, even were they to be considered as investigative actions, were conducted after February 1995, i.e., after the first limitation period for the offenses had come to an end. Under these circumstances, these actions obviously could not extend a limitation period that had expired even before they were implemented.

 

81.         That set forth above indicates that the limitation period in criminal law, which began running on the date of perpetration of the offenses attributed to the accused, was tolled by the filing of the indictment against him, which followed the completion of the investigative actions. Starting on the date of the filing of the indictment, a new limitation period began to run. After the filing of the indictment, no additional investigative actions were implemented and no legal proceedings were conducted in the Appellant’s case – because no extradition proceedings against him were possible, due to the definition of “extraditable offenses” in the Convention at the time, which did not extend to the offenses in the indictment against the Appellant. All the measures taken by the United States authorities and by Interpol after the filing of the indictment – including the arrest warrants that were issued, some of which were canceled – did not constitute “investigative” measures that toll the running of the limitation period; rather, they were actions that were intended “to keep the Appellant’s case alive,” based on the expectation that, at some future time, his extradition would become possible, if and when the Convention was amended.

 

              The starting date for the running of the limitation period, in this case, following the completion of the investigative actions, therefore occurred on the date of the filing of the indictment against the Appellant in 1985. Since then, no tolling events have taken place. Meanwhile, more than two limitation periods of 10 years each have lapsed.

 

82.         Ostensibly, this conclusion would be sufficient to conclude this Appeal with the outcome that the charges in the indictment against the Appellant are subject to the statute of limitations pursuant to the laws of the State of Israel and that, accordingly, an exception to extradition exists, which prevents extradition under law, and the requirement for “double criminality,” which constitutes a precondition for extradition, is not fulfilled.

 

              However, the events that toll the running of the limitation period under Article 9 (C) of the Criminal Procedure Law have been supplemented, pursuant to the ruling rendered by the lower court, by additional tolling causes, one of which is a cause in case law, and the other is a statutory cause. These additional causes led the Court to the conclusion that the limitation period was halted due to an “inability to act,” until 2007. The first cause is drawn from general law and dictates the suspension of the limitation period in cases where an impediment in law or in fact precludes the exercise of criminal law. The second, statutory, cause concerns the tolling of the running of the limitation period by virtue of Article 94A of the Criminal Procedure Law, which deals with the suspension of criminal procedures in cases where an accused has evaded the law, until it is possible to bring him to the continuation of his trial and to resume the procedures against him.

 

              We shall discuss these cases, one after the other, and examine whether they are capable of tolling the running of the limitation period under Israeli law, in such a way as to rule out the existence of the exception based on the statute of limitations with regard to the Appellant’s extradition.

 

The principle of “inability to act” as a cause that tolls the running of the limitation period in criminal cases

 

83.         A detailed statutory arrangement is provided in the Statute of Limitations Law, 5718-1958 for the statute of limitations in causes of action under civil law. That law sets forth various situations in which the limitation period is tolled and then restarted: deception and fraud (Article 7); uninformed limitation (Article 8); admission of the existence of a right (Article 9); minority (Article 10); mental illness (Article 11); guardianship (Article 12); marriage (Article 13); an action that was denied (Article 15); time spent outside of Israel (Article 14); and the closure of the courts (Article 17).

 

84.         Unlike the statute of limitations under civil law, the statute of limitations in criminal cases, which is principally founded on Article 9 of the Criminal Procedure Law, does not have an all-inclusive arrangement, which takes into account various situations of impediment that prevent the law enforcement authority from acting for the promotion of the criminal proceeding, for the purpose of calculating the limitation period, over and above the three tolling actions which are specifically mentioned in Article 9 (C) of the Criminal Procedure Law.

 

85.         There is an opinion, which has been expressed in various contexts, that it is possible to supplement the statute of limitations arrangement, which appears in Article 9 (C) of the Criminal Procedure Law, and which deals with tolling events, through the application of a general principle, which has not yet been set forth in written law. According to that principle, in cases where the competent authority has no possibility of promoting criminal proceedings due to an impediment beyond its control, this will have the effect of tolling the limitation period, the counting of which will resume when the impediment is eliminated. Prof. Feller commented on this in his book:

 

“These are situations in which, whether by virtue of the law or by virtue of an uncontrollable event, the competent authorities have no possibility of conducting proceedings to promote the realization of criminal liability – in which there is no possibility of conducting an investigation or a trial, or of taking measures toward the enforcement of the penalty. The consideration of passivity on the part of the authorities, which did not do what was incumbent upon them to do at the proper time  to promote the criminal proceedings, including the proceedings for the enforcement of a penalty – a consideration that is included among the considerations for recognition of the statute of limitations as an exception to the realization of criminal liability - is not present in those situations. Therefore, the law requires that the limitation period be impeded for the interval of time throughout which the situation in question prevails. The statute of limitations does not work against those who are incapable of acting – contra non valentem agere non currit praescriptio” (Feller, Elements of the Penal Laws, at 640).

 

              This idea was mentioned in the Amitai Case, in which President Barak pointed out that, by contrast to the statute of limitations under civil law, no comprehensive arrangement governing the statute of limitations has been enacted in criminal law, and stated that, along with the statutory provision on limitations in Article 9 of the Criminal Procedure Law, general situations have been recognized in which the running of the limitation period in criminal cases is suspended:

 

“Unlike the statute of limitations under civil law – which is anchored in the Statute of Limitations Law, 5718-1958 – the Criminal Procedure Law contains no general provisions with regard to the laws governing the statute of limitations. It would be appropriate, in the future, to develop a general doctrine of limitation in criminal cases, in which it will be possible to draw inferences, in similar matters, from the civil laws governing the statute of limitations. Be that as it may, situations have been recognized in which the running of the limitation period is suspended. These include situations that, for one reason or another, preclude the possibility of conducting an investigation, filing an indictment or holding a proceeding on behalf of the court. The rule is that the statute of limitations is suspended against those who are incapable of acting: contra non valentem agere non currit praescriptio... A typical case in such situations is one in which a person is entitled to procedural immunity, which does not allow for an investigation or  filing an indictment and, in any event, also does not allow for a proceeding on behalf of the court. This, for example, is the situation with regard to the president of the state (see Article 14 of Basic Law: the president of the state). This is the situation with regard to a member of Knesset” (HCJ 3966/98, Amitai – Citizens for Proper Administration and Integrity v. Knesset Committee, IsrSC 52 (3) 529, 545 (1998)).

 

86.         Criminal law in Israel recognizes express statutory arrangements that toll the running of the limitation period due to an inability to act on the part of the authority. Arrangements are recognized that confer immunity upon officeholders, on whom criminal law cannot be enforced throughout their term in office (Basic Law: the President of the State; Immunity, Rights and Duties of Members of Knesset Law, 5711-1951; with regard to the statutory immunity to trial of the president of the state, see: HCJ 962/07, Liran v. Attorney General, paragraphs 26-49 (unpublished, April 1, 2007); HCJ 5699/07, Anonymous (A.) v. Attorney General, paragraphs 21-24 of the ruling rendered by Justice Levy (unpublished, February 26, 2008)). The Extradition Law itself also suspends the limitation period according to Israeli law for the purpose of hearing a petition for extradition if the person wanted for extradition is serving a sentence in Israel for another offense (Article 11 of the Extradition Law; see also: Article 41 of the Military Jurisdiction Law, 5715-1955).

 

87.         However, according to the position expressed by Prof. Feller, there is no need for a statutory provision to toll the running of the limitation period in criminal cases, when there is an impediment that prevents the authority from acting (Feller, Elements of the Penal Laws, at 642). The causes of impediment also include factual situations of force majeure, which prevent the state from acting to bring a suspect to trial for offenses. As he says:

 

“The statute of limitations does not act against a society, the organized strength of which is paralyzed; or at least, not at the level of realization of criminal liability, when it is not capable of enforcing its penal laws on those who have violated them” (id., loc. cit.)

 

              In this context, examples are cited that include the takeover of the state by a foreign power, the occurrence of natural disasters, which prevent the administration from acting, the long-term hospitalization of a person for mental illness, and the like. This approach is accompanied by a warning (id., at 643):

 

“Because these are factual situations, there is no possibility of drawing up an exhaustive list. It is, however, fitting and proper to consider them conscientiously, so as not to make a mockery of the statute of limitations, by defining any event or any factual obstacle that delayed the procedures as a cause for tolling the limitation period. Acting in such a way could eliminate the statute of limitations entirely. Only weighty factual situations, which paralyze the activity of the state mechanism as a whole, or with regard to a certain type of cases, and which cannot be overcome except by postponing the procedures – only such exceptional situations should be considered as causes for tolling limitation periods by the interval of time during which the mechanism was not capable of coping with them” (emphasis not in the original).

 

88.         The principle of the “inability to act” – whether under law or as the result of a factual situation in the realm of force majeure – has not been extensively applied in Israeli law, insofar as it transcends the express statutory arrangements in these matters. The reason for this is clear: the application of a general principle of this type, with no express arrangement under law, would mean giving law enforcement authorities the means to significantly expand the extent of the limitation period in criminal cases, while directly violating a person’s legitimate expectation not to be brought to trial following the lapsing of the statutory limitation period. The application of the principle of “inability to act” following the enactment of the Basic Law: Human Dignity and Liberty – which recognized the supreme status of the human right not to be arrested or imprisoned, and not to be extradited, other than in accordance with law, whereby the harm inflicted by said law complies with the tests of the limitation clause – is fraught with difficulties. There is an obvious difficulty in imposing a general theory of “inability to act” in order to toll the running of the limitation period, when that theory is not anchored in law, no clear criteria for imposing it have been formulated, it involves uncertainty and can be predicted only with difficulty and, in any event, it is prejudicial to the accused. I believe it is highly questionable whether the principle of “inability to act,” as an extra-statutory factor that tolls the limitation period in criminal cases, complies with the test of constitutionality in the limitation clause of the Basic Law, as long as that principle is not directly governed by law and its legality has not been examined on the merits. In this context, the question even arises as to how it is possible to reconcile the arrangement that governs the statute of limitations under civil law – regarding which, although it does not involve the violation of  human rights and liberty, the legislators listed each and every one of the causes for delaying the limitation period – with the arrangement that governs the statute of limitations under criminal law. The latter directly affects the human right to freedom from trial, for which causes for delay, which are not mentioned anywhere under law, have been claimed, although the application of such causes would constitute a real violation of an accused’s expectation of release from the fear of being brought to justice. Is it even conceivable, in a constitutional regime, to exercise a general and undefined principle that is not anchored in law, in order to significantly expand the limitation period in criminal cases, while thereby directly harming the suspect or the accused?

 

89.         What ever the answer to this question may be – and we are not required to answer it in this case – the circumstances of the Appellant’s case do not constitute an “inability to act,” either under law, by virtue of the facts, or by virtue of force majeure, and are, therefore, not capable of tolling the running of the limitation period in order to bring him to trial before a criminal court or to extradite him. This is certainly the case when the general principle of “inability to act” is implied by way of the narrow interpretation required by its inherent violation of the right of suspects and accuseds not to be subjected to the “sword of Damocles” of criminal procedures for periods longer than the limitation period, as the latter is defined in Article 9 of the Criminal Procedure Law, including the events defined therein as tolling events.

 

90.         What is the nature of the true impediment in this case, which caused the criminal proceedings against the Appellant to be frozen for 22 years, since the filing of the indictment against him? The direct and clear answer to this is the phrasing of the Convention of Extradition between the United States and Israel, in which, prior to its amendment, the definition of “extraditable offenses” did not include the offenses in the indictment against the Appellant.

 

91.         As set forth above, pursuant to the Extradition Law, one of the preconditions for the extradition of a wanted person from Israel to the requesting country is that the person must have been charged or convicted in the requesting country of an “extraditable offense” (Article 2A (A) (2) of the Extradition Law). The Extradition Law, in its original format, dating from 1954, and following the amendment thereto in 2001, provided a broad definition of the term “extraditable offenses,” thereby creating a general framework of offenses from which the signatory states were required to select the specific “extraditable offenses” and to define them in an agreement between them for the extradition of offenders. Throughout the entire effective period of the Extradition Law, the definition of “extraditable offenses” thereunder included the offenses in the indictment against the Appellant.

 

              The Convention of Extradition between Israel and the United States is the only thing that gave rise to a legal impediment that precluded the extradition of the Appellant, until 2007. Under Article 2 of the Extradition Law in its original version, an extraditable offense was any offense that “is not of a diplomatic nature and which, had it been committed in Israel, would have been one of the offenses included in the Addendum to this Law.” Pursuant to the Addendum to the Law, any offense for which it was possible to impose the death penalty or imprisonment for a period greater than three years was considered an extraditable offense (subject to exceptions that are not relevant to this case; Article (A) of the Addendum). Also considered as extraditable offenses were specific offenses pursuant to the Amendment to the Penal Code Law (Bribery Offenses), 5712-1952, and pursuant to the Criminal Law Ordinance, 1936, which were expressly listed in the Addendum, although the penalties therefor are lighter than those set forth above (Article (B) of the Addendum). Because the sexual offenses attributed to the Appellant are offenses for which the maximum penalty set forth in the Penal Law is more than three years’ imprisonment (for example, the penalty prescribed for an act of sodomy is 14 years’ imprisonment), the offenses in the indictment against the Appellant, even according to the original version of the Extradition Law, were considered “extraditable offenses” under that Law. This situation remained unchanged following the amendment of the Extradition Law in 2001, when the Addendum to the Law was rescinded and the definition of an “extraditable offense” was rephrased as “any offense which, had it been committed in Israel, would be punishable by one year’s imprisonment or a more severe sentence.” The only impediment to the extradition of the Appellant, throughout the years, lay in the phrasing of the Convention of Extradition between Israel and the United States, which, until the Amending Protocol went into effect in 2007, included a list of only about 30 offenses for which extradition was possible. These included the offense of rape, but did not include the offense of sodomy.

 

              The definition of “extraditable offenses” in the version of the Convention of Extradition between the United States and Israel that was valid until 2007 therefore did not include the offenses in the indictment against the Appellant. For this reason, the United States did not file a formal request for extradition with the Israeli authorities until the Convention was amended, and Israel, for its part, did not comply with the request by the United States in 1985 to arrest the Appellant. Both parties recognized the fact that the Convention, in its format at the time, and as long as it remained unamended, did not fulfill a substantive condition for the extradition of the Appellant to the United States.

 

92.         For the purposes of this case, it may be assumed that the 1988 amendment to Israel’s Penal Law did not change the legal situation, whereby it was still not possible to extradite the Appellant to the United States, as long as the definition of “extraditable offenses” in the Convention had not been amended. The aforesaid amendment did not establish complete equivalency between offenses of sodomy and offenses of rape, and as long as offenses of sodomy were not included among the “extraditable offenses” pursuant to the Convention, the impediment to extradition remained in force.

 

              Only in 2007 did the Amendment to the Convention go into effect, thereby comprehensively changing the definition of “extraditable offenses” in the Convention to include, from that time forth, the offense of sodomy. From that point onward, the path had ostensibly been cleared for the extradition of the Appellant to the United States, with regard to the classification of the offenses in the indictment against the Appellant as “extraditable offenses.”

 

93.         As shown by the circumstances described above, no amendment to the Extradition Law was required in order to include the offenses in the indictment against the Appellant within the set of “extraditable offenses” pursuant to the Law. All that was needed, in order to make the extradition possible, was an amendment to the Convention of Extradition, so as to change the definition of an “extraditable offense” therein. Does the impediment to extraditing the Appellant pursuant to the Convention, prior to its amendment, constitute a recognized cause, by virtue of general law, which is capable of tolling the running of the limitation period in criminal cases and restarting it as of the Amendment to the Convention in 2007? The obvious answer to this question is in the negative.

 

94.         The governments of the United States and Israel are sovereign governments, which have the ability and the power to formulate extradition agreements between them, and to modify and amend such agreements as required and dictated by the reality of life. Modifications and amendments to extradition agreements are implemented by the relevant governments, and those governments do not depend on any other entity for that purpose. Furthermore, in this case, no argument has been raised, or even alluded to, with regard to the existence of any objective impediment that kept the governments from amending the Convention prior to 2007. The Amendment to the Convention of Extradition between Israel and the United States, for the purpose of expanding the definition of “extraditable offenses,” which was enacted in 2007, could have been enacted at a much earlier stage, and even within the limitation period of 10 years, which applies in Israel to criminal cases, as soon as the countries involved realized that offenses of sodomy – which are considered grave crimes – were not included in the definition of “extraditable offenses” in the Convention. It is difficult to attribute to the governments of Israel and the United States any “inability to act” that tolls the limitation period, when the ability, the power and the authority to eliminate the impediment, by means of a proper amendment to the Convention of Extradition, were in their hands, and in their hands alone. Let us imagine that the countries that were parties to the Convention in question had decided to amend it 50 years after the date the indictment was filed against the Appellant. Would anyone have dared to argue that the limitation period was tolled for 50 years due to “inability to act,” and that it would be possible to extradite the wanted person, as an elderly man, half a century after the filing of the indictment against him? Even the 22-year period that elapsed between the filing of the indictment against the Appellant and the filing of the request for extradition cannot be reconciled with the existence of an “inability to act” pursuant to “the law of the Convention” – which is basically a law of a contractual nature, which was created according to the wishes of the counties and could be changed according to their wishes. Furthermore, it was not argued that any “factual impediment” or impediment of the “force majeure” type existed, which could have explained or excused the passage of nearly a quarter of a century, which elapsed between the date of filing of the indictment and the initiation of the extradition proceedings in this case.

 

              The laws governing the statute of limitations in criminal cases in the Israeli legal system, in combination with the constitutional concept of the right of the accused to a fair criminal proceeding under criminal law, cannot be reconciled with a delay of this type as a recognized cause for tolling the limitation period.

 

95.         The ruling by the lower court also implies that an “inability to act” may also exist by virtue of the very fact that the person wanted for extradition fled from the requesting country to the requested country, and by virtue of the need to initiate extradition proceedings against him. I do not accept this argument as an “inability to act” which is capable of tolling the running of the limitation period. Extradition laws and extradition proceedings, by their very nature, are based on the initial assumption that the wanted person does not make himself available to the requesting country, and that he even flees beyond its borders and moves to the requested country since, otherwise, no extradition proceedings would be necessary. Extradition proceedings, by their very nature, are founded on the assumption that the wanted person perpetrated offenses in the territory of the requesting country and fled to the requested country. Against the background of that assumption, the laws of extradition state that no person shall be extradited from Israel if the offenses attributed to him have expired pursuant to the laws of the State of Israel. This exception to extradition rests on the assumption that the wanted person, who is residing in Israel, is not available for legal proceedings in the requesting country. Had this reality, in and of itself, been sufficient to constitute an “inability to act,” which tolls the running of the limitation period, the exception to extradition, which is founded on the statute of limitations, would have been rendered utterly devoid of any content whatsoever. The fact that the wanted person fled beyond the borders of the requesting country, where he had committed the offenses, is not an “inability to act” that is capable of tolling the running of the limitation period in criminal cases, according to Israeli law. The situation is different with regard to a wanted person who flees from an extradition proceeding that is being conducted in Israel; the latter, under certain circumstances, may constitute such an impediment, under Article 94A of the Criminal Procedure Law, which will be discussed below.

 

              I would therefore reject the reasoning of “inability to act” as a cause, by virtue of a general legal principle, that tolls the running of the limitation period in the Appellant’s case.

 

The tolling of the limitation period pursuant to Article 94A of the Criminal Procedure Law

 

96.         In 1995, a provision was added to the Criminal Procedure Law with regard to the “suspension of proceedings.” According to that provision, at any time after an indictment is filed and before sentencing, the court may suspend criminal proceedings, if it learns that the accused can not be brought for the continuation of his trial. The same provision established that there would be no impediment to the resumption of the trial, even if the limitation period in criminal cases has expired, as long as the reason for the suspension of the procedures resulted from the accused having evaded the law. The wording of the provision is as follows:

 

Suspension of procedures

94A. (A) At any time after the filing of an indictment and before sentencing, the court may suspend the proceedings, whether at its own initiative or at the request of a prosecutor, if it learns that the accused can not be brought for the continuation of his trial.

 

(B) If the procedures are suspended pursuant to subsection (A), and it later becomes possible to bring the accused for the continuation of his trial, the prosecutor may notify the Court in writing of his wish to resume the proceedings, and once he has done so, the court shall resume the proceedings, and may continue them from the stage it had reached prior to the suspension thereof.

 

(C) Notwithstanding the provisions of Article 9, the proceedings may resume with the approval of the attorney general, for reasons that shall be recorded, even if the periods set forth in Article 9 have elapsed, between the date of suspension of the proceedings and the date on which  the accused can be brought for continuation of his trial, provided that the proceedings were suspended because the accused evaded the law.”

 

97.         In the explanatory note to the bill, the need for the aforesaid legislation was explained as follows:

 

“It is proposed to determine a new proceeding for the suspension of proceedings, pursuant to which the court, as long as it has not sentenced an accused, will be able to suspend a criminal proceeding at the request of a litigant, when it is not possible to locate the accused. This suspension will not constitute the acquittal of the accused.

 

It is further proposed to establish a provision with an exception to the existing provisions in Article 9 of the Law regarding the lapsing of the limitation period for an offense under the statute of limitations, and to determine that the period between the suspension of the proceeding and the date on which it is possible to request its resumption will not be taken into account in the limitation period. This is because the absence of an accused from his trial constitutes improper behavior on the part of the accused, and there is no justification for his benefiting therefrom” (Explanatory note to the Criminal Procedure Bill (Amendment No. 16) 5753-1993, 274, 277).

 

              Article 94A of the Criminal Procedure Law is designed to address, inter alia, situations in which it is difficult to locate accused persons who evade the law and do not appear at hearings in the course of their trial (see also: Attorney General’s Guideline No. 4.3011 (2001), “Suspension of proceedings due to the impossibility of locating a defendant”

(http://www.justice.gov.il/NR/rdonlyres/8C1711F7-0FD8-4639-B1AA-36A0C03C8CBD/0/43011.pdf).

 

98.         Might this provision constitute a factor that tolls the running of the limitation period that applies to the offenses attributed to the Appellant in this case? My answer to this question is in the negative, for the reasons set forth below:

 

              The provision in Article 94A of the Criminal Procedure Law is meant to provide a response, in domestic law, to a situation in which an indictment is filed against an accused in Israel and it is not possible to bring him for the continuation of his trial, for various reasons, inter alia, due to his having evaded the law. As such, it becomes necessary to suspend the legal proceedings. Under these circumstances of evasion of the law, the suspension period for the proceedings does not detract from the possibility of resuming the legal proceedings even if the limitation period has expired for the offenses that are the object of the criminal proceeding. The meaning of this provision is that, within the framework of criminal law enforcement in Israel, evasion of the law by an accused will not prevent the resumption of the proceedings, even if the limitation period for the offenses that are the object of the proceeding has lapsed in the meantime. The rationale for this is that anyone who evades the law is not entitled to benefit from the statute of limitations and, therefore, the suspension of proceedings that was caused by his fleeing will not prevent the resumption of the proceedings even if the limitation period for the offenses has lapsed in the meantime. Article 94A expressly refers to Article 9 of the Criminal Procedure Law, which is the article governing the statute of limitations in criminal cases, whereby Article 9 (D) applies the principle of the statute of limitations in criminal cases, and the causes for tolling the running of the limitation period, to extradition proceedings as well.

 

99.         What is the significance of the connection between the provisions of Article 94A with regard to suspending proceedings and delaying the limitation period as a result of the accused’s evasion of the law, and the rules governing the statute of limitations in criminal cases in Article 9, which are also applied to extradition proceedings? Can it be said, for the purposes of extradition, that a wanted person’s evasion of the law in the requesting country is equivalent to evasion of the law in Israel for the purpose of the applicability of a cause for delaying the limitation period pursuant to this provision? Or, on the other hand, should it be said that the provision applies only to flight from proceedings that are under way in Israel, including extradition proceedings that are initiated in Israel? The proper interpretation of these combined provisions is as follows: the legal provision that governs the delaying of the limitation period due to the “suspension of proceedings,” as set forth in Article 94A of the Criminal Procedure Law, refers solely and exclusively to evasion of the law by an accused, with regard to proceedings that are under way in Israel – either criminal proceedings or extradition proceedings held before an Israeli court. This provision cannot be exercised with regard to evasion of the law by an accused who has fled from the country requesting his extradition, as long as he is available for the extradition proceeding in Israel and has not fled from Israel as well. The laws governing the statute of limitations, as set forth in Article 9 of the Criminal Procedure Law, cannot be circumvented by the creation of a fiction, whereby evasion of the law in the requesting country is equivalent to evasion of the law in Israel and, therefore, the filing of an indictment in the requesting country and the flight from that country by the accused should be deemed to have fulfilled, by way of analogy, the conditions set forth in Article 94A, which enable the holding of extradition proceedings even after the limitation period has lapsed under Israeli law. Giving such an interpretation to the provisions of Article 94A, whereby the data that exist in the requesting country (i.e., the filing of an indictment and the evasion of the law in that country by the accused) are implanted into that provision for the purpose of extradition, renders the Israeli statute of limitations exception devoid of any content whatsoever. After all, with regard to extradition, the person involved will always have evaded the law in the requesting country and the indictment will always have been filed against him there. If these data are interpreted as tolling the running of the limitation period under Israeli law, the exception based on the statute of limitations loses all of its real content and substance.

 

              There will be those who ask: if that is the case, what is the validity of Article 94A with regard to extradition? The answer is that it applies to situations in which an accused has fled from Israeli law, when an extradition proceeding has been initiated against him in Israel. In such a situation, the proceeding may be suspended, and the suspension period will not be taken into account for purposes of the statute of limitations – provided that, on the opening date of the extradition proceeding, the limitation period for the offenses that are the object of the extradition has not yet expired.

 

100.       An attempt was made, in the ruling rendered by the lower court, to create a construction, whereby a “data conversion” technique would be used in applying Article 94A of the Criminal Procedure Law to the extradition proceeding before us. This technique refers to the replacement of the actual circumstances that occurred outside Israel, in corresponding hypothetical Israeli circumstances, while assimilating the data that actually occurred in the other country into corresponding hypothetical data in Israel (Further Criminal Hearing 2980/84, Avico v. State of Israel, IsrSC 60 (4) 34, 45 (2005); Further Criminal Hearing 532/93, Manning v. Attorney General, IsrSC 47 (4) 25, 35 (1993); Efrat Case, paragraph 7). In the Efrat Case, Justice Vogelman referred to the “data conversion” technique in a similar context. He stated as follows:

 

“In order to provide a response to the question of whether the limitation period for the offense has expired under Israeli law, we must accordingly perform a ‘data conversion’ procedure, “by replacing ‘the actual factual circumstances [which took place outside Israel] with corresponding, hypothetical Israeli circumstances’ ” ... This conversion will be conducted against the background of the reason underlying the legal rule. ...

 

    Under the law of the State of California, the aforementioned question does not arise. The laws governing the statute of limitations apply only up to the filing of an indictment, and not thereafter. In other words, the public interest prevails in any case where an accused has evaded the law, and no additional action involving the exercise of discretion is required. We should further note that, in the case before us, an arrest warrant was issued against the Appellant and is still valid, and the investigative efforts continued over the years, until he was located. These facts indicate the repeatedly expressed position of the law enforcement authorities in the United States with regard to the interest in bringing the Appellant to justice, notwithstanding the passage of time. We will convert these data to Israeli law, and we will find that, had the event taken place in Israel, then, in light of the gravity of the offenses of which the Appellant was convicted, his evasion of the law, and the continuation of the search for him over the years, the proceedings would have been suspended and then resumed when the accused was located, pursuant to Article 94A of the Criminal Procedure Law. ...

 

    Once we have found that, had the Appellant been convicted in Israel of two counts of rape, and had he escaped the fear of justice, the legal proceedings against him would have been suspended, and would have been resumed upon his capture, the conclusion is that, in light of the provisions of Article 94A of the Criminal Procedure Law, the offenses perpetrated by the Appellant did not expire under Israeli law, as was – rightly – ruled by the District Court” (Efrat Case, paragraph 7; emphases not in the original).

 

              The exercise of the “data conversion” technique, by way of a hypothetical application of Article 94A of the Criminal Procedure Law to the filing of an indictment in the requesting country and the evasion of the law by the accused in the country requesting extradition – in contrast to his evasion of a criminal proceeding (including an extradition proceeding) that is being conducted against him in Israel – and the application of this hypothesis as a factor that tolls the running of the limitation period under Israeli law, seems to me to be fraught with difficulties.

 

101.       Extradition laws under the Israeli legal system – including the exceptions to extradition, which, in turn, include the lapsing of the limitation period – are not affected by the fact that an accused fled from the territory of the requesting country. As a general rule, such flight is the motive for the extradition request. The fact that the wanted person fled from the territory of the requesting country does not affect the applicability of the laws governing Israel’s statute of limitations. Israel is obligated to examine whether, according to its own laws, the limitation periods for the offenses in the indictment had expired at the time of filing the request for extradition. Accepting the theory of “data conversion” for the purposes of the statute of limitations would mean that, in any case in which a wanted person flees from the requesting country to Israel, and an indictment is filed against him there, the limitation period would be tolled under Israeli law, and it would be possible to initiate extradition proceedings with no time limitation, in the spirit of the provisions of Article 94A of the Criminal Procedure Law – but this is not the case. Such an approach would render the exception of the limitation period under Israeli law, which prevents extradition under the Extradition Law, meaningless. It would enable the law enforcement authorities in the convention member states to tarry endlessly in initiating extradition proceedings, on the basis of the mistaken assumption that, notwithstanding the exception of the limitation period in the Extradition Law, the limitation period in force in Israel, for the purpose of extradition, is unlimited in time, merely because the wanted person fled from the requesting country – a typical and natural phenomenon in any extradition proceedings. It must not be assumed that the Extradition Law and the Criminal Procedure Law intended to give the state such freedom of action, from the standpoint of the protracted period of time involved. Moreover, such an interpretation is not reconcilable with the existence of the exception of the limitation period, which rules out extradition under the Extradition Law. The purposive interpretation leads to the obvious outcome that the applicability of Article 94A of the Criminal Procedure Law was intended for the purpose of domestic law within Israel, and for that purpose only, and that it is not possible to adopt an interpretive procedure of “data conversion” with regard thereto, by viewing the filing of an indictment in the requesting country and the flight by the wanted person from that country as if they had taken place in Israel, for the purpose of delaying the running of the limitation period. “Data conversion” in the proposed manner is not consistent with the determination of an independent exception of limitation under Israeli law, as a factor that prevents extradition, which requires examination of the internal Israeli experience, for the purposes of determining when the offenses attributed to the wanted person expire according to the concepts of the Israeli legal system. The answer to this question is given in Article 9 of the Criminal Procedure Law, which defines the limitation period for the offenses in question and the series of actions that may impede the running of the limitation period. An additional reason for delay is set forth in Article 94A of the Criminal Procedure Law – when the accused evades a legal proceeding that is being conducted against him in Israel (including an extradition proceeding). Another cause for tolling the running of the limitation period is the cause set forth under the circumstances mentioned in Article 11 of the Extradition Law, when  the extradition proceeding is delayed because the wanted person is in the process of being tried in Israel, or is serving a sentence in Israel, for another offense. The factor of the limitation period is, therefore, examined according to all the relevant data that exist in Israel, with no need for the “data conversion” theory in this context. As Bassiouni states in his book:

 

“The question of whether the offense exists and is prosecutable goes to the requirement of whether an extraditable offense exists, and if so, whether double criminality is satisfied; …

 

The manner in which the treaty or national law provision is applied varies from country to country. The requested country may consider the case as if the offense had been committed in the requested country and apply its own statute of limitation to determine whether prosecution would be barred. If so, extradition will be refused” (Bassiouni, at 769; emphases not in the original).

 

102.       Hence, if an accused evades the law in internal legal proceedings in Israel (including extradition proceedings that are being conducted in Israel), it is possible to apply the provisions of Article 94A of the Criminal Procedure Law and, subsequently, by resuming the procedures, including extradition proceedings, to overcome the limitation period that has lapsed. This is not the case when the accused did not evade the law in Israel and was available for the purposes of the extradition proceeding, both to the enforcement authorities in Israel and to the American authorities, for the purpose of filing the request for extradition. The fact that the wanted person escaped from the requesting country should not affect the domestic laws that apply to the statute of limitations in the requested country.

 

103.       It should be noted that the Convention of Extradition between Israel and the United States also specifies that the lapsing of the limitation period, according to the laws of the party receiving the request, also blocks extradition, as if the offense had been committed within its own territory. Thus, Article 6 of the original version of the Convention set forth various circumstances under which extradition would be excluded. One of said circumstances applies in cases where:

 

“The criminal action or the enforcement of the sentence for the offense was blocked due to the lapsing of the  limitation period, according to the laws of the requesting party, or would have been blocked due to the lapsing of the  limitation period,  according to the laws of the party receiving the request, had the offense been committed in its national territory” (Article 6.3 of the original version of the Convention; emphasis not in the original).

