Property Rights

Local Building v. Holzman

Case/docket number: 
CA 5546/97
CA 6417/97
Date Decided: 
Tuesday, June 12, 2001
Decision Type: 
Appellate
Abstract: 

Facts: Two appeals (CA 5546/97 and CA 6417/97) were joined in this case due to the similarity of the legal question they raised.   In both cases the question arose as to the authority to reduce compensation in the expropriation of land for public purposes and in particular the question arose whether a plot of land can be expropriated in its entirety with significant reduction in compensation.

 

Held: The appeal in CA 5546/97 was dismissed and the appeal in CA 6417/97 was partially affirmed.  In that case the Local Planning and Construction Committee in Haifa was ordered to pay the appellants in the entirety for the parcel that was expropriated; other portions of the District Court decision were left as is.

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

CA 5546/97

CA 6417/97

 

1. Local Building and Construction Committee Kiryat Ata

2. Kiryat Ata Municipality

 

v

 

1. Hanna Holzman

2.  Yosef Miber

3.  Anat Gov

4.  Fia Kimchi             (CA 5546/97)

 

1.  David Bchor

2.  Moshe Ben Peretz

3.  Naftali Lifshitz (may his memory be a blessing#)

4.  Keren Yaniv

5.  Roni Mirkin

v.

Local Building and Construction Committee Haifa     (CA 6417/97)

 

The Supreme Court sitting as the Court of Civil Appeals

[12 June 2001]

Before President A. Barak, Vice President S. Levin, and Justices T. Or, E. Mazza, I. Zamir, D. Dorner, I. Englard

 

Appeal on the judgment of the Haifa District Court (Justice B. Gilor) dated 5 August 1997 in CC 57/94; and on the judgment of the Haifa District Court (Justice S. Vaserkrog) dated 27 August 1997 in HP 514/92.  Appeal in CA 5546/97 was dismissed; the appeal in 6417/97 was partially upheld.

 

Facts: Two appeals (CA 5546/97 and CA 6417/97) were joined in this case due to the similarity of the legal question they raised.   In both cases the question arose as to the authority to reduce compensation in the expropriation of land for public purposes and in particular the question arose whether a plot of land can be expropriated in its entirety with significant reduction in compensation.

 

Held: The appeal in CA 5546/97 was dismissed and the appeal in CA 6417/97 was partially affirmed.  In that case the Local Planning and Construction Committee in Haifa was ordered to pay the appellants in the entirety for the parcel that was expropriated; other portions of the District Court decision were left as is.

 

Basic Laws cited:

Basic Law: Human Dignity and Liberty, ss. 3, 8, 10.

 

Legislation cited:

Lands Ordinance (Purchase for Public Purposes), 1943, ss.  , 12(c), 20, 20(1)(b), 20(2), 20(2) (b).

Planning and Construction Law 5725-1965, ss. 190, 190(a) (1), third addendum, s. 4(5).

Law to Amend the Purchase for Public Purposes Laws, 5724-1964, ss. 1 (the terms ‘Parcel’ ‘Original’) 2, 3, 3(1).

Law to Amend the City Construction Ordinance, 5717-1957.

Interest and Indexation Determination Law 5721-1961.

Law to Amend Purchase for Public Purposes Laws, 5729-1969.

 

Draft legislation cited:

Draft Planning and Construction Law 5719-1959.

Draft Planning and Construction Law 5722-1962.

Draft Law to Amend Purchase for Public Purposes Laws, 5724-1964.

 

Israeli Supreme Court cases cited:

[1]        CA 377/79 Faiser v. Local Construction and Planning Committee Ramat Gan, IsrSC 35(3) 645.

[2]        CA 143/51 Ramat Gan v. Pardes Yanai IsrSC 11 365.

[3]        CA 676/75 Fred Chait Estate v. Local Construction and Planning Committee Haifa IsrSC 37(3) 243.

[4]        CA 474/83 Local Construction and City Planning Committee v. Rishon L’Zion v. Hamami IsrSC 41(3) 370.

[5]        CrimMA 537/95 Ganimat v. State of Israel IsrSC 39(4) 197.

[6]        LCA 5222/93 Gush v. Binyan Ltd. Corp. Section 168 in Parcel 6181 Ltd.  (unreported).

[7]        HCJFH 4466/94 Nuseiba v. Minister of Finance IsrSC 59(4) 68.

[8]        HCJ 4541/94 Miller v. Minister of Defense IsrSC 34(4) 57.

[9]        HCJ 5016/96 Horev v. Minister of Transportation IsrSC 51(4) 1.

[10]     CA 1188/92 Local Construction and Planning Committee Jerusalem v. Bareli IsrSC 49(1) 463.

[11]     CA 2515/94 Levi v. Haifa Municipality IsrSC 50(1) 723.

[12]     CA 6826/93 Local Construction and Planning Committee K’far Saba v. Chait IsrSC 51(2) 286.

[13]     HCJ 205/94 Nof v. Ministry of Defense IsrSC 50(5) 449.

[14]     CA 336/59 Biderman v. Minister of Transportation IsrSC 15 1681.

[15]     HCJ 2390/96 Karsik v. State of Israel, Israel Lands Authority IsrSC 55(2) 625.

[16]     HCJ 4562/92 Zandberg v. Broadcast Authority IsrSC 50(2) 793.

[17]     CrimFH 2316/95 Ganimat v. State of Israel IsrSC 49(4) 589.

[18]     LCA 6339/97 Roker v. Solomon IsrSC 55(1) 199.

[19]     LCA 7172/96 Kiryat Beit Hakerem Ltd. v. Local Construction and Planning Committee IsrSC 5292) 494.

 

Israeli District Court cases cited:

[20]     CC (TA) 216/48 Pardes Yanai Ltd. v. Ramat Gan Municipality IsrDC 6 380.

 

 

German cases cited:

[21]     BVerfGE 24, 367

 

Israeli books cited:

[22]     D. Lewinsohn, Injuries to Land Caused by Planning Authorities (1995).

[23]     A. Barak, Interpretation in Law, Vol. 3, Constitutional Construction, (1994).

[24]     A. Barak, Interpretation in Law, Vol. 2, Statutory Construction, (1993).

[25]     J. Weisman, Law of Property -General Part (1993).

 

Israeli articles cited:

[26]     R. Alterman ‘Land Expropriation for Public Purposes without Remuneration according to the Planning and Construction Law – Toward a New Preparedness’ Mishpatim 15 (1985-1986) 179.

[27]     H. Dagan ‘Property, Social Responsibility and Distributive Justice’ Distributive Justice in Israel (M. Mautner, ed. 2001) 97.

 

Foreign article cited:

[28]     D. Sorace ‘Compensation for Expropriation’ 1 Italian Studies in Law (1992)

 

For the appellants in CA 5546/97 – Yosef Segel; Michael Betzer.

For the respondents CA 5546/97 – Meir Holtzman; Dr. Yifat Holzman-Gazit

For the appellants in CA 6417/97 – Moshe Lifshitz.

For the respondents CA 6417/97 – Ofra Zayad-Feldman

Zion Iluz, Assistant to the State Attorney for the Attorney General.

 

 

 

JUDGMENT

 

Justice D. Dorner

We have before us two appeals, the hearings for both have been joined.

The Facts, the Processes, and the Claims

1.    In 1987 the Local Planning and Construction Committee in Haifa expropriated two plots in Bat-Galim which were under the same ownership.  One plot was expropriated in its entirety for the purpose of building sport and recreation structures on it. From the second plot a third of the area registered in the property logs after the land arrangement, was expropriated for the purpose of paving roads.  The Committee paid the owners compensation in the amount of 60 percent of the value of the plot that was expropriated in its entirety, while for the partial expropriation it did not pay compensation at all under the claim that the area that was expropriated was not greater than 40 percent—a proportion that can be expropriated without compensation.  This, on the basis of section 20 of the Lands Ordinance (Purchase for Public Purposes), 1943 (hereinafter: ‘the Purchase Ordinance’), and section 190 of the Planning and Construction Law 5725-1965 (hereinafter: ‘the Planning Law’).

The plot owners filed suit for compensation against the Local Planning and Construction Committee in Haifa, relying on the definition of ‘original plot’ in the Law to Amend Purchase for Public Purposes Laws, 5724-1964 (hereinafter: ‘the Law to Amend Purchase Laws’).  They claimed that they are entitled to compensation for the partial expropriation according to the original area of the plot before the land arrangement, part of which in the past was expropriated for the purpose of paving a road.  According to the claim, the expropriation under discussion, when added to the prior expropriation, is greater than 40% of the overall area, and thus they are entitled to compensation for it.  The owners further argued against the amount of compensation for each unit of land and for their right to full compensation for the plot that was expropriated in its entirety, since they would not benefit from the development resulting from the expropriation.

The District Court in Haifa (Justice S. Vaserkrog) dismissed the suit relying as to the amount of compensation on the opinion of an assessor that it had appointed, and as to the proportion of the expropriation, on the definition of ‘plot’ in the Law to Amend Purchase Laws .  The claim against the reduction of compensation for the full expropriation was also dismissed.  As to this matter the District Court relied on the ruling in CA 377/79 Faiser v. Local Construction and Planning Committee Ramat Gan (hereinafter: ‘CA Faiser’[1]).

2.  A suit for full payment for the expropriation of a plot in its entirety was also heard in the District Court in Haifa in another case.  In that case, from 1992, the Local Planning and Construction Committee in Kiryat Ata expropriated a plot in its entirety for the purpose of building sport and recreation structures as well as paving an access road for a neighborhood.  For the expropriation the committee paid the plot owners compensation at a proportion of only 60 percent of its worth, but the owners insisted on their right to full compensation.

In that case the Court entered judgment in favor of the plaintiff.  The District Court in Haifa (Justice B. Gilor) decided to deviate from the case law that was established in CA Faiser [1] in reliance on the Basic Law: Human Dignity and Liberty [hereinafter: ‘the basic law’], and the judgments of this Court that the basic law also impacts the interpretation of statutory provisions that came before it.  The conclusion of the District Court in that case was that the interpretation which lessens the violation of the right to property established in the basic law by the payment of full compensation is to be preferred.

3. The Local Planning and Construction Committee in Kiryat Ata appealed against the judgment in CA 5546/97, while the owners of the plots in Bat-Galim appealed in CA 6417/97 against the dismissal of their complaint, and against the rate of interest and indexation that was awarded to them.

In the two appeals the appellants repeated their arguments in the District Court, while the respondents in each of these two appeals relied on the reasonings of the decisions of the District Court, which, as said, contradicted each other on the question whether in expropriating a plot in its entirety the Committee is authorized to reduce the amount of compensation.

In light of the similarity of the central legal question in the two appeals and its importance, the hearing of the appeals was joined, the panel was expanded for hearing them, and the stance of the attorney general was sought.

The attorney general, in his brief, supported the case law established in CA Faiser [1].  In his opinion, there is not much substance to the distinction, which he sees as artificial, between partial expropriation and full expropriation.  The Attorney General agreed that there may be exceptional cases in which reduction of compensation is not justified.  In these cases it is possible, so he claimed, to turn to the Minister of Finance and ask him to evaluate new legislation in the area of the laws of expropriation of land in its entirety.

The normative framework and the case law

4. In section 20 of the Purchase Ordinance it was established:

‘(1). . .

 (2) Where any land was purchased according to this Ordinance in order to widen any existing road or part thereof or in order to expand any playground or recreation area, or in order to pave any new road or part thereof or in order to install any new playground or recreation area, the compensation paid based on this Ordinance will be subject to the following changes, meaning—

   (a)...

   (b) Where the area of the land taken which is comprised in a plot exceeds one quarter of the total area of the plot, the compensation shall be reduced by a sum which bears the same proportion to the value of the land alone comprised in the portion of the plot taken as one quarter of the total area of the plot bears to the total area of the land comprised in the portion of the plot taken

   (c) Despite the determinations in paragraphs (a) and (b) above, the Minister of Finance may grant—as he sees fit, if it has been determined to his satisfaction, that the reductions imposed in each of those paragraphs will cause suffering—that same compensation or additional compensation, as he shall see fit in consideration of all the circumstances of the case.’

In the early days of the State the District Court in Tel-Aviv-Jaffa justified the reduction of compensation with the fact that owners of the expropriated land benefit from the development of the land that was expropriated, which causes an appreciationn of the value of the lands that are left in their hands.  Therefore the District Court distinguished partial expropriation which enables benefit, from full expropriation, in which the owners are not left with land that appreciates in value.  In light of this it was established that the provision, which permits a reduction of the compensation by a quarter of the value of the area that was expropriated, does not apply to casesin which of the entire plot is expropriated.    See CC (TA) 216/48 Pardes Yanai Ltd. v. Ramat Gan Municipality [20].  It is to be noted, that an appeal that was submitted on this judgment was upheld, but that was for the reason that the plaintiff was not the owner of the land that was expropriated.  The matter of reduction of compensation was not discussed in the appeal at all.  See CA 143/51 Ramat Gan v. Pardes Yanai [2].

In 1965, the Knesset, in section 190 of the Planning Law, raised the permitted rate of reduction in compensation to 40 percent and broadened the purposes for which it is permitted to expropriate, without explicitly distinguishing between lands that were partially expropriated and lands that were expropriated in their entirety.  But the reason for the distinction arises from the explanatory notes to the proposed Planning and Construction Law 5719-1959 and the proposed Planning and Construction Law 5722-1962, in which it was stated:

‘The existing statute establishes that if land was expropriated for roads or open public areas, the expropriating authority will not pay compensation for the expropriation if the expropriated area is not greater than 25% of the total impacted area.  Experience has taught that the benefit that land owners enjoy from implementing a road paving program and setting up public areas and the like is far greater than this 25% that they have to allocate without payment of compensation. Therefore it is proposed to raise the percentage that the land owner must allocate. . .’ (Proposed Planning and Construction Law 5719-1959, at pp. 314-315; Proposed Planning and Construction Law 5722-1962, at p. 56).

The appreciation explanation was also noted in the Knesset deliberations.  See Divrei Knesset 37 (1963) 1843-1844; Divrei Knesset 43 (1965) 2419.  Similarly, when presenting the Draft Law to Amend Purchase for Public Purposes Laws, 5724-1964, the Minister of Finance explained to the Knesset that reduction of the compensation according to the various purchase laws is at the rate of the growth in profit to the land owner due to the development of the area.  See Divrei Knesset 38 (1964) 758.

Similar words were said by the Minister of Interior and the Chairperson of the Knesset Interior Committee in discussions on the Law to Amend the City Construction Ordinance 5717-1957.  See Divrei Knesset 22 (1917) 1970, 2336.

This Court also determined in CA 676/75 Fred Chait Estate v. Local Construction and Planning Committee Haifa [3] at p. 792, by Justice Etzioni, that ‘... the reason for the exemption [from the payment of full compensation]... is that the land appreciates and the former owners, meaning those from whom it was expropriated, benefit from this appreciation, in that the surplus land is left in their possession and they benefit from the general development of the area.’  His conclusion was that where land is expropriated in its entirety and the owners cannot benefit from any appreciation the compensation is not to be reduced.

The Supreme Court’s conclusion was different in CA Faiser [1].  President Landau dismissed the claim of the appellants which was based both on the language of section 20(2)(b) of the Purchase Ordinance, which can be interpreted as permitting reduction in compensation for only partial expropriation, and on the objective of the provision as it arises from the explanatory notes to the Planning Law.  He wrote as follows:

‘... two interpretations of section 20(2) are possible, but to these the claims are added of... [the appellants’ counsel] as to general legal principles which rule out expropriation without fair compensation, and as to the constitutional reason, which is at the foundation of section 20 of the Ordinance and section 190 of the law.  As to this it is to be said, that when the construction of a statute is in doubt, there will certainly be a tendency to prefer the construction which is in keeping with that general principle which embodies a basic right of a citizen with property rights in the land...

As to the constitutional reason, which was mentioned in the judgment... meaning, the appreciation, which accrues to the remainder of the plot as a result of the accomplishment of the public purpose, such as widening a road near the plot, the explanatory notes to the draft law from 1963, are due appropriate respect, and perhaps were useful at the time in order to convince the members of Knesset to approve raising the percentage from 25% to 33.3%, which was proposed there (and they even went further and established 40%).  These explanatory notes have some weight, but they cannot be the deciding factor, when we come to interpret the meaning of the section, as it was produced by the legislator.’

President Landau noted that ‘perhaps it would have been appropriate to give decisive weight to the basic principle that there is no expropriation without fair compensation...’ (ibid, at p. 653).  But in his view, the language of section 3(1) of the Law to Amend the Purchase laws which establishes the date of purchase in expropriation by authority of the Purchase Ordinance of a ‘plot or any portion of it’ is determinative.  From this language President Landau learned that the intention of the legislator in section 20(2) of the Purchase Ordinance was to also permit reduction of compensation when the land is expropriated in its entirety.  His conclusion was that the reduction in compensation is to be seen as a quasi property tax.  However, he commented that even if a plot is expropriated in its entirety, the owner enjoys a certain benefit, as in calculating the compensation for the remainder of the area in the proportion of the remaining 60% the rise in value of the plot as a result of the expropriation and the development around it is taken into account.  See ibid, at p. 652.

Justice Barak, who joined the judgment of President Landau, commented that indeed ‘... logical fairness for denying the compensation for expropriation of a quarter of the plot is rooted in the fact, that with the expropriation of this part, the remainder appreciates in value...’ (ibid, at p. 657).  However, he explained that it is a general assumption, and in many cases the partial expropriation does not result in investment and may even reduce the value of the remaining portion.  His view was that the remedy for the injured land owners is to turn to the Minister of Finance who is authorized to decide as to the payment of additional compensation.  Justice Barak further wrote, that the Purchase Ordinance does not establish a ceiling for the portion that may be expropriated, and it is not logical that it will be possible to reduce the compensation when 90% of the land is expropriated, while granting full compensation for the entirety of the area.

Justice S. Levin added, that even if the payment of full compensation for the expropriation of an entire plot would be justified the language of the law does not enable it.

In a judgment handed down in 1987 President Shamgar qualified the case law determined in CA Faiser [1]. And he wrote as follows:

‘I am willing to accept the assumption, that when it is a matter of the expropriation of a portion of a plot, in the framework of a city construction plan, it is possible that the remainder of the plot that is not expropriated, will go up in value following the development plan and in the expected appreciation of the remainder of the plot there is a moral-substantive quasi justification for the expropriation of part of the assets without payment of compensation.  However, when the whole plot is expropriated, there is no appreciation of the remainder, as there is no remainder, as it is all expropriated.  The assumption, that the rate of compensation for the entire plot will also reflect in its rate the change in the value of the surroundings. . . is not certain, with all due respect; the compensation is calculated according to the value of the land on the day of publication of the notice according to section 5...  there is no certainty that at that stage, in terms of timing, it will be possible to accurately assess such developments and include them in the assessment.  Even if it were possible to bring into account future surrounding appreciation there still is no certainty, that it is equal in value and significance to taking 40% of the expropriation without any compensation.’  (CA 474/83 Local Construction and City Planning Committee v. Rishon L’Zion v. Hamami  hereinafter: ‘CA Hamami‘ [4] at p. 384).

The other judges in the panel refrained from relating to this question, such that the words of President Shamgar remained as obiter dicta.

5.  As to the case law of CA Faiser [1], criticism has been voiced in the legal literature.  Professor Rachel Alterman claimed that the reliance on the provision of section 3(1) of the Law to Amend the Purchase Laws was erroneous.  She pointed to the fact that while in this law ‘plot’ is defined in section 1 as ‘... a unit of registration in the property records...’, the Purchase Ordinance deals with a ‘lot’ which is defined as ‘... the total land under a single ownership which constitutes one area’ (section 20(1)(b)).  A lot may therefore include several plots, and in the first expropriation 40 percent of the area can include an entire plot.  Therefore this law, which deals with repeated expropriations from the same area unit, sought to be stricter with the authority by establishing a unit of land that is smaller for the purpose of calculating the compensation.  In any case, it is a matter of two separate statutes that deal with different situations and measuring units, and the existence of the authority to reduce compensation in a full expropriation according to the Purchase Ordinance is not to be concluded from the Law to Amend the Purchase Laws.

Professor Alterman also rejected the reasoning of Justice Barak that it is not logical to adopt an interpretation which distinguishes between expropriation of 90 percent of the area of the land and expropriation of the entire area.  She explained that in reality it is not possible to expropriate 90 percent of the plot and leave a remainder which enables development.  In these circumstances the ending of section 190(a)(1) of the Planning Law prohibits expropriation—at reduced compensation or even at full compensation—of a portion of the plot.  As indeed, such an expropriation will damage the value of the remainder.  See R. Alterman ‘Land Expropriation for Public Purposes without Remuneration according to the Planning and Construction Law—Toward a New Preparedness’ [26], at pp. 220-227.

Dr. Daphna Lewinsohn-Zamir agreed with this criticism and its reasoning, in her book Injuries to Land Caused by Planning Authorities [22] at pp. 164-165.  The author made the point that benefits to land owners which stem from the provision of public needs is not taxed.  As, unlike the theory of President Landau, due to the rise in value of the land as a result of the development, the owners of expropriated plots are not entitled to increased compensation.  It was thus established in sections 12(b) and 12(c) of the Purchase Ordinance, according to which appreciation which stems from the expropriation is not to be taken into account in calculating the compensation.  See Lewinsohn-Zamir in said book [22] at p. 167.  In the opinion of Dr. Lewinsohn-Zamir, even if the appreciation argument is ruled out, equal distribution of the burden among landowners necessitates that the owners of the expropriated land benefit from the development, at the very least, to some extent.  From here her conclusion is drawn that one is not to reduce the compensation for an area expropriated in its entirety.  See ibid, at p. 199.

6.  In 1992 the basic law was passed in which it was established in section 3:

‘a person’s property is not to be injured’.

Injury to property is permitted today, as said in section 8 of the basic law (the limitations clause) only ‘... in a statute which is in keeping with the values of the State of Israel, that was intended for an appropriate purpose, and to a degree which does not exceed that which is necessary or by law as said by authority of an explicit authorization in it’.

Expropriation of property in and of itself violates the right to property, but expropriation without compensation of equal value violates the right more severely.

And indeed, the rule practiced in democratic states is the payment of full compensation for the expropriation.  See Lewinsohn-Zamir in her book supra [22] at p. 147.  This rule applies in England itself, which bequeathed us the Mandatory Purchase Ordinance that permits expropriation without compensation.  See Alterman in her article supra [26] at p. 181.

7. The Purchase Ordinance as well as the Planning Law preceded the Basic Law, and therefore its provisions cannot infringe on their validity (section 10 of the basic law).  However, the status of a property right as a constitutional right necessitates interpreting these statutes in the spirit of the provisions of the Basic Law.  The Basic Law has the power to grant prior statutory provisions ‘... a new meaning where there is an interpretive possibility of doing so’ (Vice President Barak in CrimMA 537/95 Ganimat v. State of Israel [5], at p. 414).  See also the words of Justice S. Levin in LCA 5222/93 Gush v. Binyan Ltd. Corp. Section 168 in Parcel 6181 Ltd.  [6] at paragraph 5 of his decision; FHHCJ 4466/94 Nuseiba v. Minister of Finance [7], at p. 85; HCJ 4541/94 Miller v. Minister of Defense [8], at p. 138; HCJ 5016/96 Horev v. Minister of Transportation [9].

First and foremost, statutes are to be interpreted as consistent with the limitations clauses.  Therefore, statutes will be interpreted as infringing on a right established in a basic law or authorizing an authority to infringe on it only if the infringement is established in a statute or is by power of an explicit authorization in it; they will be interpreted as in keeping with the values of the State; they will be interpreted as permitting infringement of a right only for an appropriate purpose and will be interpreted as permitting such infringement to a degree that is not beyond that which is necessary.

The passing of the basic law brought about significant changes to the interpretation that courts gave the Purchase Ordinance.  And Justice Zamir wrote as follows:

‘This basic Law establishes (in section 3) the right to property as a basic right, and prohibits the infringement on this right, inter alia, to a degree that is not beyond that which is necessary (section 8).  Indeed, the Basic Law does not infringe on the validity of a law that existed on the eve of the start of the Basic law (section 10), and this includes the Planning and Construction Law.  However, it certainly may impact the interpretation of the law.  The interpretation, today more so than in the past, must operate in the direction of minimizing the infringement on the right to property...  However, the specific public need, which justifies the infringement, still does not rule out compensation for the infringement unless it is clear that the infringement is within the range of the reasonable and there are no considerations of justice, which necessitate compensating the injured person.  Such compensation can serve the purpose of the Basic Law: Human Dignity and Liberty, meaning, minimizing the infringement on the right to property so that it does not go beyond that which is necessary.’ (CA 1188/92 Local Construction and Planning Committee Jerusalem v. Bareli [10] at p. 483.)

See also the words of Justice Beinisch in CA 2515/94 Levi v. Haifa Municipality [11] at p. 738.

Interpretation of Provisions as to Reduction of Compensation

8.  Injury to property for public purposes generally is in keeping with the values of the State, and is for an appropriate purpose.  Indeed, in order for an injury to property by expropriation of land to be to a degree which does not go beyond that which is necessary, there is a need for compensation that is fair and of fair value.  Without such compensation the expropriation will violate equality.  As, only the owners of lands needed for public use -  which are distinguished from owners of other lands or assets - will need to bear the financing of the public benefit without there being a justification for imposing the financing on these owners only.  Unequal violation of a right is a violation which goes beyond that which is necessary. See: the words of Justice Mazza in CA 6826/93 Local Construction and Planning Committee K’far Saba v. Chait [12] at p. 296; HCJ 205/94 Nof v. Ministry of Defense [13] ; A. Barak, Interpretation in Law, Vol. 3, Constitutional Construction [23], at pp. 545-547.  Payment of compensation in a proportion which is less than the value of the lands that were expropriated would be justified only if as a result of the expropriation the value of the assets remaining in the owner’s possession goes up or they enjoy another benefit of equal value.  As mentioned, the law authorizes the expropriation for public purposes of up to 40 percent of an area that is in a person’s ownership without payment of compensation.  Against this background it can be claimed that the custom that has taken root of reducing the compensation by the maximum proportion without examining the impact of the expropriation on the value of the area that was not expropriated or on the owner’s enjoyment of it, violates equality, and thereby violates the right to property to a degree that goes beyond that which is necessary.  In any event, the injury to property is unequal and therefore goes beyond that which is necessary when the full area of the owners is expropriated, such that it is clear and apparent that no use or benefit results to them from the expropriation.

The explanation that was given in CA Faiser [1] that the expropriation without compensation is in the realm of a tax in a uniform rate of 40 percent, which is imposed on the owners of the land, is not satisfactory.  First, this ‘tax’ is imposed, as said, only on the owners of the expropriated land and discriminates between them and the rest of the public.  Second, the payment does not distinguish between owners who benefit from the expropriation and those whose assets are expropriated in their entirety and they derive no benefit from it, or even those for whom the expropriation causes damage to the value of the remaining property.  Imposing an ‘expropriation tax’ at a uniform rate thus discriminates between the owners of various different expropriated lands and between them and the broad public, which benefits from the expropriation without paying this tax.

And indeed, the legislative history that was described, including the explanatory notes to the proposed laws and things that were said in the Knesset, teach us of the intention to tie between the reduction of compensation and the benefit to the owners consequent to the expropriation.  Justice H. Cohn described this:

‘The intention of the legislator, which arises clearly from all those ordinances, is that for certain purposes—which by nature are not just the needs of the public except the owners of the land at issue, but to a great extent also the needs of the land owners themselves—it is permitted to expropriate one quarter from every land plot without the payment of compensation;...’ (CA 336/59 Biderman v. Minister of Transportation [14] at p. 1690).

9.  President Landau also based his construction in CA Faiser [1] on the assumption that the owners of the land that was expropriated in its entirety will also derive benefit from the expropriation in that the compensation they will receive, at the rate of 60 percent of the land, will be calculated based on the value of the land following the development that the expropriation will bring about.  This assumption, as Dr. Lewinsohn-Zamir has shown in her book supra [22], has no basis.  As the statute establishes that in the calculation of the compensation, the appreciation of the value of the land, which stems from the expropriation, is not to be taken into account.  And see also the words of President Shamgar in CA Hamami [4] that were quoted above.

Against this background it is clear that consequent to the expropriation of the land in its entirety, the owners—who do not benefit from the development that the expropriation is intended to advance nor from compensation which would reflect this development—are not to expect any benefit at all, and there is therefore no justification for reduction of the compensation that is paid to such owners.

The example brought by Justice Barak in CA Faiser [1] of the expropriation of 90 percent of a plot, does not change this result.  First, as was stated in the studies, it is not possible, and in any event, it is very doubtful that it is possible, to expropriate 90 percent of a plot, and even 70 percent, without lowering the value of the remainder, a harm which entirely prevents expropriation, and generally the proportion of an expropriation portion which will not harm the value of the remainder is not greater than 55 percent.  See Professor Alterman in her article supra [26], at p. 225; Dr. Lewinsohn-Zamir in her book supra [22] at p. 165.  Second, expropriation of the absolute majority of a plot, even if it were possible, would not leave in the possession of the owners an area that would benefit to a real extent from the development following the expropriation.

And finally, the appropriateness of the custom of automatic reduction of the maximum proportion of 40 percent of the compensation for a portion—big and small—of a plot without examining each case on its merits and if and to what extent the owners are expected to derive utility from the development of the expropriated area, should be questioned.  It can be argued, that the discretion given to the Minister of Finance to order the payment of additional compensation, to which Justice Barak pointed in CA Faiser [1], is not an appropriate replacement for the interpretation of the expropriation authority to begin with, in a manner which sits well with egalitarian protection of the right to property.  The authority of the Minister of Finance to increase the rate of compensation applies in special cases, in which standard objective criteria for the calculation of compensation do not lead to a just result.  Examples of such special cases may be expropriation of an area that has particular personal worth to specific owners for which the regular formulas for calculation of the value of a plot do not give expression, or when the expected development consequent to the expropriation in fact raises the value of the part of the plot that was not expropriated, but the specific owners do not benefit from this development, and it has been proven that they do not intend to trade the plot in the near future.

However, some will hold that the intensity of the potential injury to the right to property does not justify, in each and every case, legal discussion, based on speculative opinions, which may contradict each other, for the determination of the exact amount of damage.  Either way, it is appropriate that the Knesset revisit the appropriate compensation arrangement where only a portion of the lot is expropriated.

10.  President Landau, as well, was prepared ,when interpreting the statute, ‘... to give determinative weight to the basic principle, that one does not expropriate other than for fair compensation...’ (CA Faiser [1], at p. 653).  However, he saw in section 3(1) of the Law to Amend the Purchase Law, which determines the dates of the expropriation without compensation as to ‘... a plot or a portion thereof’ ‘determinative evidence as to the intention of the legislator’ to permit reduction of compensation even when the parcel is expropriated in its entirety.

But, as explained in the article supra of Professor Alterman [26] the definition of ‘plot’ in the said statute is different from the definition in the Purchase Ordinance, and in any event we should not draw analogies from the law to the Ordinance.

Moreover, as a rule, a law is not to be interpreted as infringing on a right based on what is said in another law, and all the more so a later law which did not exist, and in any event did not stand before the Knesset when the statute that is being interpreted was passed.  The principle of legality requires diligence in ensuring that the violation of a right, and all the more so an unjustified violation, will be clearly anchored in an authorizing statute and will be, as said in the limitations clause, ‘... in a statute... or by statute... by authority of explicit authorization in it.’

Indeed, as was established in CA Faiser [1] the language of the statutes before us enables both interpretations.  In my view, both in light of the intention of the Knesset and in light of constitutional principles which were strengthened with the passing of the Basic Law, and which require that the law be interpreted as violating a right only to a degree that does not go beyond what is necessary, the interpretation that should rightfully be adopted is that the authority to reduce compensation for expropriation of land for public purposes does not apply when the plot is expropriated in its entirety.

It is to be noted, that even according to the interpretation holding that there is discretionary authority to reduce the compensation, use of this discretion where the landowners do no derive any benefit from the expropriation is not proportional, and therefore is not appropriate.

Additional arguments

11.  In my view, the arguments of the plot owners in Bat Galim, which relate to the right to compensation for the partial expropriation, and to the rate of compensation for an unit of land and to the rate of interest and the indexation, are to be dismissed.

Section 2 of the law to Amend the Purchase Laws establishes that the area that can be expropriated without remuneration out of a plot will be calculated based on the overall area of all the expropriations of that plot.  For this purpose, the law defined ‘plot’ in section 1: ‘in an area in which an arrangement of property rights according to the Lands Ordinance (Arrangement of Property Rights) was made—a registered plot which is registered according to that ordinance;’ meaning after the lands arrangement.  While ‘original plot’ has been defined as a ‘plot as it was on the eve of the first purchase...’ meaning as it was registered after the lands arrangement on the eve of the first purchase.  We find that the relevant expropriations are those that were implemented after the lands arrangement.  Given that there is no dispute that since the lands arrangement expropriations from the plot have not taken place, the owner’s claim was properly dismissed.

Beyond that which was necessary the District Court found that the original owners from whom the plot was bought purchased their rights by power of a statute of limitations, on the basis of the cultivation of that same area which was registered as a ‘plot’ after the arrangement and from which, as said, expropriations were not made.

I have also not found grounds to intervene in the determination of the District Court as to the rate of compensation for a unit of land.  This rate is determined by the opinion of an expert assessor, for which this matter is in his range of expertise.  So too it is not proper to intervene in the rate of interest and indexation that the District Court determined on the basis of the Interest and Indexation Law 5721-1961.

12.  Therefore I propose that we dismiss the appeal in CA 5546/97, and affirm the appeal partially in CA 6417/97 and require the Local Planning and Construction Committee in Haifa to pay the appellants for the entirety of the plot that was expropriated (parcel 70) the total of 70,920 dollars as the assessor determined in his opinion as per their value on the date of the handing down of the decision, and leave the other portions of the decision as they are.

I also propose that under the circumstances no order be given for expenses.

 

 

Justice T. Or

I agree.

 

 

Justice E. Mazza

I agree.

 

 

Justice I. Zamir

I agree.

 

 

President A. Barak

I agree with the decision of my colleague Justice Dorner.  Like her, I too am of the view that it is appropriate to deviate from CA 377/79 (hereinafter: ‘the Faiser ruling [1]’)  Since I was part of the Faiser ruling[1] I would like to explain briefly the considerations which are at the basis of my agreement with my colleague’s stance.

1.    At the center of these appeals stands the provision of section 20(2)(b) of the Lands Ordinance (Purchase for Public Purposes) (hereinafter: ‘the Purchase Ordinance’) This provision establishes as follows:

‘(b) Where the area of the land taken which is comprised in a plot exceeds one quarter of the total area of the plot, the compensation shall be reduced by a sum which bears the same proportion to the value of the land alone comprised in the portion of the plot taken as one quarter of the total area of the plot bears to the total area of the land comprised in the portion of the plot taken’.

The interpretive question which arose in the Faiser case [1] and which is before us to be determined, is whether this provision applies only to the case of the expropriation of a part of a parcel or whether this provision also applies to the expropriation of the entire parcel.  President Landau explained that from a textual perspective ‘... the two interpretations of section 20(2) are possible...’ (ibid, at p. 651).  President Landau went on to examine the purpose at the basis of the provision.  He put the right to property at one end of the scales.  He noted that ‘... when the interpretation of the statute is put in question, certainly the tendency will be to prefer the interpretation which fits with that general principle, which embodies the basic property rights of a land owner’  (ibid, at p. 651).  So to the President placed at this side of the scales the special ‘legislative reason’ which justifies reduction of 20 percent from the compensation amount.  This reason is that the expropriation appreciates the value of the portion of the parcel that was not expropriated, and therefore there is justification to reduce the compensation.  This reason does not hold where the entire parcel has been expropriated On the other side of the scales President Landau placed two considerations: first, a line of precedents in which reduction of compensation was recognized for the expropriation of the entire parcel; second, the weakness of the legislative reason, as many are the situations in which expropriation of part of a parcel does not appreciate the value of the portion that was not expropriated. Against the background of these conflicting considerations President Landau was of the view that the scales are balanced.  He noted that ‘this survey that I conducted would ostensibly leave the conclusion at a ‘tie’, and perhaps it would be appropriate to give determinative weight to the basic principle, that one does not expropriate other than for fair compensation...’ (ibid at p. 653).  What tipped the scales in the eyes of President Landau was an additional consideration, which deals with sections 2 and 3 of the Law to Amend the Purchase for Public Purposes Laws (as it was amended in the Law to Amend the Purchase for Public Purposes Laws (amendment) 5729-1969; hereinafter: ‘the Law to Amend the Purchase for Public Purposes Laws).  This provision limits purchase without payment of compensation. (section 2) and establishes – as to date of purchase – a provision according to which in purchase by authority of the Purchase Ordinance the date of purchase is the date in which the notice was published as to the intent to purchase for public purposes ‘... the parcel or any portion of it’ section 3(1).  President Landau saw in this ‘. . . an authorized interpretation from the legislator himself, which lets us know, that taking the percentage, that is permitted to be taken without compensation, is possible even when a parcel is expropriated in its entirety’ (ibid, p. 653).

2.    Since the Faiser case [1] over twenty years have passed.  The considerations which guided President Landau in the Faiser case [1] are still valid today.  The weight of these considerations has changed since then.  I will open with the consideration as to the right to property. Since the Faiser ruling[1] the right to property – along with some additional rights – has changed its status.  It has become a constitutional supra-statutory right.  Its weight in the interpretive balance has grown.  I explained this in one of the cases, when noting:

‘... it is only natural in my eyes that our approach to the purpose of the expropriation Ordinance is different from the approach to it 50 years or 30 years ago.  The central change occurred with the passing of the Basic Law: Human Dignity and Liberty.  This law granted constitutional supra-statutory status to the right to property of the original owner.  A change has occurred in the balance between the right to property of the original owners and the needs of the public.  This change does not impact the validity of the Expropriation Ordinance.  The validity of the Expropriation Ordinance is preserved.  But this change leads to a change in the understanding of the Expropriation Ordinance.  It is expressed in our new understanding of the purpose of the Expropriation Ordinance’ (HCJ 2390/96 Karsik v. State of Israel, Israel Lands Authority [15], at p. 713).

3.    Against this consideration President Landau lined up a row of precedents, from which it arises, whether explicitly or implicitly that the payment of the reduced compensation also applies to the expropriation of the entire parcel.  Since then the picture has changed.  In the district courts the opinions are split (after the Basic Law: Human Dignity and Liberty).  The Supreme Court (in the words of President Shamgar) sharply criticised the Faiser ruling[1] (see: CA 474/83, at p. 384).  In academia as well it has been criticized (see Alterman, in her article supra [26]; Lewinsohn-Zamir in her book supra [22], at p. 164).

4.    The reliance of President Shamgar on the Law to Amend the Purchase for Public Purposes Laws has also been the subject of criticism.  It was emphasized that the Purchase Ordinance (that deals with a plot) and the Law to Amend the Purchase for Public Purposes Laws (which deals with a parcel) deal with different situations and with different measuring units, and one cannot learn from one to the other (see Alterman, in her article supra [26] at p. 223), but beyond this, President Landau relies on the provision in the Law to Amend the Purchase for Public Purposes Laws –which deals with the date of purchase for public purposes – according to which the date of purchase is the date of publication of the notice as to the intentions to purchase for public purposes ‘... the parcel or any portion of it’.  Justice Landau saw in this ‘decisive proof for the legislator’s intent’ which is ‘as though the legislator is innocently digressing’, and directs the interpreter to determine that also in expropriating the parcel in its entirety the rate of compensation is to be reduced.  According to the approach of President Landau ‘there is before us an authorized interpretation from the legislator himself...’ (the Faiser ruling [1], at p. 653).  This approach is difficult: first, a later law does not interpret an earlier law.  The legislator deals in legislation and not interpretation.  The task of interpretation is the task of a judge.  He may learn from the later law as to the purpose of the earlier law.   This is not ‘decisive proof’ as to this purpose.  It is one of the ‘proofs’ that are to be used.  Its weight is determined by its substance.  The weight is small in our matter, since as President Landau noted, the legislator was ‘innocently digressing’.  Thought was not given to the question whether reduction of compensation will also apply in the expropriation of the entire parcel.  The assumption must be that the determination of the basic question – whether it is possible to expropriate a parcel in its entirety with significant reduction of the compensation – will not be done in reliance on the digression of the legislator.  Certainly this is so when it is a matter of violation of a basic constitutional right. (See A. Barak, Interpretation in Law, Vol. 2, Statutory Construction [24] at p. 594).

5.    These considerations lead me to the conclusion that the balance that was made in the Faiser case [1] between the right to property and its violation in the expropriation of an entire parcel cannot stand today.  It is possible, of course, that this balance was mistaken already at the time it was done.  Be this as it may, now – following the legislation of the Basic Law: Human Dignity and Liberty – we no longer can look upon legislation which violates human rights in the same manner we looked upon it in the past.  I explained this in one of the cases, in noting:

‘... the text of the law has not changed.  But, the purpose of the law has changed.  The change may be minor.  It may reflect a new purpose that can be reached – even if in actuality it was not reached – in the past.  The change may be heavy.  It may reflect a new purpose that could not have been reached in the past.  Indeed, Radbruch’s saying that – the law is always wiser than its maker – is particularly accurate during a time of constitutional changes.  These change the normative expanse in which we continue to think.  It is no longer possible after the legislation of the basic laws as to human rights to think about the general purpose of the legislation, in the same manner in which we thought of it prior to the legislation of the basic laws.  Our normative world has changed.  Our manner of thinking has changed (knowingly or unknowingly)’ (HCJ 2390/96 supra [15], at p. 713).

6.    Moreover, it is an interpretive presumption that the purpose of a statute does not come to oppose the constitutional provision found above it ‘... the aspiration of the interpreter [is A.B] to interpret a statutory provision as fitting with the Constitution...’ (see HCJ 4562/92 Zandberg v. Broadcast Authority [16] at p. 810.  See also: HCJ 5016/96 supra [9] at p. 42; CrimFH 2316/95 Ganimat v. State of Israel [17], at p. 653).  From this we learn that we must interpret the provision as to the rate of compensation which is paid for expropriation in a manner that will be consistent with the provisions of the Basic Law: Human Dignity and Liberty.  It is true that the validity of the Purchase Ordinance is not up for discussion before us.  We are dealing with the meaning of the Ordinance.  In giving this meaning, the interpreter must make every interpretive effort, within the limits of the interpretive rules, to reach a result which is consistent with the basic law.

7.    What is the interpretive result – as to the payment of reduced compensation in the case of the expropriation of the entire parcel – which arises from the provisions of Basic Law: Human Dignity and Liberty?  We must search for the answer to this question in the substance of the right to property on the one hand and the limitations that can be imposed on it on the other.  The right to property is complex and entangled.  Several reasons are at its foundation.  One of the reasons is that property enables liberty (See J. Weisman, Law of Property -General Part [25], at p. 16).  ‘... one of the important social roles of the right to property is to defend the individual from the claims of the public and the power of the regime; to preserve in the hands of the individual an area of negative liberty which constitutes a necessary condition of personal autonomy and self development.’ H. Dagan ‘Property, Social Responsibility and Distributive Justice’ Distributive Justice in Israel [27] at p. 100).  Indeed, ‘property enables the individual to be free and to give expression to his character and liberty’ (LCA 6339/97 Roker v. Solomon [18], at p. 281).  In one of the central decisions of the Constitutional Court in Germany it was decided:

‘To be a property owner is a basic constitutional right which is to be viewed with a close tie to the protection of personal liberty.  In the framework of the general method of constitutional rights, the role of the right to property is to ensure its owners a range of liberty in the economic field and thereby enable him to manage his own life.’ 24 BVerfGE 367 [21], at p. 389; the case of the Hamburg Flood case; (translation from German to Hebrew by President Barak).

However ‘property imposes duties (verpflichtet).  Its use must serve the public interest’ (Section 14(2) of the German Basic Law; compare also to section 42(2) of the Italian Constitution which establishes that private property has a social function (funzione sociale)).  Dagan rightly noted that ‘… private property also constitutes a source for the special responsibility of the owners to other individuals and to society as a whole’ (Dagan in said article [27] at p. 105).  The fulfillment of this special responsibility requires legislation, such as planning and construction laws, laws to protect the environment, and legislation which protects works of art that the public has an interest in.  The approach also stems from here that expropriation is not an illegal activity which drags after it compensation for behavior against the law.  Expropriation is a lawful act which realizes the social responsibility of property.  It carries with it suitable compensation for the property owner (see D. Sorace ‘Compensation for Expropriation’ [28]).  This expropriation and the compensation paid following it of course must meet the requirements of the limitations clause.

8.    Does legislation which establishes compensation at the rate of 60 percent of the value of the parcel that was expropriated in its entirety violate the right to property, and does this violation conform with the limitations clause? It appears to me that this legislation violated the right to property.  It is not to be seen just as an (internal) realization of the social responsibility of property.  The validity of this legislation must therefore fulfill the requirements of the limitations clause.  The burden to prove this is imposed on the expropriating authority.  The requirements of the limitations clause are not met in our matter.  It is sufficient that I note that the legislation is not proportional.  It takes advantage of the social responsibility of property beyond the necessary proportionality.  If I am correct in this approach, then we have before us an additional interpretive reason which justifies the nullification of the Faiser ruling [1].  This ruling goes against the dictates of the Basic Law: Human Dignity and Liberty.  An interpretation which is consistent with the basic law justifies the interpretation presented by my colleague Justice Dorner.

 

 

 

 

Vice President S. Levin

I agree with the decision of my colleague Justice Dorner and wish to join with the reasoning of my colleague the President and in particular the reasoning that relates to the legislation of section 3 of the Basic Law: Human Dignity and Liberty.  However, I wish to add the following:

The application of the consideration of appreciation in the totality of considerations which justify reduction of the compensation due to expropriation of land raises the question of the compatibility between the obligation imposed on owners of land assets to pay an appreciation duty for the increase in value of the assets and the right of asset owners to compensation for expropriation of their lands.  This matter has been discussed in this Court from the point of view of the arrangements which apply in relation to an appreciation duty against the background of the question of the appropriate construction of the provision of section 4(5) of the third supplement in the Planning and Construction Law in LCA 7172/96 Kiryat Beit Hakerem Ltd. v. Local Construction and Planning Committee [19].  This matter is pending in further hearing in this Court, and the parties have not related to it.  Therefore, there is no place to discuss it in the framework of the appeals before us.

 

Justice I. Englard

I agree with the opinion of my colleague Justice Dorner and the comments of my colleague President Barak.

 

It was decided as per the decision of Justice Dorner.

   

21 Sivan 5761

12 June 2001

Leon v. Acting District Commissioner of Tel-Aviv (Yehoshua Gobernik)

Case/docket number: 
HCJ 5/48
Date Decided: 
Tuesday, October 19, 1948
Decision Type: 
Original
Abstract: 

The Law and Administration Ordinance 1948, provides that the law which existed in Palestine on May 14, 1948, "shall remain in force... subject to such modifications as may result from the establishment of the State and its authorities".