 

              In the 2007 Amendment to the Convention, Article 6 was canceled and an additional Article 8 was inserted, with the heading “The passage of time.” The article specifies that a state receiving a request for extradition may deny it in cases where, had the offense subject to extradition been committed in its territory, the statute of limitations would apply, according to its laws, to the wanted person’s trial or to his sentence.

 

              Hence, both before and after the Amendment, the Convention considered the lapsing of the limitation period under the laws of the requested country as a barrier to extradition. In order to examine whether the statute of limitations applies under the laws of the requested country, the elements of the offense are transposed, in a hypothetical manner, from the requesting country to Israeli territory, and the question is whether, assuming that the offense had been committed in Israel, it would have been subject to the statute of limitations under Israeli law. The wanted person’s escape from the requesting country is not transposed from the context of the requesting country to the context of the requested country, within the context of the statute of limitations. The wanted person’s escape from the requesting country is external to the offense and is not included among its constituent elements. Accordingly, the evasion of the law is relevant to the statute of limitations under Israeli law only when it actually takes place in Israel, and this, in the present case, refers to the evasion of extradition proceedings, which are under way in Israel. On the other hand, the wanted person’s flight from the requesting country, in and of itself, neither adds nor detracts in this regard.

 

104.       In this case, the Appellant left the United States in November 1984 and did not return, nor has he made himself available to the United States authorities since then. He may be considered a fugitive from justice in the requesting country – the United States. However, he cannot be considered a fugitive from justice vis-à-vis the Israeli authorities, whether for the purpose of his trial before a criminal court in Israel or for the purpose of the proceeding for his extradition to the United States. Throughout all those years, the Appellant lived in Israel, and his identity and place of residence were known to, and were not concealed from, the authorities. He was within reach of the Israeli law enforcement authorities all the time for the purposes of the extradition proceedings. He cannot be deemed a fugitive from justice with regard to the extradition proceedings, or with regard to other proceedings that might have been initiated against him in Israel. Therefore, the provisions of Article 94A of the Criminal Procedure Law do not in any way apply to this case. The fact that he evaded the law in the United States, as set forth above, neither adds nor detracts with regard to the matter before us.

 

105.       It should be noted that the circumstances in the Efrat Case were completely different from those of the matter before us, because the person for whom extradition was sought in that case – who had been convicted in the United States and had disappeared before being sentenced – evaded the law in Israel as well, and not only in the requesting country. Moreover, he was located for the first time only about six months before the request to extradite him was filed, after having been in hiding, throughout those years, under an assumed name, and after the investigative efforts in the United States had continued throughout the years until he was located (see: id., inter alia in paragraphs 1, 7 and 12). The statements cited above with regard to the application of the “data conversion” technique to that case were, therefore, made against the background of an entirely different context.

 

106.       Parenthetically, and although it is not strictly necessary, it should be noted that the attempt to utilize the provisions of Article 94A of the Criminal Procedure Law encounters further difficulties, each of which alone, and certainly all of which together, rule out any possibility of relying on it as a means of overcoming the lapsed limitation period in the Appellant’s case.

 

              First, the provisions of Article 94A were enacted in 1995, after the first limitation period in the Appellant’s case had lapsed. As such, the enactment of said provisions, following the lapsing of the limitation period, did not revive offenses for which the limitation period had lapsed before the provisions went into effect. The active effect of the provisions in question applies to all the issues for which the limitation period has not yet lapsed, and this is not one of those issues. The point raised above, whereby the limitation periods for offenses attributed to the Appellant had not lapsed prior to Article 94A of the Criminal Procedure Law going into effect due to an “inability to act,” which resulted from the content of the Convention prior to its amendment, cannot be accepted, for the reasons set forth above. Nor is it possible to accept – again, for the reasons listed above – the argument that the issuance of the Red Notice by Interpol had the effect of delaying the running of the limitation period, pursuant to Article 9 (C) of the Criminal Procedure Law, and that, accordingly, the limitation periods for the offenses in the indictment had not yet lapsed at the time of enactment of Article 94A.

 

              Second, Article 94A discusses the suspension of legal proceedings by the Court when it is not possible to bring the accused to justice. The provision discusses the suspension of legal proceedings and their resumption for the purpose of bringing the accused “for the continuation of his trial.” Under the circumstances before us, no legal proceeding, for which “resumption” is ostensibly now being sought, has taken place in the Appellant’s case. In the past, preliminary measures were taken by the United States government, with a view to extraditing the Appellant. These measures remained fruitless and did not give rise to legal proceedings, up to the date of the Amendment to the Convention in 2007. For the difficulty in viewing this situation as the “continuation of a trial” that ostensibly began after the reading of the indictment and was interrupted as a result of the accused’s evasion of the law, see: Criminal Appeal 4690/94, Avi Yitzhak v. Justice Tzemach, IsrSC 48(5) 70, 85 (1994); Article 143 of the Criminal Procedure Law; Criminal Appeal 1523/05, Anonymous v. State of Israel (unpublished, March 2, 2006), hereinafter: the Anonymous Case 3; and cf. Criminal File 60/94 (Tel Aviv District Court), State of Israel v. Gil (unpublished, November 30, 1995). The circumstances of this case are also not consistent with the specific conditions for the application of Article 94A of the Criminal Procedure Law, and it cannot be viewed as a source that might  give rise to the tolling of the limitation period in the Appellant’s case.

 

Summary on the question of expiry under the statute of limitations

 

107.       On the basis of all the above, the obvious conclusion is that the Appellant’s extradition to the United States is subject to the exception of the limitation period under the laws of the State of Israel. Two cumulative limitation periods, plus an additional two years, have lapsed in the Appellant’s case since the date of filing of the indictment against him in 1985. Under criminal law, the limitation periods must be counted from that time until the opening date of the extradition proceedings in 2007. I believe that no circumstances that toll the running of the limitation period have occurred in the Appellant’s case – whether according to various statutory alternatives pursuant to Article 9 of the Criminal Procedure Law and Article 94A of the Criminal Procedure Law, or according to a general principle pertaining to an “inability to act,” as argued.

 

An exception to extradition for reasons of “public policy”

 violation

 

108.       Even if there were no exception regarding the limitation period which prevented the Appellant’s extradition, I believe that it would be possible to rule out his extradition to the United States for reasons of “public policy” in Israel, due to the fact that 23 years have elapsed between the time the offenses attributed to the Appellant were committed and the extradition proceedings in his case were initiated in 2007; while the Appellant was within reach of the Israeli enforcement authorities throughout that entire time, his location in Israel was not concealed, and the governments of the United States and Israel had the possibility of amending the Convention and bringing about his extradition many years before it was actually done.

 

109.       One of the exceptions to extradition, pursuant to the Extradition Law, states that a person shall not be extradited to a requesting country if the extradition might  violate “public policy.” In the words of the Law:

 

Exceptions to extradition

2B. (A) A wanted person shall not be extradited to the requesting country in any of the following cases:

...

(8) If compliance with the request for extradition might violate public policy or an essential interest of the State of Israel.

 

              The idea embodied in this provision is intended to prevent the extradition of a wanted person from Israel to the requesting country, when the act of extradition might violate “public policy,” as this term is used within the generally accepted framework of social and legal concepts in Israeli society. The principle of “public policy” encompasses the entire realm of law, including all its branches; in view of its nature as an “open fabric,” it embodies various types of content, according to the subject and context of the matter to which it refers. “Public policy” is a supreme principle, which reflects basic values and value-related concepts of the legal system and the social order, indicating the proper mode of conduct for Israeli society in a wide variety of contexts. The concept of “public policy” has become established as an exception to extradition in cases where, under the circumstances of a particular case, extradition may conflict with recognized legal and social principles in Israel’s legal system. The concept of “public policy” extends to the entire Extradition Law (Further Criminal Hearing 612/00, Berger v. Attorney General, IsrSC 55 (5) 439, 459 (2001), hereinafter: the Berger Case). It is “a supreme principle, an umbrella principle with regard to the extradition or non-extradition of a certain person from Israel into the hands of a requesting country” (Criminal Appeal 2521/03, Sirkis v. State of Israel, IsrSC 57 (6) 337, 346 (2003), hereinafter: the Sirkis Case). It has been said, for good reason, that many of the interests related to Extradition Law may be gathered under the wings of this principle (Rosenstein Case, paragraph 52; Criminal Appeal 8010/07, Haziza v. State of Israel, paragraph 68 (unpublished, May 13, 2009), hereinafter: the Haziza Case).

 

110.       The significance and importance of the principle of “public policy” within the extradition laws have been acknowledged by this Court in a broad range of consistent case law. “It is a universal doctrine that a person shall not be extradited if the act of extradition violates the public policy of the extraditing state” (Bazaq Case, at 300). This doctrine concerns the “basic principles, profound outlooks and supreme interests of society and the state – principles, outlooks and interests that are so fundamental and so basic as to be worthy of taking priority over an act of extradition” (Sirkis Case, at 346; Yagodyev Case, at 585; Rosenstein Case, paragraph 52; HCJ 1175/06, Israel Law Center v. Minister of Justice (unpublished, February 13, 2006); cf. Eshkar Case, at 653). The principle of “public policy” shelters beneath its wings various values, the common factor being their place at the very crux of the foundations of Israel’s legal system. One of these values is the basic right of a person accused of criminal charges to a fair criminal proceeding. Also  encompassed within this right is the doctrine of “abuse of process”, which has developed in recent generations and has increased the strength of the defense of an accused’s right to a proper criminal trial (Haziza Case, paragraph 69; Efrat Case, paragraph 12). These values are implemented, according to Israel’s legal system, even with regard to the gravest crimes attributed to a person accused of criminal offenses.

 

The right to a fair criminal proceeding under criminal law

 

111.       A person’s right to a fair criminal proceeding under criminal law has been recognized as derived from his basic right to liberty and dignity. As such, it benefits from a supreme legal status. “The Basic Law fortified the accused’s right to a fair criminal proceeding. It did so by virtue of Article 5 of the Basic Law, in which a person’s right to liberty was established, and by virtue of the constitutional recognition of human dignity, of which the right of an accused to a fair criminal proceeding is a part” (Criminal Appeal 1741/99, Yosef v. State of Israel, IsrSC 53 (4) 750, 767 (1999); Retrial 3032/99, Baranes v. State of Israel, IsrSC 56 (3) 354, 375 (2002); HCJ 11339/05, State of Israel v. Be’er-Sheva District Court, paragraphs 24-25 of the ruling rendered by Justice Levy (unpublished, October 8, 2006)). A substantive violation of the right to a fair criminal proceeding may be tantamount to a substantive violation of the constitutional right to liberty and human dignity. This was pointed out by President Beinisch, who stated:

“Many authorities are of the opinion that when the Basic Law: Human Dignity and Liberty was enacted, the right to a fair criminal proceeding obtained a constitutional super-legislative status. This position makes much sense. An illegal violation of the right to a fair criminal proceeding in criminal proceedings may violate the constitutional right of the accused to liberty under s. 5 of the Basic Law. It may also harm the accused’s self-image and give him a feeling of degradation and helplessness, as if he is a plaything in the hands of others, to the extent of a violation of his constitutional right to dignity under ss. 2 and 4 of the Basic Law … In the case before us, we do not need to decide the question whether the right to a fair criminal proceeding and the specific rights derived therefrom have acquired a constitutional status for their whole scope. We can rely merely on the ruling that was recently confirmed in the case law of this court with an expanded panel of eleven justices, according to which ‘… in appropriate circumstances, a substantial violation of the right to a fair criminal proceeding will amount to a violation of the constitutional right to human dignity (see HCJ 1661/05 Gaza Coast Loval Council v. Knesset (not yet published), at para. 173; emphasis supplied – D.B)” (Criminal Appeal 5121/98, Issacharov v. Chief Military Prosecutor, paragraph 67 (unpublished, May 4, 2006)).

 

112.       The right to a fair and proper criminal trial applies to every accused, with regard to every offense, and in the context of all stages of criminal proceedings, including extradition proceedings. The expressions and characteristics of the right to a fair criminal trial are varied and multifaceted:

 

“The right to a fair criminal proceeding is a right with many aspects. Various principles contribute to securing it. The upholding of those principles ‘is a safety factor of supreme importance in doing substantive justice and safeguarding the rights of suspects, defendants and witnesses in criminal proceedings’ (HCJ 6319/95, Hakhami v. Levy, IsrSC 51 (3) 750, 755). Their role is to balance the unequal power relationship between the accused and the prosecution, which ordinarily benefits from a superior procedural status and from additional advantages, and to ensure that the accused is given a full opportunity to present a version of innocence and to act to prove it. ...

 

The right to a fair criminal proceeding also extends over the laws of extradition. Its expressions, as indicated in the Extradition Law, are many: the principle that precludes ‘double jeopardy’; the prohibition against extraditing a person for political or discriminatory reasons; the requirement for the presentation of prima facie evidence; the return to Israel of Israelis who were convicted abroad in order to serve their sentences; and the prohibition against extraditing a person to a country in which he would be executed, unless he would have been so punished in Israel. These principles are also anchored in extradition conventions, including the Convention between the United States and Israel (see Articles 5 and 6 of the Convention)” (Rosenstein Case, paragraphs 53-54).

 

113.       The right of an accused in a criminal case to a fair criminal proceeding also encompasses the expectation that he will not suffer a delay in justice. This means, inter alia, that he will not be subjected to the “sword of Damocles” represented by the opening of criminal proceedings against him for many years, and that, once a criminal proceeding has been initiated against him, it will be completed within a reasonable amount of time:

 

“An accused is entitled not to be placed in a protracted situation involving a delay of justice. This is a substantive right, and the efficient and rapid conducting of the proceedings contributes to its realization. The right not to be subjected to a delay of justice, along with other rights available to the accused, find shelter within the sound structure of the right to a fair criminal proceeding. The exercise of the right not to be subjected to a delay of justice is an essential component, albeit not a sufficient one, in realizing the right of the accused to a fair criminal proceeding...” (Anonymous Case 3, paragraph 22 of the ruling rendered by Justice Arbel).

 

114.       Assimilating the “public policy” principle in Israel into the laws and conventions of extradition requires a complex and cautious balancing act. The laws of extradition are designed to promote the important objectives of enforcing criminal law on offenders who are not within the reach of the requesting country, in which they committed their offenses. They are intended to foster cooperation between countries in the war on international crime which, in turn, requires reciprocity among convention member states in providing assistance with the extradition of offenders. In view of the important national and international interests embodied in the laws of extradition, it is essential that the exception to extradition founded on “public policy,” be exercised in a prudent and restrained manner and restricted to extreme situations in which the fear of harm to the accused as a result of the extradition is of such strength and power as to prevail over the important public interest in conducting the extradition. In fact, “The major principle is that the extradition must be conducted in accordance with principles formulated under law, and the duty of fulfilling the legislative purpose of the extradition laws will only recede in the face of extraordinary circumstances, which give rise to a substantive violation of a basic principle that tips the scales definitively in the opposite direction” (HCJ 852/86, Aloni v. Minister of Justice, IsrSC 41 (2) 1, 47 (1987), hereinafter: the Aloni Case). This means that exercising the exception to extradition for reasons of “public policy” is an extremely exceptional event (Anonymous Case, paragraph 31 and references id.; Yagodyev Case, at 585). This will be done only in exceptional cases, in which – notwithstanding the fact that, from every other standpoint, it would be proper and justified to extradite a certain wanted person to the country requesting his extradition – “this exception to public policy comes and informs us that, nevertheless, now that it has been found that the act of extradition will violate one of the fundamental outlooks of the state, one of the basic principles of ethics, justice, decency, or one of the values of Israel, the Court will not lend its hand to the extradition” (Sirkis Case, at 346).

 

115.       The principle of “public policy” is, therefore, reserved for extraordinary circumstances, in which there is a real fear of violating the basic values of society, ethics and conscience and, when consenting to the request for extradition, will be “a blatantly improper and unjust act” (Berger Case, at 459). in this context, a blatantly improper and unjust act does not merely refer to causing the wanted person to suffer as a result of the proceedings involved in his extradition; after all, the extradition proceedings are a priori intended to enable the enforcement of the law upon him, and this enforcement involves trial before a court of law and may end in imprisonment, and possibly even lengthy imprisonment. The suffering sustained by a wanted person as a result of the extradition proceedings and all that they involve is one of the natural results that accompany a criminal proceeding, including an extradition proceeding. That suffering, in and of itself, does not contradict the basic values of the State of Israel and Israeli society, which the doctrine of “public policy” is meant to protect (Sirkis Case, at 347). A violation of “public policy” is a violation that transcends the generally accepted and foreseeable result that accompanies an extradition proceeding (Aloni Case, at 46-47).

 

The doctrine of “Abuse of Process”

 

116.       A person’s right to a fair criminal proceeding under criminal law according to the concept of “public policy” in Israel is consistent with the doctrine of “abuse of process,” which has developed in Israeli law in the last few decades and has become an important value in protecting the rights of defendants in criminal proceedings.

 

              The doctrine of “abuse of process” has long since been anchored as a preliminary argument after a trial begins, pursuant to Article 149 (10) of the Criminal Procedure Law. By virtue of that provision, a defendant is entitled to claim that the filing of an indictment or the conducting of a criminal proceeding against him is “in substantive contravention of the principles of justice and legal fairness”.

 

117.       The argument of “abuse of process” may also be available to a wanted person in extradition proceedings, whether as part of the principle of “public policy,” which constitutes an exception to extradition, or as an independent defense, by analogy to the preliminary argument afforded to him in an ordinary criminal proceeding. The argument of “abuse of process” may be available to the accused, if only for the reason that the basic principles that are embodied in the principle of “public policy” also extend to the protected values that are encompassed by the doctrine of “abuse of process,” and which are based on the principles of justice, legal fairness and the right to a fair criminal proceeding (Rosenstein Case, paragraphs 9-10; Yisgav Nakdimon, Judicial Stays of Criminal Proceedings [Hebrew], at 73-74, 101 (2nd ed., 2009), hereinafter: Nakdimon). The role of the doctrine of “abuse of process” in criminal procedures, and the criteria for exercise thereof, was extensively discussed by this Court in the Rosenstein Case (in the ruling by Justice Levy):

 

“The central justification for using that authority is the desire to ensure that the law enforcement agencies behave properly, as required by their status as governmental bodies. It is intended to serve as a check on unbridled enforcement activity, which is blind to all other interests and denies the rights of the accused and the values of the rule of law. This is an unusual power, as are the circumstances that would justify its use. It integrates a complex interweaving of competing values: advancing the public interest in putting criminals on trial, beside recognition of the role of the rights of the accused; the desire to find the truth, but not at any price; protection of public security, beside the duty to uproot abuse of governmental power. A court examining whether the accused is to benefit from a ruling of outrageous conduct in a particular case must take this delicate and complex balance...into account” (id., paragraph 9).

 

118.       In the past, the applicability of the doctrine of “abuse of process” was limited to situations of “intolerable behavior on the part of the authority,” “outrageous conduct that entails persecution, oppression and maltreatment of the accused,” and situations in which “conscience is shocked and the sense of universal justice is assailed; things before which the Court stands open-mouthed and incredulous” (Criminal Appeal 2910/94, Yefet v. State of Israel, IsrSC 50 (2) 221, 370 (1994)). These restrictive criteria, however, were replaced over the years by more extensive tests, whereby it was found that the defense may apply in any case where “the conducting of a criminal proceeding genuinely violates the sense of justice and fairness, as perceived by the Court” (Criminal Appeal 4855/02, State of Israel v. Borowitz, paragraph 21 (unpublished, March 31, 2005), hereinafter: the Borowitz Case; a petition for a further hearing was denied: Additional Criminal Hearing 5189/05, Ayalon Insurance Co. Ltd. v. State of Israel (unpublished, April 20, 2006)). In the Borowitz Case, a three-stage test was established for examining the nature and role of the argument of “abuse of process” under the circumstances of a certain case. In the first stage, we must identify the flaws that occurred in the proceedings and ascertain the strength of those flaws; in the second stage, we must examine whether conducting the criminal proceeding, notwithstanding the flaws, constitutes an acute violation of the sense of justice and fairness. In so doing, the Court must balance the various interests while applying them to the concrete circumstances of the case. While doing so, importance must be ascribed to the gravity of the offense attributed to the accused; the strength of the evidence; the personal circumstances of the accused and the victim of the offense; the degree to which the accused’s ability to defend himself is impaired; the severity of the violation of the accused’s right to a fair criminal proceeding and the circumstances that caused it; the degree of culpability imputable to the authority; and the question of whether the authority acted maliciously or in good faith. Each of the aforesaid considerations must be given the proper weight, in accordance with the circumstances of the concrete case. In the third stage, if the Court is convinced that conducting the proceeding entails an acute violation of the sense of justice and fairness, it must examine whether it is impossible to cure the flaws that have come to light by moderate and proportional means that do not require setting aside the indictment (Borowitz Case, paragraph 21).

 

119.       As we have seen, the question of when a person’s extradition is liable to violate “public policy,” and thereby to violate the wanted person’s right to a fair criminal proceeding, and when conducting the criminal proceeding under the precepts of the Israeli legal system conflicts substantively with the principles of justice and fairness in law, requires a complex balance of a range of considerations and interests. The core of that balance can be found in the tension between the public interest in enforcing criminal law upon the offender, in order to secure public welfare and safety and, in so doing, to create an efficient system of international cooperation that will enable the extradition of offenders from one country to the other, in which the offenses were perpetrated; and the basic duty, even in extradition proceedings, of protecting the fundamental principles of the legal system, which recognizes, in all situations and all contexts, a person’s basic right to a fair criminal proceeding under criminal law, as part of his constitutional right to liberty. Also included within the act of balancing these contrasting values are considerations related to the nature, severity and extent of the offenses in the indictment; the anticipated harm to the victims of the offense if the wanted person is not extradited; the conduct of the enforcement authorities in the relevant country; the harm to the extradition relations between Israel and the requesting country, which is anticipated from denial of the extradition request; and the nature and intensity of the violation of the wanted person’s right to a fair criminal proceeding under criminal law, if the extradition proceeding is implemented.

 

120.       For the sake of comparison, let us refer to Articles 14 and 82 of the English Extradition Act of 2003, which extend protection to an accused against extradition under circumstances in which he may be exposed to “injustice” or “oppression,” due to the time that has elapsed since the offenses were allegedly committed, or since he was convicted. The terms “injustice” and “oppression” may be congruent; they group together all the cases in which the extradition of the accused would be unfair (Kakis v. Government of the Republic of Cyprus [1978] 1 WLR 779, 782-783). The complexity of the considerations that must be taken into account in this context, and the need to balance them against the background of the entire set of circumstances of the case and, inter alia, in view of the great delay in initiating the extradition proceeding, are reflected in the following statement:

 

“Ss 14 and 82 reflect long-standing principles of extradition law and have historically been held to cover situations where, by virtue of delay, the passage of time inhibits, by dimming recollection or otherwise, proper consideration of trial issues or inhibits the tracing of witnesses still able to recollect specific events, or cases where witnesses, materials or certain lines of defense are no longer available, even in cases of relatively short delay. ‘Culpable delay’ on the part of the Requesting country, will be a relevant factor in ‘borderline cases’. Delay on the part of the applicant, i.e. by fleeing the country, concealing his whereabouts, or evading arrest, cannot – save in the most exceptional circumstances – count towards making his return ‘unjust’ or ‘oppressive’. ‘Oppression’ may arise where a defendant has lived openly and established family ties in the UK and to remove him would be oppressive. Oppression can also arise in circumstances where the inaction of the Requesting country, or its positive conduct, has caused in the defendant a legitimate sense of false security. Oppression can attach to persons for whom the defendant has responsibility. The onus is ultimately on the defendant to demonstrate, on the balance of probabilities, that it would be unjust or oppressive, because of the delay, having regard to all the circumstances, to return him. In seeking to discharge the onus on him, a defendant must produce cogent evidence of injustice or oppression. It is not sufficient to offer mere assertions or speculations” (David Young, Mark Summers and David Corker “Abuse of Process in Criminal Proceedings” 268-269 (Tottel Publishing, Third edition, 2009)).

 

From the general to the specific

 

121.       The weighing of the contrasting values in this case requires the attribution of a proper relative weight to each of the following considerations:

 

              At the level of the general public interest, there is a definitive interest in the extradition of the Appellant to the United States so that he can be brought to trial there. His extradition is intended to enforce criminal law upon a person who is accused of grave sexual offenses against a number of minor victims. There can be no doubt as to the extreme gravity of those offenses. In this case, extradition complies with the value of preserving the rule of law and aims to ensure that an offender will not benefit, if it is proved that he committed the offenses attributed to him.

 

              Furthermore, extradition, in this case, is particularly important to the cooperation between the governments of the United States and Israel in the extradition of offenders, based on the principle of reciprocity. The role and status of Israel as a member state in the family of nations are determined, inter alia, by the degree to which it is willing to cooperate in the extradition of offenders to the requesting countries and thereby to ensure their subjection to the full rigor of the law in the countries in which the offenses were committed. The importance of Israel’s response to a request for extradition by a requesting country extends beyond the field of extradition itself. It affects Israel’s status on the international level and its relations with other countries, with which it has engaged in binding agreements of any kind.

 

122.       Opposite this are the constitutional rights of the Appellant, as an individual, to a fair criminal trial, which are drawn from the basic concepts of law and society in Israel. While the Appellant left the United States in 1984 and has not returned since, nor has he made himself available to its adjudication and may be deemed to have evaded the law in the United States, since he left the United States he has been in Israel throughout the entire time; he did not flee or hide from the law enforcement authorities in Israel, he was constantly within their reach, and even within the reach of the American extradition authorities. He remained in Israel, living overtly, from 1984 to 2007, when the extradition proceeding was initiated against him. Up to that time, no less than 23 years passed, during which he has been free and at large, and no criminal proceedings whatsoever – including extradition proceedings – have been initiated against him within the borders of the State of Israel.

 

123.       The impediment against opening criminal proceedings in the Appellant’s case, throughout all those years, resulted solely and entirely from the definition of an “extraditable offense” in the Convention, which did not include the offenses in the indictment against the Appellant. Until the amendment of that definition in the Convention, the extradition could not be pursued.

 

124.       The authorities in both countries delayed for many years in eliminating the impediment to extradition, which was rooted in the wording of the Convention, although they were capable of eliminating it many years before the Amendment to the Convention was actually enacted. Some 23 years elapsed between the perpetration of the acts attributed to the Appellant and the Amendment to the Convention and the opening of the extradition proceeding. The extradition of a person from Israel to the requesting country, approximately 23 years after the perpetration of the offenses attributed to him within the territory of the requesting country, when he has been living in the requested country throughout that entire time and could have been reached with no difficulty by the authorities, and when the impediment to his extradition could have been removed within a reasonable period of time – all these amount to a grave substantive violation of the wanted person’s right to a fitting and proper criminal proceeding. Within the framework of the   “public policy” principle we do not deal with formal arguments regarding the lapsing of a limitation period; however, one possible criterion for the scope of the violation of the accused’s right to a proper trial is the statutory limitation period that applies in Israel to felonies, a period of 10 years. In this case, extradition is being sought after a period of time twice the length of the limitation period, plus an additional two years, which preceded the initiation of the extradition proceeding. In the overall balance of conflicting values and considerations, the prejudice to the fair and proper nature of the criminal proceeding against the wanted person prevails over the important public interest of international cooperation in the extradition of offenders, in which Israel is a partner by virtue of the extradition convention that it signed.

 

125.       According to the concepts and values of Israel’s legal system, waiting 23 years for an extradition proceeding from the time the alleged offenses were committed in the United States, under circumstances in which the wanted person did not evade the extradition proceedings in Israel, is tainted with a delay so great as to be intolerable, even in view of the complex public interest involved in implementing the extradition proceeding. Extraditing the Appellant after so many years of waiting is not only a substantive violation of his right to a fair criminal proceeding under criminal law. It represents an extreme deviation from the basic values and principles that underlie Israel’s legal system, and the entire system of criminal proceedings. In the overall balance, reasons of “public policy” and “abuse of process” justify refraining from extraditing the Appellant to the United States.

 

126.       Case law in Israel has recognized the factor of extreme delay in initiating extradition proceedings as giving rise to the “public policy” exception to extradition. A ruling rendered with regard to a requesting country that did not seek a person’s extradition for a period of 20 years held that its omission might be so exceptional and so extraordinary that granting its belated request might well constitute a violation of the basic sense of justice and of “public policy” in Israeli society (Bazaq Case, at 302; Sirkis Case, at 346-347; Efrat Case, paragraph 12; Feinberg Case, at 73). Under certain circumstances, the delay by the requested country may also give rise to protection against extradition – for example, in cases where a request for extradition, which was filed at a reasonable time, was neglected by the requested country for many years, due to an error (Feinberg Case, id.). As a general rule, a considerable delay in the initiation of criminal procedures has been recognized as a matter that may give rise to an argument of “abuse of process,” even when the procedure was begun within the statutory limitation period. Nakdimon discusses this point in his book:

 

.”.. In cases where too much time has elapsed between the perpetration of the alleged offense and the trial, this may harm the accused’s defense. Throughout such a long period of time, evidence may be lost. Witnesses who are capable of proving his innocence may leave Israel, to become ill or to die. The memory of the witnesses who are still available may be blurred. Under such circumstances, there is concern that the suspected individual will not be granted a fair criminal proceeding, if it is eventually decided to file an indictment against him. In fact, conducting the trial after such a long period of time may conflict substantively with the principles of justice and fairness in law, even if the statutory limitation period for the offense attributed to the accused has not yet lapsed. The doctrine of ‘abuse of process’ – whose purpose is to protect the individual from an indictment that was filed in substantive contravention of the principles of justice and fairness in law, or from a proceeding that is in contravention as stated – can prevent these grave outcomes” (Nakdimon, at 351; for a review of the law on this issue in Israel and throughout the world, see id., at 351-388).

 

              And if a violation of the right to a proper criminal trial may be caused by delay, even before the statutory limitation period has lapsed, how much more strongly will this apply when the limitation period set forth under law has lapsed, along with an additional period of the same length as the limitation period, and even longer.

 

127.       In our legal system, the argument of “abuse of process” has been recognized in the context of long years of delay in the initiation of a disciplinary procedure in a professional organization against a person who had been convicted of murder and had been sentenced to many years of imprisonment. Bar Association Appeal 2531/01, Hermon v. Tel Aviv District Committee of the Israel Bar Association, IsrSC 58 (4) 55, 78-79 (2004) included the following statement:

 

“One of the situations that may give rise to an argument of abuse of process for an accused is considerable delay in the filing of an indictment, even if the statutory limitation period has not lapsed, in cases where conducting a trial after a long period of time may, under the circumstances of the case, cause great harm to a person’s ability to defend himself, or may conflict profoundly with the duty of justice and fairness, which is required of a proper criminal proceeding... Recourse to this argument will be limited to extreme and exceptional cases only, and will not be available on an everyday basis. ... A proper balance will be required between the intensity of the harm to the accused as a result of the defective proceeding and the weight of the public interest in ensuring that the full rigor of the law is applied.”

 

128.       In this case, there was a delay of many long years – estimated at twenty-two years – prior to the initiation of the extradition proceeding against the Appellant. This delay could have been avoided through vigorous action on the part of the Convention member states, by amending the Convention many years before the actual Amendment was enacted. The extradition of the Appellant to the United States, under these circumstances, borders on indecency, and violates the accused’s substantive right to a fair criminal proceeding. In this exceptional and extraordinary case, the long period of time that elapsed before the start of the extradition proceedings, under circumstances in which the delay could have been avoided, calls for a negative decision on the request for extradition.

 

              For the reasons set forth above, the “public policy” exception as defined in the Law, is upheld in this case, and also prevents the Appellant’s extradition to the requesting country.

 

Conclusion

 

129.       This case is one of the more difficult cases in the field of extradition between countries. It reflects the acute tension that exists between the public interest in enforcing criminal law on offenders and rendering assistance to other countries in enforcing their own law vis-à-vis accused persons who committed offenses in their territory - and the enforcement of constitutional norms in Israel, which require protection of the rights of accused persons to a fair criminal proceeding under criminal law, including a fair extradition proceeding. The solution to the dilemma in question is not an easy one. Nonetheless, in this case, the delay that took place in the Appellant’s extradition proceedings – which is estimated at 23 years since perpetration of the offenses, and 22 years since the filing of the indictment, and which could have been avoided – imposes a legal and ethical barrier against carrying out the extradition. The violation of the right to a fair criminal proceeding is grave, egregious and exceptional in this case, in view of the passage of the years, and given the duration of the statutory limitation period in criminal cases, which is 10 years with regard to felonies in Israel. The lapsing of the limitation periods for the offenses under Israeli law, as well as the aspects of “public policy” and “abuse of process,” should prevent the extradition and justify the denial of the extradition request by the United States.