               

The Acting District Commissioner of Tel Aviv, as the competent authority under the Defence Regulations of 1939, made pursuant to the (English) Emergency Powers (Defence) Act 1939, requisitioned a flat situated at no. 3, Chen Boulevard, Tel Aviv, by order dated 6 September 1948. The requisition was for the benefit of the Attorney-General who, previously to his then recent appointment to that office, had resided in Haifa, but who upon such appointment found it necessary to reside in Tel Aviv, where he had been unable to find a suitable flat.

 

Objections to the order were made by the landlord of the flat and an incoming tenant, and were based mainly on the grounds that (a) the Regulations under which the order was made had never been in force in Palestine, or if ever in force, that their validity had expired upon the establishment of the State of Israel, (b) the competent authority was never legally appointed as such; and that in any event he had exceeded his authority and had acted capriciously, in bad faith and without due regard to the principles of reason and justice.

               

Held, discharging an order nisi previously granted by the court calling upon the competent authority to show cause why the order of requisition should not be set aside,

 

(1) The Mandatory powers of legislation for Palestine were unrestricted, and unless contrary to the terms of the Mandate such legislation is enforceable in Israel, the "modifications" referred to in the Law and Administration Ordinance 1948 being confined to technical and not to basic modifications.

 

(2) The regulations were valid, the competent authority had been validly appointed as such, and had acted fairly and reasonably in the circumstances.

 

General observations on when the High Court will interfere with the exercise of a discretion vested in a Government official.

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

H.C.J  5/48

           

LEON & OTHERS

v.

ACTING DISTRICT COMMISSIONER OF TEL AVIV (YEHOSHUA GUBERNIK)

 

 

 

In the Supreme Court sitting as the High Court of Justice

[October 19, 1948]

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

 

 

 

Mandatory legislation - Enforceability in Israel - Validity of Mandatory Emergency and Defence Regulations - Requisition of flat - Interference by High Court in exercise of discretion by Competent Authority.

 

                The Law and Administration Ordinance 1948, provides that the law which existed in Palestine on May 14, 1948, "shall remain in force... subject to such modifications as may result from the establishment of the State and its authorities".

               

                The Acting District Commissioner of Tel Aviv, as the competent authority under the Defence Regulations of 1939, made pursuant to the (English) Emergency Powers (Defence) Act 1939, requisitioned a flat situated at no. 3, Chen Boulevard, Tel Aviv, by order dated 6 September 1948. The requisition was for the benefit of the Attorney-General who, previously to his then recent appointment to that office, had resided in Haifa, but who upon such appointment found it necessary to reside in Tel Aviv, where he had been unable to find a suitable flat.

 

                Objections to the order were made by the landlord of the flat and an incoming tenant, and were based mainly on the grounds that (a) the Regulations under which the order was made had never been in force in Palestine, or if ever in force, that their validity had expired upon the establishment of the State of Israel, (b) the competent authority was never legally appointed as such; and that in any event he had exceeded his authority and had acted capriciously, in bad faith and without due regard to the principles of reason and justice.

               

                Held, discharging an order nisi previously granted by the court calling upon the competent authority to show cause why the order of requisition should not be set aside,

 

(l)            The Mandatory powers of legislation for Palestine were unrestricted, and unless contrary to the terms of the Mandate such legislation is enforceable in Israel, the "modifications" referred to in the Law and Administration Ordinance 1948 being confined to technical and not to basic modifications.

 

(2)           The regulations were valid, the competent authority had been validly appointed as such, and had acted fairly and reasonably in the circumstances.

 

                General observations on when the High Court will interfere with the exercise of a discretion vested in a Government official.

           

Palestine cases referred to :

(1)   H.C. 18/47 Dinah Kazak v. The District Commissioner, Haifa District: (1947), 14 P.L.R. 87.

(2)   H.C. 118/44 Zeev Poms & others v. The District Commissioner, Lydda District, & Mordechai Gileady: (1944). 11 P.L.R. 574.

 

English case referred to:

(3)        Carltona Ltd. v. Commissioners of Works & others (1943) 2 All E.R. 560.

 

R. Nohimovsky for the Petitioners.

 

H. H. Cohn, State Attorney, and J. Kokia, Deputy State Attorney, for the Respondent.

 

            SMOIRA P. giving the judgment of the court. On September 23, 1948, after Mr. Nohimovsky had submitted his arguments on behalf of Mr. Leon and Mr. Kleiman, an order nisi was issued by this court against the respondent, Mr. Yehoshua Gubernik, the Acting District Commissioner of Tel Aviv (Urban Area), calling upon him to show cause why an Order of Requisition issued by him on September 6, 1948, should not be set aside. In terms of that order, the respondent acquired possession of the flat of Mr. Leon on the second storey of the building situated at No. 2, Chen Boulevard, Tel Aviv, as from the date of its vacation. The flat in question was requisitioned for the benefit of Mr. Ya'acov Shapira, the Attorney General of Israel.

           

            When the parties appeared before us on the return to the order nisi, Mr. Nohimovsky gave notice of an amendment of the Petition since it appeared that his Power of Attorney had been signed by Mr. Kleiman, the owner of the building, alone. He accordingly requested us to delete the name of the first petitioner, Mr. Leon, the tenant of the flat. On the other hand Mr. Nohimovsky asked us to join as a petitioner Dr. Boris Tamshas who, in terms of an agreement of September 8, 1948 with the second petitioner, the owner of the building, had acquired the right to enter the flat after it had been vacated by Mr. Leon.

           

            The State Attorney, Mr. Haim Cohn, who appeared on behalf of the respondent, did not oppose the amendment sought, and it was accordingly decided by the court to delete the name of Mr. Leon as a petitioner, and to join Dr. Tamshas in that capacity.

           

            The result is that on the return there appeared before the court Mr. Kleiman, the owner of the building, and Dr. Tamshas, who wishes to enter the flat in question as a tenant, both represented by Mr. Nohimovsky.

           

            Before entering upon the merits of the case we must deal with the first submission of counsel for the respondent who argued that the court should dismiss the petition in limine. His contention is that the petitioners have not come into court with clean hands in that Mr. Nohimovsky lodged a Power of Attorney purporting to be signed by Mr. Leon and Mr. Kleiman while in fact it was signed by Mr. Kleiman alone. It follows that the petition contains declarations in the name of Mr. Leon which he never made; and since Mr. Kleiman speaks in his affidavit of the "contentions of the petitioners" this declaration is incorrect, since Mr. Leon does not appear as a petitioner nor does he submit any contentions. According to the Advocates Ordinance, the argument proceeds, an advocate is responsible for the signature of his client. He who comes to this court with unclean hands, Counsel submits, cannot receive any relief whatsoever.

 

            It is indeed an important rule that this court will not grant relief to a petitioner who does not approach it with clean hands but we do not think that the rule applies to the present case. True, it is the duty of an advocate to ensure that a Power of Attorney is signed by all those in whose name it purports to be given and for whom he acts. In the present case, however, we assume that the omission was due rather to carelessness and haste than to an intention to mislead, and we have decided therefore to deal with the application on its merits.

           

            While mentioning the duties of advocates we also wish to add that it is the duty of an advocate to set out in his petition the main points of his -argument. An advocate, therefore, who wishes to submit in a petition of this kind that the Order of Requisition has no legal foundation, since the law upon which it purports to be based has been repealed, does not discharge this duty simply by alleging that "the Order of Requisition is illegal, has no force and is of no effect whatsoever". The petition must be framed in such a way as to inform the respondent of the case he has to meet.

           

            The law which requires a reply to an order nisi demands that the Petition be so clear as to leave no room for speculation. The law is directed to every citizen whether he represented by counsel - who may have a genius for guessing - or whether he appears without counsel. The submissions as framed in the petition in this case do not disclose the ground upon which it is said that the Order of Requisition is illegal. The opinion of the petitioner that the requisition is illegal may be inferred by the respondent from the very fact that an application has been brought to this court. The ground for that opinion, however, which was stressed in the petitioner's argument after the respondent had replied, could not have been discovered by the respondent in the petition. This court is not an arena for a duel of surprises between litigants but a forum for the basic clarification of disputes between parties. Such clarification after proper preparation by the parties is only possible if the submissions are properly defined and do not hide more than they disclose.

           

            I pass now to the merits of the case. The full text of the Order of Requisition of September 6, 1948, with which we are concerned, is as follows: -

           

                                                                     "State of Israel

                                                                     Provisional Government.

                                                                     Offices of the Commissioner

                                                                     (Urban Area)

                                                                     Tel Aviv.

           

File No. 1/7/SK.

Mr. Yuval Leon,

2, Chen Boulevard,

Tel-Aviv.                                 (The tenant)

 

Mr. Kleiman,

2, Chen Boulevard,

Tel-Aviv.

 

ORDER OF REQUISITION

 

            Whereas it appears to me, Yehoshua Gubernik, Competent Authority, to be necessary and expedient so to do in the interests of the public safety, the defence of the State, the maintenance of public order and the maintenance of supplies and services essential to the life of the community:

 

2.         I therefore inform you herewith that pursuant to Regulation No. 48 (I) of the Defence Regulations, 1939, (Amendrment No. 2 of 1945),1) I hereby take possession as from the date upon which it will be vacated of the property described below:

 

Description of Property

Flat occupied by Mr. Yuval Leon on the second storey of the building situate at No. 2 Chen Boulevard, Tel Aviv.

September 6, 1948

                                                                                            Y. Gubernik

                                                                                   Competent Authority."

Copy to Chairman

Central Housing Board,

District Engineer's Department,

Tel Aviv,

Mr. Ya'acov Schapira.

 

And these are the main submissions of counsel for the petitioners:

 

            (a) The Defence Regulations of 1939 have never been in force in Palestine and, in any event, have not been in force in Israel since the establishment of the State. These regulations derive their validity from an English statute, namely, The Emergency Powers (Defence) Act, 1939, and it was never legally possible to apply this statute to Palestine. If it has ever been valid, its validity expired with the establishment of the State of Israel.

           

            (b) Even if we assume that the Defence Regulations of 1939 are still in force, regulation 481) - upon which the Order of Requisition is based -has in any case been repealed by regulation 114 of the Defence (Emergency) Regulations, 19451, and for this reason too the Order of Requisition has no legal foundation.

           

            (c) Even if we assume that regulation 48 is still in force, the respondent was never legally appointed as a Competent Authority for the purposes of that regulation.

           

            (d) The respondent abused his office in that he exceeded his authority, infringed the rights of the petitioners, and issued the Requisition Order, not in good faith but capriciously and without paying due regard to the principles of reason and justice.

           

            It should be pointed out that counsel for the petitioners did not raise the first two submissions set out above in his argument before us on the date of the issue of the order nisi, but then confined himself to the third and fourth submissions alone. It is no wonder, therefore, that counsel for the respondent dealt in his reply with the two last-mentioned points only. He contended that Mr. Gubernik had been lawfully appointed as a Competent Authority for the purposes of regulation 48, which is still in force, and had issued the Order of Requisition in good faith and in the reasonable exercise of his discretion. He further submitted that the question whether the requisition was necessary for the maintenance of services essential to the community was one for the discretion of the Competent Authority with which this court would not interfere.

           

            In his detailed argument in support of his first submission. counsel for the petitioners contended that the Defence Regulations of 1939 have been of no effect since May 14, 1948, the date of the establishment of the State of Israel. He contends further that these Regulations were made by the High Commissioner for Palestine on the basis of the Emergency Powers (Defence) Act, 1939, and if there is no longer any legal basis for this English statute in Israel then the foundation of the Defence Regulations of 1939 also falls away.

           

            Counsel for the petitioners bases this argument upon section 11 of the Israel Law and Administration Ordinance, 1948, which provides: -

           

"The law which existed in Palestine on May 14th,1948, shall remain in force, insofar as there is nothing therein repugnant to this Ordinance or to the other laws which may be enacted by or on behalf of the Provisional Council of State, and subject to such modifications as may result from the establishment of the State and its authorities."

           

            His argument is twofold. Firstly, he contends that the words "The law" at the beginning of section 11 do not include a well-known series of statutes which the King of England - and through him the High Commissioner for Palestine - legislated for Palestine, purporting to exercise powers which were at no time his. Secondly, he submits that such statutes have in any case been repealed by the concluding words of the section, namely, "and subject to such modifications as may result from the establishment of the State and its authorities". Counsel wishes us to distinguish between two classes of Statutes and Orders in Council: those which were enacted specifically on the basis of the Mandate or with special reference to Palestine, and those which were enacted by the English legislature (as distinct from the Palestine legislature) or by the King and which have no connection with the Mandate or special reference to Palestine but which were enacted solely under the powers conferred by the Foreign Jurisdiction Act, 18901). The first class mentioned, the argument proceeds, includes The Palestine Order in Council, 1922 (Drayton, Laws of Palestine, Vol. III, p. 2569), The Palestinian Citizenship Order, 1925 (ibid. p. 2640), The Palestine Currency Order, 1927 (ibid. p. 2615) and The Palestine (Western or Wailing Wall) Order in Council, 1931 (ibid. p. 2635). To the second class, counsel contends, belongs the Order in Council of 1939 which applied the Emergency Powers (Defence) Act, 1939, to various parts of the British Empire, including Palestine. This statute, which was passed by the British Parliament, has no connection with the Mandate and no special reference to Palestine, and the relevant Order in Council was made under section 4 of the Statute and under the powers conferred by the Foreign Jurisdiction Act. Since, in any event, this Statute ceased to be in force in Israel after the establishment of the State, the Defence Regulations of 1939 also ceased to be valid. The same applies to the Supplies and Services (Transitional Powers) Act, 1945 (Palestine Gazette, 1946, Supp. 2, p. 229), and the Order in Council of January 10, 1946, which followed in its wake (ibid. p. 234), and to the Emergency Laws (Transitional Provisions) Act, 1946 (ibid. p. 573), and the relevant Order in Council of February 19, 1946 (ibid. p. 591). Counsel for the petitioners submitted that while English statutes which were applied to this country by Orders in Council and which belong to the first class mentioned are still in force, statutes which belong to the second class have ceased to be valid because of the modifications which, as he argues, have resulted from the "establishment of the State and its authorities". When asked to express his opinion on the validity, for example, of the English Copyright Act of 1911 (Drayton, ibid. p. 2475), which was introduced into Palestine by the Order in Council of 1924 (ibid. p. 2499), Counsel at first replied that that Statute was still in force. Later, however, he retracted this opinion and submitted that the Act no longer applied since it is not mentioned in the Palestine Order in Council of 1922. and the Order relating to the Copyright Act does not refer to the Mandate but speaks only of those countries which are under the King's protection. Palestine, he argues, was never under the King's protection and the Order relating to Copyright flows in fact from the powers conferred by the Foreign Jurisdiction Act, 1890.

 

            Counsel for the petitioners further submits that the English statutes referred to which empowered the thigh Commissioner (by Orders in Council) to make Defence and Emergency Regulations possess a dictatorial character - even an anti-Jewish character - to the extent that they were directed towards destroying the National Home and the development of the country by the Jews2), and towards stemming the flow of Jewish immigration into the country. Since the State of Israel is a democratic state and a Jewish state there have come about modifications within the meaning of the words "and subject to such modifications as may result from the establishment of the State and its authorities" - modifications, he submits, which make it impossible for these Statutes to be given validity in Israel.

           

            In summing up his first submission Mr. Nohimovsky asked the court to decide whether the Defence Regulations of 1939 are still in force seeing that their very foundation, namely, the validity in Israel of the English Statutes upon which they are based, has ceased to exist. These are revolutionary times and in the Opinion of counsel it is for the court to accelerate the process of releasing the State of Israel from the binding force of that class of English Statutes to which he referred.

           

            Mr. Nohimovsky asked us not to leave this fundamental question open and decide the case on some other point. We are also of opinion that it is desirable for us to deal with this question, since it is indeed the duty of this court to give its reply to the view - which appears to be widespread - that the Supreme Court is competent to decide upon the validity of certain well known Statutes because they are not in accord with the spirit of the times. There are undoubtedly certain laws objectionable to the Jewish community because of the way in which they were employed in the time of the Mandate. It is true, moreover, that the abuse of these laws was fought both inside and outside the courts, and it was even argued that these laws were invalid because they were inconsistent with both the language and the spirit of the Mandate. It would be wise, therefore, to deal at some length with this problem which has already been raised a number of times since the establishment of the State and will undoubtedly come before us again.

           

            The basis of the reply to this question is in our opinion section 11 of the Law and Administration Ordinance, 1948, the full text of which has already been cited. That section lays down a clear and important rule, namely, that the law which existed in Palestine on May 14, 1948, shall remain in force. The exceptions laid down in section 11 are as follows:

           

        (1)   Laws which are repugnant to the Law and Administration Ordinance itself shall not remain in force.

 

        (2)   Laws which are repugnant to those which may be enacted by or on behalf of the Provisional Council of State shall not remain in force.

 

        (3)   Previously existing laws shall remain in force subject to such modifications us may result from the establishment of the State and its authorities.

 

            This analysis of section 11 requires that we first interpret the rule before we deal with the exceptions, and the question that arises in the present case is whether the Defence Regulations of 1939 were a part of "the law which existed in Palestine on May 14th 1948". If the reply to this question is in the negative there will be no necessity to consider the exceptions laid down in section 11. If, however, the reply is in the affirmative it will be necessary to determine whether the validity of the regulations has ceased in accordance with one of the exceptions referred to.

           

            One of the Ordinances which is undoubtedly still in force is the Interpretation Ordinance of 1945, and the words "The law which existed" in section 11 of the Law and Administration Ordinance must therefore be interpreted in accordance therewith. The Interpretation Ordinance contains a definition of the word "Law" which includes, inter alia, "such Acts or parts of Acts. and such Orders) by His Majesty in Council or parts of such Orders, whether passed or made before or after the commencement of this Ordinance, as are now, or have heretofore been, or may hereafter be, in force in Palestine".

 

            We are to assume, therefore, that the words "The law" in section 11 include Statutes of the Parliament of England which were applied to Palestine by the Order in Council no less than Ordinances made by the High Commissioner for Palestine. Nevertheless, we are not unmindful of the submission of Mr. Nahimovsky that such Statutes include some which were inconsistent with the Mandate and which were therefore invalid. The courts of Palestine during the Mandate were not prepared to accept this submission on the ground that the Mandate was not part of the law of the land, save in so far as it had been introduced by an Order in Council. This court inclines to a different opinion and is prepared to consider whether a law passed in Palestine during the Mandate contradicts the terms of the Mandate. We are unable, however, to accept the contention of counsel for the petitioners that every Imperial Statute which has no direct connection with the Mandate or no special reference to Palestine and which was applied to Palestine by Order in Council is wholly invalid. We find no such limitation in any provision of the Mandate. On the contrary, the first provision of the Mandate lays down that "The Mandatory shall have full powers of legislation and of administration, save as they may be limited by the terms of this mandate". The distinction drawn by counsel for the petitioners between Imperial Statutes based upon the Mandate or having special reference to Palestine and other Statutes applied to Palestine finds no support in the text of the Mandate or in the basic Constitution of Palestine, namely, the Palestine Order in Council, 1922, or in section 11 of the Law and Administration Ordinance of 1948. Such a distinction, moreover, would lead to absurd results as, for example, the invalidity in Israel of the Copyright Act since the Order in Council which applied that Act to Palestine is not expressly based upon the Mandate nor does the Statute contain matters applying specifically to Palestine. The simple answer to counsel's argument is that article I of the Mandate, as I have mentioned, confers full legislative powers and there was no need to make special reference to the Mandate in applying a particular Statute. By virtue of article I of the Mandate laws were made for Palestine in two ways. The usual method was by Ordinances issued by the High Commissioner in Council, and the second method was by the application of an English Statute to Palestine by Order in Council. There is no basis in constitutional law for the argument that the latter method - which we shall call the Imperial method - was any less effective than the former. It follows, therefore, that even without relying upon the Interpretation Ordinance of 1945 we must include Statutes within the expression "The law" in the first part of section 11 of the Law and Administration Ordinance, 1948.

 

            It would appear that all these rationalistic arguments directed towards distinguishing between different classes of legislation are in fact based more upon emotion than upon reason - indeed, counsel was even prepared to sacrifice so innocent a statute as the Copyright Act for the sake of consistency. The real attack, however, is directed against the Defence Regulations and the English Statute from which they derive.

           

            We do not think that the legislature of a democratic state is precluded from passing a law which enables the making of Emergency Regulations. Laws such as these are to be found in the most democratic of Constitutions as, for example, the Constitution of the Weimar Republic of Germany. The example closest to as, however, is to be found in our own Ordinance, the Law and Administration Ordinance, 1948, which includes in section 9 a specific provision relating to Emergency Regulations1). The governing consideration here is not the existence of Emergency Regulations but the manner in which they are employed. There is no room today for the submission that Emergency Regulations made in the time of the Mandate are no longer in force because they were then used for anti-Jewish purposes.

           

            Let us take, for example, from the period of the Mandate, the Lands (Acquisition for Public Purposes) Ordinance, 1943. There is no doubt that according to the test of counsel for the petitioners that Ordinance is still in force. let us assume - purely for the sake of clarifying the matter - that the mandatory authorities used this Ordinance capriciously for the expropriation of the property of Jews alone. The argument is inconceivable that this Ordinance - which, in its terms, contains no discrimination whatsoever - is invalid because it was employed capriciously.

           

            This argument is untenable for yet another reason. It cannot be said - as is often suggested - that the purpose of all these Defence Regulations was dictatorial repression and so forth. The English who, within their own land, are certainly lovers of freedom and jealously guard the rights of the citizen - found it proper to make Emergency Regulations similar to those which exist here and which include, inter alia, provisions for the expropriation of the property of the individual in the interests of the public.

           

 

            Having reached the conclusion that the Defence Regulations of 1939 made under the Emergency Powers (Defence) Act, 1939 are included within the expression "The law" at the beginning of section 11, we must examine whether they fall within one of the three exceptions set forth above in our analysis of that section. Counsel for the petitioners did not argue that these Regulations are repugnant to the Law and Administration Ordinance or to any Law enacted by the Provisional Council of State. He did contend, however, with great emphasis, that we should declare the Regulations invalid by virtue of the words "subject to such modifications as may result from the establishment of the State and its authorities". He submitted that these words empower the court to declare a particular law invalid provided only that this course can be justified by some change brought about by the establishment of the State.

           

            This argument is quite unreasonable. It would require that this court first determine that the establishment of the State has brought about some change and the nature of the change; and then consider whether this change requires that a particular law be invalidated. All this would then have to be embodied in a judgment, declaring that the law in question is no longer in force. It is precisely this, however, which is the duty of the legislature; and it is not to be assumed for a moment that the legislature of Israel, in using the words quoted, intended to delegate part of its duties to the courts.

           

            The legislature would not have concealed within the words "subject to such modifications as may result from the establishment of the State and its authorities" a matter of such importance as the invalidation of a whole series of Defence and Emergency Regulations. In section 13 of the Ordinance the legislature expressly repealed the provisions of the White Paper of 1939, namely, sections 13 to 15 of the Immigration Ordinance, 1941, and Regulations 102 to 107 of the Defence (Emergency) Regulations, 1945, and also the Land Transfer Regulations, 1940. Had it been of opinion that it was also necessary to repeal the Defence Regulations of 1939 or the Defence (Emergency) Regulations of 1945, either wholly or in part, it could have followed the simple course of repealing them expressly as it did in section 13 of the Ordinance in the case of the Regulations there mentioned. But it did not do this. If we read Chapter Four of the Law and Administration Ordinance in its entirety we shall see that the words "subject to such modifications as may result from the establishment of the State and its authorities" were intended to refer to technical modifications without which the law in question could not be applied after the establishment of the State and its new authorities. The word "modifications" was intended by the legislature to refer to such modifications as would necessarily flow from the very fact of the establishment of the State and its authorities. It was not intended to refer to modifications which demand special consideration such as the repeal of one of a series of existing laws. For example, according to an Order by the Director of the Department of Immigration in regard to Places of Entry to Palestine, 1943 (Palestine Gazette, Supplement 2, No. 1249, p. 125), as amended, Allenby Bridge is one of the lawful places of entry into Palestine. Although in terms of section 15(a) of the Law and Administration Ordinance, 1948, the word "Israel" is to be substituted for the word "Palestine" wherever it appears in any law, it is clear without any necessity for special consideration that the establishment of the State and its authorities necessitates the deletion of Allenby Bridge3) from the Order referred to.

 

            This restrictive interpretation of the words referred to may also be derived from section 16 of the Ordinance which empowers the Minister of Justice to issue a new text of any law which existed in Palestine on May 14, 1948, and which is still in force in the State, such text to contain "all the modifications resulting from the establishment of the State and its authorities". It is clear that section 16 was never intended to vest in the Minister of Justice the powers of the legislature to repeal existing laws on the basis of "modifications which may result from the establishment of the State and its authorities". Section 16 can only have been intended to refer to technical modifications. On the general principles of interpretation it cannot be assumed that the same words used in the same chapter of an Ordinance are to be read in different ways and it necessarily follows, therefore, that the words relating to "modifications" mean technical modifications in section 11 as well.

           

            As we are indeed living in a period of change and as we stand upon the threshold of the new State - we desire, in concluding this part of our judgment, to add a few general comments on the duty of a judge when he comes to interpret the law. The doctrine of the division of powers within the State is no longer as rigid and immutable as it was when once formulated by Montesquieu. In the field of jurisprudence the opinion has prevailed that in cases to which neither law nor custom applies it is for the judge to fulfil the function of the legislature rather than to force the facts before him into the narrow confines of the existing law, which in truth contains no provision applicable to them. This conception has found its classic expression in the first section of the Swiss Code which provides expressly that if the judge can find neither law nor custom which applies to the case before him, he is to lay down the law as if he himself were the legislature. But this principle only applies where in fact no law exists. It is a far cry from this to require that judges, in the exercise of their judicial powers, should repeal laws which undoubtedly do exist but which are unacceptable to the public. We are not prepared to follow this course, for in so doing we would infringe upon the rights of the existing legislative authority in the country, the Provisional Council of State. The courts are entitled to decide that a particular law is invalid as exceeding the powers of an inferior legislative body which enacted it. So, for example, if the Council of State were to delegate to a Minister the power of making regulations within certain limits, it would be for the court to examine in a particular case whether a regulation so made exceeded the limits laid down.

 

            This is the well-known doctrine of ultra vires. It is often suggested these days - as has been argued before us by counsel for the petitioners - that the Defence Regulations in general, and those Regulations relating to the requisition of property in particular, were put to improper use during the Mandate against the Jewish community. In addition to what we have already said on this point, it is our opinion that there is no room for this contention when considering the validity of these Regulations in the State of Israel. It cannot be disputed that despite the harshness which the use of these Regulations sometimes involves, an orderly community in a state of emergency cannot exist without emergency regulations which, in their very nature, place the interests of the public above the freedoms of the individual. The question of the extent to which the court may interfere in the discretion of the Competent Authority which applies these regulations will be considered when we deal with the fourth submission of counsel for the petitioners.

           

            Our conclusion on the first point is that the Defence Regulations of 1939 were valid in the time of the Mandate and that they are still in force by virtue of section 11 of the Law and Administration Ordinance, 1948.

           

            The second submission of counsel for the petitioners is that even if we assume that these Regulations are generally still in force, the validity of regulation 48 expired in September, 1945. with the making of the Defence (Emergency) Regulations, 1945. Counsel contends that regulation 48 of the Regulations of 1939 (which was amended on February 23, 1945, Palestine Gazette Supplement 2, No. 1394, page 161 of March 1, 1945) was impliedly repealed by regulation 114 of the Regulations of 1945. We shall quote the text of the two regulations.

           

            Regulation 48, sub-section 1, of the Defence Regulations 1939, as ascended on February 23, 1945, provides: -

           

"A competent authority may, if it appears to that authority to be necessary or expedient so to do in the interests of the public safety, defence, or the efficient prosecution of the war, or of maintaining supplies and services essential to the life of the community, take possession of any land, and may at the same time, or thereafter, give such directions as appear to the competent authority to be necessary or expedient in connection with, or for the purposes of, the taking, retention or recovery of possession of that land".

 

            Regulation 114(1) of the Emergency Regulations of September 22, 1945, provides: -

           

"A District Commissioner may, if it appears to him to be necessary or expedient so to do in the interests of the public safety, the defence of Palestine, the maintenance of public order or the maintenance of supplies and services essential to the life of the community, take possession of any land, or retain possession of any land of which possession was previously taken under regulation 48 of the Defence Regulations, 1939, and may, at the same time or from time to time thereafter, give such directions as appear to him to be necessary or expedient in connection with, or for the purposes of, the taking, retention or recovery of possession of the land."

 

            Counsel for the petitioners contends that these two Regulations deal with the same matter, that is to say, the requisitioning of land for the benefit of the community, and that the earlier regulation, therefore, has been impliedly repealed by the latter. It follows, he submits, that an order of requisition may today only be issued by the District Commissioner under regulation 114 and not by the Competent Authority under regulation 48. He submits further that the High Commissioner could not revive regulation 48 by the Supplies and Services (Transitional Powers) Order, 1946 of February 22, 1946 (Palestine Gazette, Supplement 2, No. 1477, p. 348) since the Order in Council in regard to Supplies and Services (Transitional Powers) (Colonies etc.), 1946, of January 10, 1946, empowers the High Commissioner to extend and give effect only to those regulations which were still in force at the date of the Order (see paragraph (c) of the First Schedule of the Order) (Palestine Gazette, Supplement  2, No. 1473, p. 236). It follows, says counsel, that the High Commissioner could not revive a regulation on February 22, 1946, the validity of which had already expired on September 22, 1945. We shall first examine the question raised by counsel as to the validity of regulation 48 without considering the argument that it has been impliedly repealed.

           

            (1) As we have already mentioned in dealing with the first submission of counsel for the petitioners, the constitutional basis of the Defence Regulations of 1939 is the English Statute (of August 24, 1939) known as the Emergency Powers (Defence) Act.1939. That Act empowers the King of England to make by Order in Council such "Defence Regulations" as appear to him to be necessary or expedient for securing the public safety, the defence of the realm, the maintenance of public order and the efficient prosecution of the war, and for maintaining supplies and services essential to the life of the community. The power of the King to take possession of any property is mentioned expressly in section I(2) of the Act. In terms of section 4(I) (d) of the Act the King is empowered to direct by Order in Council that the provisions of the Act shall extend to any territory in respect of which a mandate on behalf of the League of Nations has been accepted by him and is being exercised by his Government. Section 11 of the Act provides that it shall continue in force for a period of one year from the date upon which it was passed (August 24, 1939), and that it shall then expire, provided that upon the request of Parliament the King may, by Order in Council, extend its validity from time to time for additional periods of one year.

           

            (2) By an Act of May 22, 1940, section 11 of the original Act of 1939 was amended so as to introduce a period of two years instead of one year as the initial period of validity of the statute. The Act was to remain in force, therefore, until August 24, 1941.

           

            (3) In 1939 the King, acting under the powers conferred upon him by section 4(1) of the Act of 1939, directed by Order in Council that the Act apply to Palestine and that the power of making regulations conferred by the original Act upon the King in Council be exercised in colonies and mandated territories by the Governors of such colonies or territories (article 3 of the Order). This constitutes the basis of the power of the High Commissioner to make the regulations which he issued on August 26, 1939, and which are called the Defence Regulations, 1939.

           

            (4) By an Order in Council of June 7, 1940, the King extended the validity of the Act of 1940 to colonies and mandated territories.

           

            The original Act thus acquired validity until August 24, 1941, in Palestine as well.

           

            (5) Thereafter the validity of the original Act, which had also been applied to Palestine, was extended by Orders in Council from year to year for additional periods of one year until August 24, 1945.

           

            (6) On June 15, 1945, a special Act called the Emergency Powers (Defence) Act, 1945, was passed in England to extend the validity of the original Act of 1939 "for periods of less than one year". This Act provided that for section 11(I) of the original Act there shall be substituted a provision which lays down that the original Act shall continue in force until the expiration of the period of six months beginning with August 24, 1945 - that is to say, until February 24, 1946 - and shall then expire. The Act also provided that it could be cited together with the original Act and the Act of 1940 as the Emergency Powers (Defence) Acts, 1939-1945.

           

            (7) On December 10, 1945, an Act was passed in England called the Supplies and Services (Transitional Powers) Act, 1945. This Act was published in Palestine in the Palestine Gazette 1946, Supplement 2, No. 1473, p. 229. In the Long Title of the Act its objects are defined, inter alia, as follows: An Act to provide for the application of certain Defence Regulations for purposes connected with the maintenance, control and regulation of supplies and services, for enabling Defence Regulations to be made for the control of prices and charges, for the continuation of Defence Regulations so applied or made during a limited period notwithstanding the expiry of the Emergency Powers (Defence) Acts, 1939 to 1945. Section 1 of this Act provides that the King in Council way direct that certain Defence Regulations shall continue to have effect whether or not they are for the time being necessary or expedient for the purposes specified in sub-section (1) of section one of the original Act of 1939. Section 5(4) empowers the King to apply the Act to colonies and mandated territories in the same way as the original Act.

           

            (8) In pursuance of the last mentioned provision the King in Council made an Order on January 10, 1946, in which he applied the Act of 1945 to Palestine (Palestine Gazette Supplement 2, No. 1473, p. 234), and conferred the power of making regulations upon the High Commissioner.

           

            (9) Pursuant to the powers conferred upon him as described in the preceding paragraph, the High Commissioner issued an Order on February 22, 1946, called the Supplies and Services (Transitional Powers) Order, 1946, in which he set forth a series of regulations which were to remain in force as above stated, including regulation 48 of the Defence Regulations, 1939.

           

            It follows, therefore, that the High Commissioner issued this Order two days before the original Statute and the Defence Regulations issued thereunder ceased to be valid. He acted, therefore, in accordance with Section C in the First Schedule to the Order in Council of January 19, 1946, which provides that the power to extend the validity of Defence Regulations applies only to such Regulations as are still in force on the date of the issue of the Order, that is to say, January 10, 1946. This then was the position in law.

 

            But we must still deal with the argument of counsel for the petitioners that regulation 48 was impliedly repealed by regulation 114 of the Emergency Regulations of 1945.

           

            Counsel relies upon the well-known principle that Lex posterior derogat legi priori and upon Maxwell, Interpretation of Statutes, 9th Edition, p. 171. The general answer is that there can only be an implied repeal where there exists a logical inconsistency between the first and the second legislative provisions - in which case the first is impliedly repealed by the second - or, if there is no inconsistency between the two provisions, where there is no justification for the continuance of the two.

           

            It cannot be said in the present case that such a logical inconsistency exists. It must be assumed that it was the desire of the legislature to confer the powers in question upon the Competent Authority under the Defence Regulations of 1939, and upon the District Commissioner under regulation 114. It cannot be said, moreover, that these two sets of provisions cannot stand together. There is a reason which explains the existence of two sets of regulations, namely, that the Defence Regulations of 1939, were designed to deal with a situation created by external factors, such as war, while the regulations of 1945 were made to deal with a situation created by internal factors. That this is so is apparent from the position that had existed previously. Before the Emergency Regulations of 1945 there existed the Emergency Regulations of 1936 which were not repealed by the Defence Regulations of 1939. That is to say that even before 1939 there existed two sets of Regulations although up to 1945, during the period of the war, the authorities employed the Defence Regulations of 1939. And as far as the authority of Maxwell is concerned, that writer, under the heading "Consistent Affirmative Acts" seems rather to support the opposite opinion. He says, at page 173: -

           

"But repeal by implication is not favoured. A sufficient Act ought not to be held to be repealed by implication without some strong reason. It is a reasonable presumption that the legislature did not intend to keep really contradictory enactments on the Statute book, or, on the other hand, to effect so important a measure as the repeal of a law without expressing an intention to do so. Such an interpretation, therefore, is not to be adopted, unless it be inevitable. Any reasonable construction which offers an escape from it is more likely to be in consonance with the real intention” .

 

            Counsel for the petitioners also pointed to a line of cases which indicate that from the date of the publication of the Emergency Regulations of 1945 the authorities used regulation 114 of those Regulations and not regulation 48 of the Regulations of 1939, since all those cases deal with regulation 114. There is no need to deal at length with the point that this fact cannot constitute the repeal of regulation 48.

           

            The conclusive answer to the contention of Counsel for the petitioners is provided by the Defence (Emergency) Regulations of 1945 themselves. Regulation 5 provides that, subject to the provisions of the Regulations, their provisions, and the powers conferred by them, shall be in addition to and not in derogation of the provisions of, or the powers conferred by, any other law. Moreover, regulation 7 sets forth in detail those regulations which shall be revoked upon the coming into force of the Regulations of 1945, and neither the Defence Regulations of 1939, nor any part of them, are mentioned in regulation 7. We therefore reject the submission of counsel for the petitioners that regulation 48 of the Defence Regulations, 1939, cannot constitute the basis of the Order of Requisition issued by the respondent.

           

            We are also of opinion that Counsel's third submission, namely, that the respondent was not lawfully appointed as a Competent Authority, is without foundation. Regulation 3 of the Defence Regulations, 1939, provides that the Competent Authority shall be the person appointed by the High Commissioner in writing. In a Notice concerning the powers of Ministers pursuant to the Law and Administration Ordinance, 1948, published in Official Gazette, No. 5, page 24, it is notified for public information that the Provisional Government has decided to confer the powers formerly exercised by the High Commissioner as follows: under the Defence Regulations, 1939 - upon the Minister of Defence: under regulation 3 of the Defence Regulations, 1939-upon the Ministers of Finance, Agriculture, Trade and Industry, Labour and Building, and Communications.

           

            Counsel for the petitioners wishes to deduce from the terms of this notice that in the case of the appointment of a Competent Authority under regulation 3 the Minister of Defence must also act together with one of the other Ministers mentioned. In our view this contention is without substance. The true intention is clear. In general the Minister of Defence must be substituted for the High Commissioner throughout the Defence Regulations, but in the case of regulation 3 the other Ministers mentioned must also be added.

           

            The appointment in the present case, a copy of which is annexed to the affidavit of the Respondent, was made in writing by the Minister of Labour and Building on September 3, 1948.

           

            Counsel for the petitioners also argued that the appointment was invalid as it was not published in the Official Gazette. Such publication, so he contended, is rendered necessary by section 20 of the Interpretation Ordinance which provides:

           

"All regulations having legislative effect shall be published in the Gazette and, unless it be otherwise provided, shall take effect and come into operation as law on the date of such publication".

 

            Counsel also drew our attention to the definition of ''regulations" in section 2 of the Ordinance1) and argued that the appointment of a Competent Authority for the requisition of land has legislative effect.

            The reply to this submission is twofold.

           

            (a) The Defence Regulations (Amendment No. 4) of 1945 provide expressly that section 20 of the Interpretation Ordinance shall not apply to the Defence Regulations.

           

            (b) Regulation 3 of the Defence Regulations contains a special provision in regard to the form of the appointment of a Competent Authority, namely, an appointment by the High Commissioner in writing, and there is no mention of the necessity for publication. The fact mentioned by counsel for the petitioners that in recent times such appointments have sometimes been published in the Official Gazette does not alter the legal position. We have no doubt, therefore, that the appointment of Mr. Yehoshua Gubernik as a Competent Authority for the purposes of regulation 48 was valid.

           

            In the result, therefore, we are of opinion that the Defence Regulations of 1939 in general and regulation 48 in particular were constitutionally valid in Palestine and are still so valid in the State of Israel and that the respondent, who exercised the powers conferred by regulation 48, was a Competent Authority. It remains for us, therefore, to give our decision on the fourth submission of counsel for the petitioners, namely, that the respondent exercised his powers not in good faith but capriciously and vexatiously, and without having regard to the principles of reason and justice.

           

            Before considering this argument we must call attention to certain facts in greater detail.

           

            The flat in question was requisitioned for the benefit of the Attorney-General of Israel, who is a married man with three children. It consists of four rooms, an entrance hall, and the usual conveniences, and is not far from the offices of the Government. Mr. Leon, who is referred to in the original petition as the First Petitioner and who lives in the flat at present, leased it from the owner of the building in 1947 and moved into it with his family. According to the statement before us of Mr. Kleiman, the owner of the building, Mr. Leon informed him in July, 1948, that he was about to leave the flat and that Mr. Kleiman was at liberty to let it to whom he wished. In fact, as we mentioned at the beginning of our judgment, Mr. Leon does not appear at all as a petitioner in this case. Dr. Boris Tamshas, who was joined in the proceedings after the issue of the order nisi, entered into contract of lease - through his agent - with Mr. Kleiman on September 3, 1948. Dr. Tamshas is a doctor from Cairo who fled to France following the latest political disturbances in Egypt. When the petition was filed Dr. Tamshas was in Paris and was already about to leave for Israel with his family. In terms of the agreement mentioned, the owner of the building was to hand over the flat to Dr. Tamshas not later than September 25, 1948.

            Dr. Tamshas, his wife and three children, reached Israel on September 23, 1948. He was born in this country and studied medicine overseas. He practiced as a physician in Cairo, but was in Palestine from 1936 to 1940. He then returned to Egypt and resumed his profession. He now wishes to settle in Israel and continue in medical practice.

            The case before us, therefore, is not one in which the Competent Authority Is about to eject a tenant in order to introduce another tenant into the flat, for the present tenant is about to move to Haifa where the flat of Mr. Ya'acov Shapira has been offered to him. The petitioners before us, therefore, who complain that the competent Authority has requisitioned the flat for the Attorney-General, are the owner of the building and a proposed new tenant.

 

            Many arguments were addressed to us in support of this fourth submission of the petitioners, and counsel himself, in the course of his argument, counted twelve points that he had raised. We shall not deal, however, with each point raised, but will consider the matter generally on its merits.

           

            Counsel for the petitioners well appreciates that according to the law as laid down during the Mandate this court will not interfere with the discretion of the Competent Authority if, in effecting the requisition, that Authority has acted within the limits of its powers. The court for its part will not consider whether the making of the requisition was proper or otherwise. The opinion has been expressed that the court will interfere only where it has been shown that the requisition has been effected maliciously or against the principles of reason and justice. Counsel for the petitioners submitted that we are not bound by the tradition established by decisions from the time of the Mandate but that, on the contrary, it is our duty to depart from that tradition.

           

            Counsel for the petitioners contends that the respondent did not exercise his discretion in good faith, but that he acted capriciously and against the principles of reason and justice. He spoke of a conspiracy between the respondent and Mr. Shapira. He relied upon the facts that Mr. Shapira approached Mr. Gubernik at the end of August in connection with the requisitioning of a flat for his use, and that Mr. Gubernik approached - not the Ministry of the Interior of which he is an official - but the Ministry of Justice; and that after a few days, on September 3, he received his appointment as a Competent Authority from the Minister of Labour and Building.

           

            We fail to see in this any suggestion of a conspiracy. It is only natural that an official who is in need of a flat and who, despite persistent efforts on his part (and we have heard that Mr. Shapira has been living since the beginning of July in one room in the Hotel Gat-Rimmon and has been unable to bring his wife and three children from Haifa to Tel Aviv) has been unable to find one, should take legal steps and approach his Government in order to. secure accommodation.

 

            Counsel also leveled strong criticism against Mr. Gubernik for informing Mr. Leon by letter on September 5th, the day before the issue of the Order of Requisition, that his flat was about to be requisitioned for the purposes of the Government and requesting him not to let the flat or transfer it to another authority without his confirmation. This letter, however, has no effect upon the issue and need not detain us now.

           

            When examined on his affidavit by Counsel for the petitioners, Mr. Gubernik stated that he offered a specific sum of money to Mr. Leon in order to facilitate the transfer of his home from Tel Aviv to Haifa, his intention being to recover a similar sum from Mr. Shapira. Counsel attempted to argue before us that in so doing Mr. Gubernik committed a criminal act in contravention of section 109A of the Criminal Code.1) We can only say that this submission has no substance at all.

           

            Counsel for the petitioners also argued that Mr. Gubernik had used an old English form drafted in accordance with regulation 114 of the Regulations of 1945, and that he had simply copied the language of the form out of habit and without consideration.

           

            If we are to understand counsel's argument to mean that the manner in which the Order of Requisition is drafted shows that the respondent did not consider the merits of the matter and therefore did not exercise his discretion in accordance with the rules of Justice and reason, then it cannot be accepted. It has already been decided in England, in the case of Carrtona Ltd. v. Commisioners of Works and Others, (3), that a Notice of Requisition has no constitutional effect. In that case - which was also a case of requisition under regulation 51(1) of the Defence (General) Regulations in England which correspond to our regulation 48 - the Competent Authority did not emplay in the Notice of Requisition the language of the regulation, but said that it was essential to take possession of certain buildings "in the national interest". It was argued that the notice was invalid since it gave a reason for the requisition which did not appear in the regulation. The regulation speaks of the public safety, the defence of the realm or the efficient prosecution of the war or the maintaining of supplies and services essential to the life of the community, while the notice speaks of a requisition effected because it is essential in the national interest. In commenting upon this aspect of the case Lord Greene M.R. said, at page 562:

 

"...in order to exercise the requisitioning powers conferred by the regulation no notice is necessary at all and, therefore, the question of the goodness or badness of a notice does not in truth arise. The giving of notice is not a pre-requisite to the exercise of the powers and, accordingly, the notice must be regarded as nothing more than a notification, which the Commissioners were not bound to give, that they are exercising those powers. The notice is no doubt for what it is worth, evidence of the state of mind of the writer and those by whose authority be wrote, and it is perfectly legitimate to argue that this notice suggests, on the face of it, that those who were directing their minds to this question were directing them to the question whether the action proposed was in the national interest and not to the specified matters mentioned in reg. 51. But the notice is no more than evidence of that, and when an assistant secretary in the Ministry of Works gave evidence it was perfectly clear that he was using that phrase - and this letter was written on his instructions - as a sort of shorthand comprising the various matters in reg. 51 upon which the requisition would have been justified . . . That point appears to me to have no substance at all".

 

            These remarks of Lord Greene contain the answer to the argument of counsel for the petitioners in this case. Mr. Gubernik stated candidly in his evidence that he could have omitted the words "in the interests of the public safety, the defence of the State" in the Order of Requisition and been satisfied with the words "in the interests of the maintenance of services essential to the life of the community" and perhaps also "the maintenance of public order". We therefore reject all the submissions of counsel based upon the manner in which the notice called an "Order of Requisition" was framed.

           

            Counsel for the petitioners also argued that although he greatly values the work of Mr. Ya'acov Shapira, the Attorney-General of Israel, such work is not covered by regulation 48. His contention before us was that the words "maintaining supplies and services essential to the life of the community" must be read in close association with the words "the public safety, defence, or the efficient prosecution of the war" which precede them, and he asked us to interpret the regulation in accordance with the rule of ejusdem generis.

 

            The simple answer is that section 4 of the Interpretation Ordinance lays down the very opposite, namely, that us a general rule the word "or" is not to be interpreted ejusdem generis. We accordingly have no doubt that the work of the Attorney-General may be included within the expression "services essential to the life of the community" within the meaning of regulation 48.