 

130.       The state’s obligation to its constitutional and democratic values is examined, at times, in hard cases in which the defense of human rights involves grave harm to other important public, national and social interests, including the defensible rights of other individuals. As an enlightened society, Israel has a legal system that safeguards human dignity and human rights even when the person in question has been accused and even convicted of the gravest of offenses – because, after all, human rights apply even to such a person:

 

“A civilized country is not merely judged by how it treats its faithful citizens, but also by how it treats the criminals living in it, including the most despicable criminals who wish to undermine its ethical foundations. In a proper constitutional system, the umbrella of human rights extends over every human being, including the criminal...” (HCJ 2245/06, Dovrin v. Prison Service, paragraph 23 (unpublished, June 13, 2006)).

 

131.       The legal and ethical basis of the extradition proceeding pursuant to Israel’s Extradition Law is not restricted to its nature as an important weapon in the war on international and intra-national crime. At the same time, it also represents a procedure that shows consideration for human rights, in both the requesting country and the requested country. The fear of frustration of the extradition proceeding, as such, cannot overshadow the need to examine its impact on human rights and on the basic values of the intra-national system adopted by the state of which extradition is requested; therein lies the moral and legal strength of the extradition process (Miscellaneous Criminal Applications 501/09, Attorney General v. Mayo, paragraph 13 of the ruling handed down by Justice Levy (unpublished, May 10, 2009)).

 

132.       In this case, the Appellant’s right to a fair criminal proceeding will be violated if the requested extradition proceeding is carried out. This is due to the lapsing of the limitation period under Israeli law, with regard to the offenses in the indictment that are attributed to him, the length of which is more than double the statutory period. Extradition under these circumstances also violates “public policy” and the principle of “abuse of process,” as these terms are defined in the concepts at the foundation of Israel’s legal system, because of the protracted waiting period and the fact that the competent authorities were in control of the actions required to eliminate the impediment to extradition.

 

              Therefore, the exceptions to extradition, pursuant to the Extradition Law, in regard to the lapsing of the limitation period and “public policy,” as these terms are used in the Israeli legal system, are upheld in this case.

 

133.       In light of all that set forth above, I will propose to my colleagues that we allow the appeal, that we overturn the judgment rendered by the District Court, and that we rule that the petition for the extradition of the Appellant to the United States be denied.

                                                            Justice

 

Justice E. Rubinstein:

 

Foreword

 

A.          After no small amount of hesitation, I have decided to concur with the conclusion reached by my colleague, Justice Procaccia, in her comprehensive and interesting opinion, even though, with regard to some of the reasoning, my opinion differs, and even though, in my opinion, there is an additional reason, on which I will elaborate. My hesitation stemmed from value-related considerations – from the fact that, apparently, the Appellant may not be brought to justice for the grave offenses with which the United States Government is seeking to charge him. Nonetheless, I will also state here that I am distressed by the fact that, at a certain stage, the United States Government, seeing that the matter of the extradition had gotten “stuck” – initially because of problems with the definitions  in the law, and subsequently because of the issue of the Convention, as described by my colleague and, before her, by the lower court – did not decide to request to try the Appellant in Israel, as the law in Israel enabled; and Israel could also have advised the United States government of that possibility. Indeed, there can be no doubt that the appropriate place – the natural place – to try the Appellant would have been the United States, where he allegedly committed the offenses, and where the complainants and the balance of the evidence are located. Of this, there can be no dispute; see our ruling in Criminal Appeal 4596/05, Rosenstein v. State of Israel, IsrSC 60 (3) 353; and if this was true with regard to that case – where the accused, resided in Israel and deployed the fortress of his criminality in the United States – it is true a fortiori in this case. But is there not a stage at which it becomes necessary to decide whether to allow the case to dissolve because of the problems connected with the extradition - or to try it in Israel? In my opinion, the answer to this is in the affirmative, and the solution of holding the trial here, even if it is quite a cumbersome one, was ostensibly attainable.

 

B.          The District Court, and now my colleague, have given extensive coverage to the factual and historical aspects of this exceptional case, which concerns bringing to trial, after a quarter of a century, of a person who fled the United States, undoubtedly because of the case in which he had become embroiled, and for which he should have been brought to justice – and who, since his arrival, has nonetheless resided in Israel under his own name, without going into hiding. I would like to note that, except for the amended legislation that was implemented in 1988, the principal obstacle to his extradition was the need for an amendment to the Convention of Extradition, which took place only in 2007 (for a description of some of the history in question, see my opinion in the Rosenstein Case, at 439-441).

 

C.          We are dealing with a constitutional right, as my colleague correctly described. Article 5 of Basic Law: Human Dignity and Liberty includes extradition, along with imprisonment and arrest, among the prohibitions that are designed to safeguard liberty. Procedural rights – and extradition is usually defined as such – and certainly constitutional procedural rights, bear considerable weight in proper law enforcement. The conduct of the authorities, whose strength and power are great, is subject to restraint, so that they will not transcend the boundaries of those rights; the Court must be convinced that the proceeding before it is a fair one. On the other hand, the interest in bringing [an accused] to trial is obvious, as otherwise “each of us would have swallowed up his neighbor alive” (Mishnah, Avot, 3:2).

 

D.          My opinion tends toward that of my colleague, Justice Procaccia, with regard to the limitation period, at least with regard to the first period – the years 1984-1994. Document A/1 and the appendices thereto indicate how the United States authorities essentially despaired of the case at the end of that period, and my colleague, in fact, mentioned (paragraph 7) the gradual closure of the files by the United States authorities between 1993 and 1995, in several stages. At the beginning of that process of closure, at the very least, and, in my opinion, perhaps years earlier, it should have been clear to all that the chances of extradition in the near future were slim. Accordingly, insofar as the United States authorities wished to try the Appellant, and in principle they certainly did wish to do so, it would have been appropriate to consider doing so in Israel. For the sake of integrity, I should note that I served as Attorney General between 1997 and 2003, but I have no recollection of the issue ever having been brought before me.

 

On bringing to trial in Israel as the default option

 

E.          I will add a few words about the possibility of trying [the Appellant] in Israel. I believe, as I will explain below, that, notwithstanding the “inability to act” that was raised by the District Court in the context of extradition, there was no “inability to act” in the local criminal context against the Appellant – i.e., even if extradition could not succeed, there was no barrier to trying the case in the State of Israel, as a residual default option. There can be no dispute, as my colleague stated in paragraph 88 [sic – actually paragraph 91], that “Throughout the entire effective period of the Extradition Law, the definition of ‘extraditable offenses’ thereunder included the offenses in the indictment against the Appellant,” and especially following the amendment to the Penal Law in 1988. While it is true that that amendment did not cure the difficulty involved in the issue of extradition, at the very least it reinforced the possibility of trying the case here. And after all, for more than two decades, since 1978, this was the only possibility where Israelis were involved who, pursuant to the amendment to the Extradition Law in 5738 [1978] and the addendum to Article 1A, could not be extradited, and both the countries in question were well aware of this. Under the circumstances, the Appellant’s status de facto, albeit not de jure, resembled that of Israelis – not because he eventually became a citizen, which would not have exempted him from extradition, but due to the impediment to extradition because of the Convention.

 

F.           Let us briefly elaborate. Article 15 of the Penal Law, 5737-1977, became even more important after the enactment of Article 1A of the Extradition Law (in the Offenses Committed Abroad (Amendment) Law, 5738-1978), under which a citizen may only be extradited for offenses that he committed before becoming a citizen. In the case before us, the Appellant was not a citizen of Israel before he committed the offenses attributed to him and, therefore, in principle, he would have been subject to extradition, and Article 1A would not have applied – but other legal issues stood in the way. Nonetheless, the enactment of Article 1A of the Extradition Law must be viewed concurrently with the enactment of Article 4A (A) of the Penal Code (Offenses Committed Abroad) (Consolidated Version), 5733-1973, which stated that: “The courts in Israel are competent to judge, according to Israeli law, an Israeli citizen or a resident of Israel who has committed an offense outside Israel which, had it been committed in Israel, would have been among the offenses set forth in the Addendum to the Extradition Law, 5714-1954...” Up to that point in time, the competence of Israeli courts with regard to extraterritorial offenses was much more limited (pursuant to Chapter B of the Penal Law, 5737-1977, in the version that prevailed at the time, which specifies individual offenses). Obviously, the purpose of enacting Article 4A (A) was to restrict the situation created by Article 1A of the Extradition Law – i.e., the transformation of Israel, in various cases, into a “refuge” for offenders.

 

G.          Amendment 39 to the Penal Law, 5754-1994, established - pursuant to  Article 4A (A) - the present version that is currently to be found in Section 15 (A) of the Penal Law, under which:

 

“The penal laws of Israel shall apply to a felony or misdemeanor committed abroad by a person who, at the time he committed the offense or thereafter, was a citizen of Israel or a resident of Israel.”

 

The explanatory note (Bills 5752, 121) stated that: “The proposed Article governs the personal - active applicability (emphasis in the original – E.R.)....” Its necessity was explained by the multiplicity of offenses that are committed by citizens and residents of the state outside its borders, and “the Israeli citizen is not deportable and is not extraditable” (according to the situation that prevailed following the 5738 [1978] amendment to the Extradition Law – E.R.) and, therefore, it is fitting and proper “for the state not to be transformed into a refuge for the offenders who are its citizens.”

 

H.          As stated, my colleague, Justice Procaccia, pointed out that the offenses which were defined in the Extradition Law as “extraditable offenses” also included the offenses in the indictment against the Appellant. It is sufficient for me to note that the Addendum to the Extradition Law included “any offense for which it was possible to impose the death penalty or imprisonment for a period greater than three years…,” with exceptions that are not relevant to the case before us.

 

I.           Indeed, the district court examined this point in great detail and – correctly – pointed out, in the words of President Barak, in Criminal Appeal 6182/98, Sheinbein v. Attorney General, IsrSC 53 (1) 624, 648, that “the ‘natural judge’ of the accused is the judge of the country in which he committed the offense.” The court concluded – and here, too, its words are apt – that Israel has no connection to the offenses, and emphasized the young age of the complainants (9-10 at the time the offenses were committed, and 10 and 12 when they gave their version to the United States investigative authorities). The court further pointed out that “even if, theoretically, it would have been possible to order that the Respondent be tried in Israel, doing so would have been pointless, because, from the practical, effective, point of view, the court here would not have had ‘the ability to convict the offender’” (per Justice Levy in the Rosenstein Case, at 409). In this last matter, with all due respect, my opinion differs, in view of the circumstances.

 

J.           The Appellant argued, in this matter, that pursuant to Article 15 (A) of the Penal Law, he could have been tried in Israel; in so stating, he relied, inter alia, on case law in instances where this was actually done (such as Criminal File (Tel Aviv) 360/96, State of Israel v. Bashan (unpublished) and the Sheinbein Case). It was argued that the evidence could have been brought to a trial that would have been held in Israel, including, as required, by means of a closed-circuit television system.

 

K.          On the other hand, in the state’s summarized argument it was argued that, inter alia, such trials in Israel had been held in only a few cases and that, in the present case, there were also difficulties due to the fact that the complainants were minors. It was further argued that even the 1988 amendment to the Penal Law would not have been of assistance in trying [the Appellant] here, because of the absence of overlapping between the offenses. The state’s supplementary pleadings emphasized that the “center of gravity” of the case was in the United States. It was further argued that trying the Appellant here would give him an unfair advantage over other wanted persons and would harm the victims, over and above the harm done by the actual offense.

 

L.          I have not overlooked the fact that the chronology appended by the United States Department of Justice to its letter A/1 dated December 11, 2007 stated that, in February 1987, the prosecuting attorney’s office of Kings County examined the possibility of adding charges against the Appellant “or considered approaching Israel, to request that he be tried in Israel,” but decided that, “from the legal standpoint, it could not support either of the alternatives.” Nonetheless, no reasoning for this was given and, therefore, it is not appropriate, on this basis, to reach conclusions with regard to the practical possibility, which, in my opinion, existed under the circumstances.

 

M.         To summarize up to this point: as stated, in practical terms, in view of the impossibility of extradition, the Appellant’s situation, to a great degree, resembled that of accused Israelis whose extradition was not enabled by the 5738 amendment to the Extradition Law. The obvious solution, in order to prevent Israel from being transformed into a  refuge for the offender, would have been – with all of the difficulty involved – to bring him to trial in Israel, as a residual solution (see Feller, Penal Laws (1984), Vol. I, 293.

 

N.          I will emphasize again: there can be no dispute that holding a trial in Israel for a person who allegedly committed offenses in a foreign country is not a desirable or preferable option – it involves various types of difficulties. (See the Rosenstein Case, at 433, in the opinion by Justice Levy; see also the statement by Justice Adiel in HCJ 3992/04, Maimon-Cohen v. Minister of Foreign Affairs, IsrSC 59 (1) 49, 60, 64, which emphasizes that bringing [a person] to trial within the framework of personal - active applicability is exceptional.)  Holding a trial in a location that is not the natural location of the case is a solution that should be adopted only in grave cases – and in the words of the Respondent in the supplementary pleadings (paragraph 39), “the main road is extradition.” Nonetheless, I cannot agree with the remainder of her argument, that holding a trial in Israel can be ordered only if “the ‘center of gravity’ of the case is in Israel, or when the state in which the offense was perpetrated does not request his extradition.” The interest in enforcement dictates the additional situation in which there is an impediment to extradition, but trial in Israel is possible. While the offenses in question were – prima facie – committed by a United States citizen while he was in the United States, against American victims; and bringing witnesses to Israel, and prosecutors along with them, is no simple matter, and is also expensive (although it would have been possible, in some of the matters, to make use of an judicial inquiry and, eventually, of videoconferencing). In my opinion in the Rosenstein Case (at 439), I pointed out that the solution of holding a trial in Israel “would have been possible in only some of the cases in which enforcement was required. True, in theory, it would have been possible to try in Israel persons who committed offenses in the United States and fled here – but in practice, however, the considerable expenses for that purpose and the difficulties encountered, including the inability to require witnesses to testify, did not enable the holding of such trials in each and every case” (see also Criminal Appeal 6914/04, Feinberg v. Attorney General, IsrSC 59 (6) 49, 72). Under no circumstances, then, was this a desirable or preferable option. Nonetheless, where there is an interest in bringing [the offender] to trial, in view of the severity of the offenses, and as the years went by with no elimination of the legal-procedural obstacles that precluded the extradition of the Appellant, the balancing point shifted, in my opinion, and it would have been appropriate to seriously consider, and even to conduct, the trial in Israel. The minors who accused him have grown up, but they have obviously not forgotten their complaint, and it would have been possible to bring them to testify, even if it involved an expense for the United States authorities and, to a certain degree, for the Israeli authorities as well, and I do not dismiss that expense lightly. Moreover, in this case, the question of requiring the witnesses to testify, which might have constituted an obstacle, does not, in fact, arise, because, an examination of the file, including requests by some of the victims in this matter (see paragraph 26 of the ruling by my colleague), it emerges that they – or at least some of them – are still interested in having him brought to trial. Therefore, as I see it, as the years went by and in view of the stagnation that occurred, there would have been a reason to choose this as the lesser of two evils; the procedurally exceptional nature of the case, in the absence of any other alternative, would have overcome the desire to hold the trial in the “natural” location. All of the pertinent statements in Justice Adiel’s review in the Maimon-Cohen Case, in the context of holding the trial here, are apt in that case – but what happens when there is no alternative? That is apparently true of the case before us.

 

O.          The ticking clock of the limitation period reminds us of the deceptive nature of passing time. Rabbi Moshe Haim Luzzatto, the 18th-century author of the book on ethics entitled Mesillat Yesharim [The Path of the Righteous] (Chapter G, in the explanation of the role of expeditiousness), writes with regard to religious precepts – and, by inference, this also applies to the precept of criminal enforcement and trial – that expeditiousness precedes action:

 

“So that the person does not miss fulfilling the precept, but rather, when its time comes or when he has the chance to do so or when it enters his mind, he should hasten and act quickly in order to seize it and accomplish it, and should not allow time to drag out in the meantime, because there is no danger as great as that danger, because, at any moment, something may arise which will impede the performance of the good deed.”

 

And subsequently:

 

“But rapidity after the deed is begun is also important; once he has grasped the precept, let him hasten to complete it – and let him not dismiss it from his mind, as one who wishes he could throw his burden down; rather, [let him be guided by] his fear that he will not have the privilege of completing it.”

 

And in this case – as time passed, the difficulties increased and a solution was required (and I will not speak of the difficulties involved in holding a trial, whether in the United States or here, after many years, and the difficulties of human memory, as they are well known to us all).

 

P.           With regard to the passage of years, I admit that I had a bit of difficulty due to the ruling in the Bazaq (Bouzaglo) Case (Criminal Appeal 3439/04, Bazaq (Bouzaglo) v. Attorney General, IsrSC 59 (4) 294), in which the Appellant was declared to be extraditable to France, 23 years after having committed the alleged offenses (murder and mayhem). The Appellant in that case was a priori a citizen of Israel; the obstacle to extradition was Israeli law (the 1978 amendment to the Extradition Law), until the law was amended in 1999 and the extradition of citizens was made possible, subject to the undertaking to return them to Israel to serve out their sentence in cases of imprisonment. However, when we examine both cases closely, we see that there is a difference between them. In the Bazaq (Bouzaglo) Case, the “fault” was entirely that of Israel – i.e., it lay in the legal situation that Israel created in the 1978 legislation. In the present case, both countries are to blame, as the principal impediment involved the need for an amendment to the Convention of Extradition, which was a reciprocal act. Furthermore, in the Bazaq (Bouzaglo) Case, the Appellant had already been convicted in France (albeit in absentia, after he fled the country, and there was an undertaking to reopen the trial following the extradition). Therefore, I do not believe that the two cases are equivalent.

 

Q.          In its Response, the state mentioned Miscellaneous Applications (Jerusalem) 5462/08, Attorney General v. Silverman. That matter has meanwhile been decided in the District Court, and in this Court as well (Criminal Appeal 3680/09, Silverman v. State of Israel (unpublished)), and the Appellant was declared to be extraditable. True, there is a background similarity between the two cases – sexual offenses committed against minors by a psychologist. The difference, however, lies, inter alia, in the fact that, in that case, the Appellant had already pleaded guilty in the United States and had been convicted and sentenced, but before the sentence could be reviewed following the ruling on appeal, he fled to Israel; in the case before us, no trial has yet taken place. But that is not the most important thing: the principal difference is that, even though, in that case, time passed between the Appellant’s escape to Israel (November 2000) and the filing of the extradition request (October 9, 2007), it is impossible to compare seven years to twenty-two years in the present case.

 

R.          In the hearing before us, counsel for the state pointed out that “we are not talking about the question of whether it is possible to conduct the procedure in Israel, or whether it is proper, but rather, about whether the case justifies being heard… in the requesting country.” However, she pointed out that, even according to the former law – the Extradition Law, in the version that was in force between 1978 and 1999 – the offenses attributed to the Appellant were extraditable offenses. In its response, the state also gave a negative answer to the question by the presiding judge, with regard to holding the trial in Israel, which counsel for the Appellant was prepared to allow, which is also regrettable

 

S.           To conclude: I believe that the option of holding a trial in Israel existed under the circumstances, even before the amendments to the Extradition Law and the Convention (amendments which, to a great degree, were intended to settle the question of extradition for Israeli citizens who were citizens at the time of perpetration of the offense). It is not by any means an enticing option; nonetheless, under the circumstances of a legal “bottleneck” that required the amendment of the Convention, and when the “bottleneck” had persisted for many years, the alternate route to the best solution for extradition should have been holding a trial here.

 

T.          In summary, I will state that I regret the fact that no indictment was filed against the Appellant in Israel. It would have been fitting and proper to do so, and to hold the trial on a date that was relatively close to the events, and thereby to do justice with the complainants by giving them their chance to testify. Anyone right-minded person will understand that the Appellant did not immigrate to Israel for Zionist or Jewish reasons, but rather, for fear of being brought to justice. By not bringing him to trial in Israel when the hope of extradition failed, the authorities played unintentionally into his hands. His non-extradition resulting from our decision is not a certificate of acquittal or of honesty; far from it. It results from a legal analysis of the relevant material, which culminated in a decision that was uncomfortable, but which was apparently correct from a legal standpoint.

 

Public policy?

 

U.          I will add that I have difficulty in concurring with the position expressed by my colleague, Justice Procaccia, with regard to public policy and equitable defense, to which she devoted an interesting and comprehensive survey. A great deal of ink, as we know, has already flowed on this issue (see e.g. Criminal Appeal 2521/03, Sirkis v. State of Israel, IsrSC 57 (6) 337, 345-348; (then) Justice M. Cheshin). The balance does not necessarily tend to assume violation of public policy through non-extradition, and I am close to saying that the scales are evenly balanced. President Shamgar stated, in the past, that “public policy reflects the basic foundations of the social order” (Civil Appeal 661/88, Haimov v. Hamid, IsrSC 44 (1) 75, 84). In this case, the basic foundations of the social order include, on the one hand, bringing a person to trial for grave sexual offenses, and, on the other, the proper functioning of the enforcement authorities in both countries. I am not certain that public policy – and, for that matter, equitable defense – indicate that a matter be decided one way or the other. Some will say that equitable defense is often appropriate when other considerations favor holding a trial, but when the conduct of the authorities acted against them. While this is true, I see no need to decide what will tip the balance in this case, and I would leave this issue for further study, in view of the outcome that we have reached on the basis of other contexts.

 

Conclusion

 

V.          As set forth above, I concur with the finding of my colleague, Justice Procaccia.

                                                            Justice

 

Justice M. Naor:

 

1.           I concur in the result of the opinion by my colleague, Justice A. Procaccia, on the basis of some of the reasons she cited, even though I do not support all of the reasoning on which she bases her conclusion. As my position is very close to that of my colleague, Justice E. Rubinstein, I shall be brief.

 

2.           I accept the position of my colleague, Justice A. Procaccia, that the starting date for the running of the limitation period, in the case before us was the date the indictment against the Appellant was filed in 1985 and that, since that time, no events have taken place that could toll the running of the limitation period. This means, as my colleague showed, that more than 10 years elapsed between the filing of the indictment and the date on which Article 94A of the Criminal Procedure Law [Consolidated Version], 5742-1982 (hereinafter: the Criminal Procedure Law) went into effect. That provision was enacted after the “first” limitation period had lapsed and, therefore, that provision has no implications for the case before us.

 

3.           The way to “overcome” the “first” limitation period (if there is any way at all) is, therefore, by applying the principle of “inability to act.” Although this is not a principle that appears in statute, I tend to think that it has its place in the judiciary toolbox in general, and also in the case that is now before us. Thus, if we change the facts slightly for the purposes of the discussion and assume that the Appellant had been, for a long period of time, in a country with which the United States does not have extradition agreements, and that the Appellant arrived in Israel 20 years later, it appears to me, prima facie, that, as a result of the principle of “inability to act,” it would have been possible to extradite him to the United States even after a period of time as long as that in the case before us.

 

4.           This, however, is not the situation in the case before us. In this case, there was no absolute inability to act. As the first period of 10 years drew to a close, and despite the discomfort involved, the right thing to do would have been to try the Appellant in Israel for the offenses of which he was accused. My colleague, Justice Rubinstein, pointed this out and I agree with his opinion. There is no absolute inability to act here and, accordingly, I have also reached the conclusion that the appeal should be allowed. Although it is not strictly necessary to do so, I shall briefly state that I do not believe that the decision to extradite the Appellant would constitute a violation of public policy; furthermore, in my opinion, it is also inappropriate to hold that there was abuse of process in the circumstances of the case. As set forth above, I believe it would have been right and just to bring the Appellant to trial, in order to adjudicate the question of his guilt or innocence.

 

5.           In conclusion, I concur that the appeal should be allowed.

 

                                                            Justice

 

The decision is therefore as set forth in the ruling by Justice Procaccia.

 

              Given this day, 28 Tevet 5770 (January 14, 2010).

 

 

 

Justice                      Justice                   Justice

_________________________

This copy is subject to editorial and textual changes. 08021440_R10.doc YT

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Milstein v. Chief Military Prosecutor

Case/docket number: 
LCrimA 4142/04
Date Decided: 
Thursday, December 14, 2006
Decision Type: 
Appellate
Abstract: 

Facts: The appellant was convicted of the offence of using dangerous drugs while he was serving in the IDF. During his interrogation by the police, he confessed to using the drugs, but in his trial he pleaded not guilty and exercised his right to remain silent and not to testify in his own defence.

 

Following the case law of the Supreme Court, a defendant cannot be convicted solely on the basis of a confession, even when it is freely and willingly given. ‘Something extra’ is required in order to convict him. The District Court Martial and the Appeals Court Martial held that the appellant’s refusal to testify in his trial constituted ‘something extra,’ thus allowing them to convict him. The appellant applied for and was granted leave to appeal to the Supreme Court on the question whether the refusal of a defendant to testify, in accordance with his right to remain silent, could constitute ‘something extra,’ thereby allowing the court to convict him on the basis of his confession.

 

Held: (Minority opinion — Justice Levy) As a rule, the silence of a defendant in his trial should not constitute ‘something extra’ for a confession that he made during his interrogation, but where a video recording was made of the interrogation, so that the court is given the possibility of watching the interrogation and the defendant’s confession, the silence of the defendant in his trial may constitute ‘something extra.’

 

(Majority opinion — Justice Arbel and President Emeritus Barak) As a rule, the silence of a defendant in his trial should not constitute ‘something extra’ for the confession that he made during his interrogation. There are, however, exceptions to the rule. These should not be limited solely to cases where a video recording of the confession was made. The court has discretion to regard the silence of a defendant in his trial as ‘something extra’ for his confession during his interrogation. This discretion should be exercised sparingly. It should only be used when three conditions are satisfied: first, the confession is logical, consistent, clear and detailed. Second, the court can rule out the possibility that the defendant, because of some internal pressure, confessed to something that he did not do. Third, the court should be satisfied that the defendant’s silence in the trial is not the result of some internal or external pressure, nor is it the result of some innocent motive.

Voting Justices: 
Primary Author
majority opinion
majority opinion
Author
dissent
Full text of the opinion: 

LCrimA 4142/04

Sergeant (res.) Itai Milstein

v.

1.     Chief Military Prosecutor

2.     Attorney-General

 

 

The Supreme Court sitting as the Court of Criminal Appeals

[14 December 2006]

Before President (Emeritus) A. Barak and Justices E.E. Levy, E. Arbel

 

Appeal by leave of the judgment of the Appeals Court Martial of 4 April 2004 in Appeals case no. 230/02.

 

Facts: The appellant was convicted of the offence of using dangerous drugs while he was serving in the IDF. During his interrogation by the police, he confessed to using the drugs, but in his trial he pleaded not guilty and exercised his right to remain silent and not to testify in his own defence.

Following the case law of the Supreme Court, a defendant cannot be convicted solely on the basis of a confession, even when it is freely and willingly given. ‘Something extra’ is required in order to convict him. The District Court Martial and the Appeals Court Martial held that the appellant’s refusal to testify in his trial constituted ‘something extra,’ thus allowing them to convict him. The appellant applied for and was granted leave to appeal to the Supreme Court on the question whether the refusal of a defendant to testify, in accordance with his right to remain silent, could constitute ‘something extra,’ thereby allowing the court to convict him on the basis of his confession.

 

Held: (Minority opinion — Justice Levy) As a rule, the silence of a defendant in his trial should not constitute ‘something extra’ for a confession that he made during his interrogation, but where a video recording was made of the interrogation, so that the court is given the possibility of watching the interrogation and the defendant’s confession, the silence of the defendant in his trial may constitute ‘something extra.’

(Majority opinion — Justice Arbel and President Emeritus Barak) As a rule, the silence of a defendant in his trial should not constitute ‘something extra’ for the confession that he made during his interrogation. There are, however, exceptions to the rule. These should not be limited solely to cases where a video recording of the confession was made. The court has discretion to regard the silence of a defendant in his trial as ‘something extra’ for his confession during his interrogation. This discretion should be exercised sparingly. It should only be used when three conditions are satisfied: first, the confession is logical, consistent, clear and detailed. Second, the court can rule out the possibility that the defendant, because of some internal pressure, confessed to something that he did not do. Third, the court should be satisfied that the defendant’s silence in the trial is not the result of some internal or external pressure, nor is it the result of some innocent motive.

 

Appeal allowed.

 

Legislation cited:

Basic Law: Human Dignity and Liberty.

Criminal Procedure (Interrogation of Suspects) Law, 5762-2002, s. 7.

Criminal Procedure Law [Consolidated Version], 5742-1982, ss. 154, 161, 162.

Dangerous Drugs Ordinance [New Version], 5733-1973, ss. 7(a), 7(c).

Evidence Ordinance [New Version], 5731-1971, ss. 10A, 10A(d), 12, 12(a), 53, 54A(a).

Evidence Ordinance Amendment Law (no. 6), 5742-1982.

Penal Law, 5737-1977, s. 34V(a).

 

Israeli Supreme Court cases cited:

[1]        CrimA 4675/97 Rozov v. State of Israel [1999] IsrSC 53(4) 337.

[2]        CrimApp 8087/95 Zada v. State of Israel [1996] IsrSC 50(2) 133.

[3]        LCrimA 8600/03 State of Israel v. Sharon [2004] IsrSC 58(1) 748.

[4]        LCA 5381/91 Hogla v. Ariel [1992] IsrSC 46(3) 378.

[5]        CrimA 5121/98 Yissacharov v. Chief Military Prosecutor [2006] (2) TakSC 1093; [2006] (1) IsrLR 320.

[6]        CrimA 4596/05 Rosenstein v. State of Israel [2005] (2) IsrLR 232.

[7]        HCJ 11339/05 State of Israel v. Beer-Sheba District Court [2006] (4) TakSC 138; [2006] (2) IsrLR 112.

[8]        HCJ 6972/96 Association for Civil Rights in Israel v. Attorney-General [1997] IsrSC 51(2) 757.

[9]        CrimApp 2169/92 Suissa v. State of Israel [1992] IsrSC 46(3) 338.

[10]     HCJ 6319/95 Hachmi v. Justice of Tel-Aviv-Jaffa Magistrates Court [1997] IsrSC 51(3) 750.

[11]     CrimA 1497/92 State of Israel v. Tzubari [1993] IsrSC 47(4) 177.

[12]     CrimA 196/85 Silberberg v. State of Israel [1990] IsrSC 44(4) 485.

[13]     CrimA 139/52 Attorney-General v. Keinan [1953] IsrSC 7(1) 619.

[14]     CrimA 112/52 Gabuv v. Attorney-General [1953] IsrSC 7(1) 251.

[15]     CrimA 115/82 Muadi v. State of Israel [1984] IsrSC 38(1) 197.

[16]     CrimA 7293/97 Jafar v. State of Israel [1998] IsrSC 52(5) 460.

[17]     CrimA 1888/02 State of Israel v. McDaid [2002] IsrSC 56(5) 221.

[18]     CrimA 556/80 Ali v. State of Israel [1983] IsrSC 37(3) 169.

[19]     RT 1966/98 Harari v. State of Israel (unreported decision of 5 April 1998).

[20]     RT 3032/99 Baranes v. State of Israel [2002] IsrSC 56(3) 354.

[21]     CrimA 48/54 Irshid v. Attorney-General [1954] IsrSC 8(2) 690.

[22]     CrimA 6289/94 Janshvili v. State of Israel [1998] IsrSC 52(2) 157.

[23]     CrimA 715/78 Levy v. State of Israel [1979] IsrSC 33(3) 228.

[24]     CrimA 124/87 Nafso v. Chief Military Prosecutor [1987] IsrSC 41(2) 631; IsrSJ 7 263.

[25]     CrimA 3967/91 Mazon v. State of Israel [1992] IsrSC 46(3) 168.

[26]     FH 3081/91 Kozali v. State of Israel [1991] IsrSC 45(4) 441.

[27]     HCJ 5100/94 Public Committee Against Torture v. Government of Israel [1999] IsrSC 53(4) 817; [1998-9] IsrLR 567.

[28]     CrimA 4855/02 State of Israel v. Borovitz [2005] IsrSC 59(6) 776.

[29]     CrimFH 4342/97 El Abeid v. State of Israel [1997] IsrSC 51(1) 736.

[30]     CrimA 6679/04 Steckler v. State of Israel [2006] (2) TakSC 1655.

[31]     CrimA 3/49 Andelersky v. Attorney-General [1949] IsrSC 2 589.

[32]     CrimA 290/59 A v. Attorney-General [1960] IsrSC 14(2) 1489.

[33]     CrimA 543/79 Nagar v. State of Israel [1981] IsrSC 35(1) 113.

[34]     CrimFH 3391/95 Ben-Ari v. State of Israel [1997] IsrSC 51(2) 377.

[35]     CrimA 178/65 Usha v. Attorney-General [1965] IsrSC 19(3) 154.

[36]     CrimA 428/72 Ben-Lulu v. State of Israel [1974] IsrSC 28(1) 267.

[37]     CrimA 4769/92 Nijam v. State of Israel [1994] (3) TakSC 2183.

[38]     CrimA 7595/03 A v. State of Israel [2005] IsrSC 59(1) 1.

[39]     CrimA 5225/03 Habbas v. State of Israel [2004] IsrSC 58(2) 25.