           

            We cannot agree with counsel for the petitioners that the regulation enables the requisitioning of a flat for the purposes of a government department alone - in this case the Ministry of Justice - and not for the purposes of a flat for the private use of the Attorney-General. We are not unmindful of the fact that the requisitioning of a flat by the ejectment of a tenant who is in occupation (which is not the case here) is a cruel and very serious matter which must be weighed thoroughly by the Competent Authority before it exercises its powers. Counsel for the petitioners, however, has overlooked the fact that in terms of regulation 48 the discretion in regard to the requisition of a flat resides in the Competent Authority and in no other person. The condition mentioned in regulation 48 is "if it appears to the Competent Authority" and not simply "if it appears". Were we to accept the submission of counsel for the petitioners we should have to decide that it appears to us that the requisitioning of this flat is not necessary for the maintaining of services essential to the life of the community. In so doing, however, we should be acting contrary to the law which binds us and whose amendment, if desirable at all, is a matter for the legislature.

           

            It would seem that this submission was advanced by counsel only to show that the decision of the Competent Authority in this case had no reasonable basis whatsoever. He did not weigh the matter at all. This court would then be entitled to interfere. Now in the opinion of the Competent Authority an official, in order adequately to discharge his duties to the State, must have a flat of his own and not be separated from his family for a protracted period. The securing for him of a flat, therefore, without which his services to the State are liable to be adversely affected, is a matter which is necessary for the maintaining of services vital to the life of the community. It cannot be said that this opinion is quite unreasonable, even if there may be some people who disagree with it.

           

            Counsel for the petitioners has also complained of the fact that the respondent requisitioned the flat although he knew that it had already been let to Dr. Tamshas. This argument too is unsound. If the Competent Authority is empowered to requisition a flat which is actually occupied by a tenant he must be empowered a fortiori to requisition a flat where he does not thereby affect the rights of a tenant who was in occupation up to that stage. In the present case, the tenant is about to move to another flat, and he will not suffer as a result of the requisitioning. The only person who will suffer is the new tenant who wishes to enter the flat. Here lies the striking difference between this case and the majority of cases of requisitioning, in which the Competent Authority is compelled to harm the tenant who is actually occupying the flat. This is hardly the case, therefore, in which the law. which has previously been laid down in such matters should be completely reversed.

 

                        Counsel for the petitioners urged repeatedly that regulation 48 was employed in the time of the Mandate when the rights of the individual took second place. He cited, in particular, some judgments relating to requisition in which there existed some political element. We agree that in some judgments delivered during that period in connection with requisition the political element undoubtedly prevailed over sound reason and judicial sense. It is sufficient to mention the judgment of the High Court of Justice in Dinah Kazak v. The District Commissioner, Haifa District, (1). There were also judgments, however, given against the individual in favor of the Competent Authority where there was no hint of a political element. It is sufficient to mention here Zeev Poms and others v. District Commissioner, Lydda District. and Mordechai Gileady, (2), in which the facts were very similar to those in the present case. In such matters the Courts of Palestine followed the decisions of the English Courts relating to the same type of requisitioning under the Defence Regulations. These English judgments, in any event, are completely free of any suspicion of political influence. Instead of citing a number of judgments delivered in Palestine we wish to quote here some remarks of Lord Greene from his judgment in the Carltona Case (3) to which we have already referred. Lord Greene said, at page 563:

           

"The last point that was taken was to this effect, that the circumstances were such that, if the requisitioning authorities had brought their minds to bear on the matter, they could not possibly have come to the conclusion to which they did come. That argument is one which, in the absence of an allegation of bad faith - and I may say that there is no such allegation here - is not open in this court. It has been decided as clearly as anything can be decided that, where a regulation of this kind commits to an executive authority the decision of what is necessary or expedient and that authority makes the decision, it is not competent to the courts to investigate the grounds or the reasonableness of the decision in the absence of an allegation of bad faith. If it were not so it would mean that the courts would be made responsible for carrying on the executive government of this country on these important matters. Parliament, which authorises this regulation, commits to the executive the discretion to decide and with that discretion if bona fide exercised no court can interfere. All that the court can do is to see that the power which it is claimed to exercise is one which falls within the four corners of the powers given by the legislature and to see that those powers are exercised in good faith. Apart from that, the courts have no power at all to inquire into the reasonableness, the policy, the sense, or any other aspect of the transaction."

 

            These remarks of Lord Greene also furnish the answer to the argument of Counsel for the petitioners that the housing situation in Tel Aviv and Jaffa did not make it necessary for this requisition to be effected. If there was to be a requisition, it was possible to requisition a flat in a building which had not yet been completed. This is undoubtedly a matter of housing policy in which this court cannot interfere. It is not the function of this court, moreover, to investigate whether the Competent Authority could not have employed the method of billeting in accordance with regulation 72 of the Regulations of 1939. In the result there has not been the slightest proof before us of mala fides or capriciousness on the part of the Competent Authority, so the fourth submission of counsel for the petitioners must also be dismissed.

           

            We desire to point out in conclusion that in spite of the decision which we have reached in regard to the fourth submission of counsel for the petitioners it was essential for us to deal in detail with his first three arguments which could be determined on points of law alone. Had the petitioners been correct on any one of their first three points they would have succeeded in the case for, in such event, the owner of the building could have protested against any interference with his property and demanded that the order nisi be made absolute without any regard to the particular facts of this matter.

           

            As we have dismissed the three legal submissions of the petitioners and, after consideration of the facts, have also rejected their fourth submission, the order nisi will be discharged.

           

            As in this case, for the first time since the establishment of the State of Israel, legal points of general importance to the community have been raised, no order as to costs will be made against the petitioners.

Order Nisi Discharged.

Judgment given on October 19, 1948.

 


1) See infra pp. 54, 55.

1)  See infra, pp. 54, 55.

1)  The Palestine Order in Council, 1922, which gave Mandatory Palestine its first Constitution attempted to create a Legislature. This never came into existence. In the palestine (Amendment) Order in Council, 1923, by Article 3, power was given to the High Commissioner for Palestine, to promulgate ordinances, subject to disallowance by His Majesty, and "without prejudice to the powers inherent in, or reserved by this Order to His Majesty", (17)(i)(a)). Under part IV of the 1922 Order in Council “The enactments in the First Schedule to the Foreign Jurisdiction Act, 1890 shall apply to Palestine... "

2) The hand Transfer Ordinance of 1940 forbade the purchase by Jews of land in large areas of Palestine.

1) This section provides for a Declaration of a State of Emergency and for the making of Emergency Regulations pursuant thereto.

3)  Now in Jordanian territory.

1) Section 2 of the Interpretation Ordinance provides (inter alia):

2. In this Ordinance, and in all other enactments (as hereinafter defined) now in force or hereafter to be passed, made or issued, the following words and expressions shall have the meanings hereby assigned to them respectively, unless there is something in the subject or context inconsistent with such construction, or unless it is therein otherwise expressly provided -

"law" includes –

(a) such Acts or parts of Acts, and such Orders by His Majesty in Council or parts of such Orders whether passed or made before or after the commencement of this Ordinance, as are now, or have heretofore been, or may hereafter be, in force in Palestine; and

(b) orders, regulations, rules, byelaws, proclamations, directions, notices, or other instruments, not being enactments, made or issued. whether before or after the commencement of this Ordinance, under any such Act, Order, or part thereof as is referred to in paragraph (a) of this definition, being orders, regulations, rules, byelaws, proclamations, directions, notices, or other instruments, which are now, or have heretofore been, or may hereafter be, in force in Palestine ; and

(c) enactments; and

(d) Ottoman law, religious law (whether written or unwritten), and the common law and doctrines of equity of England, which is or are now, or has or have heretofore been, or may hereafter be, in force in Palestine.

"enactment" means any Ordinance, or any regulations, whether passed, made or issued before or after the commencement of this Ordinance: Provided that in any enactment passed, made or issued before the commencement of this Ordinance, the word "enactment" has the same meaning as it would have had if this Ordinance had not been passed.

"regulations" means any regulations, rules. byelaws, proclamations, orders, directions, notifications, notices, or other instruments, made or issued by the High Commissioner or the High Commissioner in Council or any other authority in Palestine (whether before or after the commencement of this Ordinance) under the authority of any Act or any Order by this Majesty in Council or of any Ordinance; and includes orders, directions, notifications, notices or other instruments, made or issued, whether before or after the commencement   of this Ordinance, under any such regulations, rules or byelaws: Provided that in any enactment passed, made or issued before the commencement   of this Ordinance, the word "regulations" has the same meaning as it would have had if this Ordinance had not been passed.

1) The obtaining by a Public Servant of an improper reward in respect of business transacted by him as a Public Servant is made an offence by this section.

Karsik v. State of Israel

Case/docket number: 
HCJ 2390/96
HCJ 360/97
HCJ 1947/97
Date Decided: 
Tuesday, February 13, 2001
Decision Type: 
Original
Abstract: 

Facts: In the late 1950’s the army needed training area and for this purpose the authorities worked to expropriate a range of about 137 dunam of land in the region of Hadera in accordance with the Lands Ordinance (Purchase for Public Purposes) 1943.  After a number of years – on 24 March 1966 – and according to his authority in section 19 of the Expropriations Ordinance, the Minister of Finance published a notice as to the granting of the land to the State and the land was registered in the land registration books in the name of the State.

 

The petitioners before us – in the three petitions that were heard as one are the heirs of the land owners of land in the area of the expropriation prior to the expropriations.  The same owners acquired the lands that they purchased in the mid 1940’s.  From the time of the expropriation and until the date of the petition the petitioners and their successors refused to accept compensation from the State in exchange for the lands that were expropriated from them

 

The expropriated land has served its designation as to the expropriation for about three decades, from when the land was expropriated until 1996.

 

In a meeting from August 31, 1993, finding that there was demand in the area for residential construction, the government decided to clear out of army from the area.  For this purpose an agreement was signed between the army and the Israel Lands Authority to clear this land and (additional land). 

 

The appellants claim that once the public need for which the land was expropriated has ended it is incumbent upon the State to return the property to its owners, contact those from whom the asset was taken, him and their heirs.  The property right of the owners obligates the expropriating authority to limit the harm to the property of the individual only for the public purpose for which the land was expropriated.  Once that public purpose is accomplished, the property is to be returned to its original owners.  In our matter: the land was expropriated for use for army training; now, when that public purpose no longer exists, the land is to be returned.  As for the new designation of the land for residential building the petitioners have two arguments: one that this purpose is not a public purpose at all and second, even if residential building is a public purpose, there is nothing to prevent the petitioners from accomplishing it and themselves implementing the construction project.  The petitioners therefore sought for the State to return the land to their possession, or at the very least, to compensate them at the present value of the land and not at its value when it was expropriated.

 

The State responded to the arguments of the petitioners, by arguing that all that has occurred was the replacement of one public purpose with another public purpose and the land did not need to be returned to its original owners.  The State also made the claim that the petition should be delayed due to delay in its filing. 

 

Held: The judges while varying in their approaches which led to the result were in agreement that if the public purpose which served as the basis for expropriation of lands according to the Lands Ordinance (Purchase for Public Purposes), 1943, ceased to exist, as a rule, the expropriation is to be cancelled, and the owner of the expropriated lands is entitled to the return of the lands subject to exceptions and rules that are to be formulated.   Some of the differences between the judges revolved around the role of the Basic Law: Human Dignity and Liberty in bringing about this legal rule.  The judges also called on the legislator to regulate the matter of expropriation of lands against the background of what has been said in this judgment.  Finally, the Court did not decide the question of the applicability of the new legal rule to the present matter, but decided to take a break and ask the parties to argue before the Court as to the applicability of the new legal rule in the present petitions, leaving this to be decided after the parties’ arguments are heard.  The claim of delay was rejected.

 

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

 

HCJ 2390/96

HCJ   360/97

 HCJ 1947/97

 

1. Yehudit Karsik

2. Miriam Itzkovitz

3. Emma Marriot

4. Aharon Hoter-Yishai

v.

1. State of Israel, Israel Lands Authority

2. Municipality of Hadera

3. Local Planning and Construction Committee near the Municipality of Hadera

4. Committee for Housing and Industry, Haifa Region

 

HCJ 2390/96

 

1. Michael Samuel

2. Vardina Simon

v.

1. Minister of Finance

2. Israel Lands Authority

3. Ministry of Building and Housing

4. Committee for Housing and Industry, Haifa Region

 

                                                         HCJ 360/97

 

1. Shaul Rothman

2. Malka Arel

3. Pnina Goren

v.

1. Minister of Finance

2. Ministry of Building and Housing

3. Committee for Housing and Industry, Haifa Region

 

                                                        HCJ 1947/97

 

The Supreme Court sitting as the High Court of Justice

[13 February 2001]

Before President A. Barak, Vice President S. Levin, Justices T. Or, E. Mazza, M. Cheshin, I. Zamir, T. Strasberg-Cohen, D. Dorner, D. Beinisch

 

Answer to Order nisi.  It was decided that the parties would argue as to the matter of the applicability of the law for the future or retroactively and whether it is appropriate to apply it to the expropriations which are the subject of the petitions.

 

Facts: In the late 1950’s the army needed training area and for this purpose the authorities worked to expropriate a range of about 137 dunam of land in the region of Hadera in accordance with the Lands Ordinance (Purchase for Public Purposes) 1943.  After a number of years – on 24 March 1966 – and according to his authority in section 19 of the Expropriations Ordinance, the Minister of Finance published a notice as to the granting of the land to the State and the land was registered in the land registration books in the name of the State.

The petitioners before us – in the three petitions that were heard as one are the heirs of the land owners of land in the area of the expropriation prior to the expropriations.  The same owners acquired the lands that they purchased in the mid 1940’s.  From the time of the expropriation and until the date of the petition the petitioners and their successors refused to accept compensation from the State in exchange for the lands that were expropriated from them

The expropriated land has served its designation as to the expropriation for about three decades, from when the land was expropriated until 1996.

In a meeting from August 31, 1993, finding that there was demand in the area for residential construction, the government decided to clear out of army from the area.  For this purpose an agreement was signed between the army and the Israel Lands Authority to clear this land and (additional land). 

The appellants claim that once the public need for which the land was expropriated has ended it is incumbent upon the State to return the property to its owners, contact those from whom the asset was taken, him and their heirs.  The property right of the owners obligates the expropriating authority to limit the harm to the property of the individual only for the public purpose for which the land was expropriated.  Once that public purpose is accomplished, the property is to be returned to its original owners.  In our matter: the land was expropriated for use for army training; now, when that public purpose no longer exists, the land is to be returned.  As for the new designation of the land for residential building the petitioners have two arguments: one that this purpose is not a public purpose at all and second, even if residential building is a public purpose, there is nothing to prevent the petitioners from accomplishing it and themselves implementing the construction project.  The petitioners therefore sought for the State to return the land to their possession, or at the very least, to compensate them at the present value of the land and not at its value when it was expropriated.

The State responded to the arguments of the petitioners, by arguing that all that has occurred was the replacement of one public purpose with another public purpose and the land did not need to be returned to its original owners.  The State also made the claim that the petition should be delayed due to delay in its filing. 

 

Held: The judges while varying in their approaches which led to the result were in agreement that if the public purpose which served as the basis for expropriation of lands according to the Lands Ordinance (Purchase for Public Purposes), 1943, ceased to exist, as a rule, the expropriation is to be cancelled, and the owner of the expropriated lands is entitled to the return of the lands subject to exceptions and rules that are to be formulated.   Some of the differences between the judges revolved around the role of the Basic Law: Human Dignity and Liberty in bringing about this legal rule.  The judges also called on the legislator to regulate the matter of expropriation of lands against the background of what has been said in this judgment.  Finally, the Court did not decide the question of the applicability of the new legal rule to the present matter, but decided to take a break and ask the parties to argue before the Court as to the applicability of the new legal rule in the present petitions, leaving this to be decided after the parties’ arguments are heard.  The claim of delay was rejected.

 

Basic laws cited:

Basic Law: Human Dignity and Liberty, ss. 3, 8, 10

 

Legislation cited:

Lands Ordinance (Purchase for Public Purposes), 1943, ss. 2, 3, 5, 5(1), 5(2), 7, 19, 19(2), 22.

Planning and Construction Law 5725-1965, ss. 121-128, 188, 188(b), 188-196, 195, 195(2), 196(a), ch. 8.

Statute of Limitations Law

Orders of Government and Justice Ordinance 5707-1948.

Journalism Ordinance 1930

Emergency Powers (Detentions) Law 5739-1979, s. 2.

Law for Treatment of the Mentally Ill 5751-1991, s. 11.

Lands Law 5769-1969.

Emergency Powers (Detentions) Law 5739-1979

 

Regulations cited:

Defense Regulation, 1939.

Defense (Emergency) Regulations, 1945, r. 119.

 

Israeli Supreme Court cases cited:

[1]        Mot 33/53 Salomon v. Attorney General IsrSC 7 1023.

[2]        HCJ 30/55 Committee to Protect Expropriated Nazereth Lands v. Minister of finance IsrSC 9 1261.

[3]        HCJ 307/82 Lubianker v. Minister of Finance IsrSC 37(2) 141.

[4]        HCJ 67/79 Shmuelson v. State of Israel IsrSC 34(1) 281.

[5]        HCJ 2739/95 Mahol v. Minister of Finance IsrSC 50(1) 309.

[6]        HCJ 5091/91 Nuseiba v. Minister of Finance (unreported).

[7]        HCJ 465/93 Tridat S.A. Foreign Corporation v. Local Planning and Construction Committee, Herzeliyah IsrSC 58(2) 622.

[8]        HCJ 3956/92 Makor Hanfakot v. Prime Minister (unreported).

[9]        HCJFH 4466/94 Nuseiba v. Minister of Finance IsrSC 59(4) 68.

[10]     HCJ 3028/94 Mehadrin Ltd. v. Minister of Finance IsrSC 51(3) 85.

[11]     HCJ 5224/97 Yachimovitz v. Authorized Authority for Defense Regulations 1939, 1945 IsrSC 2 198.

[12]     HCJ 70/53 M’SH Company v. Bergman IsrSC 7 590.

[13]     HCJ 142/97 Avivim in Parcel 3947 Ltd. v. Minister of Finance IsrSC 24 (2) 397.

[14]     HCJ 282/71 Binyan v. Minister of Finance IsrSC 25 (2) 466.

[15]     HCJ 224/72 Geulat Hakerech Ltd. v. Minister of Finance IsrSC 26(2) 155.

[16]     LCA 6339/97 Roker v. Salomon IsrSC 55(1) 199.

[17]     HCJ 3648/97 Stemka v. Minister of Interior, IsrSC 53(2)728.

[18]     HCJ 174/88 Amitai v. Local Planning and Construction Committee, the Center IsrSC 42(4) 89.

[19]     HCJ 262/62 Peretz v. Local Council K’far Shmaryahu IsrSC 17 2101.

[20]     CrimMA 537/95 Ganimat v. State of Israel IsrSC 39(4) 197.

[21]     CrimFH 2316/95 Ganimat v. State of Israel IsrSC 49(4) 589.

[22]     HCJ 2722/92 Elamrin v. Commander of IDF Forces in Gaza Strip IsrSC 46(3) 393.

[23]     HCJ 4772/91 Hizran v. Commander of IDF Forces in Judea Samaria IsrSC 46(2) 150.

[24]     HCJ 2313/95 Contact Linsen (Israel) Ltd. v. Minister of Health IsrSC 50(4) 397.

[25]     HCJ 4809/93 Local Planning and Construction Committee, Jerusalem v. Kehati IsrSC 58(2) 190.

[26]     HCJ 6821/93 Mizrahi Bank Ltd. v. Migdal Cooperative Village IsrSC 49(4) 221.

[27]     FHC 7325/95 Yediot Ahronot v. Kraus IsrSC 52(3) 1.

[28]     HCJ 147/74 Sapolinsky v. Minister of Finance IsrSC 29(1) 421.

[29]     HCJ 63/52 Neiman v. Minister of Finance IsrSC 6 680.

[30]     HCJ 334/63 Galinovitz v. Minister of Finance IsrSC 48(2) 833.

[31]     HCJ 73/53 Kol Ha’am v. Minister of Interior IsrSC7 781.

[32]     HCJ 1188/92 Local Planning and Construction Committee Jerusalem v. Bareli IsrSC 49(1) 463.

[33]     LCA 5222/93 Lot 1992 Building Ltd. v.  Parcel 168 in Lot 6181 Ltd. (unreported).

[34]     CA 148/52 Kasprios v. Kasprios IsrSC 8 1289.

[35]     HCJ 40/80 Kenig v. Cohen IsrSC 36(3) 701.

[36]     HCJ 953/87 Poraz v. Tel Aviv-Jaffa Mayor IsrSC 42(2) 309.

[37]     HCJ 680/88 Schnitzer v. Head Military Censor IsrSC 42(4) 617.

[38]     HCJ 2000/97 Lindorn v. Karnit, Fund for Compensation of Victims of Road Accidents IsrSC 55(1) 12.

[39]     HCJ 3267/97 Rubinstein v. Minister of Defense IsrSC 52(5) 481.

 

Israeli District Court cases cited:

[40]     CrimMot (TA) 1015/96 State of Israel-Minister of Finance v. ‘Paz’ Oil Company Ltd.  (unreported).

[41]     CrimMot (J-m) 51/94 Arad v. State of Israel (unreported).

 

American cases cited:

[42]     Higginson v. United States 384 F. 2d 504 (1967).

[43]     Wood v. City of East Providence 811 F. 2d 677 (1987).

[44]     Federal Farm Mortg. Corporation v. Smith 89 P. 2d 838 (1939).

[45]     Isley v. Bogart 338 F. 2d 33 (1964).

[46]     Crouch v. State 218 N.Y.S. 173 (1926).

[47]     People v. Helinski 634 N.Y.S. 2d 837 (1995).

 

German cases cited:

[48]     BVerfGE 38, 175 (1974).

 

Canadian cases cited:

[49]     Pineridge Property Ltd. v. Board of School Trustees of School District No. 57 (1982) 40 B.C.L.R. 221.

 

Israeli books cited:

[50]     I. Zamir, Administrative Power (vol. A, 5756, 1996).

[51]     I.H. Klinghoffer, Administrative Law (5717, 1957).

[52]     A. Kamar, Laws of Land Expropriation (5th edition, 5755, 1995).

[53]     Y. Weisman, Property Laws-General Part (1993).

[54]     A. Barak, The Essence of a Note (1973).

[55]     Y. Weisman, Property Laws-Ownership and Partnership (1997)

[56]     A. Barak, Interpretation in Law, Vol. 2, Statutory Construction (1993).

 

Israeli articles cited:

[57]     H. Dagan ‘The Laws of Governmental Taking and Laws of Competition – Toward a New Property Discussion’ Annual Book of Law in Israel-5756 (A. Rosen-Zvi editor, 1997) 673.

[58]     A. Hacohen, ‘’Is the Public Thieves’ On the Expropriation of Land Rights in Jewish Law’ Sha’arei Mishpat A (5757-5758) 39.

[59]     I.H. Klinghoffer, ‘The Attachment of Expropriated Land to its Designation’ Iyunei Mishpat B (5732-5733) 874.

[60]     H. Dagan ‘Distributive Considerations in the Laws of Governmental Taking of Lands’ Iyunei Mishpat 21 (5758-1998) 491.

[61]     Y.M. Edri ‘On a Declarative Constitution and a Constitutive Constitution – the Status of the Constitutional Property Right in the Human Right Ranking’ Mishpatim 28 (5757-1997) 461.

[62]     A. Gross ‘Property Right as a Constitutional Right and the Basic Law: Human Dignity and Liberty’ Iyunei Mishpat 21 (1998) 404.

[63]     A. Haviv-Segel ‘Problems of Adaptation and the Question of Public Purpose in Land Expropriation’ Iyunei Mishpat 21 (1998) 449.

 

Foreign books cited:

[64]     D.P. Currie The Constitution of the Federal Republic of Germany (Chicago, 1994).

[65]     H.D. Jarras, B. Pieroth Grundgesetz fr die Bundesrepublik Deutschland: Kommentar (Mnchen, 3 Aufl., 1995).

[66]     O.W. Holmes The Common Law (Boston, 1881).

 

Foreign articles cited:

[67]     M.J. Radin ‘Property and Personhood’ 34 Stan. L. Rev. (1981-82) 957.

[68]     F.I. Michelman ‘Property, Utility, and Fairness: Comments on the Ethical Foundations of ‘Just Compensation’ Law’ 80 Harv. L. Rev. (1967) 1165.

 

Other:

[69]     27 Am. Jur. 2d (Rochester, 1996).

 

Jewish law sources cited:

[70]     Mishlei 30, 19.

[71]     Kings I, 21, 2-3.

 

For the appellants in HCJ 2390/96 – Zvi Har Nevo, Tal Har Nevo

For the appellants in HCJ 360/97 – Amnon Evron, Alon Samuel

For the appellants in HCJ 1947/97 – Aryeh Feigenbaum, Ya’acov Lasri

 

For the respondents in HCJ 2390/96, HCJ 360/97, HCJ 1947/97 – Osnat Mendel

 

JUDGMENT

 

Justice M. Cheshin

A given area of land is expropriated by the authority for a given public purpose.  True to its word the authority makes use of that land for the purpose specified by the expropriation.  Years pass and that public purpose passes on from this world, and the authority seeks to make use of the land for another purpose, a public purpose or a non-public purpose.  Is the authority authorized to do what it seeks to do?  Those are the parameters of the field which we will plough in this opinion.

Background to the Petition

2.    In the late 1950’s the army needed a training area – primarily for shooting ranges  –  and for this purpose the authorities acted to expropriate an area of about 137 dunam of land in the region of Hadera.  The expropriation proceeding was properly conducted: as required by law, notices were published in the official register that all of the land in that area is needed by the Minister of Finance for public purposes and that the Minister of Finance intends to acquire immediate possession of it.  See notices according to sections 5 and 7 of the Lands Ordinance (Purchase for Public Purposes) 1943 (hereinafter we will title this ordinance – ’the Ordinance’ or ‘the Expropriations Ordinance’), which were published in Yalkut Pirsumim 5719 (from 25 December, 1958) and Yalkut Pirsumim 5719 757 (from 27 February 1959).  After a number of years – on 24 March 1966 – and according to his authority per section 19 of the Expropriations Ordinance, the Minister of Finance published a notice as to the transfer of the land to the State (Yalkut Pirsumim 5726 (1966) 1368).  The land was registered in the land registration books in the name of the State.

3.    The petitioners before us – in the three petitions that were heard as one – are the heirs of those who were owners – prior to the expropriations – of parcels of land in the area of the expropriation.  These owners had acquired the lands that they purchased – each on his own – in the mid 1940’s.  The petitioners and the original owners refused to accept compensation from the State in exchange for the lands that were expropriated from them; this was so at the time of the expropriation and until this very day.

4.    The expropriated land has served its purpose as per the expropriation; a training area for IDF soldiers.  Indeed, reserves soldiers and regular service soldiers will well remember ‘the sands of Olga’ near Hadera (Olga, for the interested, was the wife of Joshua Henkin, who is well remembered, and out of respect for Henkin the area was named for her).  This is how it was for about three decades, since the land was expropriated until 1996.

5.    In its meeting on August 31, 1993, and finding that there was demand in the area for residential construction, the government decided to remove the army from the area.  For this purpose an agreement was signed between the army and the Israel Lands Authority to clear the land (and additional land).  In consideration for this the army was to receive about twelve million NIS to build alternate shooting ranges.

6.    Several words about city zoning plans which apply to the land.  In the early 1980’s a plan was initiated according to which the majority of the land was designated for residential area A and an educational and sport complex (HD/450).  This plan was filed but it did not come into effect.  In accordance with HD/761 which was published to come into effect on 15 September 1985 (Yalkut Pirsumim 5745 3358), the area of the expropriations was designated for the building of a neighborhood of townhouses, and recreation and public areas.  In 1989 an amendment to the previous plan was filed (plan HD/761A), but it was not approved.  After the government decision of 1993 the Ministry of Construction and Housing prepared an alternative  plan – its neighborhood  plan – HD/VM 944 – according to which an area of about 160 dunam, including the petitioners’ lands, was designated for multi-story building (592 residential units), for public structures, for a commercial area and for open public spaces.  The petitioners in HCJ 360/97 (the Samuel family) filed an objection to the plan.  The objection of the Samuel family was dismissed and the plan was approved by the Committee for Building for Residences and Industry on November 17, 1996.  The approval of the plan was published in the Reshumot on 21 July 1997 (Yalkut Pirsumim 5757 4479).

7.    The Ministry of Construction and Housing began work on preparing the land for infrastructure and roads, and then on 24 October 1997 the notice of the Chairperson of the Committee for Building for Construction and Industry in the Haifa region was published as to the cancellation of the approval of plan – HD/VM 944) (Yalkut Pirsumim 5758 96, from October 24 1997).

Differences of opinion between the parties

8.    The petitioners claim and state:  when the public need for which the land was expropriated ceases, it is incumbent upon the State to return the asset to its owners, i.e. the one from whom the asset was taken, him or his heirs.  The property right of the owner – to the extent it was a property right – obligates the expropriating authority to limit the injury to the property of the individual only to the public purpose for which the land was expropriated.  When that public purpose is accomplished, the property returns to its home, its original owners.  In our matter: the land was expropriated for use for army training; now, when that public purpose no longer exists, the land is to be returned to its owners.  As for the new designation of the land – residential building – the petitioners have two arguments: one, this purpose is not a public purpose at all and therefore the ‘public’ use of the land has ended.  Alternatively, even if we were to say that residential building is a public purpose, there is nothing to prevent the petitioners from accomplishing it and themselves implementing the construction project.  There is no need that specifically the State perform the construction (construction which will be carried out, as is common, by private contractors).  The petitioners summarize their arguments as follows: it is a duty placed on the State to return the land to our hands, or at the very least, to compensate us at the present value of the land and not at its value when it was expropriated.

9.    The State rejects the arguments of the petitioners, and according to it what occurred was the substitution of one public purpose with another public purpose.  The building of a neighborhood in that location is within the bounds of a public purpose, and the expropriating authority acquired the authority to substitute one public purpose for another.  That is the law and that should be the law.  Moreover, given the multiple owners of the property, the need to establish a residential neighborhood will not be achieved other than by way of implementation by a single entity and the administration by an authorized authority.  This too demonstrates the ‘public’ aspect in continuation of the expropriation.  The respondents further argue that the petitioners delayed making their claims; that this delay has caused the authorities significant expenses, and therefore their request is to be denied.

These argue so and these argue so, and it is these differences of opinion that we must settle.

A general scheme in expropriations law

10.  There are two periods in the legal status of expropriated land; one, the period of the birth and two, the period of existence and cessation.  The first period – the period of birth – is the period of the expropriation processes, and will include the preconditions of expropriation, the topic of discretion in expropriation, notices, and the like, rules and norms which revolve around the expropriation process itself.  The second period – the period of the existence and cessation of the expropriation – revolves around the legal status of the land after it was expropriated: the use or lack of use – of the land for its designation; the legal status of the land upon the satisfaction of the public purpose for which the land was expropriated – whether this public purpose is replaced with another public purpose or whether there is no other new public purpose which comes to replace the original public purpose; and the question of the former owners’ connection to the land.

11.   Our interest, is primarily, in the second period, however, we cannot leap directly to this period – and understand what occurs in it – without saying a few words about the prior period.  As the second period is nothing other than a continuation of the first period, and we will have difficulty understanding the events of the second period where they are tied – if only chronologically –  to events of the prior period.

We will therefore open with several words about the first period, and we will then go to the second period which constitutes the essence of our matter.

Several words on the expropriation process

12.  None dispute the need to grant the State authority to expropriate the land of an individual for the good and welfare of the general public.  This is so for paving roads, establishing parks, building public structures, and so forth for other public purposes; provided, of course – as a matter of principle – that due compensation is paid to the owners.  This recognition lies at the foundation of the Expropriation Ordinance, according to which the Minister of Finance – meaning the State – has acquired authority to expropriate land for public purposes.  And as per the provision of section 3 of the Expropriation Ordinance, where the Minister of Finance ascertains that it is necessary or expedient for any public purpose he is authorized to acquire (inter alia) ownership, possession and right of use in any land.  Section 5(1) of the Ordinance, establishes that the Minister of Finance will publish in the Reshumot a notice of his intent to purchase land for public purposes, and the provision of section 5(2) further adds and instructs us that publication in the Reshumot as said ‘... is seen as determinative proof that that the Minister of Finance certified that the purpose, for which the land is about to be purchased is a public purpose.’  What is a ‘public purpose’?  Section 2 of the Expropriation Ordinance instructs us that a public purpose is ‘any purpose that the Minister of Finance certified as a public purpose.’

13.  As phrased in the Expropriation Ordinance, these powers that the Minister of Finance has acquired – powers which originally were granted to the High Commissioner himself – are far reaching powers.  And indeed in the early years of the State the Court interpreted the powers of the Minister of Finance very broadly:

The matter of expropriation of land for a public purpose is subject to the unlimited discretion of the Minister of Finance as the executive branch, and as long as he is acting in good faith, when he uses his discretion to implement his policy, he is under the oversight and review of the Knesset and not the review of the Courts. (Mot 33/53 Salomon v. Attorney General (Salomon legal rule [1], at p. 1028.)

‘The unlimited discretion of the Minister of Finance’ – so determined the Court.  The Court in our day would not even consider expressing itself in a similar manner.  See further I. Zamir ‘Administrative Power’ (vol. A) [50], at pp. 106-107, 197-198.  In the same vein the court said in that case (ibid [1], at p. 1027) that ‘there is no doubt, that according to the text of section 3 the discretion of the Minister is absolute’.  See further HCJ 30/55 Committee to Protect Expropriated Nazereth Lands v. Minister of finance [2] at p. 1264.  The courts at that time further determined that as to publication in the Reshumot according to section 5 of the Expropriation Ordinance, the Minister of finance is not required to specify the purpose for which the land was expropriated.

14.  This was so years ago, in the early years of the State.  Over the course of the years the legal rule changed gradually, and always in one direction: to narrow the discretion of the Minister of Finance and to make it more arduous for him in the processes leading up to expropriation.  The right of the individual to his property is dear to the Court, has risen in importance and as the recognition increased that the individual’s property is to be protected from the authority, so the Minister’s power has decreased in the act of expropriation.  Thus, for example, in HCJ 307/82 Lubianker v. Minister of Finance (the Lubianker case [3]) the Acting President determined that the interpretation that was given to the Salomon legal rule [1] ‘... was occasionally too far-reaching’ (ibid, [3]), at p. 147), and later:

The legislator indeed placed in the hands of the Minister of Finance the authority to determine that a certain purpose constitutes a public need, and that publication of a notice according to section 5(1) is decisive evidence of this...  However, it does not necessarily follow from this, that the Court will not examine, in its way, whether the considerations of the Minister, including the provision of certification as to the existence of public necessity, are not marred by a defect that goes to the root of the matter, such as lack of good faith or arbitrariness (ibid).

So too the Court further added and established in the Lubianker case  [3] – contrary to the case law that existed until that time – that the Minister of Finance is duty-bound to specify in the notice published in the Reshumot  the purpose for which the land was expropriated: ‘in order to prevent arbitrary use of the broad powers, that were granted by the Ordinance’ ‘[and] in order to allow effective oversight of the manner and substance of implementation of the discretion, it is proper that the purpose of the expropriation be known’ (ibid at p. 148).  See further: HCJ 67/79 Shmuelson v. State of Israel (the Shmuelson case [4]); HCJ 2739/95 Mahol v. Minister of Finance (Mahol case [5]) at pp. 327-328; HCJ 5091 Nuseiba v. Minister of Finance (HCJ Nuseiba [6]) (and in paragraph 4 of the opinion of Justice Mazza); HCJ 465/93 Tridat S.S. Foreign Corp. V. Local Planning and Construction Committee, Herzeliyah (Tridat case [7]), at p. 633.   In the same vein it was established that there would not be a lawful expropriation unless these three conditions were met:

The existence of a specific and defined public necessity; a connection between the specific public necessity and specific lands designated for expropriation; and the existence of a need to expropriate land in order to realize the public necessity (from the words of Justice Mazza in HCJ Nuseiba [6], in paragraph 3 of the opinion, in reliance on the words of the Acting President Shamgar in the Lubianker case [3], at pp. 146-147).

15.  According to the legal rule that was established, it is not sufficient to have a public purpose to expropriate some specific land; it is the duty of the authority also show that the specific lands ‘are intended and suited to serve a certain purpose’ (the Tridat case [7] at p. 633).  This is required to prove the link between the land and the public purpose and the need to prove that only expropriation would lead the authority to its purpose, meaning: it was not possible to achieve the result via a means causing lesser harm; HCJ 3956/92 Makor Hanfakot v. Prime Minister (Makor Hanfakot case [8] (in paragraph 6 of the opinion of Justice Or).  In one word: the expropriation must meet the test of proportionality.  See HCJFH 4466/94 Nuseiba v. Minister of Finance (HCJFH Nuseiba [9]), at p. 88 (in the words of Justice Dorner); HCJ 3028/94 Mehadrin Ltd. v. Minister of Finance [10], at p. 107, in the words of Justice Goldberg.  See further and compare H. Dagan ‘The Laws of Governmental Taking and Laws of Competition – Toward a New Property Discussion’ [57] at pp. 684-685.  For a similar approach in Jewish law, see A. Hacohen, ‘’Is the Public Thieves’ On the Expropriation of Land Rights in Jewish Law’ [58] at pp. 44-45, 54.  This complex legal rule, a legal rule whose subject is the application of the test of proportionality to an expropriation action and extra diligence in application of the test – we will keep in mind for the later part of our discussion.  We are now speaking of the first period of the expropriation system – the period of birth – and when we arrive at the matter itself – at the examination of the second period – we will seek to draw an analogy from the first period as to the period that follows it.

Thus far – essential elements in an expropriation action.

Land after its expropriation – an act that severs the connection and an act that preserves the connection

16.  All the required prerequisites have been fulfilled according to the Expropriation Ordinance, and the Minister of Finance has ordered the expropriation of a certain land for a certain purpose.  What happens to  the land after its expropriation?  Is the Minister of Finance able and permitted to give the land to the highest bidder the day after the expropriation?  Is he permitted and authorized to change the purpose for which the land was expropriated to another purpose?  For any other purpose – whether it is a public purpose or not?  Does the State acquire ownership in the expropriated land as though it were a person who inherits land from his parents?  Does the State acquire free and clear ownership of the land without any ties to the former  owners?

17.  In principle – and as per the jurisprudence of administrative law – it is possible to characterize the status of expropriated land according to one of two models: the one model is the model of the ongoing connection and the other model is the model of the severing of the connection.

The ongoing connection model holds that the past owner holds on to a legal connection – of some degree or other – to the land that was expropriated from his ownership; and that the act of expropriation does not disconnect the owner entirely from that land.  This is so as regards the past owners.  Regarding the expropriating authority, the meaning of that legal connection is – in principle – that the authority has a continuing obligation to justify the act of expropriation.  An analogy for this could be found in the act of seizing of assets according to the Defense Regulations of 1939.  In one case the authorized authority decided to take possession of a certain apartment, and when the petitioner challenged the decision the respondent responded that the ‘the condemnation order had already been carried out’, and that it is the rule that the Court does not interfere ‘after the fact’.  As to this claim Justice Silberg said the following:

Condemning assets according to regulation 48, is not a one time act, but an ongoing action, which draws its right of existence from the continuing will of the condemning authority (HCJ 5224/97 Yachimovitz  v. Authorized Authority for Defense Regulations 1939, 1945 [11] at p. 200).

According to the law in effect at that time, it was possible to decide as to seized land only for a specific purpose such as public safety, defense of the State, the efficient operation of the war or provision of essential supplies and services for the public.  And this connection between the seizure order and the purpose that the order was meant to achieve has led to the conclusion that the continuation of the seizure ‘requires the continuation of the purposes for which it was carried out.’ I.H. Klinghoffer, Administrative Law [51] at p. 108.  See also HCJ 70/53 M’SH Company v. Bergman [12] at p. 593, in the words of Justice S. Z. Cheshin).

As an antonym to the model of the ongoing connection is the connection-severing model, and as its name implies: when the act is performed properly and without birth defect – it is as though a new life begins that has only a historical connection between it and the life before that action.  According to this model, expropriating the land from its owner severs all connection between the former owner and the land, and from the moment of expropriation the two are strangers to one another.  Indeed it is possible to challenge the act of expropriation if it had a defect or flaw when it occurred; but not if the act was done lawfully and within the framework of authority; in this case the act is done; the owners will be separated from the land and the two will each go their separate ways.

18.  This distinction between the ongoing connection model and the connection-severing model – is a normative distinction; a normative distinction as opposed to a factual distinction, a description, of a set of circumstances.  This normative determination is founded on considerations of legal policy.  The law itself may not guide us explicitly one way or another, but the court will be of the view – in construction of the law – that it is proper to classify a specific action as action maintaining the connection or action severing the connection.  It goes without saying that this classification is made, in order to apply to the given action a set of norms that the Court is of the view should apply to it.

The action of expropriating land – is it a connection-severing action or is it a connection-maintaining action?

19.  How should we classify an act of land expropriation? Is it a connection-severing action or is it a connection-maintaining action?  The law’s naked provisions do not guide us explicitly one way or another.  Ostensibly one could argue that expropriation is a connection-severing action, meaning: after the expropriation the original owner loses all connection to the expropriated asset – forever.  At the same time one could make the counter argument that expropriation is made up of both a connection-severing action and a connection-maintaining action.  And so, in relation to the expropriating action itself, a set of norms will apply which is suited to a connection-severing action.  At the same time the institution of expropriation, the complex of expropriation, the relationship of the former owner to the land that was expropriated – like the seizing of assets in the example we brought above – is a connection-maintaining action.  It follows that, even after the expropriation act the original owner continues to maintain a connection to the land – to one degree or another – parallel to the duty of the authority to continue to use the expropriated asset according to its designation at the time of the expropriation.

How will we determine the law?  Our determination will be derived – as is the practice for us – from the foundational principles which guide the legal system, the same principles which make up a part of the genetic compass of the entire legal system, principles which may not be written in a book but guide us on our path, they are the same ‘pupils’ which live in our bodies and teach us what we will do and what we will not do.

20.  In the distant past – and in the not so distant past – the governing doctrine classified the institution of expropriation as a connection-severing action, an act that was completed – at the very latest upon the registration of the expropriated land in the State’s name.  Upon the transfer of the ownership in the property from the owner to the State the expropriation was completed, and thereafter the connection between the original owners and the land was severed forever.  Indeed, the owner could and was permitted to attack the act of expropriation itself, but once it was found that there was no defect in the act of expropriation itself, the owner would be separated from his land.  The analogy to the matter was to an out-an-out sale, which after the completion of which the seller loses all connection to the land.  Indeed, for certain purposes – such as calculation of compensation – expropriation was compared (and is still compared) to a compulsory purchase, but in the past the doctrine extended this analogy to the connection – or should we say: to the lack of connection – of the former owner to the asset after the expropriation.  The law relied, inter alia, on the provision of section 19 of the Expropriation Ordinance, that after the publication of the notice in the Reshumot on behalf of the Minister of Finance that a certain land is transferred to him ‘... the land will be granted to the Minister of Finance... free of any encumbrance, and the administrator of the Registration and Land Arrangement Division will bring about the proper registration in the property books’.  (Section 19(2) of the Ordinance).  Thus, for example, Justice H. Cohn said in HCJ 142/97 Avivim in Parcel 3947 Ltd. v. Minister of Finance (the Avivim case [13]), at p. 414:

Not only is it that the public purpose for which the expropriation was made does not need to be revealed at all to the owners of the expropriated assets, but it also does not obligate the authority at all: it may use the expropriated land for that same public purpose, it may use it for other needs, or it may not use it at all – and the property owner has no standing before the expropriating authority nor any cause of action against it for any use or other, or for lack of use, of the expropriated asset in the period after the expropriation. 

And Justice I. Cohn said (ibid p. 408):

Not only is the special purpose for which the land will be used not specified in any law, but it also does not need to be disclosed in the notice of the Minister of Finance according to section 5 of the Ordinance.  This fact also has practical ramifications.  As my distinguished colleague Justice Berinson pointed out at the time of the hearing of the arguments, it is not at all necessary that the lands that were expropriated serve specifically that purpose intended by the Minister of Finance at the time of the expropriation, but the purpose can change from one public purpose to another public purpose and it is even possible, that the land that was expropriated for public necessities will not serve those necessities at all.

21.  According to this legal rule, with the completion of the act of expropriation the right of the owner of the asset dissolves, and the authority is permitted and free to do with the asset as it pleases, as in the case of an owner who inherited the land from his elders.  The public purpose for which the land was expropriated was satisfied with the act of expropriation; the life span of that purpose equals the lifespan of the act of expropriation.  When the act of expropriation was completed the authority takes over the land of the owner, while the former owner is not left with any remnant in that land.  This legal rule was reiterated in HCJ 282/71 Binyan v. Minister of Finance (the Morris Binyan Case [14]), in which land was expropriated for the use of the army (the Allenby Camp) and after some time had passed the State wished to offer the land to foreign residents ‘in the framework of savings for building residential apartments.’  The former owner  Morris Binyan asked that after the abandonment of the public purpose that the land be returned to its ownership, but the Court decided it was not authorized to grant the request and assumed as a given that the act of expropriation severed all connection between the owner and the land that was expropriated.  (Justice I. Cohen mentioned the provision of sections 195 and 196 of the Planning and Construction Law 4725-1965 (which deal with the continued connection of former owner to property that was expropriated, and which we will address later), and in discussing them he said (ibid at p. 469) that: ‘... it may be desirable to legislate similar provisions as to all lands that were expropriated for public purposes, but this matter is within the authority and discretion of the legislator.’  All this, despite the fact that in the opinion of the judge ‘in the case of the petitioner, the injustice seems to particularly cry out...’ (ibid).  Justice Landau agreed that an

 ‘When a wrong that cries out was caused to the petitioner, as my distinguished colleague Justice I. Cohen noted, and the Court cannot provide salvation, it is a sign that the law and the use that was made of it in fact do not fulfill the requirements of justice.’ (ibid, at p. 469).

Further in his opinion Justice Landau said (ibid, at p. 470):

In the present case justice would demand that the State return to the petitioner and his brothers the land, once the security need for which the land was acquired has passed, and pay them usage fees for the years in which the land served for security purposes. . .  If the land is required today by the State for another public purpose (and I do not know if the plan of sale to foreign investors is a public purpose), justice would require that the petitioner be compensated according to the value of the land today.  However, this has no basis in the existing law, as the ownership in the land was transferred to the State in 1961, and what has already been acquired for public purposes is not to be acquired again.

...  I am of the view that the Ordinance requires amendment in order to find more just legal solutions to cases such as this.

The Court ruled in the same vein in HCJ 224/72 Geulat Hakerech Ltd. v. Minister of Finance (the Geulat Hakerech case [15]) at p. 157.  And again: the Court did not at all address the dichotomous classification of connection-severing actions and connection-maintaining actions.  The underlying assumption of the judgment – an assumption that was regarded by all as self-evident – was this, the institution of expropriation circles around the act of expropriation, and a completed act of expropriation severs once and for all the connection between the owner and the land that was expropriated from him.