[40]     CrimA 3338/99 Pakovitz v. State of Israel (unreported).

[41]     CrimA 387/83 State of Israel v. Yehudai [1985] IsrSC 39(4) 197.

[42]     CrimA 2949/99 Cohen v. State of Israel [2002] IsrSC 56(1) 636.

[43]     CrimA 1538/02 A v. State of Israel [2004] IsrSC 58(3) 590.

[44]     HCJFH 4601/95 Serrousi v. National Labour Court [1998] IsrSC 52(4) 817.

[45]     CrimFH 4603/97 Meshulam v. State of Israel [1997] IsrSC 51(3) 160.

[46]     CrimA 721/80 Turgeman v. State of Israel [1981] IsrSC 35(2) 466.

[47]     CrimA 10596/03 Bashirov v. State of Israel (not yet reported decision of 4 June 2006).

[48]     CrimA 5386/05 Alhorti v. State of Israel (not yet reported decision of 18 May 2006).

[49]     CrimA 323/84 Shriki v. State of Israel [1985] IsrSC 39(3) 505.

[50]     CrimA 735/80 Cohen v. State of Israel [1981] IsrSC 35(3) 94.

[51]     CrimA 6147/92 State of Israel v. Cohen [1994] IsrSC 48(1) 62.

[52]     CrimA 190/82 Marcus v. State of Israel [1983] IsrSC 37(1) 225.

[53]     CrimA 1242/97 Greenberg v. State of Israel [1998] (1) TakSC 81.

[54]     CrimA 238/89 Askapur v. State of Israel [1989] IsrSC 43(4) 404.

[55]     CrimA 378/74 Messer v. State of Israel [1976] IsrSC 30(1) 687.

[56]     CrimA 85/80 Katashvili v. State of Israel [1980] IsrSC 34(4) 57.

[57]     CrimA 389/73 Ben-Lulu v. State of Israel [1974] IsrSC 28(1) 489.

[58]     CrimA 169/74 Kadouri v. State of Israel [1975] IsrSC 29(1) 398.

[59]     CrimA 5544/91 Moyal v. State of Israel [1995] (1) TakSC 1343.

[60]     CrimA 241/87 Cohen v. State of Israel [1988] IsrSC 42(1) 743.

[61]     CrimA 6936/94 Awad v. State of Israel [1996] IsrSC 50(4) 842.

[62]     CrimA 312/73 Matzrawa v. State of Israel [1974] IsrSC 28(2) 805.

[63]     CrimA 399/72 Menahem v. State of Israel (unreported).

[64]     CrimA 450/82 Tripi v. State of Israel [1983] IsrSC 37(2) 589.

[65]     CrimA 282/75 Karki v. State of Israel (unreported).

[66]     CrimA 34/78 Algul v. State of Israel (unreported).

[67]     CrimA 949/80 Shuhami v. State of Israel [1981] IsrSC 35(4) 62.

[68]     CrimA 146/81 Al-Sena v. State of Israel [1982] IsrSC 36(2) 500.

[69]     CrimA 777/80 Beinashvili v. State of Israel [1983] IsrSC 37(2) 452.

[70]     CrimA 533/82 Zakkai v. State of Israel [1984] IsrSC 38(3) 57.

[71]     CrimA 788/77 Bader v. State of Israel [1980] IsrSC 34(2) 818.

[72]     CrimA 5825/97 Shalom v. State of Israel [2001] IsrSC 55(2) 933.

[73]     CrimA 6613/99 Smirk v. State of Israel [2002] IsrSC 56(3) 529.

[74]     CrimA 951/80 Kanir v. State of Israel [1981] IsrSC 35(3) 505.

 

Appeals Court Martial cases cited:

[75]     A 41/01 Chief Military Prosecutor v. Levy (unreported decision of 6 November 2001).

[76]     A 85/80 Cohen v. Chief Military Prosecutor (unreported).

[77]     A 190/01 Lahav v. Chief Military Prosecutor (unreported decision of 1 December 2002).

[78]     A 238/02 Britchock v. Chief Military Prosecutor (unreported decision of 13 January 2003).

[79]     A 59/03 Chief Military Prosecutor v. Schulman (unreported decision of 9 December 2003).

[80]     AA 28/03 Chief Military Prosecutor v. Al-Dema (unreported decision of 15 July 2003).

 

American cases cited:

[81]     Griffin v. California, 380 U.S. 609 (1965).

[82]     Opper v. United States, 348 U.S. 84 (1954).

 

Canadian cases cited:

[83]     R. v. Noble [1997] 1. S.C.R. 874.

 

English cases cited:

[84]     R. v. Cowan [1996] QB 373; [1995] 4 All ER 939.

 

For the applicant — O. Bassok.

For the first respondent — Y. Kostelits, L. Liberman.

For the attorney-general — M. Karshen.

 

 

JUDGMENT

 

 

Justice E.E. Levy

Introduction

1.    Can the silence of a defendant who is called to testify in his trial satisfy the requirement of ‘something extra’ for confessions that he made during his interrogation, in the course of which he took responsibility for the offences that were attributed to him? That is the question before us in this appeal.

On 24 Adar II 5765 (4 April 2005) leave was granted to appeal on this issue. Later, because of the importance of the issue, the attorney-general was joined as an additional respondent in the appeal. The time has come to make a decision.

The main facts

2.    In an indictment that was filed against the appellant, Corporal Itai Milstein, in the Central District Court Martial, it was alleged that during his military service he made use of a dangerous drug of the cannabis type (‘grass’), an offence under s. 7(a) and 7(c) of the Dangerous Drugs Ordinance [New Version], 5733-1973.

During the trial the appellant denied the offences attributed to him, but when he was asked to testify, he exercised his right to remain silent. Consequently the military prosecutor applied to submit as evidence two confessions that he made during his interrogation (prosecution exhibits 2 and 3), in which he confessed to several incidents in which he used cannabis-type drugs.

 In his confession (prosecution exhibit 2), the appellant said that from the age of 16 he has been in the habit of using drugs. The appellant also admitted that after he was conscripted into regular military service he once made use of a drug (‘grass’) together with a friend. The appellant even described his feelings after smoking the drug (‘I felt “high,” I was thirsty’) and also his feeling of regret that he felt as a result of this act (‘after that use, I said to myself: Why did I do that? I am in the army, in a combat unit. I hope to become a tank commander’). Moreover the appellant said that he used the drug after he had not left the base on leave for 21 days, and he went on to give various details about the method of smoking and the appearance and smell of the drug.

After it examined this confession, the District Court Martial came to the conclusion that it should be given considerable weight, in view of the many indications of truth that it revealed. In its words:

‘A reading of the defendant’s confession (prosecution exhibit 2) shows that we are dealing with a well-ordered confession from a chronological point of view, and one that is intelligible, complete and logical. The defendant includes his descriptions of events from the time when he was 16 years old until the time of the interrogation… Moreover, his confession is very detailed; it gives a detailed description of the manner in which he used drugs, including an explanation of the various methods of using cannabis. The defendant gives details of his feelings after he used the drug, the reasons that led him to use the drug during his military service, and finally he expressed regret at the deed… The concern that the confession may be false is also reduced because the defendant chose in his confession not to mention the names of the persons who supplied him the drugs or the name of the person with whom he made use of the drug during his military service. The defendant also knew how to say, in his defence, that he never bought drugs himself or had possession of drugs at home… From this we can see that the defendant’s replies in his interrogation were well thought out and it is clear that they were not given lightly or because of a hidden ulterior motive or pressure’ (p. 4 of the verdict).

The court martial discussed how the concern that a confession may be false is also not significant in this case because of an additional reason, and that is a memorandum (prosecution exhibit 5) that was made by the interrogator, in which it says that ‘the interrogation took place in a good atmosphere with full cooperation on the part of the suspect.’ The court martial also emphasized that the appellant did not make any claim or complaint in his interrogation and that ‘he did not act in an unusual manner during his interrogation, even though during the interrogation he shed a tear or two’ (p. 4 of the verdict).

Later the court martial turned to consider whether there was ‘something extra’ that might provide the support required for this confession. It was held that the appellant’s silence in the trial could satisfy this requirement, since he did not take the trouble to give any reason for his refusal to testify, and not even the smallest piece of evidence was brought before the court martial to indicate that the confessions were made under any pressure that he experienced. Therefore it was held that ‘It was to be expected that a defendant who wishes to deny his confession will take proper steps to persuade the court martial of the truth of his later story’ (ibid.), something that the appellant did not do. Later, in view of his conviction, the court martial sentenced the appellant to 20 days actual imprisonment and a two month suspended sentence.

3.    The appellant, who was not reconciled to his conviction, brought his case before the Appeals Court Martial, and he claimed that the support required for his confessions in the interrogation should not be inferred from his silence. With regard to this, counsel for the appellant raised a broader argument. According to him, the very possibility of reaching incriminating inferences from the silence of a defendant is likely to undermine the presumption of innocence and the right of defendants to remain silent, and it may also impose on them the burden of proving their innocence.

The Appeals Court Martial rejected these arguments. It held that according to what was stated in s. 162 of the Criminal Procedure Law [Consolidated Version], 5742-1982 (hereafter: ‘the Criminal Procedure Law’), if a defendant refrains from testifying in his defence, this may serve as support for the prosecution’s evidence and even serve as corroboration for it. Therefore, a fortiori it was held that there was nothing to prevent the silence of the defendant also constituting ‘something extra’ for his confession in the interrogation. Moreover, the Appeals Court Martial held that a defendant who chooses to remain silent during his trial expresses consent to the charges brought against him by his conduct, and therefore there is nothing wrong in the possibility of attributing to this choice an incriminating probative significance. Finally it was held that drawing incriminating inferences from the silence of a defendant in a criminal trial does not derogate from the right of silence that the law gives him, nor does it impose upon him the burden of proving his innocence, since this burden remains the duty of the prosecution authorities, who are required to prove the guilt of the defendant beyond all reasonable doubt.

The Appeals Court Martial relied in its judgment on a series of rulings it had made in the past, in which it was held that the silence of a defendant may serve, in appropriate circumstances, as ‘something extra’ for a confession that was made out of court. In one of those rulings (A 41/01 Chief Military Prosecutor v. Levy [75], which was cited at length in the judgment of the Appeals Court Martial, the following was said:

‘The concern that there may be an “internal pressure” that leads a defendant to refrain from testifying in the court is not consistent with his pleading not guilty to the charges, since the significance of pleading not guilty is, in practice, that the defendant retracts his confession that he made out of court.

It may be imagined that someone who “commits suicide by his confession” will continue with his “suicidal” approach and also plead guilty to an offence that he did not commit. And if the defendant decides to change his policy and defend himself against the charge brought against him, there is, as a rule, no reason why he should not take his place on the witness stand and tell his story…

If it really was a case of “internal pressure” arising from the inner world of the defendant or from other external causes, it is hard to believe that the defendant would have been able to retract his confession in the interrogation and deny the charges in court’ (ibid. [75], at p. 21 of the judgment).

For other decisions in the same vein, which testify to the strong hold that this ruling has in the courts martial, see also A 85/80 Cohen v. Chief Military Prosecutor [76]; A 190/01 Lahav v. Chief Military Prosecutor [77]; A 238/02 Britchock v. Chief Military Prosecutor [78]; A 59/03 Chief Military Prosecutor v. Schulman [79]; AA 28/03 Chief Military Prosecutor v. Al-Dema [80].

For the sake of completeness I will add that the appellant’s appeal against his sentence was allowed, and it was held that he would serve the sentence that was handed down to him in the form of military labour and not behind bars.

The arguments of the parties

4.    The parties set out at length their positions on the question under discussion. They attached to their pleadings many appendices and references to Israeli case law and foreign case law, learned articles and provisions of statute. The following, in a nutshell, is a summary of the arguments.

Learned counsel for the appellant, Adv. Or Bassok, is of the opinion that the additional probative requirement of ‘something extra’ for a defendant’s confession — as opposed to the additional requirement of ‘support’ — should be external and separate from the confession, and therefore the silence of a defendant in his trial cannot satisfy this requirement. He argued that the defendant’s silence at the trial, which took place after he confessed during the interrogation that he committed the offences attributed to him, does not necessarily indicate that he was involved in those offences, but it may derive from a series of other reasons, which do not indicate his guilt. For all these reasons learned counsel for the defence expressed his opinion that the assumption that a person who is innocent will defend himself in a positive manner against the charges levelled at him by giving testimony in court is a speculative and unfounded assumption. Moreover he argued that the rulings made by the courts martial are based on an erroneous assumption that only defendants who are actually guilty exercise their right to remain silent, whereas innocent defendants will not hesitate to make a positive statement of their innocence during the trial.

He also emphasized that the provisions of s. 162 of the Criminal Procedure Law, which state that if a defendant refrains from giving testimony, this may serve as ‘support’ or ‘corroboration’ for the prosecution evidence, do not address the additional requirement of ‘something extra’ at all. Consequently, according to the outlook of learned counsel for the defence, it is not possible to extend s. 162 by means of interpretation, since had the legislature intended to include ‘something extra,’ it would have said so expressly. He also argues that the outlook that regards ‘support’ as a stricter probative requirement than ‘something extra’ is erroneous, since the difference between ‘support’ and ‘something extra’ is a qualitative difference and not a quantitative one. On the basis of all this, counsel for the appellant is of the opinion that the conclusion reached by the Appeals Court Martial, according to which the refusal of a defendant to testify may serve as ‘something extra’ for his confession, is an erroneous conclusion, both because it negates the difference between ‘support’ and ‘something extra’ and makes them into one, and also because it undermines the purpose for which the courts require a confession of a defendant to be supplemented by ‘something extra.’ Such an interpretation, so counsel for the defence believes, is also required by the Basic Laws and by the desire to protect the basic rights of defendants in a criminal trial.

An additional line of argument presented by counsel for the appellant concerns the alleged undermining of the presumption of innocence and the right to silence of defendants in criminal proceedings caused by the ruling which is the subject of this appeal. He argues that a finding that a refusal of a defendant to testify may serve as evidence against him undermines the presumption of innocence and the rule that the burden of proof rests with the prosecution authorities, since they are no longer required to discharge the burden of proving guilt independently, and from now they can also rely on the defendant for this. Such a situation, in the opinion of counsel for the defence, is also likely to make the right to remain silent meaningless, since the very threat of the possibility of making use of silence as incriminating evidence will compel the defendant to waive this right and to testify even when he does not wish to do so.

5.    In the opinion of the attorney-general — which was submitted in consultation with the chief military prosecutor — the following position was presented: the provisions of s. 162 of the Criminal Procedure Law, which make it possible to infer from the defendant’s silence ‘support’ or ‘corroboration’ for the weight of the prosecution’s evidence, can serve as a legal source for regarding this silence also as ‘something extra’ for a confession that the defendant made during his interrogation. The respondents also think that the possibility of regarding the defendant’s silence as ‘something extra’ for his confessions does not undermine either the presumption of innocence or the right to remain silent, since it does not compel the defendant to abandon the right to remain silent and testify in his trial.

Notwithstanding, the respondents did not hide their opinion that the possibility of regarding silence as ‘something extra’ for a confession may give rise to a difficulty because of the concern of false confessions, and in their arguments they even expressly admitted that ‘there may be cases in which a defendant, who took responsibility in a police interrogation for carrying out an offence that he did not commit, will deny the charges but choose not to testify in his own defence’ (para. 44 of the attorney-general’s arguments). In view of this recognition, the attorney-general also issued a guideline to the prosecution authorities to act with caution before filing indictments that are based solely on the confession of a suspect in an interrogation. This guideline, which was attached to the respondent’s arguments, says the following:

‘a.           As a rule, indictments should not be filed on the basis of out of court confessions if the evidence collected during the investigation does not contain “something extra” to strengthen those confessions. In exceptional cases it will be possible to file an indictment in such circumstances, but only with the approval of the state attorney or the chief military attorney as applicable.

b.            In so far as the question will arise in the trial, because the ‘something extra’ that was contained in the investigation material was undermined during the trial, as a rule the prosecution should not request the court to regard the refusal of the defendant to testify as “something extra,” except in special cases, in which the confession itself is complete, detailed and convincing, and all the circumstances surrounding it remove all reasonable doubt that it was not made freely and willingly or that it was made as a result of some kind of “internal pressure,” and even then it requires the approval of the district attorney or the attorney of the relevant command as applicable’ (para. 4 of the attorney-general’s arguments).

Notwithstanding the aforesaid, the respondents are of the opinion that there is no basis for introducing a rule that will create a sweeping prohibition against treating a defendant’s silence as ‘something extra’ for his confession, and in their opinion the courts should be given discretion to determine on a case by case basis — in view of the nature of the confession — whether the silence of the defendant can be regarded as ‘something extra’ or not.

Deliberations

6.    The question before us in this appeal requires us to consider the importance of defendants’ confessions as a means of discovering the truth and doing justice, the concerns that accompany such confessions and the nature of the probative requirement of ‘something extra’ that is needed where the conviction of a defendant is based solely on a confession that was made by him during his interrogation.

The probative significance of the right to remain silent

7.    It will be recalled that a considerable part of the appeal was devoted to the argument that the possibility of giving the silence of defendants an incriminating probative significance undermines the right to remain silent, the presumption of innocence and the rule that provides that in criminal law the burden of proof rests with the prosecution and not with the defendant.

There is no need to elaborate on the importance of the presumption of innocence and the right to remain silent in a criminal trial. According to the presumption of innocence, which is one of the basic principles of criminal law, we assume that ‘a person — every person — has a presumption of innocence from felonies and misdemeanours as long as the contrary has not been proved’ (CrimA 4675/97 Rozov v. State of Israel [1], at p. 369; see also CrimApp 8087/95 Zada v. State of Israel [2], at p. 145). The practical significance of this presumption is that the burden of rebutting it rests with the prosecution authorities, and it will succeed in doing this only when it proves the defendant’s guilt beyond reasonable doubt (s. 34V(a) of the Penal Law). Nothing less will suffice. In this sense it is possible to see the right to remain silent also as one of the aspects of the presumption of innocence. According to this right, which is enshrined in s. 161 of the Criminal Procedure Law, a defendant cannot be compelled to defend himself in a positive manner against the charges brought against him, and therefore he is not obliged to testify during his trial or answer questions that are asked in the course of an investigation that is being conducted against him, when the answers to these questions may incriminate him (see LCrimA 8600/03 State of Israel v. Sharon [3], at pp. 756-757; LCA 5381/91 Hogla v. Ariel [4], at p. 381). This shows another aspect of the strong status of the presumption of innocence, because legal systems that give defendants a right to remain silent do not compel them to disclose incriminating information that is in their possession, and the burden of proving guilt remains with the prosecution authorities alone.

8.    Thus we see that the presumption of innocence and the right to remain silent are two of the foundations on which our criminal law is based. They also constitute an integral part of the right of a defendant to a fair trial (see CrimA 5121/98 Yissacharov v. Chief Military Prosecutor [5], at para. 66; CrimA 4596/05 Rosenstein v. State of Israel [6], at para. 53; HCJ 11339/05 State of Israel v. Beer-Sheba District Court [7], at para. 24). They are directly connected with the principles of fairness, justice and liberty (HCJ 6972/96 Association for Civil Rights in Israel v. Attorney-General [8], at p. 783). They reflect a recognition of the huge disparity of forces between the state, in its capacity as prosecutor, and the defendant standing trial. They impose on the state the burden of justifying the violation of human rights that is caused as a result of the conviction and sentencing of defendants. They reduce the risk of mistakenly convicting an innocent person. Therefore some authorities regard them as constitutional rights that are derived from the Basic Law: Human Dignity and Liberty (CrimApp 2169/92 Suissa v. State of Israel [9], at p. 342; HCJ 6319/95 Hachmi v. Justice of Tel-Aviv-Jaffa Magistrates Court [10], at p. 755; A. Barak, ‘The Constitutionalism of the Legal System following the Basic Laws and its Ramifications on (Substantive and Procedural) Criminal Law,’ 13 Bar-Ilan Law Studies (Mehkarei Mishpat) 5 (1996), at p. 23; D. Bein, ‘The Constitutional Protection of the Presumption of Innocence, 22 Tel-Aviv University Law Review (Iyyunei Mishpat) 11 (1999); M. Lindenstrauss, ‘The Presumption of Innocence’ in Israeli Law and American Law — Selected Topics (1999), at pp. 5-7, 112-113; R. Kitai, ‘The Importance of a Positive Presumption of Innocence, its Role and Nature in the Proceedings Prior to the Verdict in Criminal Trials,’ 3 Alei Mishpat 405 (2004), at p. 444; R. Kitai, ‘Protecting the Guilty,’ 6 Buff. Crim. L. Rev. 1163 (2004).

Prof. Dennis discussed the relationship between the presumption of innocence and the right to remain silent, on the one hand, and the values of human liberty and dignity and the relationship between the individual and the state, on the other:

‘It is for the prosecution to prove the accused’s guilt and not for the accused to prove innocence. According to the theory the fundamental rule concerning the burden and standard of proof in criminal cases expresses more than a bare rule of decision for the court in situations of uncertainty, and more than a rule about the allocation of the risks of misdecision. In addition it makes a political statement about the relationship between the state and the citizen’ (I.H. Dennis, ‘Instrumental Protection, Human Right or Functional Necessity? Reassessing the Privilege against Self-Incrimination,’ 54 Cambridge L.J. 342 (1995), at p. 353).

The appellant is of the opinion that the possibility of attributing probative significance to the silence of a defendant undermines the status of the right to remain silent and the presumption of innocence, in that it allows the prosecution authorities to use the defendant as a means of obtaining incriminating evidence. Thereby, in the appellant’s opinion, the burden of proof is moved from the prosecution to the defendant.

9.    This question, which has proved fertile ground for legal literature, is broader that the scope of the dispute addressed by this appeal and it is not limited merely to the question of the status of a defendant’s confession in an interrogation and the nature of the additional probative requirement that it needs. There is no doubt that the possibility of drawing incriminating inferences from the silence of a defendant may induce defendants to waive this right and encourage them to testify with regard to the charges against them, but there are important considerations, both for and against, with regard to the question whether this policy should be adopted and the defendant should pay a price for his silence which will happen if we allow the courts to draw incriminating inferences from the use of this right.

Those who oppose the drawing of such inferences hold that the mere threat that hovers over the defendant that his silence may strengthen the prosecution’s evidence will place him under pressure and thereby compel him to waive the right to remain silent. Those who hold this position claim that such a situation moves the burden of proof to the defendant and even turns him into a source of incriminating evidence. This was what G.W. O’Reilly meant when he claimed that drawing inferences from the defendant’s silence also limits his freedom of choice when he comes to decide how to conduct his defence:

‘It also diminishes the accusatorial system’s protection of individual autonomy and free choice because, when suspected of a crime, individuals are no longer free to choose whether or not to provide the government with evidence to aid in securing their own conviction; they are bound to do so or face an inference of their guilt’ (G.W. O’Reilly, ‘England Limits the Right to Silence and Moves Towards an Inquisitorial System of Justice,’ 85 J. Crim. L. & Criminology 402 (1994), at p. 451).

(See also the position of Dr S. Easton in her book The Case for the Right to Silence (second edition, 1998), at pp. 180-181; C.A. Chase, ‘Hearing the “Sounds of Silence” in Criminal Trials: A Look at Recent British Law Reforms With an Eye Toward Reforming the American Criminal Justice System,’ 44 Kan. L. Rev. 929 (1996), at pp. 942-946). Another opinion holds that the right to silence is a means of doing justice and not a value in itself. According to this approach, the possibility of drawing incriminating inferences from the defendant’s silence will make it difficult to achieve the main goal of arriving at the truth, because it will provide an incentive for defendants to give de an incentive for defendants to ll ilence is a means of doing justice and not a value in itself. According to this approafalse testimony instead of availing themselves of the right to silence, which will require the courts to distinguish between true testimony and false testimony, despite the risk of error to which this gives rise. An absolute right to remain silent, without any possibility of drawing inferences that are unfavourable to the defendant from his use of this right, is therefore, according to this approach, a tool that will make it possible to distinguish between innocent defendants and guilty defendants (D.J. Seidmann & A. Stein, ‘The Right to Silence Helps the Innocent: A Game-Theoretic Analysis of the Fifth Amendment Privilege,’ 114 Harv. L. Rev. 430 (2000)).

On the basis of these outlooks, which have been adopted in American law, the United States Supreme Court has held in the well-known case of Griffin v. California [81], at p. 615, and in a host of later cases that no probative inferences of any kind should be drawn from the silence of a defendant in a trial. The court there also emphasized the lofty status of the privilege against self-incrimination as a constitutional right that is enshrined in the Fifth Amendment to the Constitution, and it held that drawing inferences from the silence of the defendant is tantamount to imposing a sanction on his exercising this constitutional right. The Supreme Court of Canada has also held, on the basis of the same outlook, that no adverse inference should be drawn from the silence of the defendant, because this would violate the right to remain silent that is enshrined in section 11 of the Canadian Charter of Rights and Freedoms (R. v. Noble [83]).

10. But this outlook has not been accepted in the Israeli legal system. According to the outlook prevailing in Israel, the right to remain silent is not violated even if the court is permitted to draw inferences from the defendant’s decision to realize this right. Admittedly the defendant is free to decide whether to testify or to remain silent. We do not compel the defendant to testify. ‘The defendant who remains silent — as opposed to the witness who remains silent — acts within the framework of the law; but the court has the power to interpret his conduct in accordance with its impression and understanding’ (CrimA 1497/92 State of Israel v. Tzubari [11], at p. 203). This outlook is also consistent with the general provision of s. 53 of the Evidence Ordinance [New Version], 5731-1971, that ‘The reliability of witnesses is a matter for the court to decide in accordance with the witnesses’ conduct, the circumstances of the case and the indications of truth that are revealed during the trial,’ since the silence of the defendant, like all other conduct, may also be a source for the court forming an impression of the defendant. My colleague, President Barak, has also expressed his outlook that the possibility of drawing inferences that are unfavourable to a defendant who remains silent does not violate his constitutional right:

‘The right to remain silent is a part of human dignity, in the sense that a person should not be compelled to testify, but it would appear that human dignity is not violated if we draw an unfavourable inference from his remaining silent’ (A. Barak, ‘Human Dignity as a Constitutional Right,’ 41 HaPraklit 271 (1994), at p. 285).

With regard to the English legal system, which also allows adverse inferences to be drawn from the defendant’s silence, Prof. Ingraham has expressed the opinion that the possibility of drawing inferences from the defendant’s silence is consistent with the presumption of innocence and does not transfer the burden of proof to the defendant:

‘The jury is not compelled to draw the inference of guilt; the law does not create a presumption of guilt, which becomes conclusive on the failure of the defendant to offer rebuttal evidence’ (B.L Ingraham, ‘The Right of Silence, the Presumption of Proof, and a Modest Proposal: A Reply to O’Reilly,’ 86 J. Crim. L. & Criminology 559 (1996), at p. 591).

Prof. Dennis expressed a similar opinion in his article cited above. According to his outlook, the possibility that the silence of the defendant will give rise to probative inferences is also dictated by logic, since where there is incriminating evidence against the defendant and he refuses to offer an innocent explanation for that evidence, it may be assumed that such an explanation simply does not exist. Dennis is also of the opinion that such an outcome is also consistent with the burden of proof required in criminal cases:

‘The legal burden of proof is not reversed by the restriction of the right to silence; if the tribunal of fact is left with a reasonable doubt after consideration of all the evidence the accused must be given the benefit of it. It is not for the accused to “prove” innocence’ (Dennis, ‘Instrumental Protection, Human Right or Functional Necessity? Reassessing the Privilege against Self-Incrimination,’ supra, at p. 355).

See also in this context the position of E. Gross, ‘The Right Not to Incriminate Oneself — Is It Really a Landmark in the Struggle of Enlightened Man for Progress?’ 7 Bar-Ilan Law Studies (Mehkarei Mishpat) 167 (1989), at pp. 188-190. This outlook has also been expressly recognized in statute, and in 1976 the Criminal Procedure Law was amended by adding the provision now found in s. 162, which provides the following:

‘Silence of the defendant

162. (a) A refusal of the defendant to testify may serve as support for the weight of the prosecution’s evidence and as corroboration for the prosecution’s evidence where it requires corroboration, but it shall not serve as corroboration for the purpose of section 11 of the Rules of Evidence Amendment (Protection of Children) Law, 5715-1955, or for the purpose of section 20(d) of the Interrogation Procedures and Testimony of Persons with Disabilities Law.

(b) …’

This court has held in a host of cases that this provision is consistent with experience, since ‘an innocent man is not only willing to testify, but he is happy for the opportunity to enter the witness box and refute the incriminating evidence, which he claims is false’ (CrimA 196/85 Silberberg v. State of Israel [12], at p. 525). The source of this approach can be found in the time of one of the greatest legal thinkers, Jeremy Bentham, and his famous statement —

‘Innocence claims the right of speaking, as guilt invokes the privilege of silence’ (J. Bentham, A Treatise on Judicial Evidence (London, 1825), at p. 241).

This gives rise to the outlook that the defendant’s decision to remain silent rather than to try and make a positive declaration of his innocence ‘may imply that his conscience recognizes that he is guilty’ (CrimA 139/52 Attorney-General v. Keinan [13], at p. 644).

11. It is not superfluous to point out that the provisions of s. 162 do not make it possible to regard silence as evidence with an independent weight of its own. It is clear that a conviction of a defendant cannot be based solely on the silence of the defendant: silence is not the same as a confession. The provision was also not designed to allow the prosecution to extract from the defendant new incriminating evidence ex nihilo. All that the provision was intended to do is to allow the court to regard silence, in the appropriate cases, as additional support for the existing evidence that was assembled by the investigation authorities (see the remarks of Justice Sussman in CrimA 112/52 Gabuv v. Attorney-General [14], at p. 254). Moreover, the provisions of s. 162 do not require the trial court to regard the silence of the defendant as support or corroboration for the prosecution evidence. All that the provision says is that in appropriate circumstances the silence of the defendant may corroborate or support the prosecution’s evidence, and there may certainly be cases — as has happened on more than one occasion — where it was found that it would not be right for the defendant’s silence to strengthen the incriminating evidence assembled in his case, since we recognize that there may be cases in which the defendant’s silence is the result of innocent motives and does not indicate his guilt. Thus, for example, in several cases it was held that where the defendant’s silence is intended to shield a person close to him that was also involved in the criminal enterprise, it is possible that his silence has no probative value (see, for example, CrimA 115/82 Muadi v. State of Israel [15], at p. 234; CrimA 7293/97 Jafar v. State of Israel [16], at pp. 474-475; CrimA 1888/02 State of Israel v. McDaid [17], at p. 231). There may of course be additional cases, with their own special circumstances.

This outlook, which makes it possible to regard silence as support for the evidence presented by the prosecution, was also adopted by English law more than a decade ago in the Criminal Justice and Public Order Act 1994. Section 35 of that law, which introduced a major normative change in the attitude of the courts to the silence of a defendant, also provided that the silence of a defendant may have probative value in determining his guilt:

‘(3) Where this subsection applies, the court or jury, in determining whether the accused is guilty of the offence charged, may draw such inferences as appear proper from the failure of the accused to give evidence or his refusal, without good cause, to answer any question.’

Immediately thereafter, in the same section, it was clarified that this provision does not oblige defendants to testify during the trial, and that a defendant who chooses to remain silent does not commit any offence by doing so:

‘(4) This section does not render the accused compellable to give evidence on his own behalf, and he shall accordingly not be guilty of contempt of court by reason of a failure to do so.’

Lord Taylor also held in R. v. Cowan [84], at p. 378, which was cited at length by the Appeals Court Martial, that the possibility of drawing incriminating inferences from the defendant’s silence does not violate the right to remain silent:

‘It should be made clear that the right of silence remains. It is not abolished by the section; on the contrary, subsection (4) expressly preserves it.’

The argument that this arrangement undermines the presumption of innocence was also rejected in that case, at p. 379:

‘Thus the court or jury is prohibited from convicting solely because of an inference drawn from the defendant’s silence… the burden of proving guilt to the required standard remains on the prosecution throughout. The effect of section 35 is that the court or jury may regard the inference from failure to testify as, in effect, a further evidential factor in support of the prosecution case. It cannot be the only factor to justify a conviction and the totality of the evidence must prove guilt beyond reasonable doubt.’

12. If I have discussed these matters at some length, it was because of the elevated status of the right to remain silent in our legal system. But from reading the aforesaid, there cannot be any doubt that the question whether it is possible to draw adverse inferences from the silence of a defendant has been decided in Israeli law, in s. 162 of the Criminal Procedure Law. This provision is unambiguous. It makes it possible to regard silence as corroboration or support for the prosecution’s evidence, and therefore it also constitutes the premise for our deliberations. Within the framework of this appeal we were not even asked to examine the legality or constitutional of this provision. Therefore I also see no reason to make a decision regarding the various approaches that exist on this issue. The question that we need to examine is therefore a narrow one. We need to examine whether it is right to interpret the provisions of s. 162 so that it allows us to regard the silence of a defendant not only as ‘corroboration’ and ‘support,’ but also as ‘something extra’ for a defendant’s confession, even though the provision does not expressly address this type of probative requirement.