22.  Therefore, the institution of expropriation – so declared the legal rule – is a connection-severing action.  This legal rule was solid – a monolithic law – without exception or loophole in it.  The courts indeed spoke up loudly in dissatisfaction, however, seeing themselves bound by the law’s provisions – as per their construction of the law – did not deviate right or left from the legal rule.  However, it appears that we would not do justice if we did not mention one voice which tried to cry out against the legal rule – not just with calls to the legislator to amend the law but in the construction of the existing law in favor of the owner of the expropriated land.  This was the voice of Justice Landau in the Avivim case [13], in which he sounded in everyone’s ears the rights of the owners after lawful expropriation (ibid, at p. 405):

... I am doubtful whether the Minister of Finance is permitted to expropriate for a given public purpose...  and later make use of the land in fact for a[nother M.C.] purpose or, for example for the purpose of selling it in the market to make a profit.  In such a case I would look for some sort of remedy, perhaps in Torts or in Unjust Enrichment laws, for the owner from whom the land was expropriated with ‘false claims’.

See further the Morris Binyan case [14] at p. 468.  However, here too Justice Landau is not suggesting we deviate from the traditional construction for expropriation, according to which the base assumption is that expropriation is an act severing connection between the original owners and the expropriated land.

23.  The connection-severing action legal rule brought sharp criticism from the father of administrative law in Israel, Professor I.H. Klinghoffer.  This criticism was sounded in a comment to the Geulat Hakerech case [15], in an article entitled ‘Attachment of Expropriation Land to its Designation’ [59].  Professor Klinghoffer suggested recognizing the institution of ‘public property’, according to which land which was expropriated should be subject to a special regime, a regime which is different from land which was not expropriated.  That regime would govern the expropriated land years after the expropriation obligate the authority to follow certain norms and at the same time grant the owners certain rights.  This normative regime is a regime of connection-maintaining action, and with the act of expropriation there is no severing of the connection between the original owners and the land that was expropriated.  Professor Klinghoffer quotes a statement from the decision in Geulat Hakerech case [15] that: ‘the demand of the petitioner [the former owner of the expropriated land – M.C.] is in fact the demand that the State transfer to him part of the property that today is in its ownership.’ And that ‘it is not appropriate that we interfere and turn the orders of land property on its head’, and therefore he says the following (ibid [59], at pp. 876-877):

...  these words, more than reflecting an interpretation of statutory provisions, express an approach and a principle.  The question is whether the approach and the principle are self-evident in the jurisprudence and laws of expropriations.  In several states this is not the rationale and not the law.  There, attachment of the expropriated land to its designation is not merely a formal matter where it is sufficient to simply declare it when the expropriation is decided upon, and which loses all importance after the transfer of ownership to the one who receives it by power of the expropriation.  The opposite is true: the connection to the public necessity for which the expropriation was granted, accompanies the asset for a long time after the property is taken from its owners.  If the asset is not used at all, or is not used in accordance with its designation, then the prior owner is entitled to demand its return...

If permission is established in the law to demand return of land that was not utilized at all according to its designation, the legislator may also find it appropriate to determine that this permission will also be given as to land that was so utilized and then such utilization ceased.

Professor Klinghoffer explained the same idea fifteen years earlier in his book supra [51].  And he said as follows (ibid at p. 154):

Creating public property, whether or not it involves transfer of ownership to the hands of the government, generally constitutes a serious if not severe intervention in property right that is not justifiable other than for the realization of certain purposes for the good of the public.  Therefore it is incumbent upon the legislator to ensure that in every case of such interference by the government the property be limited in a significant legal limitation to a public purpose, and the administrative authorities and the courts that supervise the legality of their actions, must ensure that the intervention not be other than for the public purpose that the property is designated to serve by law.

24.  This being so, Professor Klinghoffer suggested (although not in these words) replacing the doctrine with a better doctrine, meaning: instead of the classification of an act of expropriation as a connection-severing action, to classify it as a connection-maintaining action.  And let us consider this: the idea of changing the doctrine is not sufficient to change the provisions of the Expropriation Ordinance or to interpret the statutory provisions as other than what they are.  We are speaking of a foundational-doctrine which it is as though the Expropriation Ordinance has been built on.  It is as though the Expropriation Ordinance is ‘indifferent’ to the doctrine and can be interpreted according to one doctrine or the other.  The provisions of the Ordinance stay as they were, without any change – according to either one doctrine or the other – and there is no obstacle to maintaining one doctrine or another.  Absent explicit provisions in the law – and there are no explicit provisions in the law – the preference of one doctrine over another is nothing more than the resolution of a conflict of values; the values are those which will determine, they and not any technical interpretation of this provision or another.  These values – as we said elsewhere – are the body and soul of the Court when it sits to do justice and law.  See LCA 6339/97 Roker v. Salomon [16] at p. 264.

25.  It appears to us that Professor Klinghoffer was right in criticizing the legal rule, the legal rule which adopted for itself the doctrine of the connection-severing action.  Not only is this doctrine not called for by the Ordinance, but it particularly calls for the doctrine of the connection-maintaining action.  This latter doctrine is called for–as though on its own – from two principles: one, from the need to interpret in an integrated and harmonious manner the statutory provisions in expropriation – and primarily the continuity and continuousness which are required between the first period of the expropriation and the second period; second, and this is a consideration of the first degree: from the basic principles woven in each and every norm in the law (which also operate in the first period).

26.  As for the continuity from the first period to the second period: in our words above (see paragraph 14) we discussed a bit about the first period in the life of the expropriation – the period which revolves around the act of expropriation itself – and identified several of its features.  First of all, we saw that there is a burden placed on the Minister of Finance to explain and specify the notice which is published about his intention to expropriate specific land, and for which purpose he wishes to expropriate that land.  Second, as opposed to the legal rule established in the first years of the State – according to which the act of expropriation was almost like a locked room that no one enters – the Court determined – explicitly – its authority to exercise ‘effective’ review of every act of expropriation.  Third, the authority must prove that the following three factors exist in every expropriation action: the existence of a specific and defined public purpose; the connection of the public purpose to the land to be expropriated; and the existence of a particular need for expropriation in order to realize the public purpose.  In other words, the expropriation must meet the test of proportionality as to its three elements: the element of the rational connection of the means and the end; the element of the means with the least harm and the element of the utility-harm, an element which is also known to the public as the proportionality test in its narrow sense.  (See the words of Justice Dorner in HCJFH Nuseiba [9] at p. 88; HCJ 3648/97 Stemka v. Minister of Interior [17], at pp. 776-777).

27.  We will now turn to those characteristics required for expropriation to occur  – we will turn to them and ask questions.  The Minister of Finance bears the burden of explaining and specifying the purpose of expropriation and detailing it.  Ostensibly and absent a contrary indication, one would think – and this is the reasonable interpretation of the Expropriation Ordinance – that the specifying of the purpose and its publication were intended not only for the day of the expropriation itself but for the continuation of the road; because the purpose of the expropriation was meant to accompany the land not only on the day of the expropriation itself but years after the act of expropriation.  This interpretation of the Ordinance is more reasonable than the contrary interpretation according to which the purpose of the expropriation dissolves and disappears on the day of expropriation.  Indeed, is it reasonable to assume that the burden to publish the fact that the expropriation is being done particularly for an explicit and specific purpose, that this burden exhausts itself on the day of the expropriation action?  That the purpose of the expropriation is swallowed up and buried in the expropriation action with no remnants?  That the purpose of the expropriation was as ‘the way of the eagle in the sky, the way of the snake on the cliff, the way of the ship in middle of the ocean, and the way of man in woman’ (Mishlei 30, 19 [a]?  Meaning, that after the expropriation action the purpose disappears without leaving a trace?  Will we accept that the day after expropriation the State can sell the land to the highest bidder as the purpose of the expropriation has become, supposedly, not relevant?  Will we agree that after the expropriation the State can sit on its laurels for many years and not make use of the land for the purpose for which it was expropriated?  The questions are questions and the answers within them. 

28.  As for the three conditions which must be met at the time of expropriation (the existence of a specific public purpose; the connection of the purpose to the land; the need specifically for expropriation), we can raise the same queries of them we have asked as to the conditions of publication.  The Ordinance is silent and does not guide us as to the status of the expropriated land after the act of expropriation.  However, we would find it difficult to accept that these three conditions – like a silk-weaver (a silk making-butterfly) – are meant to live only a day or two – during the days of the expropriation – and afterward their lives end.  I could understand an argument that those conditions must exist in full force at the time of the expropriation, but later – in the second phase – they will indeed continue to exist but to a lesser degree.  But I will not be able to agree that these conditions will disappear as though with a magic wand after the expropriation action – literally from evening to morning – and that all the effort to satisfy the conditions was made for one day only, for the day of expropriation.  At the conclusion of all the conclusions we need to remember, expropriation of land was intended not just for one day, but for many years, and according to the doctrine which was accepted in the past: forever; will we accept that all the intensity will be concentrated on that one and single day while all the years to come – until the end of time – will not be counted?  My answer is in the absolute negative.

It also appears that the protection which property deserves – of property as property – necessitates this conclusion.  Just as a property right does not live one day only but exists over days and years – and in the matter of land: forever–so we will claim as a derivative conclusion, that the limitations which apply to the denial of a property right by the sovereign be of an intensity equal to the property right; they will be of equal intensity and will follow like a shadow the expropriated property right after it was transferred to the authority.

If these words apply as to the fundamental conditions of expropriation and for the public publication of the expropriation, all the more so will they be said–and in a loud voice–as to the proportionality test, a test that the expropriation action must meet with dignity.  In HCJFH Nuseiba [9] (ibid, at p. 88) Justice Dorner stated as to the proportionality test in connection with the expropriation of land:

This principle – the proportionality – includes in our matter three elements: first, the land must correspond with the accomplishment of the defined public necessity in whose name it was expropriated.  Second, property right are not to be harmed beyond the minimal degree necessary to achieve the public necessity.  In other words, it is permitted to expropriate land only if the public necessity cannot be achieved without expropriation, such as by implementation by the owner of the property of the project for the sake of which expropriation of the land is sought.  ...  third, there must exist a proper relation between the utility that will be derived by the public from the land and the injury that will be caused to the citizen as a result of the expropriation.

We will now examine these proportionality requirements, one at a time, and we will know that a strange and foreign conclusion it will be if we limit that proportionality to the day of expropriation; such that on the eve of the day of expropriation the need for proportionality will disappear as though it never was.

29.  Our conclusion as to our matter is that the characteristics of the first period in the expropriation – the expropriation action itself including that which is adjoined and attached to it – necessitate as though from themselves continuity to the second period.  The required conditions for the expropriation action, by their very nature and essence, were not intended for a short-term life, for the day of the expropriation alone.  They were intended for a longer life: not only for the day of the expropriation but for the second period as well.  Indeed, a bird’s eye survey of the system – in a broad synoptic view – will teach us that the institution of expropriation – as a continuum of the two periods comprising it – is drawn more to the center of gravity of the connection-maintaining actions – much more – than the center of gravity of the connection-severing actions.

30.  This is so as to the intrinsic characteristics of the expropriation, and it is certainly so when we give thought to the foundational principles in the law and the interests competing for supremacy: on the one side the needs of the state, the needs of the public, and on the other the interest of the individual in protection of his property.  Needless to say – these are self-explanatory – the planting of property right in the Basic Law: Human Dignity and Liberty requires us to strengthen–and in a significant manner – the protection of the property of the individual.  The Basic Law: Human Dignity and Liberty teaches us – in section 3 – that ‘a person’s property is not to be violated’ and this determination in the basic law – including the limitations which are dictated by the basic law itself – proclaims to us in clear language what the value of property of the individual is.  We view the property right of the individual through the prism of the Basic Law: Human Dignity and Liberty, and we know that the connection-maintaining doctrine – meaning a doctrine which in its entirety and its core was intended for none other than protection of the property of the individual – has been granted support of the highest order (in both senses).  As to the importance of the Basic Law: Human Dignity and Liberty to our matter, our colleagues have discussed this in the Nuseiba case [6], [9], and Mahol [5] – our colleague Justice Dorner even made this basic law the foundation of her words – and we have only come to strengthen what they have said.  See further, Zamir in his book supra [50] at pp. 200-201.

Moreover, in particular, because of the enormous power of the State in the expropriation action; in particular because of the limited protections given to the individual trying to protect his assets from an expropriation action; in particular because of these it is incumbent upon us to protect the property of the individual as much as possible.  Indeed, at times expropriation is an unavoidable necessity – this is the good of the public – and to this we all agree.  But, we will recognize the expropriation and support it as long as it does not infringe on the boundaries of the individual beyond the proper proportion.  Take a case where a certain land was expropriated for the purpose of the establishment of a public park.  After several years – following improvement in the city zoning plans, for example – the State seeks to sell the land to the highest bidder and to establish a park in another place.  In such a case we would find it difficult to circumscribe this intent to sell within the framework of the good of the public, and we will not know any reason why the individual should not have the right to have the land returned to him, if only he requests it (of course, while obligating him to return to the authority the compensation that he received, subject to the accepted conditions of interest and indexation, indemnification for improvement in the land, and possibly the payment of certain expenses that the State incurred).  The same is true where the authority did not implement the expropriation for an excessive period of time.  Compare the Tridat [7] and Nuseiba [6] [9] cases.

31.  The conclusion: expropriation should properly be seen as a connection-maintaining action, and conditions which constituted necessary  conditions for the expropriation action, by law should continue to exist – in principle–also in the second period.  We have said in principle, and we are referring to these two qualifications: one, some of the conditions of an expropriation action (such as the duty of publication) by nature will not take hold in the second period, and others may undergo a mutation during that period, meaning: it is possible that certain changes will occur in the conditions and still the expropriation will remain in effect as at first; second, there is a basis for the version that we will not demand that the preconditions to the expropriation action exist in the period of the years after the expropriation in the same intensity that is required for the expropriation action itself.  We will continue to discuss these topics later.

32.  As a side matter we will add (and this is not directly related to our matter): the law that applies where the authority has exhausted the public purpose for which a certain land was expropriated will also apply in the case in which the authority has not carried out the expropriation action over an excessive amount of time.  Indeed, an authority that has expropriated land for a specific purpose and for many years makes no use of the land for the purpose for which the land was expropriated, in its very omission reveals that it does not need the land that was expropriated: not at the time it was expropriated and not for the purpose for which it was expropriated.  That public necessity for which the property was taken from the individual and transferred to the use of the general public has been proven to be insufficiently strong and thus does not justify compulsory taking of the land.  If we have said that the proportionality test applies to the implementation of the expropriation, delay in implementation of the expropriation for an extended period raises doubts as to whether in fact the expropriation was a proportional means under the circumstances (as to this see the words of Justice Dorner in HCJFH Nuseiba [9] at p. 89).  From here the accepted legal rule follows, that unreasonable delay by the authority in accomplishing the purpose of the expropriation grants the individual the right to demand the cancellation of the expropriation.  See, for example, the Tridat case [7] and Nuseiba [6].  See further: HCJ 174/88 Amitai v. Local Planning and Construction Committee, the Center [18]; The Shmuelson case [4]; the Mahol case [5].  See at length A. Kamar, Laws of Land Expropriation [52] at pp. 178-188.

From doctrine to doctrine

33.  The reasons we have brought for the characterization of the second period in expropriation have weighed down the legal rule that classified the expropriation action as a connection-severing action; they have weighed it down and caused it to be tossed to and fro.  And note: the written law has remained as it was.  Nothing has changed in the Expropriation Ordinance itself.  It is the doctrine which has begun to change, the same doctrine that runs through the veins of the Expropriation Ordinance and gives it life.   Thus movement began from the connection-severing doctrine to the connection-maintaining doctrine.  And so, with the beginning of the recognition of the existence of a connection even after the expropriation action, the proper balance has begun to stabilize between the property right of the individual and the interest of the general public – not only for the day of expropriation but for the days to come after the day of expropriation.

34.  The recognition that it is proper that the accepted doctrine, the doctrine of the connection-severing action – will be invalidated and that another doctrine will come in its place – this being the connection-maintaining doctrine – has been seeping  through the case law for some time: beginning with the comments of Justice Landau in the Avivim case [13] and Morris Binyan [14]; continuing with the comments of Professor Klinghoffer; going through the legal rules established by the Acting President Shamgar in the Lubianker case [3] and up to the Nuseiba case in both its incarnations [6], [9]).  The pressure has steadily increased, and increased until the accepted doctrine has begun to lose its balance and stability.

A harsh blow to the connection-severing rule was dealt in the Mahol case [5], and in the same process the connection-maintaining doctrine – free and clear – began to rise up before us.  In that case, land was expropriated for development and building of tenements, public and welfare structures for residents of the area and those moved out of the old city of Acre.  The authorities did not realize the expropriation purpose.  After about 16 years following the publication of the notice according to section 5 of the Expropriation Ordinance and about 6 years after granting the land to the State (as per section 19 of the Ordinance), it was decided to change the purpose of the expropriation.  Following a wave of immigration of the early 90’s a severe housing crisis developed, and therefore it was planned to establish a neighborhood for new immigrants in that location instead of the original plan for the expropriation.  The petitioners, the original owners of the land, objected to this change in the purpose of the expropriation.  The judges were split in their views as to the question whether a change in designation and the leap from one purpose to another is sufficient to uproot the expropriation (and we will discuss this further down the road), however, all agreed that the owners of the land that was expropriated continue to maintain a connection to the land, and that in principle the right of the authority in the expropriated land is entirely bound up and dependent on the continued use of the land for a public purpose.  Justice Goldberg discussed this (at pp. 321-322).

... the expropriation was not intended to enrich the State.  There is an unseverable link between the expropriation of the land and the public necessity, to the point where one could say that from a conceptual standpoint the property right acquired by the State in the land that was expropriated from an individual – even if the expropriation processes were completed – is a conditional right, and the condition is the indispensability of the land for realizing the public necessity.  Once the public necessity has passed, or another ground has arisen to cancel the expropriation, the land is to be returned to its owner, if he so desires.  Returning the land in these circumstances is what restores the ‘property rules in land’, as otherwise the expropriation turns from a tool for achieving social ends to an independent purpose which stands on its own.

And later (at p. 322):

... the link of the land owner to the land that was expropriated does not melt away after transferring the land to the State and it could even be said that this link exists even after he received compensation for the expropriation, as the expropriation is understood to include not only economic harm but also harm to the emotional aspect which makes up property right.  Hence, even after completion of the expropriation processes the Minister of Finance still must act within the range of reasonableness in making use of the land, and is not permitted to make use of the land as though it was not purchased by way of expropriation.

And Justice Mazza stated (at p. 328):

Once we have found that even from the beginning the authority does not enjoy a presumption that it will use the expropriated land for the purpose of a public necessity that is sufficient to justify expropriation, but that it is to be made to explain in advance the purpose of the expropriation, it is difficult to perceive that the authority will be exempt from this after the expropriation, if and when it discovers that the public necessity for which the land was expropriated has ceased to exist...

See further the words of Justice Dorner in HCJFH Nuseiba [9], at pp. 87-88 and the words of Justice Mazza in HCJ Nuseiba [6] in paragraph 5 of his opinion.

35.  We will summarize by saying that in the expropriations sector we find ourselves today at the height of the transition from doctrine to doctrine: from the doctrine of the connection-severing action to the doctrine of the connection-maintaining activity; from a doctrine which instructs that in the act of expropriation the owners are forever severed from their property to a doctrine that instructs that the owners of land that was expropriated continue to maintain a connection to the land even after its expropriation, a doctrine which subjects the expropriated land to a regime of ‘public property’.  The meaning of this is that according to the doctrine which is hatching before our eyes, the expropriating authority is not entitled nor authorized to do with the expropriated land anything it wishes – as if it were the private owner – and it is subject to the regime of specific public uses of the land.  Indeed, the attachment of the expropriated land to a public designation may be necessitated by the property right of the individual, and the right of the individual should properly remain for him – in principle – and the land will return to his possession once its public use has concluded.  With the passing of the public purpose the legitimacy of continued possession of the property and ownership by the authority also passes.  The time has come to establish and erect the new doctrine in its place and we are declaring this today.  We are aware of course, of the mini-revolution we are effecting in expropriation law and the fact that we are recognizing a doctrine which somewhat changes the concept of property in lands.  However, this bite that the doctrine is meant to take out of property ownership, limits itself, by definition – and subject to other doctrines in law – primarily to the relationship between the State (or other public authorities) and the individual, and to the law of expropriation alone.  However, we are of the view that it is proper that we recognize the connection-doctrine.  The time has come for this.

36.  We will be precise in our words and say: all that we are saying now is that expropriation – in and of itself – does not sever the connection of the owner from land that was expropriated from his ownership.  In the second phase of expropriation – which is the phase after the lawfully executed act of expropriation – the original owner of the land maintains a ‘connection’ to the land that was expropriated, and at the same time the expropriating authority is obligated to make use of the expropriated land for a public purpose.  It goes without saying – it is self-evident – that the ‘connection’ of the owner to the land and duties imposed on the expropriating authority are none other than two sides of the same coin.  All that we have said is in the realm of doctrine only, meaning: the normative classification of expropriation is of connection-maintaining activity.  As to the content of that ‘connection’ and the scope of those ‘duties’, we have not yet said a word.

37.  And indeed, what is the meaning of that ‘connection’ and what is the scope of those ‘duties’?  Under what circumstances can the former-owner take legal action to receive what is due to him?  When will we say that the expropriating authority has deviated from the framework of the mandate that was given to it to continue holding the expropriated land, and under which circumstances will a duty be imposed on the authority to return the land to its owners?  What is the connection between the duty of the expropriating authority to return land to its former owner and its duty to pay him compensation?  We must address these questions, these, and others like them, in an organized fashion, one at a time, and not in one package.  We can say this, we are dealing with the second phase – the phase after the lawful expropriation – and where the authority does not make use of the expropriated land for the same designation that was declared upon expropriation.  That is the common denominator of all the types of cases at hand, however, at that point the roads diverge, as one type of case is not like the other type of case.  Thus, for example, a case where the authority makes use of the expropriated land for a different public purpose than the one for which the expropriation was intended is not similar to the case in which the designation of the expropriation was exhausted and the land stands barren or the authority wishes to sell it to a third party; and both these cases are different from other cases in which the authority does not realize the designation of the expropriated land and years pass with no action.  Each of these types of cases must be addressed separately, and the considerations which apply to one type of case will not necessarily apply to another type of case.  Thus, for example, the Court in the past has addressed the question as to what the law is for land that was expropriated but the authority has not realized the designation of the land at all; see the  Nuseiba case [6], [9]; see further the Tridat case [7].  However rules established for this matter will not necessarily apply as to the conversion of one public purpose to another public purpose.

38.  In brief: for now we have only established a framework for the normative structure that will apply in the second phase to land that was expropriated – and now it is incumbent upon us to fill this framework with substantive content.  The question is: what criteria will guide us in establishing the content of the normative structure which will apply to land that was expropriated in the phase after expropriation.  We will now address this question and related questions.

A comment on methodology

39.  This opinion has revolved around the question of the legal status of land that was expropriated from its owners.  This question can be examined from the perspective of two interested parties: the view of the former owner and the view of the expropriating authority.  On the part of the former owner we will ask whether he continues to have any legal connection to the land after it was expropriated.  On the part of the expropriating authority we will ask if the authority is entitled to treat the expropriated land as if it were its own – as though it purchased the land from its owners – or whether any limitations apply to its right to make use of the land.  It is possible, therefore, to look at the issue of the status of the land that was expropriated from the perspective of two interested parties, and it is unnecessary to say that this is a single issue, whether we examine it from the left or from the right; so too there is a single solution.  The way to the solution points, at its essence, to no more than a methodology for working out the issue.