As we shall clarify below, there are in my opinion good reasons for holding that the defendant’s silence should not be capable of constituting ‘something extra’ for his confession, unless the conditions that I shall discuss below are satisfied.

On defendants’ confessions

13. A defendant’s confession that he committed the offence attributed to him plays a central role in our laws of evidence. The reason for this is clear, since, as a rule, the defendant is the person who knows better than anyone else whether the charges levelled at him are true. Moreover, the assumption is that in the ordinary course of events a person does not portray himself as a criminal, in the sense that a person does not confess to an offence that he did not commit, and therefore there is a nucleus of truth in what he says. This is why the legal system attributes prima facie credibility to defendants’ confessions. This approach has led to a situation in which the interrogations of defendants have often focused on attempts to extract confessions that implicate them in criminal acts, and these were subsequently, during the trial, submitted as incriminating evidence against them. This has also led to the fact that in our legal system it is possible to base a conviction of a defendant on a confession that he made during his trial alone (see s. 154 of the Criminal Procedure Law).

Moreover, the legal system practised in Israel makes it possible to submit in evidence confessions that were made by the defendant even during his interrogation, as an exception to the rule prohibiting hearsay. The assumption is that such a confession goes against the interests of the person making it, and it may be assumed that he would not accept responsibility for an act that he did not commit (see also P. Murphy, Murphy on Evidence (Oxford, ninth edition, 2005), at p. 258). Notwithstanding, the status of these confessions is different from that of confessions made by the defendant during his trial, and they must be supported by ‘something extra’ in order to bring about the conviction of a defendant. The idea underlying this requirement is that confessions that come before the trial court in written form were not made before the watchful eyes of the courts and in such circumstances it is not possible to form an impression of the circumstances in which they were made, nor is it possible to examine the person who made the confession, which makes it difficult to evaluate the weight that should be given to such evidence (CrimA 556/80 Ali v. State of Israel [18], at pp. 185-186). This difficulty is further increased in view of the experience that has been accumulated in our legal system, as well as in foreign legal systems, which has shown that in reality there are indeed cases in which persons under interrogation have admitted committing offences that they never committed at all. The outlook that may have been accepted in the past — that a person never accepts responsibility for acts that he did not commit — is no longer accepted as absolutely correct. Regrettably, even in Israel there have been several cases in which convictions that were based on confessions made by suspects during their interrogations have been found to be erroneous (RT 1966/98 Harari v. State of Israel [19]; RT 3032/99 Baranes v. State of Israel [20]). In order to deal with these phenomena, a commission was appointed, with Justice E. Goldberg as chairman, and this commission published its conclusions in 1994 (see the report of the Commission concerning Convictions Based Solely on a Confession and concerning the Grounds for a Retrial (1994) (hereafter — ‘the Goldberg Commission report’)). On this subject we have also been blessed with thought-provoking literature (see M. Kremnitzer, ‘Conviction on the Basis of a Confession — Is There a Danger in Israel of Convicting Innocents?’ 1 HaMishpat 205 (1993); U. Struzman, ‘Protecting the Suspect against False Confessions,’ 1 HaMishpat 217 (1993); A. Bendor, ‘Taking a Defendant’s Confessions and its Admissibility — Purposes, Methods and What Lies In-Between,’ 6 Israel Journal of Criminal Justice (Plilim) 245 (1996); D. Dorner, ‘The Queen of Evidence v. Tarak Nujeidat — On the Danger of False Confessions and How to Deal with It,’ 95 HaSanegor 5 (2005); B. Sangero, ‘The Confession as a Basis for a Conviction — “Queen of Evidence” or Empress of False Convictions,’ 4 Alei Mishpat 245 (2005)).

14. There are many factors that lead to false confessions, but they may be classified into two categories. The main concern relates to false confessions made by suspects who were subjected to improper interrogation practices, such as violence, physical coercion or unfair psychological pressure, and who were induced by these to confess to something they had not done. As is well known, the arrangement that is designed to deal with circumstances such as these is found in s. 12 of the Evidence Ordinance, which provides that a confession made out of court will be admissible ‘only if the prosecutor brings testimony concerning the circumstances in which the confession was made and the court sees that the confession was free and voluntary.’ This section 12, which has been considered extensively in the case law of this court, is not relevant in the present case, in which it has not been claimed that the appellant’s confessions were not made of his own free will.

But that is not all. There is an additional concern that the defendant will make a false confession during his interrogation of his own free will, even in cases where the interrogation was conducted in a proper manner and without any of those external coercions that are addressed by the rule of admissibility in s. 12 of the Evidence Ordinance being used against him. This court has recognized in a whole host of cases the possibility that even subjective pressure and internal tension may result in the person under interrogation breaking down and ‘committing suicide’ in his confession (CrimA 48/54 Irshid v. Attorney-General [21], at p. 691). ‘It is the law that a confession is always accompanied by a concern that perhaps the person making the confession had a reason for taking responsibility for an act that he did not commit, even when the concern is unclear and not apparent’ (CrimA 6289/94 Janshvili v. State of Israel [22], at p. 176; see also CrimA 715/78 Levy v. State of Israel [23], at p. 234; CrimA 124/87 Nafso v. Chief Military Prosecutor [24], at p. 635 {266}; CrimA 3967/91 Mazon v. State of Israel [25], at p. 171; FH 3081/91 Kozali v. State of Israel [26], at p. 448).

The Goldberg Commission report listed three categories of factors that cause persons who are under internal pressure to make false confessions:

‘The first category contains those false confessions that are made because of the personality type of the person under interrogation. The person under interrogation does not distinguish between fantasy and reality, he thinks that by confessing he will “atone” for improper conduct in the past (whether true or imaginary), or he has a tendency towards self-destruction because of general and unfocused feelings of guilt, and he is one of those “troubled depressed persons that look forward to death, who stick knives in themselves and throw themselves from the rooftops’ (Maimonides, Hilechot Sanhedrin, 18, 6)…

The second category contains those false confessions that are made because of the influence of the interrogation or the arrest on the person under interrogation. This group includes persons under interrogation who, because of their inability to withstand the pressure of the interrogation from an emotional viewpoint, wish to put an end to it, sometimes in the belief that in the trial they will prove their innocence. There are cases where a person under interrogation is prepared for these reasons to confess to a less serious offence than the one of which he is suspected, out of considerations of short-term relief…

The third category contains those false confessions that are made because of social considerations and pressures: the desire to shield the true offender, family reasons (‘family honour’), solidarity with the true offender, belonging to the criminal classes and sometimes pressure from the real offender; the desire to become famous or notorious, or to be admitted into a criminal organization; taking the whole blame in order not to be labelled as an informer’ (ibid., at pp. 9-10).

The commission recognized that every person who is interrogated has his own personality type. Therefore persons who are interrogated respond and conduct themselves differently during the interrogation; ‘every person under interrogation has a personal “breaking point,” according to his personality and his ability to call upon emotional strengths in order to withstand conditions of pressure’ (ibid., at p. 8). The commission also warned that the danger that a defendant would accept responsibility for an offence that he did not commit was greater precisely for someone who was being interrogated for the first time, did not belong to the criminal classes and had no experience of arrest (ibid.). Legal and psychological literature has suggested a whole host of other possible reasons for false confessions that are unrelated to the use of improper interrogation practices, including the defendant’s distorted perception of reality; attempts to please the interrogators and win their sympathy; emotional or mental disabilities, etc. (R. Kitai-Sangero, ‘Silence as Admission: On the Erroneous Approach to Silence in the Court as Something Extra for a Confession in an Interrogation,’ 18 Law and Army 31 (2005), at pp. 38-39).

15. Admittedly, a false confession appears prima facie to be an irrational form of conduct. But we must reiterate that persons under interrogation are not homogeneous. Not all persons under interrogation act in the manner that we would expect a reasonable and thinking person to act. An interrogation places the person under interrogation in a threatening situation with which he is usually unfamiliar. This is inherently a coercive situation, which subjects the person under interrogation to many pressures, particularly because of the threat hovering over him that he may be found guilty and punished. It is not without justification that it was held that an interrogation, ‘even if it does not involve the use of physical measures, violates the liberty of the person under interrogation. It sometimes violates his dignity and his privacy’ (HCJ 5100/94 Public Committee Against Torture v. Government of Israel [27], at p. 831 {584}); ‘granting the authority to conduct a criminal investigation gives power, and it therefore involves a danger of a violation of the privacy, dignity, liberty and property of persons under interrogation’ (CrimA 4855/02 State of Israel v. Borovitz [28], at para. 48); elsewhere it was said that ‘any investigation, even if it is the most reasonable and fairest investigation of all, places the person under interrogation in embarrassing situations, burdens him, pries into his private concerns, invades his innermost recesses and places him under serious emotional pressure’ (Y. Kedmi, On Evidence (part 1, 1999), at p. 38). In view of all this, some authorities have gone so far as to claim that a false confession is in certain circumstances a normal reaction to an abnormal situation in which persons under interrogation are placed:

‘The false confession is not the product of a diseased mind, different in kind from a normal mind, but is simply an extreme manifestation of quite “normal” and understandable behavior’ (C.J. Ayling, ‘Corroborating Confessions: An Empirical Analysis of Legal Safeguards against False Confessions, 1984 Wis. L. Rev. 1121, at p. 1157).

For further discussion of the factors that cause false confessions, see G.H. Gudjonsson, The Psychology of Interrogations, Confessions and Testimony (Chichester, 1992); W.S. White, ‘False Confessions and the Constitution: Safeguards against Untrustworthy Confessions,’ 32 Harv. C.R.-C.L. L. Rev. 105 (1997), at p. 108. A similar position was expressed by Justice D. Dorner, in a minority opinion. According to her, a confession that was made in an interrogation is suspect evidence that should be regarded with great caution:

‘A defendant’s confession is suspect evidence, even if it was made without any external pressure being exerted on the defendant. The reason for this is that in the absence of other solid evidence that would prove the guilt of the defendant even without a confession, making a confession is in many cases an irrational act, and taking the irrational step of making a confession gives rise to a suspicion as to whether the confession is true. This suspicion is not merely theoretical, but it has been proved on more than once occasion by experience’ (CrimFH 4342/97 El Abeid v. State of Israel [29], at p. 836).

But as I have said, this position of Justice Dorner remained a minority opinion on that point, and confessions have always been and remain a very important tool for discovering the truth. A confession is ‘primus inter pares in the realm of evidence’ (per Justice M. Cheshin in El Abeid v. State of Israel [29], at p. 833). ‘Take confessions and testimonies from the law and you have removed the heart and soul of justice’ (per Justice T. Strasberg-Cohen, ibid. [29], at p. 855). ‘… the confession has a place of honour in the hierarchy of evidence in criminal law, and it is an important and accepted tool in those cases where the court is persuaded that the confession is a true one’ (per Justice E. Arbel in CrimA 6679/04 Steckler v. State of Israel [30], at para. 23). But it is important to clarify that we do not ignore the possibility that defendants will make false confession during their interrogations. On the contrary, we are aware of this danger and therefore we are enjoined to examine with great care the content of the confession before we base the defendant’s conviction on it. The outlook that ‘a person does not incriminate himself if he is innocent cannot be accepted as a legal axiom’ (in the words of the Goldberg Commission report, at p. 6). For this purpose case law has also developed two mechanisms that seek to prevent miscarriages of justices that may be caused as a result of relying on false confessions. We will now turn to consider these mechanisms.

Not relying on false confessions — the internal and external tests

16. There are two tests — an internal test and an external test — that are designed to contend with the fear that the defendant made false confessions in his interrogation. The first test is internal to the confession; according to this we evaluate the weight of the confession itself in view of the indications of truth that it reveals. The nature of this test was discussed by my colleague President Barak in one case, and among the ‘indications of truth’ he listed the logic or lack of logic in the version of events recounted by the defendant in his confession, ‘the clarity or confusion of the details contained in it and other similar indications of common sense that lead a rational person to trust what someone says,’ and also whether the story is ‘coherent, contains an internal logic of its own and is complete, or whether the story is confused, fragmented and has no logical consistency’ (Levy v. State of Israel [23], at pp. 234-235; see also Kozali v. State of Israel [26], at p. 458). In cases where the trial court finds, in reliance on these criteria, that the confession does not contain indications of truth, and that it should be given negligible weight, then it has been held that the defendant should not be convicted on the basis of the confession, and in the absence of other incriminating evidence this is sufficient to bring about the defendant’s acquittal. This situation did not exist in the appellant’s case. The District Court Martial found, and I do not think this conclusion should be changed, that the appellant’s confession should be given considerable weight:

‘We are dealing with a consistent confession from a chronological viewpoint; it is comprehensible, complete and logical. The defendant incorporates his descriptions of events that happened from the time he was 16 until the time of the interrogation… Moreover, his confession is very detailed; it gives a detailed description of the manner in which he used the drugs, including an explanation about the various methods of using cannabis. The defendant explained his feelings after using the drugs, the reasons that led him to use them during his military service, and finally he even expressed regret for what he did… The fear of a false confession is also lessened because the defendant chose in his confession not to mention the names of the persons who supplied him the drugs as well as the name of the person who used them with him… From this we learn that the defendant’s replies during his interrogation were well thought out and there is nothing in them to indicate that they were made casually or as a result of any hidden internal motive or as a result of pressure’ (p. 4 of the verdict).

17. But this determination is insufficient, since, as I have said, there is another mechanism for examining the confession. This other mechanism is external to the confession, and according to it we are required to strengthen the defendant’s confession with an additional probative requirement of ‘something extra.’ This requirement was introduced in our legal system in its earliest days (CrimA 3/49 Andelersky v. Attorney-General [31]), and over the years this court has reiterated its importance as a means of contending with the fear of false confessions. In addressing the nature of this requirement of ‘something extra,’ Justice S.Z. Cheshin held that it imposes upon the prosecution authorities ‘a duty to show why we should rely on the confession, i.e., what are the circumstances that require the conclusion that the confession is correct’ and also that it is designed to show ‘that the defendant is a person who had an opportunity to do the felonious act to which he confessed before he was brought to trial’ (ibid. [31], at p. 593). It was also held that the requirement of ‘something extra’ did not need to prove the fact that the offence itself was committed or to identify the defendant as its perpetrator, and any evidence, whether direct or circumstantial, would suffice to authenticate the confession (CrimA 290/59 A v. Attorney-General [32], at p. 1499; CrimA 543/79 Nagar v. State of Israel [33], at pp. 141-142). In this way our legal system differs from the American legal system. Admittedly, there too the courts require confessions made out of court to be supported by additional authenticating evidence, but the requirement there is that this support should be independent and substantial evidence that also relates to the corpus delicti of the offence and nothing less than this (see Opper v. United States [82]; see also Ayling, ‘Corroborating Confessions: An Empirical Analysis of Legal Safeguards against False Confessions, supra, at pp. 1126, 1145-1152).

18. The requirement of ‘something extra’ is therefore intended to authenticate the version of events that the defendant told in his interrogation. It is intended to remove the doubt that ‘perhaps for hidden reasons known only to the person making the confession, he chose to admit to an act that he did not do’ (CrimFH 3391/95 Ben-Ari v. State of Israel [34], at pp. 450-451). For this reason we do not satisfy ourselves with an examination of the weight of the confession. We therefore require an ‘external’ addition to the confession, since the ‘something extra’ is ‘the only objective criterion available to the court for examining the truth of the “subjective” confession of the defendant’ (ibid. [34], at p. 451). This objective criterion also emphasizes the great importance of the ‘something extra’ as a means of protecting the defendant against false confessions. After all, examining the weight of the confession (‘the internal test’) is hardly unique to the fear of false confessions, since the courts are required to determine the proper weight of every piece of evidence that comes before them, which they do on a regular basis (s. 53 of the Evidence Ordinance). From this we see the great importance of the requirement of ‘something extra’ (‘the external test’) as a mechanism that is unique to examining the credibility of confessions not made under the watchful eye of the courts. The Goldberg Commission report also recognized the great importance of the requirement of ‘something extra,’ and this was reflected in the commission’s recommendation to enshrine this requirement in statute, in the following language:

‘(a) A statement of a person outside the court may be admitted as evidence against him in a criminal trial.

(e) A defendant shall not be convicted on the basis of a statement admitted under subsection (a) unless the evidence before the court contains additional external evidence that constitutes corroboration, support or something extra which in the circumstances of the case is capable, in the opinion of the court, of removing any doubt as to the credibility of the statement in so far as the commission of the offence is concerned’ (Goldberg Commission report, at pp. 21-22; emphasis supplied).

Prof. Mordechai Kremnitzer, who was one of the members of that commission, was of the minority opinion that ‘something extra’ should not be sufficient for a defendant’s confession, and this requirement should be replace by the stricter requirement of ‘corroboration’ for the confession (see p. 64 of the Goldberg Commission report). Later a private bill was tabled with the aim of adopting the position that requires the defendant’s confession to be supported by corroborating evidence, but this did not become law (see the draft Evidence Ordinance Amendment (Requirement of Corroboration for a Conviction on the Basic of a Confession) Law, 5764-2004).

19. By contrast, there were some authorities who questioned whether the requirement that the confessions of persons under interrogation are supported by ‘something extra’ is justified, since in their opinion it is possible to base the conviction on this confession only, without any need for authenticating evidence (see the article of E. Harnon, ‘The Need for “Something Extra” to Convict a Person in accordance with a Confession Made out of Court,’ 28 HaPraklit (5732) 360, and his position in his book The Law of Evidence (vol. 2, 1977), at pp. 282-286; a similar position was expressed also by Justice Ben-Porat in Ali v. State of Israel [18], at p. 182). I will also add that even according to the legal system practised in England it is possible to base a conviction of the defendant solely on a confession that he made during interrogation, and there is no express requirement for any additional authenticating evidence for this purpose (D.B. Griffiths, Confessions (Edinburgh, 1994), at p. 116; see also J.H. Wigmore, Evidence in Trials at Common Law (Boston and Toronto, vol. 7, rev. by J.H. Chadbourn, 1978), at pp. 508-510). Learned counsel for the appellant believes that this credibility that the English legal system gives to confessions made in interrogations, and its willingness to rely on them alone, is also related to the fact that the legal system practised in England has recognized the right of the defendant to receive legal advice at every stage of the investigation and has introduced requirements to make audio recordings of interrogations and other such rules that are intended to protect persons under interrogation and are enshrined in the Police and Criminal Evidence Act of 1984 and regulations enacted thereunder (for a comprehensive survey of the rights and arrangements enshrined in that law, see M. Zander, The Police and Criminal Evidence Act 1984 (London, fifth edition, 2005)). This argument is logical. It is possible that these rules, which introduced close supervision of the manner in which interrogations are conducted, allow the courts to form a better impression during trials of the confessions made by persons under interrogation, which reduced the fear of false confessions (see, in this regard, Easton, The Case for the Right to Silence, at pp. 105-127). Whatever the case, the approach that regards a confession on its own as sufficient has not been adopted in our legal system, and the requirement of ‘something extra’ for a confession that the defendant made in his interrogation remains intact.

20. The requirement of ‘something extra’ is flexible and open-ended. What will satisfy it varies from case to case and depends also on the credibility of the confession itself. The greater the weight of the confession, the smaller the weight of the ‘something extra’ that is required to authenticate the confession, and vice versa, the smaller the weight of the confession, the greater the weight required for the ‘something extra.’ It has also been held, therefore, that it is possible that there may be cases in which the ‘something extra’ will only need to be ‘as light as a feather’ (CrimA 178/65 Usha v. Attorney-General [35], at p. 156; CrimA 428/72 Ben-Lulu v. State of Israel [36], at p. 270; El Abeid v. State of Israel [29], at p. 834). On the other hand, it has been held that there may be cases in which the weight required for the ‘something extra’ will be so great that it will turn into a requirement of ‘corroborative evidence’ (Ben-Ari v. State of Israel [34], at p. 449). For this reason my colleague President Barak has said that ‘evidence that is fit to be used as “something extra” in one case may not be considered fit to be used as “something extra” in another case, since it all depends upon the circumstances of the case’ (Levy v. State of Israel [23], at p. 234).

The evidence that has been found, in the specific circumstances of individual cases, to be capable of satisfying the requirement of ‘something extra’ include the following: the lies of the defendant on a major matter; implicating conduct of the defendant after the criminal act; the failure of an alibi argument (Janshvili v. State of Israel [22], at pp. 175-176); the knowledge of secret details — details of which the person making the confession could not have had any knowledge unless he was involved in the criminal act; in this regard it was held that:

‘The greater the number of secret details that the defendant incorporated in his confession, the smaller the fear that his knowledge of these does not derive from the commission of the offence but from hints suggested to him unconsciously by his interrogators when he was interrogated and that were picked up by him’ (CrimA 4769/92 Nijam v. State of Israel [37], at para. 12).

The requirement of ‘something extra’ may also be satisfied by one of the following: expressions that indicate a feeling of guilt on the part of the defendant (CrimA 7595/03 A v. State of Israel [38], at pp. 11-12); proof that shows he was present at the scene of the crime when it was committed, when there is no satisfactory explanation for this (CrimA 5225/03 Habbas v. State of Israel [39], at p. 32); a reconstruction of the crime by the defendant, when he describes in detail the sequence of events in a manner that is consistent with the findings from the scene of the crime (CrimA 3338/99 Pakovitz v. State of Israel [40], at para. 19). It need not be said that when there is additional and independent incriminating evidence against the defendant, the requirement of ‘something extra’ is also satisfied.

We therefore need to consider the question whether the silence of the defendant during the trial may be added to this list and may also constitute ‘something extra’ for his confession in his interrogation. In my opinion, as I have already implied above, the answer to this question is no, unless conditions that I will set out below are satisfied. I will now explain my reasons for this.

The silence of the defendant in a trial as ‘something extra’ for his confession during interrogation

21. The question whether it is right to regard the silence of the defendant as ‘something extra’ for his confession during interrogation has not yet been decided by this court. But the question arose more than twenty years ago in Ali v. State of Israel [18]. In that case the justices hearing the case expressed their opinion on this issue briefly, but their remarks were made in obiter dicta since in the circumstances of that case there was additional evidence against the defendant that was capable of satisfying the requirement of ‘something extra’ for the confession. Justice Ben-Porat expressed the opinion that the silence of the defendant in his trial constitutes ‘something extra’ for his confession, since ‘when the legislature determined [in s. 162 of the Criminal Procedure Law] that the silence of the defendant amounts to “corroboration,” it thereby made silence an independent and separate piece of evidence in support of the prosecution’s case’ (ibid. [18], at p. 182). The other justices hearing the case, Justices Elon and Shiloh, disagreed with this position. This is how Justice Elon expressed the matter:

‘It is right and proper that the court should not regard the silence of the defendant in court as support for his confession that he made out of court. Admittedly a confession made by the defendant in court is sufficient on its own in order to convict him, but an express and clear confession made in court before the judge cannot be compared to the silence of the defendant and his refusal to testify. In the former case the judge can be presumed to understand and hear from the defendant’s statements that his confession is a real one and that it is not being made by him in order to take responsibility for something he did not do; but it is otherwise in the latter case, where the defendant remains silent, since the judge does not as a rule have any indication or basis from which he may infer the reason and background for the silence’ (ibid. [18], at p. 185).

In later cases that came before the court the issue under discussion in this appeal did not arise again, and it remained undecided (see Muadi v. State of Israel [15], at p. 234).

22. When we seek for a solution to the question that arises in this case, we cannot merely refer to the provisions of s. 162 of the Criminal Procedure Law. We have seen that this section, which allows the silence of the defendant to be regarded as support or corroboration for incriminating evidence, does not expressly mention ‘something extra.’ One possible interpretation of this, which was adopted by the courts martial, is to extend the scope of the provision and to allow it to regard silence also as ‘something extra.’ I will admit that this interpretation is logical: the law is that the requirement of corroboration is satisfied only when three cumulative conditions are fulfilled — that it is independent and separate from the evidence requiring corroboration; that the corroborating evidence implicates the defendant in the commission of the offences with which he is charged; and, finally, the corroboration relates to a significant point that is in dispute (CrimA 387/83 State of Israel v. Yehudai [41], at p. 203; CrimA 2949/99 Cohen v. State of Israel [42], at p. 645; CrimA 1538/02 A v. State of Israel [43], at p. 598). As I have shown, the requirement of ‘something extra’ may be satisfied even when these conditions are not fulfilled. In case where the confession has consideration weight and it contains many indications of truth, the trial court may be satisfied with authenticating evidence that has very little weight. This gives rise to the claim that the stricter requirement includes the more lenient requirement, and what may satisfy the requirement of corroboration can also constitute ‘something extra’ for the defendant’s confession. But this interpretation is not free of doubt, since if you say that the legislature wanted to regard the silence of the defendant also as ‘something extra,’ you are compelled to wonder why it did not state this expressly within the framework of s. 162 of the Criminal Procedure Law? Indeed, the possibility that the silence of the legislature in this matter did not arise from an omission and was not caused by inadvertence is a very reasonable possibility in view of the fact that at the time when the law was amended and this provision was added to it in 1976, the requirement of ‘something extra’ already existed. This also leads to the conclusion that the question whether the silence of the defendant should be regarded as ‘something extra’ for his confession cannot be determined solely on the basis of s. 162. It is an ethical question, which also requires us to consider the weight of confessions in our legal system and the reason why they need to be supported by additional authenticating evidence. Moreover, the legal answer to the question that arises in the case before us cannot be derived only from the technical definitions that were given to the terms ‘support’ and ‘corroboration’ in the aforesaid s. 162, and before we reach the correct result we should take into account the purpose underlying the arrangements and the practical ramifications of the possible legal outcomes. This is what my colleague President Barak meant when he said that ‘the law is a social tool. Legal concepts are intended to realize social goals. They are an instrument for achieving social objectives. They are an expression of the proper balances between conflicting values and interests’ (HCJFH 4601/95 Serrousi v. National Labour Court [44], at para. 7). Elsewhere my colleague the president added that —

‘We should distance ourselves from a jurisprudence of concepts, according to which the theoretical concept forces itself upon interests and values that require a normative arrangement. We should aspire to a jurisprudence of values, according to which the theoretical balance is the result of balancing and arranging the interests and values that require a normative arrangement’ (CrimFH 4603/97 Meshulam v. State of Israel [45], at para. 18).

23. I have discussed how the requirement of ‘something extra’ is intended to help the court identify false confessions. The main concern that the requirement is intended to address is the concern of false confessions that are made because the defendant was under internal pressure or had a hidden motive during his interrogation. Admittedly, external pressure or some other improper conduct that was directed at the defendant in his interrogation may also lead to false confessions, but in order to deal with these concerns there are other special arrangements, some that have been provided in statute — s. 12 of the Evidence Ordinance — and others that have been developed in case law, such as the rule that was determined in Yissacharov v. Chief Military Prosecutor [5].

We have seen that the motives and factors that lead to the creation of internal pressure may be hidden and to a bystander the course of action of making a confession may seem unreasonable. It is precisely because of this that I am of the opinion that it would not be right to rely on the silence of the defendant — the meaning of which is uncertain — in order to dispel the concerns that arise. The court martial was of the opinion that the defendant’s plea of not guilty in his trial shows that he is no longer subject to the internal pressure that led him to confess during his interrogation to an act that he did not commit. In such circumstances the court martial held that the defendant can be expected to explain what led him to confess to the acts and to defend himself in a positive manner against the charges levelled at him. I cannot accept this outlook. Just as we cannot accept the argument that a person does not confess to offences that he did not commit as a legal axiom, so too we cannot rely on the argument that a defendant who denies the charges is not subject to any hidden pressures. On the contrary, it is possible that precisely because such internal pressures also exist during the trial, the defendant remains silent and does not enter the witness box. Who can guarantee that the same hidden motive that caused the defendant to take responsibility during his interrogation for an act that he did not commit will not return and determine the line of defence that he will adopt during the trial, when he chooses the right to remain silent? It will be remembered that even the respondents in their reply recognized this possibility that ‘a defendant who took responsibility during a police interrogation for committing an offence that he did not commit will deny the charges but choose not to testify in his own defence’ (para. 44 of the attorney-general’s reply). Admittedly it is possible that such a situation will occur only in exceptional circumstances. It is also possible that a reasonable defendant, who acts rationally, will try to prove his innocence by giving positive testimony. But in criminal law we are not dealing with the reasonableness or unreasonableness of the defendant’s conduct, but with the question whether he committed the offences attributed to him or not. There is no need to reiterate that in criminal cases we are dealing with matters of life and death, and that the danger of convicting an innocent person is great. This also leads to the fundamental idea that it is better to acquit ten guilty persons than to convict one innocent one. The requirement that the defendant’s confessions should be supported by ‘something extra’ is intended to prevent such consequences. Relying on the silence of the defendant as ‘something extra’ for his confession — when the motive for the confession and the motive for the silence are unclear — may undermine the purpose of that requirement, namely the desire to authenticate the defendant’s confession. Prof. E. Kamar expressed these concerns well when he said:

‘In practice, even that depressed defendant, who wishes to “commit suicide” in his confession, may be subject to an internal pressure that will prevent him from explaining to the court why he confessed. We cannot of course expect someone, who has just now regretted his intention to “commit suicide” in his confession, to stand before the court and announce the exact reasons why he made a false confession. The claim that the defendant’s plea of not guilty to the charges in court rules out the possibility that he is still under the influence of the factor that induced him to confess in the interrogation is logical in ordinary cases; but the requirement of something extra is intended to contend precisely with the exceptional cases, when the conduct of the defendant differs from the norm and is difficult to explain. In such cases it is hard to rely on the logical assumption that someone who denies the charges in the court is entirely free of the pressures that were sufficiently strong to induce him earlier to confess to something that he did not do’ (E. Kamar, ‘Corroborating Confessions by the Defendant’s Own Statements,’ 5 Israel Journal of Criminal Justice (Plilim) 277 (1996), at pp. 292-293).

It also cannot be denied that in those cases where the legislature allowed the defendant’s silence to be regarded as support and corroboration for the prosecution’s evidence, the silence serves as an addition to other testimonies that do not originate with the defendant. This is the case when the silence is an addition to the testimony of a state’s witness, an accomplice, a minor who testified before a child interrogator or a witness whose statement was submitted by the prosecution under s. 10A of the Evidence Ordinance. The situation is different when we are speaking of the defendant’s confession, since them his silence is an addition to his own testimony that he gave during the interrogation, and in such circumstances I am of the opinion that the silence cannot authenticate the confession to the required degree.

24. I have also reached this conclusion for another reason. In my opinion it is not desirable, as a matter of policy, to allow the prosecution authorities to file indictments when all they have in their files is the confession of the defendant, in the hope that when the defence case is presented, the defendant will choose to remain silent, thereby providing them with the ‘something extra’ that is required for supporting the confession. Allowing this might result in greater efforts being made to obtain a confession from the defendant where the investigation should also focus on other evidence that is external to the confession, whether material evidence or testimony, which also has an important role in revealing the truth. This court has emphasized in a whole host of cases the great importance of carrying out a thorough investigation, which exhausts the possible lines of investigation thoroughly, and in which all the relevant evidence is assembled, so that the truth will come to light (see CrimA 721/80 Turgeman v. State of Israel [46], at pp. 471-472; CrimA 10596/03 Bashirov v. State of Israel [47], at paras. 19-20; CrimA 5386/05 Alhorti v. State of Israel [48]). Prof. Kremnitzer has described these concerns well, even though his remarks were directly mainly at interrogations in which coercive measures and prohibited pressure are directed at the person under interrogation:

‘A legal system that allows a conviction on the basis of a confession, is tolerant of interrogation methods that involve pressure and usually allows defendants’ confessions encourages the investigative authorities to resort to and rely on investigation methods that revolve around the person under interrogation, instead of directing the investigative effort at assembling other evidence. This phenomenon has serious repercussions upon the general level of the police investigation, the image and character of the interrogators, their education and training and the interrogation ethos’ (M. Kremnitzer, ‘Conviction on the Basis of a Confession — Is there a Danger in Israel of Convicting Innocents?’ supra, at p. 215).

It may also be assumed that the greater the willingness of the legal system to rely on defendants’ confessions as the sole evidence for a conviction, the greater the efforts to obtain a confession during interrogations, despite the negative repercussions that may result from such a situation (see also in this context G.H. Van Kessel, ‘The Suspect as a Source of Testimonial Evidence: A Comparison with the English Approach,’ 38 Hastings L.J. 1 (1986), at pp. 111, 122; Kamar, ‘Corroborating Confessions by the Defendant’s Own Statements,’ supra, at p. 294; Sangero, ‘The Confession as a Basis for a Conviction — “Queen of Evidence” or Empress of False Convictions,’ supra, at pp. 265-274; O. Bassok, ‘ “Hard Cases Make Bad Law and Bad Law Makes Hard Cases” — On the Ramifications of the Yosef Ruling,’ 18 Mishpat uTzava (Law and Army) 77 (2005), at pp. 126-136).

25. At the same time, it is possible to conceive of cases in which the defendant’s confession is a true one, but additional external evidence supporting this confession does not exist or cannot be found. In these cases, when it becomes clear to the trial court that the confession was not made as a result of any internal pressure, there is a concern that it is the defendant’s acquittal — for the reason that his silence does not constitute ‘something extra’ for his confession — that will lead to a failure to arrive at the truth, and this will be also undermine the need to fight the increasing rate of crime and to protect the public from the danger of lawbreakers. This danger, it need not be said, increases when we are speaking of serious offences. In view of this, we should consider whether there are circumstances in which the trial courts have a means of effectively supervising the way the interrogation is conducted, so that it will be possible to obtain a proper impression of the defendant’s conduct and the actions of his interrogators. Here we should emphasize that the more transparent the interrogation, the easier it will be to form an impression of the circumstances in which the confession was made, and the less justification there will be for making a distinction between a confession made during the investigation and a confession made in court, which, it will be remembered, is sufficient on its own for convicting the defendant. Because of this argument there have been calls for the need to make video or audio recordings of the interrogations of suspects, and not merely to make a verbal record of them, in order to create a way in which the courts can see what is happening in the interrogation rooms, despite the (mainly budgetary) difficulties that this creates. The Goldberg Commission also recommended introducing a requirement that video recordings of interrogations should be made and it emphasized that such recordings would also result in defendants no longer being able to raise unfounded complaints about the manner in which the interrogation was conducted (see pp. 30-35 of the report). Others have emphasized that a video recording of the interrogation will not only allow the courts to supervise the interrogation practices being used, but it will also allow them to receive an impression of the interaction between the interrogator and the person under interrogation and other factors that are not contained in a verbal record (see White, ‘False Confessions and the Constitution: Safeguards against Untrustworthy Confessions,’ supra, at pp. 153-156). The importance of the video recording was discussed by Justice Goldberg more than twenty years ago:

‘The recording does not merely preserve accurately the verbal part of the statement but also the factors that accompany it (the tone in which the statement was made, hesitation, anger, etc.) and also what was said by the person speaking to the person making the statements, and in this way it “speaks for itself.” The court is thereby given additional tools to see for itself the credibility of the witness and the correct meaning and truth of what he says’ (CrimA 323/84 Shriki v. State of Israel [49], at p. 517).

In 2002 these calls were answered by the legislature, which introduced, in s. 7 of the Criminal Procedure (Interrogation of Suspects) Law, 5762-2002, a requirement that video recordings of interrogations should be made when there was a suspicion that serious offences carrying a sentence of ten years imprisonment or more had been committed. This provision, which because of various delays has not yet come into effect, should in the future significantly improve the ability of the courts to assess the nature of the confessions brought before them. It will allow the courts to form the closest possible impressions of the true circumstances in which the confession was made, and it will provide better protection for defendants. The great importance of this provision can also be seen from what is stated in the explanatory notes to the draft law:

‘The proposed amendment will also allow the court to discover what part of the confession was said by the defendant of his own free will and of his own initiative, and what was said to the interrogators in response to their questions, how it was said and how the suspect appeared when making the confession. The court will also be able to decide whether the defendant was “led” by the interrogator’s questions to answer as he did or whether he was only asked clarifying questions, and it will also be possible to obtain an impression from the defendant’s conduct and the way in which he speaks of his state of mind and his understanding of his interrogators’ questions. The video recording will prevent a situation in which the interrogator records an erroneous reply because of a misunderstanding and the suspect signs his confession without understanding it or without it having been read to him.

The proposed amendment constitutes an improvement in the protection of the rights of the defendant, and it prevents or reduces the possibility of mistakes, misunderstandings or deliberate errors, and thereby improves the ability of the court to arrive at the truth on a question that is so central to the criminal trial’ (Explanatory Notes to the draft Evidence Ordinance Amendment Law (no. 15) (Confession of a Defendant on Serious Offences), 5761-2000 (Draft Laws 2928, 30 October 2000, at p. 54).

It need not be said that the fear of a miscarriage of justice caused as a result of a conviction based on a false confession is smaller when a video recording of the interrogation is made and the recording is brought before the trial court, so that it can obtain an almost direct impression of the manner in which the interrogation was held and of the conduct of the defendant and his interrogators.

26. In view of this, I am of the opinion that whereas it would be right to determine that as a rule the silence of a defendant should not constitute ‘something extra’ for a confession that he made during his interrogation, it would not be right to determine such a sweeping rule with regard to interrogations where a video recording was made, so that the court is given the possibility of watching the interrogation and the defendant’s confession. This conclusion is also capable of striking a proper balance between the desire to protect the rights of the defendant and the desire to arrive at the truth, bring lawbreakers to justice and protect the public from them.

Here we should emphasize that this result does not lead to the conclusion that in every case where a video recording of the defendant’s interrogation is made, his silence should be regarded as ‘something extra’ for the confession that made during his interrogation. The question of the significance that should be attributed to the silence of the defendant is a matter for the trial court to decide in accordance with the special circumstances of the case before it and in accordance with its discretion. The video recording of the interrogation is therefore an essential but not a sufficient condition for regarding the silence of a defendant in a trial as ‘something extra’ for his confession in the interrogation. Thus, for example, where an examination of the confession itself shows that the indications of truth in it are not many, or where the silence of the defendant is given a satisfactory explanation that is consistent with his innocence, then the silence of the defendant ought not to be regarded as ‘something extra’ for his confession. In addition, where there is a disparity between facts stated by the defendant in his confession and objective findings from the scene of the crime and where, despite the video recording of the interrogation, the trial court for various reasons has difficulty in forming an impression of the circumstances in which the confession was made, it would be right to require for such a confession some external authenticating evidence and not merely the silence of the defendant in order to dispel the concerns that arise. This list is not exhaustive. There may be other examples. The important thing is that the court should exercise great caution before it reaches the conclusion that the silence of the defendant may be regarded as the additional evidence that is required for the confession he made during his interrogation.

Conclusion

27. The silence of the defendant may — but does not necessarily — constitute ‘something extra’ for the confession he made during his interrogation, provided that a video recording of the interrogation was made and the court that saw the recording of the interrogation received the impression that it has before it a true confession. When one of these two conditions is not satisfied, the silence of the defendant cannot constitute ‘something extra’ for his confession.

In my opinion this outcome sets out the ideal approach in this matter. Notwithstanding, I should emphasize that the practical ramifications of this decision will not lead to a far-reaching change in the criminal law or to any difficulty in convicting guilty persons in so far as the civil courts are concerned, since, as the respondents admit, in the prosecution of civilians the practice is not to file indictments against someone where the only incriminating evidence against him is his confession in the interrogation. The source for this practice is the attorney-general’s guideline no. 53.000 of 1970. It is not clear to me why the military prosecution failed to comply with this and I see no reason why the military courts should be allowed discretion to regard the defendant’s silence as ‘something extra’ for his confession where the attorney-general himself saw fit to rule out such a possibility.

In view of the aforesaid, and in view of the fact that no video recording of the appellant’s interrogation was made, I would recommend to my colleagues that we order his acquittal on the offence of the use of a dangerous drug.

 

 

Justice E. Arbel

A confession that was made by a defendant out of court is admissible evidence, if it satisfies the conditions set out in s. 12(a) of the Evidence Ordinance [New Version], 5731-1971 (hereafter: ‘the Evidence Ordinance’), namely that it was made ‘freely and willingly.’ Once the confession has overcome the admissibility ‘barrier,’ it may be used to convict someone as the sole evidence against him, if it satisfies two tests: the confession’s internal indications of truth test (‘the internal test’) and the ‘something extra’ test, which is capable of authenticating the content of the confession (‘the external test’).

1.    At the heart of the appeal lies the question whether a defendant’s silence in his trial may constitute ‘something extra’ for the confession that he made during his interrogation, namely the extra evidence that is required in order to support the truth of the confession.

Deciding this question requires a delicate balance between several values. First and foremost we have before us the value of discovering the truth in a criminal trial, which realizes the main goals of the criminal law, namely fighting crime, safeguarding the public and protecting the rights of actual and potential victims of crime. The need to further these goals becomes more urgent as the rate and sophistication of crime increase. Of no less importance than the value of discovering the truth is the right of the defendant to a fair and proper trial, which guarantees that justice is done and false convictions are avoided. A proper balance between these serves to further the supreme purpose of criminal law — the punishing of the guilty and the acquittal of the innocent — and thereby ensures public confidence in the ability of the judiciary to do justice to the individual and to society as a whole (see the remarks of Justice Beinisch in CrimA 5121/98 Yissacharov v. Chief Military Prosecutor [5], at para. 43 {383} and the remarks of Justice Procaccia in HCJ 11339/05 State of Israel v. Beer-Sheba District Court [7], at para. 11. In this balance the interest of exhausting probative methods of discovering the truth competes with the right of the defendant to a fair trial and the desire to avoid a miscarriage of justice by convicting the innocent or acquitting the guilty. We do not have a ‘magic solution.’ In each case we need to consider the competing values and find a proper and fair solution according to its concrete circumstances.

2.    The various rules that require additional evidence in certain circumstances for a criminal conviction — in our case the ‘something extra’ for a defendant’s confession — further the purposes of discovering the factual truth and protecting the right of the defendant to dignity and liberty. In this respect both of these purposes complement one another — they ‘both serve the supreme purpose of the law that concerns the doing of justice and preventing miscarriages of justice in their broadest sense’ (Yissacharov v. Chief Military Prosecutor [5], at para. 45 {385}). But in certain circumstances these purposes may tip the scales in opposite directions, and there is therefore a need to strike a balance between them.

3.    My colleague Justice Levy examined the fundamental question before us thoroughly and comprehensively, and he reached the conclusion that the answer that should be given to this question is no, unless the conditions set out in his opinion are satisfied. Justice Levy concludes his opinion with the following words:

‘The silence of the defendant may — but does not necessarily — constitute “something extra” for the confession he made during his interrogation, provided that a video recording of the interrogation was made and the court that saw the recording of the interrogation received the impression that it has before it a true confession. When one of these two conditions is not satisfied, the silence of the defendant cannot constitute “something extra” for his confession’ (para. 27 of Justice Levy’s opinion).

I agree with my colleague’s position that the silence of a defendant may — but does not necessarily — constitute ‘something extra’ for a confession that he made in his interrogation, and like him I too am of the opinion that as a rule we should refrain from regarding the defendant’s silence in his trial as ‘something extra.’ But my position differs from my colleague’s position on two main issues: one is the statutory premise for examining the question, and the other concerns the exceptions to the aforesaid rule which should be recognized within the scope of judicial discretion and on the basis of proper judicial policy.

4.    My position in essence is that s. 162 of the Criminal Procedure Law [Consolidated Version], 5742-1982 (hereafter: ‘the Criminal Procedure Law’ or ‘the law’) makes it possible to hold that the silence of a defendant in his trial may serve as ‘something extra’ for a confession that he made during his interrogation. At the same time, by virtue of proper judicial policy that is derived from a whole range of considerations and interests that are relevant to the issue, I agree with my colleague’s position that in general the silence of a defendant in his trial should only constitute ‘something extra’ for a confession that he made in his interrogation in exceptional cases. But whereas my colleague is of the opinion that the exception should only apply to interrogations where a video recording was made, my position is that the trial court should be allowed a broader margin of discretion, by determining criteria for the restrained and careful manner in which it should be exercised.

My colleague set out in his opinion a comprehensive examination of fact and law, and therefore I will restrict myself to explaining my position by clarifying how my position differs from his.

Background — on defendants’ confessions in general and on the fear of false confessions in particular

5.    The weight that should be given to defendants’ confessions, among the other evidence that is recognized for the purpose of convicting someone in a criminal trial, has arisen repeatedly over the years in legal deliberations and academic and social debate. This important debate, like the experience and the knowledge that have been accumulated over the years with regard to the various factors that cause defendants to make false confessions, have gradually led to changes and fluctuations in accepted outlooks concerning the status of the confession in our legal system (report of the Commission concerning Convictions Based Solely on a Confession and concerning the Grounds for a Retrial (1994), which was chaired by Justice E. Goldberg (hereafter — ‘the Goldberg Commission report’); see also the various opinions that were expressed on this issue in CrimFH 4342/97 El Abeid v. State of Israel [29]; M. Kremnitzer, ‘Conviction on the Basis of a Confession — Is there a Danger in Israel of Convicting Innocents?’ 1 HaMishpat 205 (1993); B. Sangero, ‘The Confession as a Basis for a Conviction — “Queen of Evidence” or Empress of False Convictions,’ 4 Alei Mishpat 245 (2005)). I am aware of the various concerns that accompany the making of confessions. They cannot be ignored. But I am also of the opinion that they should not be exaggerated. Confessions were and remain a main tool of the legal system in arriving at the truth and in bringing criminals to justice, if only for the simple reason that, as President Barak said: ‘Sometimes only the defendant who confesses can provide a coherent and detailed version of the sequence of events’ (El Abeid v. State of Israel [29], at p. 865). The probative importance of the confession has been recognized in case law that has described its centrality in the process of discovering the truth: ‘Take confessions and testimonies from the law and you have removed the heart and soul of justice’ (ibid. [29], at p. 855). In this regard I shall mention once again what I said in a previous case:

‘… Since the Goldberg Report the splendour of the confession as the “queen of evidence” has indeed lost its sheen, and a spotlight has been directed at the concern that innocent people may be convicted. It remains my opinion that the confession has a place of honour in the hierarchy of evidence in criminal law, and it is an important and accepted tool in those cases where the court is persuaded that the confession is a true one. I also reject the approach that, as a premise, every confession contains an inherent “defect” (as Justice Strasberg-Cohen describes the approach of Justice Dorner in El Abeid v. State of Israel [29], at p. 854, an approach that she did not accept) of being a false confession and inherently suspect evidence, since it is prima facie tainted with irrationality’ (CrimA 6679/04 Steckler v. State of Israel [30], at p. 1664).

6.    This position is mainly based on experience that teaches us that a voluntary confession made by a defendant during his interrogation with regard to an offence that he did not commit is the exception and not the rule, and that although it cannot be said that there are no cases in which people confess to deeds that they have not committed, when confessions are not the result of improper means that were used to obtain them, usually people confess to deeds that they have committed rather than deeds that they have not committed (see El Abeid v. State of Israel [29], per Justice Or at p. 819, per Justice Strasberg-Cohen at p. 856, per Justice Mazza at p. 857 and per President Barak at p. 865). The remarks of Justice Cheshin in this regard are apt:

‘The confession of a defendant in a police interrogation has sometimes been called the “queen of evidence.” Even if it not a reigning sovereign, it is a “princess of evidence,’ one of the most important types of evidence in the kingdom. Who know this better than we, who sit in judgment on a daily basis? And we have long known also that experience and practical knowledge guide us on our path. Oliver Wendell Holmes, one of the wisest of our community — the community of legal scholars — taught us that “The life of the law has not been logic; it has been experience” (O.W. Holmes, The Common Law (Boston, 1881), at p. 1). Usually a person does not portray himself as a criminal, i.e., a person does not confess to committing a certain offence unless he has committed that offence. Wisdom teaches us that a person does not portray himself as a criminal when he is a saint. This is particularly true when we are speaking of the most serious offences, those offences that send a person to prison for many years. This is not a legal assumption. Nor is it an absolute presumption. It is a supposition of common sense, an assumption that is based on human nature’ (El Abeid v. State of Israel [29], at pp. 833-834).

7.    Moreover, experience also teaches us that there are weighty reasons for making a confession that is not a false confession. These reasons were described, albeit not in full, by Justice Or in that case:

‘A weighty reason is the basic emotional need of someone who committed an offence to divest himself of the burdensome feeling of guilt that he can no longer carry inside him. Another possible reason is the rational recognition of someone suspected of an offence — for example, when there is other evidence such as testimony against him or physical evidence — that his failure to cooperate may not help prevent him from being brought to trial, whereas cooperation with the authorities may result in a certain credit being given to him at a later date, such as at the sentencing stage. And I have not mentioned all of the reasons’ (ibid. [29], at p. 819).

8.    Although false confessions are an exception to the rule, the legal system has long recognized that various pressures will lead a defendant to confess to an offence that he did not commit, ‘in the sense of “committing suicide” in his confession’ (CrimA 48/54 Irshid v. Attorney-General [21], at p. 691):

‘There are two concerns that relate to a confession that a defendant made out of court: one is the concern that “external” pressure was exerted on the defendant and this led him to confess to committing an act that he did not do. This pressure is addressed by the statutory barrier of admissibility, which is provided in s. 12 of the Evidence Ordinance [New Version] and which renders inadmissible any evidence that was not given “freely and willingly.” The other concern is that the defendant acted as a result of “internal” pressure that led him to take responsibility for committing an act that he did not do at all, thus causing him to “commit suicide in the confession” (Irshid v. Attorney-General [21], at p. 691). There is no admissibility barrier that guards against this internal pressure, but the court will examine this possibility when considering the weight that it will give the confession’ (CrimA 715/78 Levy v. State of Israel [23], at p. 234).

With regard to the concern that ‘internal’ pressure may lead the defendant to make a false confession, I will cite the remarks of Justice Goldberg, who said that even if improper pressures were not exerted on the defendant during his interrogation, thereby rendering the confession inadmissible, there is still a concern that his confession is false:

‘The court should still be concerned that other factors may have led the person making the confession to “commit suicide in the confession.” This “committing suicide” may be conscious (such as the desire to protect someone else, or the desire to bring about the end of the interrogation because of internal psychological pressure) or unconscious (because the person under interrogation believes his confession is true because of emotional defects and a distorted perception of reality). With regard to “committing suicide in a confession” the rabbis said (against the background of the principle of Jewish law that a person cannot incriminate himself) that:

“… the Sanhedrin does not pass a capital or corporal sentence on someone who confesses to an offence, in case he is mentally disturbed in this matter. Perhaps he is one of those troubled depressed persons that look forward to death, who stick knives in themselves and throw themselves from the rooftops. Perhaps in this way he will come and say something that he did not do, so that he will be killed…” (Maimonides, Hilechot Sanhedrin, 18, 6)’ (CrimA 4769/92 Nijam v. State of Israel [37], at p. 2186).

9.    This fear of false confessions has led to the creation of ‘barriers and brakes’ for examining the admissibility and weight of confessions (in the words of President Barak in El Abeid v. State of Israel [29], at p. 865). These ‘barriers and brakes’ include the rule that a person may not be convicted solely on the basis of a confession that he made out of court, even when it was made lawfully without any external pressure (see for example CrimA 290/59 A v. Attorney-General [32], at p. 1495; CrimA 556/80 Ali v. State of Israel [18], at p. 184). It would seem that the aspiration to create a ‘barrier’ against the danger of a false confession for motives that are hidden in the soul of the person making the confession (to use the expression of Justice Landau in A v. Attorney-General [32]) is what led to the development of the requirement of ‘something extra’ in the case law of this court, which also constitutes a main and important ‘brake’ against false convictions. This requirement is intended to protect the defendant from being convicted on the basis of a false confession that he made during his interrogation, but no less importantly it aims to help the court arrive at the truth, and therefore it constitutes a means of protecting society as a whole from the conviction of innocent persons and the acquittal of guilty ones.

10. These remarks form the background for deciding the question that arises in the current appeal. As we have said, deciding this question is a result of a balance between values. Our journey begins with the provisions of s. 162 of the law, which constitutes the normative framework for examining the question, and it is on this basis that we must formulate the proper legal policy on this issue. Let us therefore turn to consider the questions that require a decision.

The normative framework — s. 162 of the law as a legal source for regarding silence as ‘something extra’

11. As I have said, the legal framework for examining the issue is s. 162 of the Criminal Procedure Law. For the sake of completeness, I will cite the section as it was amended in 2006:

‘Silence of the defendant

162. (a) A refusal of the defendant to testify may serve as support for the weight of the prosecution’s evidence and as corroboration for the prosecution’s evidence where it requires corroboration, but it shall not serve as corroboration for the purpose of section 11 of the Rules of Evidence Amendment (Protection of Children) Law, 5715-1955, or for the purpose of section 20(d) of the Interrogation Procedures and Testimony of Persons with Disabilities Law.

 

(b) A refusal of the defendant to testify shall not serve as evidence against him if an expert opinion is received to the effect that the defendant is a person with a mental disability or a person with an emotional disability as defined in the Interrogation Procedures and Testimony of Persons with Disabilities Law, and because of his aforesaid disability he is refusing to testify.’

It can be seen that subject to the exceptions listed expressly in it, the section clearly provides that the silence of a defendant in his trial has probative significance, i.e., it may constitute ‘support’ for the weight of evidence brought by the prosecution and ‘corroboration’ for this evidence. Is it right and proper to interpret the section as allowing the silence of a defendant to be regarded not only as ‘corroboration’ and ‘support,’ as the section states, but also as ‘something extra’ for the purpose of convicting him on the basis of his confession during interrogation, even though the provision does not expressly relate to this probative requirement? This is the first question that we should address.

12. My colleague Justice Levy is of the opinion that the interpretation adopted by the courts martial according to which, since a defendant’s silence can satisfy the requirement of corroboration, it can certainly also constitute ‘something extra’ for the confession of a defendant, is not free from doubt. According to him, if this was indeed the position of the legislature, it is surprising that it chose not to state this expressly in the section, especially in view of the fact that when this provision was added to the law, the requirement of ‘something extra’ already existed. From this my colleague infers that the answer to the question before us cannot be derived from the provisions of s. 162 of the law alone or from the technical definitions that were given to the terms ‘support’ and ‘corroboration’ in this section (para. 22 of his opinion).

13. My opinion is that even if the decision in this matter cannot be derived solely from the narrow interpretation of s. 162 of the law, the position that the silence of a defendant can also be regarded as ‘something extra,’ and thereby act against the defendant, should be based on some statutory source, and therefore this interpretive question cannot be left without an express decision. On its merits, a reading of the provisions of s. 162 and the interpretation of the provision from literal and purposive viewpoints show that it is possible to apply the section also to the probative requirement of ‘something extra,’ and therefore the section may be a statutory source for regarding the silence of the defendant in his trial as ‘something extra’ for a confession that he made out of court, as argued by the respondents. As I shall show later, my position is based on reasons arising from the literal interpretation of the section, as well as reasons concerning its legislative purposes and legislative history and reasons arising from the nature of the probative requirement of ‘something extra’ in comparison to the probative requirements of ‘corroboration’ and ‘support.’

On the purpose of s. 162 of the law

14. The enactment of s. 162 in 1976 was the result of a recommendation of the Public Commission for Criminal Procedure chaired by Justice M. Landau. The background to the legislation was the rise in scope and level of crime in Israeli society and the outlook that the legal system should be given stronger and more effective tools than in the past in order to deal with the rise in crime (Knesset Proceedings 71, 2115 (1974); 73, 2888 (1975)). The legislation process was accompanied by fierce debates among members of the Knesset, particularly because of the concern of a violation of the right to remain silent and the presumption of defendants’ innocence, but ultimately the section was passed despite the objections. It should be noted that whereas in the original wording of the section, as presented in the draft law by the government, it was proposed to regard the refusal of a defendant to testify solely as ‘corroboration,’ in the final wording, as it remains until today, it was stated that this refusal could also constitute ‘support for the weight of the prosecution’s evidence,’ for the purpose of ‘strengthening the section’ and not limiting it solely to cases where statute, from a technical perspective, requires a probative addition of ‘corroboration’ (see the remarks of Knesset Member A. Ankorin, Knesset Proceedings 77, 3506 (1976)).

The explanatory notes to the government draft law contain the following:

‘According to the consistent rulings of the courts, the silence of the defendant is not in itself evidence against him, nor can it serve as a substitute for prosecution evidence nor can it serve as grounds for his conviction…

This leads to the conclusion that the defendant’s silence cannot serve as a substitute for evidence that is required in certain circumstances (for example as support for the testimony of someone involved in an offence… or as support for a confession made to the police, and it certainly cannot serve as a substitute for proving corroboration when it is needed, such as in sex offences or to support the testimony of an accomplice in crime…).

The proposed section is intended to introduce a law that allows the refusal of a defendant to testify to be regarded as actual corroboration where it is needed; in other words, it allows the silence to be given a positive value. This is in fact a means of encouraging defendants to speak in the court, in order to prevent miscarriages of justice that may arise from the acquittal of defendants (sic!) no less than from the conviction of the innocent. It should be remembered that we are speaking about the stage after the prosecution evidence, i.e., when the facts already indicate that the defendant is involved in the criminal act, where common sense and experience tip the scales against the defendant who insists on the right to remain silent. However, it is not proposed that silence should constitute automatic corroboration, and the matter is left to the discretion of the court’ (Explanatory notes to the draft Criminal Procedure Law (Amendment no. 5), 5734-1974, Draft Laws 1103, 84, at p. 87).

It can thus be seen that the section under discussion was intended to reduce the likelihood of acquitting guilty defendants, by giving a positive value to silence and encouraging defendants to tell their version of events to the court.

In my opinion, even if the probative requirement of ‘something extra’ was not considered by the legislature when it enacted the section, a reading of the minutes of the debates in the Knesset at the various stages of the legislation shows that it can also not be inferred that there was an intention to distinguish between the probative requirements of ‘support’ and ‘corroboration,’ which are enshrined in the section, and the probative requirement of ‘something extra’ that was not included in it but was recognized by case law at that time. In my opinion, the purpose of the section, as it arises from the explanatory notes, is valid even when the probative addition required for a conviction is ‘something extra,’ since even when the only evidence against the defendant is his own confession, after which he denied the charges, there is a clear need to encourage him to testify before the court, so that the evidence on which the court bases its verdict as to his innocence or guilt is as complete as possible.

15. From the remarks of my colleague Justice Levy it may be inferred that the fact that the legislature did not expressly address the probative requirement of ‘something extra’ implies a ‘negative arrangement,’ since had the legislature wanted to regard the silence of a defendant also as ‘something extra,’ it may be assumed that it would have said this expressly in s. 162 of the law (para. 22 of his opinion). It is possible to disagree with this argument: first, the requirement of ‘something extra’ is, it will be remembered, the product of case law, and it is not enshrined in statute (see CrimA 3/49 Andelersky v. Attorney-General [31], at pp. 592-593, in which the requirement was introduced, and which this court has affirmed on countless occasions). For this reason it is doubtful whether it is right to attribute far-reaching significance to the fact that the legislature did not address this probative requirement expressly. Second, originally it was accepted that the meaning of the concept of ‘support’ was identical to the meaning of the concept ‘something extra,’ in view of the clear recognition that it was not a requirement of ‘corroboration’ but a lesser requirement, in a desire to refrain from creating an additional term that would necessitate making fine distinctions between it and the term similar to it (Y. Kedmi, On Evidence (first part, 2003), at p. 297; cf. also CrimA 735/80 Cohen v. State of Israel [50], at p. 99).

16. In this context, it is interesting to refer to remarks that were uttered during the debates in the Knesset before the enactment of the Evidence Ordinance Amendment Law (no. 6), 5742-1982, in which the requirement for ‘support’ was introduced for the conviction of a person on the basis of the testimony of an accomplice (s. 54A(a) of the Evidence Ordinance). When presenting the proposed amendment to the law, the Minister of Justice at the time, M. Nissim, said the following:

‘The guideline for the degree of caution required will from now on be given in the requirement of “something to support the testimony.” This is a requirement that corresponds to the requirement of ‘something extra’ as formulated in case law [emphasis supplied]. The purpose of the requirement of “something extra” is to direct the attention of the judge to the danger of a conviction on the basis of the sole testimony before him, and to caution him to ascertain, with the aid of a probative addition that is small from the viewpoint of its nature, quantity and quality, that the testimony under consideration is true. The addition to the testimony may arise either from the testimony itself or from other evidence, provided that it persuades the judge of the credibility of the testimony being supported’ (Knesset Proceedings 90, 309 (1981)).

It should be noted that, like s. 162 of the Criminal Procedure Law, the aforesaid s. 54A(a) of the Evidence Ordinance was enacted as a result of a recommendation of the Public Commission for Criminal Procedure, and it is interesting to note that its proposal in this regard was to cancel the requirement of ‘corroboration’ for the testimony of an accomplice, and to replace it with the requirement of ‘something extra.’ As is well known, ultimately the section was amended so that the requirement of ‘corroboration’ was replaced by the requirement of ‘support’ (see the explanatory notes to the draft Evidence Ordinance Amendment Law (no. 6), 5740-1980 (Draft Laws 1477, 397; CrimA 6147/92 State of Israel v. Cohen [51], at p. 69). It would appear that these events can indicate a relative conceptual kinship between the two terms (‘something extra’ and ‘support’), and in practice, despite the distinctions that exist between the two aforesaid probative requirements, sometimes that have been mentioned by case law ‘in one breath,’ as if they were an identical requirement (Kedmi, On Evidence, supra, at p. 360; cf. CrimA 190/82 Marcus v. State of Israel [52], at p. 294; CrimA 1242/97 Greenberg v. State of Israel [53], at p. 91). It follows that although s. 162 was added to the Criminal Procedure Law when the rule concerning the requirement of ‘something extra’ already existed, in my opinion we should not infer from the fact that there is no express mention of this probative requirement that the legislature intended s. 162 not to apply to it.

The nature of the various probative requirements — ‘corroboration,’ ‘support’ and ‘something extra’

17. The aforesaid interpretation of s. 162 of the law is also required, in my opinion, by an analysis of the substance of the section, of the nature of the probative requirement of ‘something extra’ and the relationship between it and the other probative requirements. In my opinion, the fact that the legislature determined in this provision of statute that a failure of a defendant to testify may act as ‘support’ or ‘corroboration’ implies necessarily that it may also serve as ‘something extra.’ This position of mine derives from the qualitative and quantitative ‘hierarchy’ that exists between these probative requirements, as they have been shaped and formulated in legislation and case law, where the probative requirement of ‘something extra’ stands at the bottom of the hierarchy, so that it is included and incorporated in the other probative requirements.

Before I begin to discuss this matter thoroughly, we should restate, in a nutshell, the basic principles concerning the various probative requirements.

18. The requirement that additional evidence should be produced for certain incriminating evidence, as a condition for convicting a defendant of a criminal offence, is found in the Israeli legal system in the form of three different concepts: ‘corroboration,’ ‘support’ and ‘something extra.’

In cases where additional evidence is required in the form of ‘corroboration,’ the intention is that we require evidence that ‘implicates’ (or tends to implicate) the defendant in the commission of the offence that is attributed to him. Inter alia, ‘corroboration’ is required for the testimony of a state’s witness who incriminates the defendant and the testimony of a minor who is the complainant in an indictment involving a sex offence and whose testimony is brought before the court through a child interrogator. In these cases, the corroboration evidence should be ‘independent evidence that points to the involvement of the defendant in the offence’ (CrimA 238/89 Askapur v. State of Israel [54], at p. 411; CrimA 378/74 Messer v. State of Israel [55], at pp. 695-698; CrimA 85/80 Katashvili v. State of Israel [56], at pp. 68-71). In view of this, it has been held that for a certain piece of evidence to constitute ‘corroboration,’ it should satisfy three cumulative requirements: it should have a separate and independent origin to the testimony that requires corroboration; it should ‘implicate’ the defendant in the commission of the act that is the subject of the indictment; and it should relate to a significant point that is the subject of dispute between the parties (see, for example, CrimA 387/83 State of Israel v. Yehudai [41], at p. 203). The reason for these strict requirements is the need to ensure the truth of the statements made by a witness against the defendant and to dispel the concern that perhaps he is making up an untrue story about the defendant, where experience shows that the testimony may lack credibility and therefore it cannot serve on its own as a basis for convicting a defendant (CrimA 290/59 A v. Attorney-General [32]; CrimA 389/73 Ben-Lulu v. State of Israel [57], at p. 492; CrimA 169/74 Kadouri v. State of Israel [58], at p. 403; CrimA 5544/91 Moyal v. State of Israel [59], at p. 1357; CrimA 6147/92 State of Israel v. Cohen [51], at p. 72; Kedmi, On Evidence, supra, at p. 126).

19. Unlike ‘corroboration,’ the requirement of additional evidence of the type known as ‘support’ is a requirement of ‘authenticating’ evidence: ‘the requirement of support is satisfied if the support adds a degree of truth to the witness’s statement, and it does not need to “implicate” the defendant in the criminal act’ (CrimA 241/87 Cohen v. State of Israel [60], at p. 746; Kedmi, On Evidence, supra, at p. 298). Inter alia, ‘support’ is required for the testimony of an accomplice (s. 54A(a) of the Evidence Ordinance), and for a statement made to the police by a witness who later gives contradictory testimony in court, when the statement is admitted as evidence (s. 10A(d) of the Evidence Ordinance). ‘Support’ is ‘intended to indicate that the witness’s testimony, when taken on its own, is credible. Therefore there is no requirement that the support should relate to the offence or the criminal conspiracy between the defendant and the witness-accomplice’ (Askapur v. State of Israel [54], at p. 411). Like the requirement of ‘corroboration,’ ‘support’ is needed because of the concern that the witness gave false testimony that implicates the defendant, and therefore evidence is required to strengthen the credibility and reliability of this testimony (CrimA 6147/92 State of Israel v. Cohen [51], at p. 80).

20. Last, the requirement of ‘something extra’ is, like ‘support’ and unlike ‘corroboration,’ a requirement of additional ‘authenticating’ evidence. Therefore, unlike ‘corroboration,’ the ‘something extra’ does not need to indicate the guilt of the defendant; any direct or circumstantial evidence that is external to the defendant’s confession and that can confirm to some degree the content of the confession and indicate its truthfulness is sufficient (CrimA 290/59 A v. Attorney-General [32], at p. 1499; CrimA 6936/94 Awad v. State of Israel [61], at p. 848). The requirement of ‘something extra’ is intended to remove the concern that the defendant is taking responsibility for an act that was done by someone else or that was not done at all, and therefore, in principle, very little evidence is required to satisfy it (CrimA 6147/92 State of Israel v. Cohen [51], at p. 72). Consequently case law has pointed out on more than one occasion that this evidence ‘can be very small indeed’ (CrimA 178/65 Usha v. Attorney-General [35], at p. 156), and even ‘as light as a feather’ (El Abeid v. State of Israel [29], at p. 834). It is sufficient that the court is satisfied that the confession is not ‘merely a fabrication,’ and that it is persuaded that the version of events told by the defendant in his confession is indeed a possible one (CrimA 312/73 Matzrawa v. State of Israel [62], at p. 809).

21. These differences, both in terminology and in substance, between the three probative requirements have led to the creation of a kind of ‘hierarchy’ between them. This hierarchy is based on the assumption that, as a rule, ‘a person does not portray himself as a criminal’ (El Abeid v. State of Israel [29], at p. 833). It follows that most confessions are true confessions, whereas it is a more reasonable possibility that someone else who testifies against the defendant will present false testimony, for various reasons such as anger, jealousy, a desire to prevent himself from being found responsible or to protect a third party, a desire to obtain some benefit, etc.. In other words, the need for additional evidence for a defendant’s confession to dispel the fear that his confession may be false is smaller than the need for additional evidence that is required for the testimony of someone else against the defendant, and therefore ‘corroboration’ and ‘support’ should satisfy stricter criteria than ‘something extra.’ In this vein, it was said in one case with regard to evidence that satisfied the requirement of ‘something extra’ that ‘it is therefore accepted that this kind of evidence should be regarded as “lower” on the ladder of “secondary” evidence (“corroboration” and “support”)’ (Nijam v. State of Israel [37], at p. 2186). The aforesaid hierarchy has been clearly expressed in the case law of this court, which has repeatedly held over the years that various kinds of evidence that may serve as ‘corroboration’ automatically satisfy the requirements of ‘support’ and ‘something extra.’ Thus, for example, Justice H. Cohn said that:

‘The aforesaid statements of the deceased could have served as corroboration for the appellants’ confessions, had there been a need for any real corroborating evidence. The argument is an a fortiori one: if these statements could have constituted actual corroboration for the appellants’ confessions, they certainly constitute “something extra” for the confessions’ (CrimA 399/72 Menahem v. State of Israel [63]).

In another case Justice Or said that ‘If such corroboration is found, this corroboration will also automatically satisfy the requirement of support for a witness’s statement, on which the court relies by virtue of the provisions of s. 10A of the Ordinance, since what satisfies the greater requirement also satisfies the lesser requirement’ (CrimA 450/82 Tripi v. State of Israel [64], at p. 597, and similar remarks were made by President Shamgar: ‘If the testimony of the accomplice could have served as corroboration, whose weight and scope are broader than evidence that constitutes “support”… and “something extra,” it is obvious that such testimony could also serve as support’ (Askapur v. State of Israel [54]; see also CrimA 282/75 Karki v. State of Israel [65]; CrimA 34/78 Algul v. State of Israel [66]; CrimA 949/80 Shuhami v. State of Israel [67], at p. 72; CrimA 146/81 Al-Sena v. State of Israel [68], at p. 503; CrimA 777/80 Beinashvili v. State of Israel [69], at p. 472; CrimA 533/82 Zakkai v. State of Israel [70], at p. 73).

To summarize the law in this matter, Kedmi says that:

‘Evidence that is capable of serving as “corroboration,” where such additional evidence is required (i.e., additional “implicating” evidence), can also serve as “something extra,” since the greater requirement includes the lesser one: if it is capable of “implicating” the person making the confession, it can certainly “authenticate” his confession.’

And with regard to the relationship between ‘corroboration’ and ‘support,’ Kedmi says that:

‘Evidence that can serve as corroboration will satisfy the requirement of “support”.’

(Kedmi, On Evidence, supra, at pp. 141, 303).

This is also true in my opinion with regard to the relationship between ‘support’ and ‘something extra.’ Just as the support that is required does not need to amount to actual corroboration in its character and weight (Shuhami v. State of Israel [67], at p. 72), so too ‘something extra’ does not need to amount to actual support in its character and weight (in this matter, see the different position of Kedmi, On Evidence, supra, at pp. 184, 203, 297-298).

22. In our case, with regard to the probative significance that can be attributed to the silence of the defendant in his trial, I do not think that it would be right to determine that the aforesaid hierarchy does not apply. Given that the defendant’s silence can provide support for the testimonies of others against him and can constitute corroboration when it is required, I do not think that we should hold that it cannot support his confession or corroborate it, or at the very least, serve as ‘something extra,’ when it is needed. The reason for this is that, as a rule, it is easier for a person to refute or explain his own confession than to refute an accusation levelled at him by someone else (see and cf. E. Kamar, ‘Corroborating Confessions by the Defendant’s Own Statements,’ 5 Israel Journal of Criminal Justice (Plilim) 277 (1996), at p. 292, who agrees with this solely on a prima facie basis).

23. My colleague Justice Levy pointed to the fact that in cases where the legislature allowed the defendant’s silence to be regarded as ‘support’ and ‘corroboration’ for the prosecution evidence, the silence is an addition to testimonies that do not originate with the defendant (the testimony of a state’s witness, the testimony of an accomplice, etc.), whereas when we are speaking of a confession of the defendant, the silence is an addition to testimony that he himself gave in the interrogation. In such circumstances, Justice Levy believes that the silence cannot authenticate the confession to the required degree (para. 23 of his opinion). I am not persuaded that this conclusion is necessary. I discussed above the distinctions that exist between the various probative requirements. These distinctions are valid. But I do not think that they, together with the aforesaid argument that was raised by my colleague, lead to the conclusion that a defendant’s silence in his trial cannot serve as ‘something extra.’ According to the rule that has been formulated in the case law of this court, there is nothing to prevent the source of the ‘something extra’ being the defendant himself. Thus, various evidence that originates with the defendant, such as the defendant’s incriminating conduct, his lies on major issues, a confession of the defendant to major issues during his testimony in court and statements that he made before a judge during arrest proceedings have all been recognized as satisfying the requirement of ‘something extra’ (see, for example, Matzrawa v. State of Israel [62], at p. 809; CrimA 788/77 Bader v. State of Israel [71], at p. 831; CrimA 6289/94 Janshvili v. State of Israel [22], at pp. 171 and 176; CrimA 5825/97 Shalom v. State of Israel [72], at p. 958; CrimA 6613/99 Smirk v. State of Israel [73], at pp. 557-559; Kedmi, On Evidence, supra, at p. 129). I am not persuaded that there is a sufficiently strong reason for determining a different rule for the defendant’s silence.

24. In view of all of the aforesaid, my position is that on the basis of s. 162 of the law, a refusal of a defendant to testify can also satisfy the requirement of ‘something extra’ for a confession made by him out of court. Admittedly this is not evidence that is ‘external’ to the defendant, as some authorities think it should be (see, for example, Kamar, ‘Corroborating Confessions by the Defendant’s Own Statements,’ supra, at p. 280), but we are speaking of additional evidence that is ‘external’ to the confession, and in my opinion it is capable of authenticating, to the required degree, the defendant’s confession to the acts attributed to him. Therefore, in accordance with the stipulation of the legislature and in accordance with the rule in force today as I have explained it, it is sufficient. Although I do not take lightly the various concerns raised by my colleague, as well as the basic right of a defendant to a proper and fair trial, it would not be right in my opinion to derive from these a normative conclusion by means of a strict interpretation that is not required by the wording or the purpose of the statute.

25. The fact that there is a legal basis for regarding the refusal of a defendant to testify as ‘something extra’ for his confession during the interrogation does not mean that this should be adopted as a legal policy. From the wording of s. 162 of the law it can be clearly seen that the legislature left the court with discretion as to whether to regard the refusal of a defendant to testify as having the aforesaid probative significance and whether to give it any weight. How should this discretion be exercised? Is it desirable that the silence of a defendant in his trial should serve as ‘something extra’ for his confession, and in what circumstances? What, then, is the proper judicial policy that should be adopted in this matter?

The proposed legal policy — the rule

26.  My colleague Justice Levy described in his opinion important reasons why he believes that the silence of a defendant should not be regarded as ‘something extra’ for his confession, unless the conditions that he stated in his opinion are satisfied, namely a video recording of the interrogation and the impression of the court that the confession is a true confession. As I have already explained, I agree with my colleague with regard to the rule, but with regard to the exception, which I shall discuss below, in my opinion the trial court should be given a greater margin of discretion than that proposed by my colleague.

I propose therefore that as a rule the silence of the defendant should not constitute ‘something extra.’ There are several reasons for this. First and foremost, my position is based on the basic aspiration of the legal system to arrive at the truth and on the innate fear of convicting an innocent person of a crime on the basis of a false confession that he made. Even though, as we have said, false confessions are the exception to the rule, we must be wary of them. We should mould our legal system in a manner that will restrict to the absolute minimum the possibility that they will be used to convict an innocent person.

My colleague mentioned in his opinion three categories of factors that cause a person under internal pressure to make a false confession, just as these were enumerated in the Goldberg Commission Report (at pp. 8-10). The reasons that may lead a certain defendant to make a false confession are many and varied. Some of them will always remain somewhat unclear. This difficulty is no less relevant, and maybe even more relevant, to the silence of a defendant in his trial. This silence appears contrary to logic and common sense that tell us that an innocent person should not only be prepared to tell his version of events in court, but he should eagerly await the possibility of entering the witness box to refute the suspicions against him and to clear his name, and that a defendant who decides to remain silent is not prepared to tell his version of events or to be cross-examined on the version of events that he told in the interrogation (see, for example, CrimA 196/85 Silberberg v. State of Israel [12], at p. 525).

Reality, it would appear, is sometimes different. In practice we cannot rule out the possibility that there are cases where a defendant in his interrogation will take responsibility for committing an offence that he did not commit, but later he will deny the charges, even though he chooses not to testify in his own defence. The attorney-general also recognizes this possibility and he said in his response that experience shows that there are persons who make false confessions out of court (not necessarily because improper pressure was exerted on them by the police) and that some of them — even after they have denied the charges — may during their trial choose the right of silence. According to him, even though it is possible that someone who made a false confession out of court will act consistently and repeat his confession when he enters the witness stand, it is not possible, a priori, to rule out the possibility that he will not do this but will choose to remain silent (paras. 42-44 of the attorney-general’s arguments).

27. In a situation such as this, where there is an innate difficulty in understanding the motive for false confessions, as well as the motive for refusing to testify, I agree with my colleague’s position that there are grounds for concern that relying on the defendant’s silence as ‘something extra’ for his confessions may undermine the purpose that led to the requirement of ‘something extra’ in the first place, namely the desire to authenticate the defendant’s confession (para. 23 of my colleague’s opinion). Notwithstanding the probative significance that it is possible to attribute to silence, it on its own is limited in its ability to dispel the uncertainty and to provide the court with the explanations that it lacks. When the defendant refuses to talk, it is not possible to cross-examine him in order to discover the truth of what was recorded in his confession at the police station, and therefore there is a difficulty in bridging the gap between his confession in the interrogation and his denial of the charges. Moreover, just as there is a certain conceptual difficulty in saying that lies uttered by the defendant are a guarantee that his confession is not a false confession, when it is the only evidence against him (El Abeid v. State of Israel [29], at p. 721), attributing probative significance to the defendant’s silence may in my opinion suffer from a similar difficulty. For who can guarantee that those lies, or that silence, actually imply a feeling of guilt and are not the result of the same motive that led the defendant to make a false confession. Therefore, just as the court is required to take great care not to err in convicting an innocent person by relying on his lies, it is required a fortiori to take great care not to err in convicting an innocent person by relying solely on his silence as ‘something extra’ for his confession. This caution requires us, in my opinion, to adopt a judicial policy whereby relying on the silence of a defendant as ‘something extra’ for his confession will be done in exceptional cases only.

28. Moreover, an additional reason to refrain, as a rule, from regarding the silence of the defendant in the court as ‘something extra’ for his confession to the police arises from the significant concern that the investigation and prosecution authorities should not be given a ‘green light’ to regard a confession on its own as sufficient for the purpose of filing indictments. This may deprive these authorities of any incentive to try and locate additional evidence apart from the confession, and thereby undermine the basic interest of clarifying and discovering the truth. The attorney-general’s guideline no. 53.000 of 1970 provides, admittedly, that as a rule an indictment should not be filed on the basis of confessions made out of court without there being ‘something extra’ in the evidence that was accumulated in the investigation to authenticate those confessions, and that it may only be done in exceptional cases with the approval of the state attorney or the chief military prosecutor. I believe, however, that when formulating the proper policy on this issue and in order to ensure an additional aspect of the defendant’s right to a fair trial, it is important to encourage the prosecution to act in order to obtain as much evidence as possible against the defendant, apart from his confession, and where possible to base the indictment on a body of evidence that is comprehensive and solid.

29. Finally, and more indirectly, my position is also based on the importance that I attach to preventing the right to remain silent and the presumption of defendants’ innocence from being undermined to a greater extent than what the legislature has expressly recognized in s. 162 of the law. In his arguments counsel for the appellant emphasized that the question that arises in our case, despite its technical appearance as simply a question of evidence, has constitutional importance, since it lies at the crossroads between two constitutional rights: the right of defendants to remain silent and the presumption of innocence enjoyed by every person before he has been convicted in a criminal trial, which are both regarded as basic rights. It is well known that there may be different approaches on the question of which procedural rights in criminal trials are indeed included within the scope of the constitutional right to dignity and liberty, as it is enshrined in the Basic Law: Human Dignity and Liberty, and similarly also with regard to the question of the scope of the constitutional protection that should be given to rights that are not expressly mentioned in the Basic Law (see, for example, Yissacharov v. Chief Military Prosecutor [5], at p. 1107 {351}). In view of what I regard as the clear provisions of s. 162 of the law, I do not think that there is any need for us to decide between the aforesaid approaches in the current appeal. In any case, it would appear that there can be no dispute that the aforesaid rights are relative rights and not absolute rights. This can be seen by the provisions introduced by the legislature in s. 162 (see also HCJ 6319/95 Hachmi v. Justice of Tel-Aviv-Jaffa Magistrates Court [10], at pp. 765-766). I do not accept the argument that regarding the silence of a defendant as ‘something extra’ for his confession violates these rights beyond what the legislature has permitted in s. 162 of the law. But I am aware of the concern that was expressed by defence counsel that these rights may suffer too great a violation, beyond what was permitted by the legislature, and for this reason also I am of the opinion that this use should be made sparingly and in moderation, solely as an exception.

In view of all of the aforesaid reasons, I too am of the opinion that we should conclude that, as a rule, we should not regard the defendant’s silence as ‘something extra’ for the confession that he made in his interrogation. Notwithstanding, it would not be right in my opinion to determine on this issue a sweeping rule, and there is a basis for recognizing exceptions to the aforesaid rule and for granting discretion to the trial court. This legal policy is what will guarantee the proper balance between our commitment to the basic value of discovering the truth, which is based on the goal of ensuring the conviction of the guilty and the acquittal of the innocent, and our duty to protect the right of the defendant to a proper and fair trial. As I said at the beginning of my remarks, this balance is also required by the need to act forcefully against the rise in crime, in order to protect the safety and security of the public, including the victims of crime, while at the same time preserving the fairness and ethical and moral strength of society in general and the legal system in particular. The remarks of Justice Strasberg-Cohen are particularly apt in this regard:

‘The function of a civilized society is to find the proper balance between all of these in such a way that the legal system will have the proper tools that will allow the holding of a fair and efficient trial, prevent the conviction of the innocent and ensure that the guilty do not escape justice. The tools for achieving these goals within the framework of the judicial system are, inter alia, criminal procedure and the rules of evidence. It is through these that the legal system plots its course to discover the truth and to administer justice’ (Hachmi v. Justice of Tel-Aviv-Jaffa Magistrates Court [10], at p. 756).

30. In our case, following a rule that denies the trial court any discretion whatsoever with regard to the probative significance that should be attributed to the defendant’s refusal to testify and that obliges it to acquit a defendant even when it is perfectly clear to the court that his confession is a true one, solely because no external evidence was found that supports it, is likely to give the aforesaid rule of evidence precedence over the value of arriving at the truth. Such a position is undesirable. In this regard I agree with the apt and instructive remarks of my colleague, who pointed to the possibility that there may be cases in which the acquittal of the defendant for the reason that his silence does not constitute ‘something extra’ for his confession may undermine the search for the truth, as well as the fight against crime and protecting the public from it (para. 25 of his opinion). In this regard it is not superfluous to mention that —

‘An erroneous acquittal, and certainly a false conviction, harm both the doing of justice and the appearance that justice is being done, and it may undermine public confidence in the ability of the judicial authority to do justice to the individual and to society’ (Yissacharov v. Chief Military Prosecutor [5], at p. 1124 {383}).

To summarize what we have said so far: my position is that although s. 162 of the law makes it possible to regard silence as ‘something extra,’ as a matter of policy we should not, as a rule, give the silence of the defendant the aforesaid probative significance. This significance will be given to silence only in limited cases, which will constitute the exception rather than the rule. Within the scope of this exception, it is important to give the court discretion in accordance with the circumstances of each case and in accordance with the guidelines that we will set out below.

The proposed legal policy — the exceptions to the rule

31. It will be remembered that the position of my colleague on this matter is that the court should be allowed to regard the silence of the defendant as ‘something extra’ only in cases where a video recording was made of the interrogation and the court that saw the recording obtained the impression that it has before it a true confession. The centre of gravity of the disagreement between me and my colleague revolves around these exceptions. I agree with my colleague that the decision concerning the significance that should be attributed to the silence of a defendant is a matter for the trial court to decide according to the special circumstances of the case before it and in accordance with its discretion (para. 26 of his opinion). But it is precisely for this reason that I am of the opinion that the court should be given a broader margin for exercising its discretion than the one that my colleague is prepared to recognize, and that the exercising of this discretion should not be conditional upon making a video recording of the interrogation.

32. Confessions for which a video recording is made, which my colleague requires as a basis for the exception proposed by him, do of course have a clear advantage that cannot be disputed. A video recording allows the court to form a better impression of the defendant’s interrogation and of the circumstances in which his confession was made, and also to form an impression as to whether his confession was made because of pressures that he was under as a result of the conditions of the interrogation or the arrest. But it seems to me that it would not be right to give too much weight, and certainly not exclusive weight, to the fact that a video recording of the interrogation was made. We should be aware of the possibility that even when the court has a video recording of the interrogation, there is still a possibility that various factors that may have led the defendant to make a false confession were not necessarily expressed in this video recording. Therefore we should take into account that there may be cases in which the fact that a video recording of an interrogation was made will not necessarily be sufficient for the court to regard his silence as ‘something extra’ for his confession (see also what my colleague said in para. 26 of his opinion), and also that there may be cases in which, despite the lack of such a recording, the refusal of the defendant to testify may satisfy the requirement of ‘something extra,’ all of which at the discretion of the court that formed an impression of the confession and the circumstances in which it was made in the specific case that is before it.

33. In my opinion, the court should be allowed this judicial discretion in every case on its merits and in accordance with its circumstances. Notwithstanding, it should be exercised in moderation and with care, in a limited number of cases, and in accordance with the following three criteria, which result from everything that I have said in my opinion thus far:

First, an essential condition for regarding the refusal of the defendant to testify as ‘something extra’ for his confession is that the confession itself is of very great internal weight, so that the court is persuaded that it is a ‘confession that stands on its own in view of its independent weight’ (Levy v. State of Israel [23], at p. 234). It will be remembered that the internal test of a confession ‘examines the confession in accordance with the indications of truth that it reveals, such as its logic or lack of internal logic, the clarity or confusion of the details contained in it and other similar common sense indications that lead a rational person to trust what someone says’ (ibid. [23]). This test considers the content of the confession, and it seeks, on the basis of logic and common sense, to find indications of truth in it, which can be seen from the wording of the confession, the sequence of events, the amount of detail, its internal reasonableness and other such tests (FH 3081/91 Kozali v. State of Israel [26], at p. 458; on the importance of the amount of detail in a confession, see also El Abeid v. State of Israel [29], at p. 771). There is a rule in our case law that the greater the independent weight of the confession, as determined by the indications of truth that can be seen in it, the smaller the need for resorting to the external test of ‘something extra’ (Levy v. State of Israel [23], at p. 234; El Abeid v. State of Israel [29], at p. 795). As a rule, the silence of a defendant is not in itself evidence of great weight. Therefore, in view of the reciprocal relationship that exists between the internal weight of the confession and its external weight (Steckler v. State of Israel [30], at p. 1665), the refusal of a defendant to testify may constitute ‘something extra’ for his confession only in those cases where the court is persuaded, according to the internal test of the confession, that it is a true confession, i.e., when the confession before it is a detailed, coherent and persuasive confession from the viewpoint of its nature, its internal logic and the indications of truth that can be seen in it.

Second, an additional condition that is required in order to make use of the defendant’s silence as ‘something extra’ concerns the ability of the court, on the basis of all the external circumstances of the confession, to rule out — to the required degree of certainty — the possibility that the defendant acted as a result of ‘internal’ pressure that led him to take responsibility for committing an act that he did not do or that was not done at all. In this context, the court should consider the various reasons that may lead a defendant to confess to committing an offence that he did not commit, as set out in the Goldberg Commission report, and it should ask itself whether all reasonable doubt has been removed as to whether one of these reasons exists in the case before it. Thus, for example, it should examine whether there are grounds for a concern that the defendant’s confession was the result of social or other pressures that influenced him. This matter requires a detailed examination especially when we are dealing with an offence that was committed by several accomplices, when we are dealing with a defendant who belongs to a criminal organization, or when the circumstances of the case show a possibility that the confession was made out of a desire not to incriminate someone else, such as a family member. In addition, the court should consider whether to rule out the possibility that the defendant is a member of one of the ‘risk groups’ that give rise to a greater concern that internal pressure may cause them to confess to committing acts that they did not do, such as someone who is mentally disabled (Levy v. State of Israel [23], at p. 235) or intoxicated (Steckler v. State of Israel [30], at pp. 1664-1665). It is well known that in cases such as these there is greater concern that the factors that caused these defendants to confess to an act that they did not do also caused them to refuse to testify in their trial, and therefore the court should not regard the defendant’s silence as sufficient, but should examine and demand a more substantial and significant authentication of the defendant’s confession.

It should be emphasized that we are not speaking of a closed set of criteria. These are merely examples of the kinds of indications that the court should seek in order to rule out the possibility that the confession is a false one.

Last, the final criterion is actually the converse of the rule described in the second criterion. In this context, the court should ascertain that there are no indications that may show that the silence of the defendant in the court, and not merely his confession in the interrogation, is a result of any internal or external pressure; alternatively, it should examine whether there is any evidence at all with regard to a motive for the defendant’s silence and with regard to the circumstances of this silence, which, although it may not serve on their own as ‘something extra,’ allows the court to dispel the clouds of uncertainty in this matter. The court should therefore be persuaded, after considering all the circumstances of the case, that the silence of the defendant is not the result of an innocent motive, and therefore the logical conclusion is that he really does not have an answer to the charges leveled at him, to which he confessed in his interrogation.

34. When these three criteria, which are mainly intended to serve as guidelines, are all satisfied, the court may determine that the silence of the defendant in his trial may constitute the ‘something extra’ that is required for his confession. As we have said, this should be done only in exceptional cases. Because of the complexity of the issue and the large number of factors that need to be taken into account, I do not think that it is possible or proper to determine more rigid criteria with regard to the nature of the exceptional circumstances in which the court will decide that silence may constitute ‘something extra.’ The decision on this matter will be made by the trial court, which will exercise the discretion given to it by the legislature in accordance with the criteria outlined above and after considering the circumstances of each case on its merits. This discretion should be exercised sparingly, carefully, reasonably and wisely, so that the exception is not allowed to become the rule. The remarks of Justice Barak in another case are illuminating in this respect:

‘… The criminal trial should discover the truth, and this is its main goal. Of course, following rules and discovering the truth are not two conflicting goals. On the contrary, the rules are intended to determine a standard for holding a trial, which, as experience shows, can lead to the discovery of the truth, and thereby the two goals coincide. Notwithstanding, there are cases where a formal insistence on rules in a special case will result in a miscarriage of justice, whether in the form of a conviction of the innocent or the acquittal of the guilty. In these circumstances we should aspire to the goal that the rules themselves will give the court power and discretion to do justice’ (CrimA 951/80 Kanir v. State of Israel [74], at p. 516).

35. Finally, before concluding, we should mention once again the guideline of the attorney-general according to which, as a rule, an indictment should not be filed based on a defendant’s confession only, without there being ‘something extra’ in the evidence. It is to be hoped that this guideline, which applies to both the civilian and military prosecutors, will lead to a result whereby the cases in which the court will be required to decide whether to regard the silence of the defendant as ‘something extra’ for his confession will be few and far between.

From general principles to the specific case — the conviction of the appellant in this case

36. With regard to the appellant before us, I agree with the conclusion of my colleague Justice Levy, although not with his reasoning. In my opinion, without making any hard and fast determination on this matter, it would prima facie appear that this case is precisely one of those cases that may fall within the scope of those exceptional cases in which the trial court was entitled to find ‘something extra’ in the refusal of the appellant to testify. I should point out that the findings of the court martial — and like my colleague I too see no reason to depart from them — were that the appellant’s confession has great weight; his interrogation was conducted in a good atmosphere, with full cooperation on his part; no claim was raised that pressure had been exerted on him; in addition, prima facie there was no indication that the appellant’s confession, as well as his choice not to testify, were the result of any pressure to which he was subject. In any case, as I have said, this is a matter for the trial court to decide. Therefore, even though according to the different legal outlook that I have proposed it might have been proper to return the case to the court martial, so that it might reconsider and reexamine the matter in accordance with the criteria that we have outlined above, I do not propose to do this. In view of the fact that the position of the chief military prosecutor, as presented by the representative of the attorney-general, is that he no longer insists upon the appellant’s conviction, and in view of the circumstances of the case, including the fact that the offence is on the lowest level of criminal offences, the circumstances in which the offence was committed and the large period of time that has passed since the offence was committed, I too am of the opinion, like my colleague, that we should order the appellant’s acquittal.

 

 

President Emeritus A. Barak

In the difference of opinion between my colleagues, I agree with the opinion of my colleague Justice E. Arbel, for her reasons.

 

 

Appeal allowed.

23 Kislev 5767.

14 December 2006.

 

 

Cohen v. Minister of Defense

Case/docket number: 
HCJ 4169/10
Date Decided: 
Wednesday, June 2, 2010
Decision Type: 
Original
Abstract: 

Petitions seeking remedies concerning the release of foreign arrestees who took part in a flotilla from Turkey to the Gaza Strip were rejected. Following the notice of the Attorney General regarding the release of the foreign arrestees, part of these petitions have become unnecessary, whereas regarding the petitions challenging the decision of the Attorney General, it a decision within the discretion of the Attorney General and there is no reason for intervention. The High Court of Justice (in an opinion written by Justice D. Beinisch) rejected the Petitions for the following reasons:

 

Following the decision of the Attorney General, the primary remedies sought as part of these petitions have become unnecessary.

 

As for the Petitions against the Attorney General’s decision to release the foreign arrestees, it is a decision within the range of the Attorney General’s discretion. This Court held in a long line of decisions that the extent of intervention into the discretion of the Attorney General in regards to an investigation or an indictment is limited only to exceptional and unusual cases. Because of the unique nature of the event and the circumstances around it, which – in addition to the criminal aspects – bears political aspects that concern the country’s foreign affairs as well, the Attorney General was permitted to consider such aspects. The developments that occurred in the international arena regarding this affair point to special political sensitivity as to law enforcements treatment of the participants of the flotilla. The Attorney General noted that he consulted all the government bodies relevant to these political aspects and that after considering the fact that nine of the participants were killed and several dozens were injured, he concluded that the political, security and public interests outweigh the interests of criminal law enforcement. The Court found neither in this decision, which was given the above reasons, nor in the considerations that justified it, a reason for intervention. 

Voting Justices: 
Primary Author
majority opinion
majority opinion
majority opinion
Full text of the opinion: 

 

The Supreme Court sitting as the High Court of Justice

 

 

HCJ 4169/10

HCJ 4193/10

HCJ 4220/10

HCJ 4221/10

HCJ 4240/10

HCJ 4243/10

 

 

Before: The Honorable President D. Beinisch, The Honorable Justice
M. Naor, The Honorable Justice U. Vogelman

 

Petitioners in HCJ 4169/10: Yiftach Cohen; Omer Shatz, Itamar Mann

Respondents in HCJ 4169/10: The Minister of Defense; The Minister of the Interior; The Minister of Public Security

 

Petitioners in HCJ 4193/10: Adalah – The Legal Center for Arab Minority Rights in Israel; Public Committee Against Torture in Israel; Physicians for Human Rights

Respondents in HCJ 4193/10: The Minister of Defense; The Military Advocate General; The Israel Prison Service; The Israel Police; The Immigration Authority

 

Petitioners in HCJ 4220/10: Al Jazeera Satellite Network; Othman Al Bukhairi; Abas Naser; Muhammad Fal; Ali Sabri; Andrei Abu Khalil; Jamal Al Shial; Wasima Bin Salah

Respondents in HCJ 4220/10: The Israel Defense Forces; The Minister of Defense; The Minister of Public Security

 

Petitioner in HCJ 4221/10: Yekutiel Ben Yaakov

Respondents in HCJ 4221/10: The Israel Police; The Israel Prison Service; The Government of Israel; The Minister of Defense; The Prime Minister

 

Petitioner in HCJ 4240/10: Shurat Hadin – Israel Law Center

Respondents in HCJ 4240/10: The Attorney General; The Prime Minister; The Minister of Public Security; The Minister of the Interior; The Israel Police

 

Petitioners in HCJ 4243/10: 1. Almagor – Terror Victims Association; Y.S. – Navy commando (res.); D.B. – Navy commando (res.) and bereaved brother; Pniel Krichman; Yekira and Zecharia Komemi; Aviva and Rahamim Komemi; Tzila Rahamim; Moshe Keinan; Briana and Shmuel Hilberg

Respondents in HCJ 4243/10: The Prime Minister; The Minister of the Interior; The Attorney General; The Inspector General of the Israel Police

 

 

Petitions to grant an order nisi

 

Date of hearing:

20 Nisan 5770

(June 2, 2010)

 

For the petitioners in HCJ 4169/10: Itamar Mann; Yiftach Cohen; Omer Shatz

For the petitioners in HCJ 4193/10: Fatima El Ajou

For the petitioners in HCJ 4220/10: Zaki Kamal; Kamal Zaki Kamal

For the petitioner in HCJ 4421/10: Himself

For the petitioner in HCJ 4240/10: Nitsana Darshan Leitner

For the petitioners in HCJ 4243/10: Sharon Avni; Shira Greenberg

For the respondents: The State Attorney Moshe Lador; Osnat Mandel; Dina Zilber; Hila Groni

 

 

Judgment

 

 

President D. Beinisch:

 

 

1.          In view of the control of the Gaza Strip by the Hamas organization, Israel has taken various measures designed to prevent direct access to the Gaza Strip, among them a blockade of the Gaza Strip which, as declared by the State, is designed to prevent the infiltration of weapons and arms to the Hamas organization, which, for years, has carried out acts of shooting and terrorism at Israeli territory for the purpose of harming civilians.

 

2.          In recent weeks, announcements have been publicly made by various organizations, among them organizations that declared themselves to be acting for humanitarian purposes, regarding their intention to arrange a flotilla of ships which, they claimed, were designated to transfer foodstuffs and materials as humanitarian aid to the residents of the Gaza Strip. Israel, for its part, made efforts to prevent the flotilla from reaching the shores of Gaza and breaching the blockade in such manner. The State proposed to the organizers of the flotilla, among others, that the cargo – which was supposed to reach Gaza – be unloaded from the ships and transferred directly to Gaza via Israel. This proposal was rejected.

 

             In the early hours of May 31, a number of ships approached the shores of Israel to implement the flotilla's plan. As decided by the political echelon, the IDF prepared to take measures to prevent the entry of the ships into the Gaza Strip as stated. In the framework of an operation that was designed to stop the ships, soldiers landed on the deck of the ship Mavi Marmara, the largest ship in the flotilla. The soldiers met with a violent and severe response from the flotilla participants on the ship. The soldiers were attacked with knives, clubs and iron rods. Attempts were made to seize the soldiers’ personal weapons and they were violently attacked. One of the soldiers was even thrown off the deck of the ship. The soldiers were forced to respond to defend their lives and, unfortunately, the operation ended with unexpected loss of life - nine people were killed and both soldiers and flotilla participants were injured. The operation concluded with the ships being halted and their passengers removed and detained in Israel.

 

3.          That same morning, when the results of the operation became known, the petition in HCJ 4169/10 was filed with this court (hereinafter: the First Petition), in which four attorneys filed the petition as public petitioners. It should be noted that at the opening of the hearing before us, the petitioners gave notice of the request of attorney A. Feldman, who was among the petitioners, to strike his name from the petition. The petition ascribed grave and illegal acts to the State of Israel and the petitions sought a remedy of habeas corpus to free all the detainees. It is evident in the petition, which was hastily filed, that, notwithstanding the fact that the petitioners knew nothing about the actual events, they were quick to cast the gravest aspersions on the actions of the IDF forces, while using inappropriate language. Notwithstanding that stated, because the relief sought was the release of the detainees, the petition was not stricken in limine at that stage, and the State’s response was requested by the following day.

 

             During the course of that day and the following day, a number of additional petitions were filed with court. In HCJ
4193/10, which was filed on behalf of the Adalah organization and other human rights organizations, the petitioners requested information on the detainees and their whereabouts, as well as details on the injured and the dead. This petition was also filed as a public petition. Another petition (HCJ 4220/10) was filed by the Al Jazeera television network and in the name of journalists acting on its behalf who had been arrested on the ship. This petition requested the release of the network personnel who had participated in the flotilla. It should be noted that during the hearing that we held, it transpired that this petition was superfluous since the petitioners had already been released.

 

4.          On June 1, 2010, the government issued a statement that all the foreign flotilla participants would be released and returned to their countries. After this statement was issued, three additional petitions were filed with this court: HCJ 4221/10, which was filed on behalf of Mr. Yekutiel Ben Yaakov; HCJ 4240/10, which was filed by Shurat Hadin – Israel Law Center; and HJC 4243/10 filed by Almagor – Terror Victims Association. In these three petitions, the remedy sought was to bar the release of the foreign flotilla participants, with the main argument being that these were people who had committed an offense, who were required both for investigating the facts and the circumstances surrounding the incident and for a decision about arraignment for trial.

 

             In view of the remedy sought, which related to the question of the release of a large number of detainees, we conducted an urgent hearing and deliberated all the petitions together before the panel at that session, and within two days of the filing of the First Petition.

 

5.          Before the hearing, the State submitted a written response in which it protested the description of the events in the First Petition and pointed out the distortion of the facts therein. In essence, the State addressed the legality of the blockade and referred to an alternative remedy set forth in the relevant provisions of the Entry into Israel Law, 5712-1952, with regard to the foreign participants in the flotilla and the relevant provisions of the law pertaining to the criminal proceedings of investigation and detention with regard to the Israeli suspects who participated in the event. During the day, proximate to the time of hearing the petitions, the State completed its statement and submitted a decision formulated by the attorney general, which stated that on the day of the event, May 31, 2010, the attorney general ordered the opening of an investigation on suspicion of offenses committed on the deck of the ship Mavi Marmara, including the offense of the grave attack on IDF soldiers, disturbing the peace, endangering the lives of soldiers, seizing weapons and so forth. The attorney general further stated that the next day, the ministerial committee on national security matters convened and conducted a long and exhaustive discussion of the security, political, legal and other aspects of the affair. At the end of the discussion, the senior political echelon recommended “to enable the immediate deportation of all the foreigners who had arrived on the flotilla, who were suspected of committing criminal offenses. This is recommended for clear political reasons pertaining to foreign relations and the security of the State of Israel.” In his decision, the attorney general noted that he had discussed the matter with the state attorney and other senior officials at the Ministry of Justice and other government ministries, at the end of which he decided, as stated, to allow the immediate deportation of all the foreigners from Israel.

 

6.          During the hearing before us, State Attorney Moshe Lador, appeared together with senior attorneys. It should be noted that due to the nature of the proceedings which we conducted, we sought not to address the claims pertaining to the legality of the blockade, nor with the factual events during that grave incident, the full details of which had not been presented to us. Claims pertaining to the detention of Israelis suspected of committing offenses while participating in the flotilla were also not adjudicated before us, as they should be argued in individual hearings on the criminal arrest proceedings before the competent courts. The hearing focused on the urgent remedies sought which pertain to holding the foreign detainees. The state attorney stated that all the foreigners who wished to do so could be released from detention and, in effect, those who had not yet left the country were on their way to the airport. The wounded whose medical condition allowed for it, were also removed to their countries of origin. Apparently, two of the wounded remained in the hospital because their condition did not enable them to be flown back to their country. The state attorney further stated that the names of all the wounded had been submitted to the relevant consulates and, with regard to those who came from countries that do not have diplomatic relations with Israel, the details were provided to the Red Cross. It should be noted that the State did not see fit to acquiesce to the request to provide details in this matter to counsel for the Adalah organization, as the details had been provided to the relevant entities. However, the possibility arose that if a specific, substantive application were to be made to obtain details regarding one of the casualties or the wounded, the State would examine the possibility of providing counsel for the Adalah organization with the requested details. It further transpired that the remaining details requested by the Adalah organization regarding the place in which the detainees were being held were resolved. The Adalah organization’s counsel also made claims with regard to the detainees' ability to meet with attorneys. During the hearing it was made clear that there had been no intention to prevent such a meeting, and many detainees had actually already met with attorneys. Due to the need to release hundreds of people quickly, not all the detainees may have had the opportunity to meet with an attorney.

 

             The position of the attorney general to release all the foreign participants meant that the main remedy sought in the First Petition was already granted. In the course of the arguments, in view of the response of the state attorney and the comments of the court, the petitioners retracted the style of the scathing verbal attack that they had employed in the petition.

 

7.          As stated, three of the petitions were filed against the attorney general’s decision to release the foreign detainees. Each one of the petitioners argued before us at length about the importance of keeping the detainees in Israel for the purpose of conducting an exhaustive investigation regarding the grave events that occurred on the ship, and regarding the need to exercise the full rigor of the law or, at least, to investigate details which, they claim, would constitute defense arguments for the IDF soldiers.

 

             We did not find any ground for intervention in the decision of the attorney general. The decision to release the detainees is in the realm of the attorney general’s discretion. In a long series of judgments, this Court has ruled that the scope of intervention in the attorney general’s discretion in decisions pertaining to investigation or prosecution is limited to exceptional and unusual instances. Due to the unusual nature of the event and the circumstances entailed therein which, aside from the criminal aspects, also encompass political aspects pertaining to the State’s foreign relations, the attorney general was entitled to consider these aspects. The developments that have ensued in the international arena indicate that a particular political sensitivity exists in everything pertaining to the handling of the matter by the enforcement entities. The attorney general noted that he consulted with all the relevant government entities and after taking into account the fact that nine flotilla participants were killed and several dozen were wounded, he reached the conclusion that the public, political and security interests outweigh the interests of criminal enforcement. We did not find in this decision, which was reasoned as stated, and in the considerations underlying it, any cause for intervention.

 

             Wherefore, after we were convinced that the main remedies sought in some of the petitions were superfluous, and in the absence of cause to intervene in the decision of the attorney general, we have decided to deny the petitions.

 

             Given this day, 20 Sivan 5770 (June 2, 2010).

 

 

The President          Justice                 Justice

_________________________

This copy is subject to editorial and textual changes 10041690_N04.doc AB

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Manning v. Attorney General

Case/docket number: 
CrimFH 532/93
Date Decided: 
Monday, August 16, 1993
Decision Type: 
Appellate
Abstract: 

Facts: The petitioner was tried for murder in the United States. The trial was declared a mistrial after the jury failed to reach an unanimous verdict, and the prosecution cancelled the indictment, reserving the right to submit a new one.

 

The petitioner returned to Israel. The United States requested her extradition to stand trial for the same murder, and the District Court declared her to be extraditable. Her appeal to the Supreme Court was denied, but the President of the Supreme Court granted her application to hold a further hearing on the question of whether the defence of double jeopardy was relevant to the extradition proceedings.

 

The petitioner argued that although under American law she would not have a defence of double jeopardy, she would have this defence under Israeli law if tried in Israel, and therefore Israel should not extradite her to the United States.

 

Held: If tried in Israel, the petitioner would not have a defence of double jeopardy under Israeli law. She was therefore extraditable.

Voting Justices: 
Primary Author
majority opinion
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concurrence
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concurrence
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Full text of the opinion: 

CrimFH 532/93

Rochelle Manning

v.

Attorney-General

 

The Supreme Court sitting as the Court of Criminal Appeal

[16 August 1993]

Before Justices A. Barak, S. Levin, E. Goldberg, E. Mazza, D. Dorner

 

Further hearing in the Supreme Court, on the judgment of the Supreme Court (Justices A. Barak, S. Levin, E. Mazza) on 18 January 1993 in CrimA 2998/91, in which the Supreme Court dismissed the appeal of the petitioner on the judgment of the District Court which declared the petitioner extraditable.

 

Facts: The petitioner was tried for murder in the United States. The trial was declared a mistrial after the jury failed to reach an unanimous verdict, and the prosecution cancelled the indictment, reserving the right to submit a new one.

The petitioner returned to Israel. The United States requested her extradition to stand trial for the same murder, and the District Court declared her to be extraditable. Her appeal to the Supreme Court was denied, but the President of the Supreme Court granted her application to hold a further hearing on the question of whether the defence of double jeopardy was relevant to the extradition proceedings.

The petitioner argued that although under American law she would not have a defence of double jeopardy, she would have this defence under Israeli law if tried in Israel, and therefore Israel should not extradite her to the United States.

 

Held: If tried in Israel, the petitioner would not have a defence of double jeopardy under Israeli law. She was therefore extraditable.

 

Petition denied.

 

Legislation cited:

Basic Law: Human Dignity and Liberty, 5752-1992.

Extradition Law, 5714-1954, ss. 2, 8.

Penal Law, 5737-1977, ss. 30, 300(a)(2).

 

Israeli Supreme Court cases cited:

[1]        CrimA 72/60 Attorney-General v. Juiya [1960] IsrSC 14 1093.

[2]        CrimA 244/73 Rever v. State of Israel [1974] IsrSC 28(1) 798.

[3]        CrimA 250/77 State of Israel v. Krishinsky [1978] IsrSC 32(1) 94.

[4]        HCJ 20/50 Schwartz v. Presidency of the Supreme Military Tribunal [1950] IsrSC 4 185.

 

American cases cited:

[5]        Arizona v. Washington 434 U.S. 497 (1978).

[6]        Wade v. Hunter 336 U.S. 684 (1949).

 

For the petitioner — Y. Golan.

For the respondent — R. Rabin, Head of the International Affairs Department, State Attorney’s office.

 

 

JUDGMENT

 

 

Justice E. Goldberg

1.    The Government of the United States applied to extradite the petitioner and her husband, in order to put them on trial for an offence which, according to its basic elements, is equivalent to an offence of murder under section 300(a)(2) of the Penal Law, 5737-1977.

            The District Court granted the application of the Attorney-General and declared the petitioner and her husband extraditable. Their appeal to this court in CrimA 2998/91[*] was denied unanimously in a judgment given on 18 January 1993 (hereafter — ‘the judgment’).

            The petitioner and her husband submitted a petition to hold a further hearing, and their application was considered by the President of this court. In his decision on 1 March 1993, the President denied the application of the husband, but with regard to the petitioner he held:

‘With regard to Rochelle Manning’s petition for a further hearing, which addresses a question about the previous proceeding in the United States, I find there are grounds to hold a further hearing on the question whether it is relevant, from the viewpoint of the laws of extradition, that a prior criminal proceeding against the petitioner took place in the United States, which was declared a mistrial, and I so order.

Therefore Rochelle Manning’s application for a further hearing is granted.’

2.    The facts forming the basis of the extradition application are set out in the opinion of Justice Mazza,[†] and we will quote what he says in so far as it is relevant to the question before us:

‘When the investigation [of the United States’ authorities] was completed, Mrs Manning was put on trial, on an indictment that is identical in content to the indictment which is now the basis of the application to extradite her and her husband. The indictment, before a grand jury, was apparently also filed against the appellant and Bill Ross, but because Mr Manning was absent from the United States, the trial was held with regard to Mrs Manning and Bill Ross only. The trial, which took place in December 1988 and January 1989, did not lead to a verdict, for the jury were unable to reach an unanimous verdict. The court therefore decided to discharge the jury and it declared a mistrial. Thus the trial was terminated, and the prosecution cancelled the indictment, reserving the right to submit a new indictment.

The appellant was consequently released from arrest and she returned to Israel. After a while (on 27 July 1990), the new indictment was filed against the appellants; this is identical in content to the previous one, and their extradition was requested (on 27 December 1990) on the basis of this’ (square parentheses added).

3.    Within the framework of the appeal, the petitioner’s learned defence counsel argued, as stated in the judgment, that —

‘Since the appellant has been put on trial once, she should not be extradited in order to allow her to be put on trial a second time: first, because putting her on trial a second time is contrary to the double jeopardy rule, whereby a person should not be put in jeopardy of conviction, for one act, more than once. Second, because even if, under the law prevailing in the United States, starting a new trial, after the previous trial is terminated as a mistrial, does not constitute a breach of the double jeopardy rule, the extradition application should not be granted on the basis of a wide interpretation of the double jeopardy rule, whereby a mistrial is the “comparative equivalent” of an acquittal.’[‡]

4.    This argument was rejected by Justice Mazza for three reasons:

‘First, because it does not accord with the provisions of the law and the convention; second, because there is not a sufficient basis for determining that putting the appellant on trial a second time will breach the double jeopardy rule within the meaning thereof in American law; and third, because even on the basis of the wide interpretation of the requirement of double criminality, a mistrial cannot be construed, under our law, as an acquittal verdict.’[§]

The detailed reasoning of Justice Mazza is stated in his opinion, and the reader is referred to it.

5.    Justice Barak did not see fit to determine the question whether section 8 of the Extradition Law, 5714-1954, ‘includes a closed list of issues that allow a petition for extradition to be denied from the outset.’[**] In his opinion, ‘this approach is not absolutely certain,’[††] and he would have been prepared ‘to adopt a different approach’.[‡‡] However he accepted the opinion of Justice Mazza, ‘that in the circumstances of the case before us — and in view of the law relating to a mistrial in the United States — the appellant does not have… a defence of “double jeopardy” in the United States.’[§§]

With regard to the argument of the learned defence counsel about the ‘comparative equivalent’ whereby ‘a person wanted for trial should not be extradited if, were he to be put on trial in Israel, he would have a defence of ‘double jeopardy’, even if this defence is not available to him in the country asking for his extradition (the United States),’[***] Justice Barak said that indeed ‘the question of the comparative equivalent… may arise only within the framework of the requirement of ‘double criminality’ (enshrined in s. 2 of the Extradition Law).’[†††] However, whereas Justice Mazza rejected the argument of the defence counsel while expressing a reservation about the approach of Prof. S.Z. Feller (in his book Law of Extradition, the Harry Sacher Institute for Research of Legislation and Comparative Law, 1980, at 167) that one should examine double criminality both in abstracto and in concreto, Justice Barak left the question undecided ‘since prima facie “double criminality” must be examined — as Prof. Feller says, ibid. p. 170 — both in abstracto and in concreto.’[‡‡‡]

Justice S. Levin also agreed that the appeal should be denied.

6.    The starting point in the argument of the learned defence counsel in this petition was that the petitioner does not in fact have a defence of ‘double jeopardy’ under the law in the United States. Moreover, he did not argue in the appeal that a mistrial in the law of the United States is equivalent to an acquittal in our law. His argument is that in order to declare the petitioner extraditable, it is not sufficient that under the law in the United States it is possible to put her on trial a second time, and that she will not succeed with a defence of ‘double jeopardy’. The Israeli court must further determine that even under our law the petitioner does not have this defence. This cannot be said to be the case, since —

‘The “double jeopardy” rule, in its wide meaning, is a fundamental principle of our legal system. It guarantees the freedom of the individual and his right not to be put on a criminal trial once again, after he already was in danger of being convicted. It has even become a “constitutional” right with the legislation of the Basic Law: Human Dignity and Liberty… and this “constitutionality” must influence the method of interpretation that must be adopted with regard to the Extradition Law.’

It follows that —

 ‘Whatever the reasons for the laws of the United States may be, and whatever the circumstances may be there, from our viewpoint, and because of considerations based on the principles of our legal system, it is fitting that the outcome of a proceeding where such a decision was made should be an acquittal, and therefore we should refrain from extraditing someone who has been discharged because of a mistrial. Just as we would not put him on trial once again before our court, so we should not agree that he should be put on trial once again before the courts of the country making the application.’

This outlook, according to the argument of the learned defence counsel, is similar to what is stated by Justice Barak in the judgment, since Justice Barak asks:[§§§]

‘Take the case of a wanted person who is put on trial in Israel, and although he is not acquitted or convicted in Israel, he has in Israel a defence of “double jeopardy” against being put on trial once again in Israel… is it clear and obvious that he should be extradited to a country where he does not have a defence of double jeopardy?’

This is the heart of the petitioner’s argument, that she has a defence of ‘double jeopardy’ in Israel, and why, therefore, was the court in the judgment content merely because under the laws of mistrial in the United States the petitioner does not have a defence of ‘double jeopardy’ there?

The learned defence counsel further argues that if Justice Barak raises in his judgment the question:  ‘Would we ever extradite to a foreign country a ten-year-old minor, who has no criminal liability in Israel, but has criminal liability in the foreign country?’[****], how can the petitioner, who does not have criminal liability under our laws because of ‘double jeopardy’, be extradited merely because she has such liability in the foreign country?

It is unnecessary to emphasize that the thesis raised by the learned defence counsel is based on the argument that the list of situations set out in s. 8 of the Law is not a closed list, and that the law does not set out all the laws of extradition exhaustively, and alongside it we should apply the principles of the Israeli legal system and its values. Consequently a person wanted for extradition has the defence that under the extradition laws, in their wide meaning, he is not extraditable because of the application in Israel of the ‘double jeopardy’ rule.

7.    The judgment was based on the premise that ‘the application in our law of the double jeopardy rule with regard to an accused whose first trial was terminated and never reached a verdict, either of conviction or acquittal, was not in doubt’ (per Justice Mazza[††††]) and that it is well-known that ‘even though the “double jeopardy” rule is not mentioned expressly in the Criminal Procedure Law [Consolidated Version], it is available to every accused in Israel…’ (per Justice Barak[‡‡‡‡]). This assumption about the existence of the ‘double jeopardy’ rule in our law, even though it is not enshrined in legislation, will continue to appear in our deliberation, even though it has already been said in CrimA 72/60 Attorney-General v. Juiya [1] at 1097, that the court was not referred ‘to any precedent in which a person was acquitted in Israel on the basis of the defence that an indictment constituted a double jeopardy,’ and this is also true of case-law reported until the present.

The defence of ‘double jeopardy’ is one branch of the rule ‘of long standing that a person should not be put on a criminal trial for the same matter more than once’ (CrimA 244/73 Rever v. State of Israel [2], at p. 801). However, although the defence of a prior conviction or prior acquittal relies upon res judicata, ‘the prohibition of “double jeopardy” relies on the danger of conviction for an offence that an accused faced in a previous trial’ (Attorney-General v. Juiya [1], at p. 1097).

It follows that this defence will succeed only if the accused was put on trial in the first proceeding under a ‘proper’ indictment, and before a competent court, for only then was he in danger of being convicted (CrimA 250/77 State of Israel v. Krishinsky [3] at p. 96).

The reasons given in American case-law for the rule in the Fifth Amendment of the Constitution that forbids double jeopardy are that the State, which has the resources and the power, should not be allowed to make repeated attempts in order to convict an accused of the same offence:

‘subjecting him to embarrassment, expense and ordeal and compelling him to live in a continuing state of anxiety and insecurity, as well as enhancing the possibility that even though innocent he may be found guilty.’

Moreover the accused has a —

‘valued right to have his trial completed by a particular tribunal, which also is not absolute but must at times give way to the public’s interest in fair trials designed to end in just judgments.’

The defence of ‘double jeopardy’ has an additional significance, since the State has an advantage in the second proceeding over the accused, in that it has found out from the first proceeding the strength of his defence and its weak points. See W.R. LaFave and J.H. Israel, Criminal Procedure, St. Paul, 1985, at 898-9, and also 21 Am. Jur. 2nd, Rochester and San Francisco, 1981, at 440.

8.    What can we learn from the aforesaid about the classification of the ‘double jeopardy’ rule within the framework of criminal liability?

            In the defence of ‘double jeopardy’ the defendant does not attack the facts in the indictment, and he does not claim that they do not disclose a criminal offence. The assumption in this defence is that the criminality of the act does apparently exist, but despite this the accused should not be put on trial a second time with a danger of being convicted, after the first proceeding was terminated without a decision about his guilt. If so, raising the argument of ‘double jeopardy’ has nothing to do with negating criminality.

‘Double jeopardy’ does not fall, therefore, within the sphere of justice (like ‘necessity’ and ‘justification’) where there is no offence ab initio, nor is ‘double jeopardy’ concerned with an exemption (such as repenting of encouragement, under s. 30 of the Penal Law), in which the act led to a criminal offence, but a later event is what cancels the criminal liability. We are also not concerned with the absence of a preliminary condition for the existence of the offence (such a minority and insanity), in which framework are included the cases of incapacity. In other words, the ‘double jeopardy’ rule, in essence, does not fall within the category of limitations to the criminality of the act (see Feller, Principles of Criminal Law, the Harry Sacher Institute for the Investigation of Legislation and Comparative Law, volume 2, 5747, at 503-507).

From this it can be seen that the defence of ‘double jeopardy’, after the first proceeding, presents merely a barrier to the realization of criminal liability, under the assumption that this exists. The act was prima facie an offence before the first proceeding and it also remains so thereafter, but because of the first proceeding the criminal liability, which arose prima facie when the act was committed, cannot be realized. From this the defence of ‘double jeopardy’ can be seen as an extension of the category of limitations to the realization of criminal liability, where ‘the limitation to the realization of criminal liability assumes, as implied by this very expression, the existence of an act that constitutes an offence and criminal liability that already rests with a person who ought to be tried for it, or with a person who has already been tried for it, but its realization is barred, in some degree, because of a special reason, which arises later, and which is the limitation itself’ (Feller, ibid., vol 2, at pp. 619-20).

9.    So it transpires that the question whether the ‘double criminality’ required in section 2 of the Extradition Law must be considered, only in abstracto or also in concreto, does not arise at all when the person whose extradition is requested raises the defence of ‘double jeopardy’, which he does not have in the country making the request. This is because, as explained above, the prima facie criminality of the act, also under our law, is the point of origin for the actual defence, and here lies the basic difference between this defence and a defence that the act attributed to the person wanted is not an offence under Israeli law (because, for example, of the young age of the person requested).

       After reaching this point, the question whether section 8 of the law includes a closed list of issues that allow an extradition application to be rejected becomes superfluous, for even if you say that it is not, extending the list can only be done for value considerations ‘reflecting the normative system of the State’, which prevent it from extraditing a person requested ‘by disregarding its law and public policy’ (Feller, ibid., at p. 181). We have already said that the defence of ‘double jeopardy’ does not attack the criminality of the act even under our system, and all that is argued is that there is a barrier to realizing the criminal liability even if this exists. It cannot be said that extradition of a person to a country where such a barrier does not exist (when in Israel it arises only ‘in rare circumstances where the trial of an indictment filed lawfully before a competent court is “terminated”, and there are no provisions in the law that determine the nature of the “termination” and its significance in the context under discussion’ (Y. Kedmi, On Criminal Procedure, Dionon, 1993, at p. 590)) harms the fundamental principles of our system or the ‘basic principles of the society and the country’ (see Feller, ibid., at p. 211), to such an extent that the person requested should not be extradited. Not only has the defence of ‘double jeopardy’ not succeeded empirically in our case-law until now, but we do not even regard as ‘double jeopardy’ a case where the State appeals the acquittal of an accused, even though he may be convicted on appeal.

            From the above it appears that even if the petitioner had the barrier of ‘double jeopardy’ in Israel because of the mistrial, her argument should be rejected for two reasons: first, there is no absence of double criminality, and, second, the barrier of ‘double jeopardy’ when a trial is terminated is not a principle that conflicts with the basic principles of our system.

10. It is not superfluous to add that the defence of ‘double jeopardy’ which the petitioner raises would also not succeed if the petitioner were brought to trial in Israel, under the rule in HCJ 20/50 Schwartz v. Presidency of the Supreme Military Tribunal [4]. In that case a proviso was applied that the defence of ‘double jeopardy’ cannot succeed when the first trial is terminated ‘before it is completed, for reasons that are not the fault of the court or the public prosecution.’ As stated there, on p. 193 —

‘Just as in a case where the jury is discharged, a need arises [in that case] to discharge the panel of the court in the first trial. This need and this discharge forestall the applicant’s defence arguments in the second trial, and his defence of double jeopardy will not succeed’ (square parentheses added).

It follows that the petitioner would not be able to raise a defence of ‘double jeopardy’ after her first trial was terminated ‘in circumstances not the fault of the court and the public prosecution’. This is the case when the first trial is terminated as a mistrial, and we must apply the ‘comparative equivalent’.

11. For the said reasons, I would deny the petitioner’s petition.

 

 

Justice S. Levin

1.    I agree with my esteemed colleague, Justice Goldberg, that the defence of double jeopardy, in the circumstances in which it arises in the case before us, does not concern the issue of criminal liability. Notwithstanding, we are not released from considering the question whether the court in Israel may deny the extradition application even though the matter does not fall within section 8 of the Extradition Law.

2.    Just as in the first hearing, I am also now prepared to assume, without deciding the issue, that the provisions of the aforesaid section 8 do not constitute a closed list; notwithstanding, I would hesitate before making even a general categorization of exceptional cases where the application would be denied in circumstances that are not included in the said section. I am prepared to assume that perhaps it is possible to include in the said category extreme cases where granting the extradition application would be contrary to public policy in Israel; but even the formula that the court will refuse an application in circumstances where the foreign law (apart from with regard to criminal liability) conflicts with fundamental principles of our legal system is problematic. Thus, for instance, it has already been said more than once that cross-examination is an established principle in the Israeli legal system; will we refrain from extraditing someone, when all the conditions justifying his extradition are fulfilled, merely because in the legal system of the country making the request the adversarial system is not practised? What would we say if a country with which we have made an extradition treaty refused to grant an extradition application merely for the reason that the rules of procedure and evidence in our country are different from the law applicable there?

3.    With regard to the case before us, I should cite once again the remarks of my esteemed colleague, Justice Mazza, who wrote the following in his judgment:[§§§§]

‘…(that) the question whether there exists an obstacle to retrying someone an accused or wanted person, who raises the defence of double jeopardy, should under the (prevailing and the proper) law be considered in the courts of the country making the application, and not within the framework of the extradition application. The law prevailing in this matter in the other country, with which we have made an extradition treaty, may be consistent or inconsistent with the criteria whereby the issue is determined under our law. However entering into the treaty, as long as the treaty is in force, obliges the State of Israel to respect the right of the other country to deal with the said issue under its laws. In this respect we should also consider the principle of reciprocity, and there is no need to discuss at length its importance in extradition law as an international norm.’

I agree with this completely; and I do not consider that the circumstances of the case before us justify a deviation from the reasons set out in section 8 of the law, even if I were to determine this deviation to be possible under the law.

I too would deny the petition.

 

 

Justice E. Mazza

For the reasons that I gave in my judgment at the appeal stage, and in agreement with the additional reasons of my esteemed colleague, Justice Goldberg, I agree with the conclusion that the petition should be denied.

 

 

Justice D. Dorner

I agree, for the reasons stated by my colleague, Justice Goldberg, that the petition should be denied.

Like my colleague, I too am of the opinion that, in addition to the cases where the conditions of section 8 of the Extradition Law are not fulfilled, a wanted person should not be extradited if putting him on trial is contrary to the fundamental principles of the Israeli legal system.

The defence of ‘double jeopardy’ — as distinct from the defence of res judicata — cannot prevent extradition under section 8, and it also does not reflect a fundamental principle of our system.

 

 

 

 

Justice A. Barak

1.    I agree that the petition should be denied. My reason for this is that in the circumstances of the case before us, the petitioner would not have a defence of double jeopardy if she were put on trial in Israel. My colleague, Justice Goldberg, discussed this issue, and pointed out that ‘the defence of “double jeopardy” which the petitioner raises would also not succeed if the petitioner were brought to trial in Israel.’ I agree with Mr Golan that the relevant question in this matter is not whether the petitioner has a defence of ‘double jeopardy’ in the United States. My reasoning in this regard in the appeal was wrong. The relevant question is whether the petitioner could defend herself in Israel, if put on trial here, with a defence of double jeopardy. As stated, my answer to this question is in the negative. The reason underlying this opinion of mine is that — as pointed out by my colleague Justice Goldberg and as discussed by my colleague Justice Mazza in the appeal — in view of the procedural stage where the petitioner stands in the United States, her trial has not yet ended because of a manifest necessity. The declaration of a mistrial means, in the circumstances of the case, that the proceeding has not yet ended, and that its non-completion is not the fault of the prosecution. In these circumstances, the jeopardy faced by the petitioner has not yet ended. This is the reasoning given in the United States for the rules of double jeopardy (see 21 Am. Jur. 2d, supra, at 462). According to the approach in the United States, when a trial is terminated — after a mistrial occurs because of the existence of a hung jury — it is not seen as a trial that has ended. The accused continues to be regarded as facing the first jeopardy that he faced in the past (see Arizona v. Washington (1978) [5]). Of course we do not have juries in Israel, and therefore the question of a hung jury cannot arise. We are therefore compelled to consider the ‘comparative equivalent’. This comparison must be made on the basis of the reason underlying the rules of ‘double jeopardy’. It is also the attitude in Israel that if the trial has not yet finished for reasons that do not depend on the prosecution, the jeopardy faced by the accused should be regarded as continuing to exist (see Schwartz v. Presidency of the Supreme Military Tribunal [4] at p. 192). Therefore if the trial in Israel were terminated for a reason that is not dependent on the prosecution, like the termination of a trial by the court for one reason or another, this would not be regarded as double jeopardy under Israeli law. This result is indeed the right one. It makes the proper balance in taking account of the legitimate interests of the accused and the legitimate interests of the public. The Supreme Court of the United States discussed this in one case, and it stated:

‘The double-jeopardy provision of the Fifth Amendment, however, does not mean that every time a defendant is put to trial before a competent tribunal he is entitled to go free if the trial fails to end in a final judgment. Such a rule would create an insuperable obstacle to the administration of justice in many cases in which there is no semblance of the type of oppressive practices at which the double-jeopardy prohibition is aimed. There may be unforeseeable circumstances that arise during a trial making its completion impossible, such as the failure of a jury to agree on a verdict. In such event the purpose of the law to protect society from those guilty of crimes frequently would be frustrated by denying courts power to put the defendant to trial again… What has been said is enough to show that a defendant’s valued right to have his trial completed by a particular tribunal must in some instances be subordinated to the public’s interest in fair trials designed to end in just judgments.’ (Wade v. Hunter (1949) [6] at 688).

It follows that the petitioner does not have a defence of double jeopardy in Israel, and her petition should be denied.

2.    In view of this conclusion, I do not need to decide the important questions that arose in the appeal and the further hearing. I have pointed to some of these questions in my opinion in the appeal. I left them undecided. Here too I would like to leave them undecided. In any event I wish also to leave undecided the question whether the criterion proposed by my colleague, Justice Goldberg — the violation of fundamental principles of our legal system — is the proper criterion, or whether it is perhaps too wide in certain cases (such as the example of cross-examination brought by my colleague, Justice S. Levin) and too narrow in certain cases (such as a procedural immunity that is not based on a fundamental principle). Moreover, can it not be said that the rules about double jeopardy are based on the desire to prevent a miscarriage of justice to the accused? Should this not be regarded as protection of a fundamental principle? I am aware of the sound answers that can be given to these questions, and even of questions that can be raised against those answers. It seems to me that within the framework of the petition before us we do not need to decide them, and I wish, as stated, to leave them undecided.

 

 

Petition denied.

16 August 1993.

 

 

 


[*]               Manning v. Attorney-General [1993] IsrSC 47(1) 573.

[†]               Ibid. p. 578.

[‡]               Ibid. p. 583.

[§]               Ibid.

[**]             Ibid. p. 591.

[††]             Ibid.

[‡‡]             Ibid.

[§§]             Ibid.

[***]            Ibid., p. 592.

[†††]            Ibid.

[‡‡‡]            Ibid.

[§§§]            Ibid., p. 591.

[****]           Ibid., p. 592.

[††††]           Ibid., p. 588.

[‡‡‡‡]           Ibid., p. 592.

[§§§§]           [1993] IsrSC 47(1) at p. 588.

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