In our opinion we chose to examine the issue from the perspective of the former owner, and for the following reasons (in increasing order of weight): one, this is how the question was examined in the past, and we have not found it proper to deviate from the path that was paved.  Second, the departure point for the interpretive journey is the expropriation action: John Doe is the owner of the asset, and now the State comes and expropriates that asset from his possession.  In analyzing the system from the perspective of John Doe – the owner – we view and consider the expropriation process and the land’s trek from hand to hand, and as something self-understood we ask what remains in the hands of the owner – if anything is left in his hands – after the expropriation action.  Third, examining the issue from the position of the former owner emphasizes especially the property right of the individual and the violent entry of the State into the individual’s realm – indeed, permitted entry, but still a violent entry.  It appears that it is proper to do so, particularly after the passage of the Basic Law: Human Dignity and Liberty, a basic law which elevated property right and placed them at the heights of basic rights.

As said, we will reach the very same solution whether we approach from the East or from the West.  And here, when we reach the solution, we will find – and not surprisingly – that it resides at the intersection of two paths: the path of constitutional law and the path of administrative law.  Constitutional law applies itself directly to the issue of expropriation, and after all we are speaking of violation of a constitutional right, the denial of property right.  At the same time the expropriation process, and afterwards the legal status of the expropriated land, generally are matters to be handled by administrative law.  A right – any right – that a public authority holds, it holds for the good of the public, which makes the right subject to the regime of public law.  We have known this since HCJ 262/62 Peretz v. Local Council K’far Shmaryahu [19], and nothing has changed.  However, land that was expropriated from its owners – is ‘public property’ of a special type, and a special set of norms applies to this public property, among other things as to its permitted uses.

40.  And in continuation of what we have said.  After having written what I wrote, I read the opinion of my colleague Justice Zamir.  My colleague states, that in speaking of the connection-maintaining doctrine I have used language ‘anchored in civil law’, and as to this he comments and says as follows: ‘But we find ourselves in public law.  Therefore I am of the view that it is preferable to say, in the language of public law, that the expropriation power is bound to the purpose of the expropriation throughout the entire period of expropriation.’ (In paragraph 7 of the opinion).  I read these words and continue to hold my position.

First of all, I would have difficulty describing the right of the owner as a right that is ‘anchored in civil law’ only, in the language of my colleague; is the instruction of the Basic Law: Human Dignity and Liberty – in section 3 that ‘a person’s property is not to be infringed upon’, an instruction from civil law?  I am of the view that the answer to this question is in the negative.  Indeed, the basic law cut to the heart of property right; raised it to the heights of constitutional law, and so dislodged it from the exclusive realm of the civil law.  Property right can be described – since the Basic Law: Human Dignity and Liberty – as a right under civil law and also as a right under constitutional law.

Second, in my words I specifically related to the intersection of two paths: the crossing of the path of constitutional law with the path of administrative law, and it appears to me that this is a precise description.

Third, unlike myself, who analyzed the issue from the point of view of the former owner – and consequent to this I talked about the maintenance of the connection of the owner to the land that was expropriated from his possession – my colleague describes the expropriation power as a ‘purpose appended’ power, meaning: ‘the purpose of the power must exist not only at the time the power is exercised, but also after the exercise of the power’ (in paragraph 6 of his opinion).  As to this matter my colleague further mentions (among other things) the Yachimovitz case [11] which I also related to.  My colleague finds the basis for this doctrine of a purpose appended power – as opposed to the prior doctrine in case law – in the Basic Law: Human Dignity and Liberty, and he tells us: ‘The change in the interpretation of the expropriation power, which recognized this power as a purpose appended power, occurred in the wake of the Basic Law: Human Dignity and Liberty.’  Thus, in my colleague’s view we find the basic law divides us, and yet also this is the statute that guides us.  And I stand up and ask: if the property provision in the basic law is itself what changes the law, then do we not learn from here that the defense of property – as per the provision of the basic law – is the fundamental element?  That the power of the authority – for purpose appended expropriation – will come as a result of property right and will be limited consequent to property right (rights from the civil law or the constitutional law)?  That the limited power of the authority to expropriate lands – given that it is purpose appended – is none other than derivative of property right?  That property right is the fundamental element and that we interpret the Expropriation Ordinance as limiting the expropriation power as required by property right?  My opinion can be learned from the questions I have asked.  However, as I said above (in paragraph 39) we stand at the intersection of constitutional law and administrative law – we will add to the intersection the path of civil law – and we can view the system from each of these paths while we capture with our gaze the other two paths as well.

Another comment on methodology

41.  It is proper that we be precise in describing the influence that the Basic Law: Human Dignity and Liberty has had on the scope of the expropriation power.  The Expropriation Ordinance preceded the basic law and as per the provision of section 10 of the Basic Law, that law does not ‘affect the validity of a law that existed on the eve of the start of the basic law.’  This statutory provision was the subject of differences of opinion, and my opinion has been – and has not changed – that the power of the basic law exists in the realm of construction but it cannot create something from nothing as to the statutes that preceded it.  See for example CrimMA 537/95 Ganimat v. State of Israel (CrimMA Ganimat [20]); CrimFH 2316/95 Ganimat v. State of Israel (CrimFH Ganimat [21]).  I spoke of this in CrimMA Ganimat [20] (at pp. 397-398):

And our words are such that by either approach the result is the same: either the prior law is open to several interpretations – if you will: to different ‘balances’ – or it is not open to several interpretations.  If it is open to several interpretations, the Court may and is permitted to change its course – just as it may have done so in the past – but it will do so in reliance on the prior law and its original scope, giving thought, as in the past, to basic rights.  In doing so the Court will operate within the bounds of its authority, while taking upon itself responsibility for its action without trying to rely on an interpretation that is, as it were, forced upon it by the basic law.

I have added to this and said in [21] (at p. 643):

We will add the obvious, that it is proper that the basic law grant us interpretive inspiration.  The legislator has planted a rose bed in the garden of the law, and we smell its scent.  We will interpret past statutes and the scent of the basic law will descend upon us.  However, we will always move in the circles that were established in previous law.

Thus also in our matter, as the Expropriation Ordinance is open to several interpretations at its core, as Professor Klinghoffer has taught us.  The seed of the doctrine of the owner’s connection was embedded – even if dormant – in the ground of the Ordinance from its inception.  All we are doing now is watering the ground above it and around it.  And as is the way of interpretation – in its broad sense – the doctrine that was dormant all these years rises and grows before our very eyes and now comes to life.

42.  As I have learned, the opinion of my colleague Justice Zamir is that after the establishment of the State ‘it was possible and appropriate’ that the Court interpret the Ordinance by way of limiting the power of the authority to infringe upon property right.  In other words, the Expropriation Ordinance could have been – properly – interpreted in our current manner even before the Basic Law.  I agree with the words of my colleague.  Indeed, the interpretation of statutes that were conceived and born during the Mandate period is not the same at their inception as their interpretation after the establishment of the State.  I discussed this question in HCJ 2722/92 Elamrin v. Commander of IDF Forces in Gaza Strip [22], where we were called to interpret the authority of the military commander to order the demolition of houses as per the provision of regulation 119 of the Defense Regulations (Emergency) 5745-1945.  And I have said as follows as to this power to order the demolition of houses (at p. 705).

I agree that in the language of the Ordinance – in its literal form, as my colleague says – there is no room for a narrow interpretation, the interpretation acceptable to me.  Indeed, the military commander has the authority, based on the language of the regulation, to order widespread demolition such as the demolition of that five-story house in the example we mentioned – and much beyond that, as I mentioned in HCJ 5359, 4272/91 [Hizran v. Commander of IDF Forces in Judea Samaria [23] M.C.] – however, it appears that no one would consider employing the authority in this way.  And further I agree with my colleague, that ‘according to the spirit of the words there’, in the regulation, it is not proper to limit its meaning – if he meant the ‘spirit of the words’ at the time the regulation was created in 1945, and in the spirit that a court made up of English ‘Mandatory’ judges would breathe into the regulation.  However that same ‘spirit of the words’ of the regulation has disappeared as though it never was – and by a wind greater than it – in 5748-1948, with the establishment of the State.  Statutes that were conceived and born in the Mandate period – including the Defense Regulations (Emergency) – had one interpretation in the Mandate period and another interpretation after the establishment of the State, after all, the values of the State of Israel – a free, Jewish and democratic state – are entirely different from the basic values that the Mandate holder imposed in the land.  Our fundamental principles – in our days – are the basic principles of a democratic state of law which seeks freedom and justice, and these are the principles which will breathe life into the interpretation of this statute and others.

I am of the view that one can go further, and that we can find the interpretation that narrows the expropriation power in the Expropriation Ordinance itself even without relying on the change that the establishment of the State brought about.  However, the primary point is that this narrow interpretation of the Ordinance was latent in the Ordinance even prior to the passage of the Basic Law.  This basic law indeed helped us reveal the hidden light, but it did not have – and does not have the power – to create something from nothing as to the statutes which preceded it.

Norms which apply to the expropriated land – analogy from the planning and construction law

43.  As said, non-use of land for its designation at the time of expropriation can arise for different reasons and legal rules which will apply in one case will not necessarily apply in another case.  It goes without saying that it is not our intention to deal with each and every one of the types of cases that occurred in the past – or those that might occur in the future – as everything has its time.  In our words below we will deal only with the basics of the normative regime which will apply in our view on the expropriated land in the second phase, and the basic tenets and specific subjects which arise in the matter before us.  To discover and develop the content of that normative regime we will make use of analogy to the Planning and Construction Law in our words below; learn from the regulations that have been adopted in other legal systems and norms which follow – or are even necessitated – in our view from the institution of expropriation itself.  We will begin with the provisions of the Planning and Construction Law, which heretofore we will call – the Planning Law.

44.  Parallel to the authority established in the Expropriation Ordinance – for the expropriation of land or the expropriation of rights in land – the Planning Law dedicates an entire chapter – chapter 8 comprising sections 188-196 – to the matter of expropriations according to zoning plans.  The Planning Law grants power to expropriate land that was designated in a local plan or a detailed plan for a public purpose and goes on to establish specific provisions for the process of implementing the expropriation.  Unlike in the Expropriation Ordinance, the Planning Law establishes specifically and in detail what ‘public necessities’ are (roads, parks, recreation and sports areas, nature preserves, antiquities and more – section 188(b) of the statute), and at the conclusion of the explanations and details it adds: ‘and any public purpose that the Minister of Interior has authorized for the purpose of this section.’   The detailed definition of the concept ‘public necessities’ does not add much, and it can be presumed that ‘public necessities’ in the Planning Law are identical with the public purpose in the Expropriation Ordinance.  Our issue now is not with all the provisions which detail the process of expropriation according to the Planning Law, but in the provisions of sections 195 and 196, which provide:

The Law

of

Land Purchased for Consideration

195

The following special provisions will apply to lands which were acquired in implementation of a plan by agreement or that were thus expropriated in exchange for payment of compensation: 

(1) as long as their designation was not changed according to the provisions of this statute, they may be rented to a public entity or another person, for the purpose for which it was designated in the plan, as long as the Minister of Interior, in consultation with the district council gave approval therefor;

(2) where their designation was changed according to this statute, it is permitted to sell them with the approval and consultation as said, to rent them or to transfer them, as long as the one from whom the lands were purchased or his successor is given notice that he is entitled, within thirty days, to purchase them at a price that will not exceed the amount for which they were purchased from him, with the addition of the value of any improvement which results from the plan; once the recipient of the notice notifies that he is willing to purchase the lands, they will be transferred to him as said.

Change

of Designation of

Property Expropriated  without Payment

196

(a) lands that were expropriated according to this statute without the payment of compensation and their designation was changed to a designation for which land is not to be expropriated according to this law without payment of compensation, the local council will pay compensation to the one who would have been entitled to them at the time of expropriation were the expropriation to have required compensation at that time, or if he so desired, will return the land to the one it was expropriated from. 

(b) in an action according to this section – as to section 12 of the Expropriation Ordinance (Purchase for Public Purposes) 1943, the date of the change in designation will take the place of the publication date of the notice as to the intent to purchase the lands – and the value of the lands will be determined with attention paid to their new designation.

There is no need to discuss the details of the regulatory arrangement.  We will make do with saying that here the legislator explicitly recognized the continuing connection between the (former) owner and the land that was expropriated from his ownership and the option which must be given to the owner, in certain circumstances for the return of the land to its owner.  And these are the circumstances: where the designation of the land was changed according to the Planning Law – the former owner will be given the option to buy the land for consideration.  Land expropriated according to the Planning Law without payment of compensation, where its designation was changed to a designation for which land is not to be expropriated under the Planning Law – the land will be returned to its owner for free or compensation will be paid to the one who was the owner at the time of the expropriation were the expropriation to necessitate payment of compensation.  In dealing with the Expropriation Ordinance in the past the Court recognized this regulatory arrangement as a fair one in expressing the hope that the regulatory arrangement – or a similar regulatory arrangement – would also be applied to the Expropriation Ordinance.  See the Morris Binyan case [14], at pp. 468-469, 469-470; compare to the Avivim case [13] at p. 405. 

45.  Does the regulatory arrangement in the Planning Law illuminate the normative structure which applies to the second period in the life of an asset that was expropriated according to the Expropriation Ordinance?  There is no doubt that the regulatory arrangement of the Planning Law does not apply to an expropriation according to the Expropriation Ordinance; the regulatory arrangement  in the Planning Law does not apply itself to the Expropriation Ordinance, and the Expropriation Ordinance for its part does not have an incorporation provision of the regulatory arrangement  in the Planning Law while they are ostensibly foreign to one another, it would be odd if, in building a normative structure that would govern an asset that was expropriated according to the Expropriation Ordinance we would entirely ignore the regulatory arrangement  of the Planning Law.  This being so, the authorities can expropriate land from Reuven according to the Expropriation Ordinance or according to the Planning Law, and Reuven does not have control over whether the land in his ownership will be expropriated one way or the other (as to this matter we will mention that the Minister of Finance acquired the authority to expropriate according to the Expropriation Ordinance  even without a zoning plan, although generally a zoning plan will also be required for expropriation.  See for example the Mehadrin case [10] at pp. 96-97).

The choice is therefore in the hands of the authorities in what way and by what power a specific land will be expropriated, whether by the Planning Law or the Expropriation Ordinance.  See, for example the Mehadrin case [10] at p. 111 (however, let us remember that when the authority has at hand two different powers to achieve the same goal, it will not always have the freedom of choice whether it will make use of one power or another.  If it is a matter of infringement of a basic right.  See CrimMot (TA) 1015/96 State of Israel-Minister of Finance v. ‘Paz’ Oil Company Ltd. (the Paz case [40]) (in the words of Justice Kling); HCJ 2313/95 Contact Linsen (Israel) Ltd. v. Minister of Health [24], at p. 405 and the references there; Zamir in his book supra [50] at pp. 155-161.  In these circumstances it would be odd if the rights of Reuven – the owner of the expropriated land – would be different based on an ostensibly irrelevant factor, i.e.: according to the source of the authority that was used for the expropriation of the land from his ownership.  It is no wonder, then, that the thought arose to equate the two regulatory arrangements; see the words of Justice Mazza in the Mahol case [5] at p. 328.

What then is the relationship between the two regulatory arrangements?

46.  We will all agree, it appears, that the technical regulatory arrangements in the Planning Law will not necessarily apply to the Expropriation Ordinance.  This is true, for example, as to the time frame of thirty days mentioned in section 195(2) of the Planning Law.  The same is so as to the relationship between the local council and the district council, which does not apply as to the Expropriation Ordinance.  The analogy is warranted as to the fundamental regulatory arrangements in the Planning Law, and the question is what level of abstraction we will adopt in applying principles of sections 195 and 196 of the Planning Law.  It is clear to all that the fundamental provisions of section 195 and 196 of the Planning Law, were born of the doctrine of the ongoing and continuing connection, and when we say this we draw support for the interpretation of the Expropriation Ordinance as also founded on the same doctrine.  In other words, in expropriation according to the Expropriation Ordinance as well, the former owner maintains a connection with the land that was expropriated from his possession and in a deviation, were it to occur, from the original expropriation purpose, the former owner will be entitled in certain circumstances to the return of the land to his ownership.

47.  Can we go further than this?  For myself, I would proceed with caution.  Thus for example it might be asked: change of ‘designation’ as per the provision of section 195(2) of the Planning Law, can it be applied to a change in ‘purpose’ for land that was expropriated according to the Expropriation Ordinance even without a change in the zoning plan?  The answer to this question – as to many others – is not easy, if only for the reason that a change in designation according to the Planning Law requires, ostensibly, the creation of a new legal norm – preparing a local plan or a detailed plan – while a change in designation according to the Expropriation Ordinance will take place, generally, in an action and not a norm.  Another question: in the case of the exhaustion of the public purpose for which the land was expropriated is the authority bound to notify the former owner of this?  See for example, the criticism of Professor Klinghoffer (in his article that we mentioned in paragraph 23 supra, ibid [59] at p. 877) of the words of the Court in the Geulat Hakerech case [15]; in the opinion of Professor Klinghoffer it is proper that such a burden be placed on the expropriating authority.  See more below at paragraph 85.  We will leave this question – as others – for the days to come, its determination is not necessary for our present matter.  We will make do with stating that we should consider applying, with the appropriate changes dictated by the circumstances, the core elements of the regulatory arrangement in the Planning Law – or perhaps we should say: the life and spirit of the regulatory arrangement – on expropriation according to the Expropriation Ordinance as well.  Compare the Mahol case [5] at p. 319.  This, in any event, until the legislator makes time for the issue of expropriations and engages in the unification of the regulatory arrangements and their refinement.

Norms which apply to land that was expropriated – analogies from comparative law

48.  Additional ideas for the content of the status which applies to land that was expropriated can be drawn from comparative law.  Thus, for example the Constitutional Court in Germany ruled that land that was expropriated returns to its former owner where the purpose of the expropriation is not realized or where the asset is no longer needed for the purpose of the expropriation.  The Court based this conclusion when applying to the expropriation the second segment of the principle of proportionality: use of the least harmful means.  See D.P. Currie The Constitution of the Federal Republic of Germany [64], at pp. 293-294, and in the words of the Constitutional Court:

Aus der Eigentumsgarantie des Art. 14 GG folgt ein Rckerwerbsrecht des frheren Grundstckseigentmers, wenn der Zweck der Enteignung nicht verwirklicht wird. Fr die Realisierung dieses Anspruchs bedarf es nicht unbedingt einer ausdrcklichen gesetzlichen Grundlage (38 BVerfGE 175 [48], at p. 175).

And in free translation:

The right to maintain property according to section 14(1) of the GG includes the right to return of the property of the previous owner, when the objective of the expropriation is not realized.  To realize this right there is no need for an explicit law.

See further H.D. Jarras, B. Pieroth Grundgesetz fr die Bundesrepublik Deutschland: Kommentar [65], Art. 14, Rdnr. 60.

It is interesting to note that this legal rule which the Court in Germany established, constitutes ‘common law, the German version’.  The court based its conclusion on the provision of section 14(1) of the German basic law according to which ‘Property and the right of inheritance shall be guaranteed’ and according to the interpretation of the Court, the guarantee of the property right also contains within it the right of the former owner to return to his ownership land that was expropriated from his ownership where the objective of the expropriation is not realized.  The Court also determined that the provision of section 14(3) of the basic law – which permits expropriation only for the good of the public (‘Expropriation shall only be permissible for the public good’) – also leads to the same conclusion: the act of expropriation is a legitimate act only if it is for the good of the public, and when the good of the public ends – meaning when the purpose for which the land was expropriated ceases – the expropriation itself has nothing to stand on.  With the termination of the purpose of the expropriation, the legitimacy of the possession by the State of the land also terminates.  As discussed, this rule applies both where the purpose of the expropriation was not realized at all and where the first purpose of the expropriation has ended.  This rule is worthy of attention, if only because it is not the product of an explicit statute: it is an interpretation of the law, an interpretation which creates common law, the German version.  In our interpretation of the Expropriation Ordinance – we are similar to them.   Indeed, when the use for which the expropriation was made is completed, it is as though the ownership right is meant to return to the former owner free of any encumbrance or any contrary right (subject of course to the return of the compensation etc.).  The property right of the individual in the land is a legal value of high order.  When the public use is completed, the power of the State to hold the land is exhausted, and it returns home, to its original home prior to the expropriation.  The right of the former owner is not diminished even if at the time he received compensation for the land.  However–and so the law in Germany further adds – if many years passed from the expropriation to the abandonment of the original purpose, the authority is entitled to continue and hold the land and it is not obligated to return it to the original owner.

A similar law applies in French law, and where the authority – after a certain number of years have passed since the expropriation – makes use of the land not in accordance with the purpose of the expropriation, the former owner  is entitled to demand the return of the land to his ownership for a payment of its value.  This is also so in other countries on the Continent.  See the article of Professor Klinghoffer, ibid [59] at p. 896.

49.  The law is different in the United States and Canada. Expropriation of ownership in consideration of fair compensation severs the connection between the owners and the land; the right to compensation as though exhausts the property right of the owners and change of the public purpose later or its total abandonment – does not grant any rights to former owners.  See for example: Higginson v. United States (1967) [42]; Wood v. City of East Providence (1987) [43]; 27 Am. Jur. 2d [69], sub. Tit. ‘Eminent Domain’, §§ 934, 937, 940; and in Canada, Pineridge Property Ltd. v. Board of School Trustees of School District No. 57 (1982) [49].  However, as to the expropriation of lesser rights than ownership, in the United States and Canada a similar law applies as the law on the Continent.  Where the authority has expropriated only a limited right in the land for a certain public purpose, the land returns to its owners – clear of the expropriation – with the conclusion of the accomplishment of the public purpose, and the authority may not make use of the land for another purpose.  And in the language of the Court in the case of Federal Farm Mortg. Corporation v. Smith (1939) [44] at p. 839:

...if or when the purposes which authorized the condemnation had been terminated the burden of servitude is lifted from the land and the owner of the basic fee returns to full dominion.

See further Isley v. Bogart (1964) [45], at p. 34; 27 Am. Jur. 2d [69], §§ 934, 936, 939.

Moreover, due to this distinction between the expropriation of ownership and the expropriation of a lesser right than ownership the courts in the United States interpret narrowly the right that an authority acquires in land, and their tendency is to classify it as a limited right which enables the owners to return to what is theirs.  See 27 Am. Jur. 2d [69], §§ 911, 924.  In the case of Crouch v. State (1926) [46] the law granted the authority the power to seize land for the use of a railroad company.  The land was seized, compensation was paid, and after a time the purpose of the expropriation was abandoned.  The Court determined that the railroad company only acquired an easement in the land and as a necessary conclusion further determined that under the circumstances that were created the ownership returned to the original owners free of any expropriation.  And the Court said as follows (ibid at p. 179):

The rule is that, when private property is taken in the exercise of the right of eminent domain, particularly by a private corporation, the taking is limited to the reasonable necessities of the case, to carry out the purpose for which permission to take is given, so far as the owners of the property are concerned... We hold, therefore, that an easement only was taken in the property in question, which terminated when the state, through its sovereignty, diverted the lands from railroad purposes and appropriated them to its own use.

...

If the owner of such an easement abandons the property, sells it, or devotes it to some purpose foreign to that for which it was acquired, or if it is condemned or appropriated for a new public purpose, the owner of the reversion may assert his right to possession or claim compensation.

See further People v. Helinski (1995) [47].

50.  And so, comparative law may teach us, in principle that an owner can continue and maintain a connection to the land that was expropriated from his ownership, and that where the authority abandons the use of the assets for the original designation of the expropriation, the right of the former owner to return the land to his ownership emerges.

51.  We will be careful with our words: we are speaking only of the basic tenets of the connection doctrine; the tenets and not the detailing of norms that this doctrine brings with it.  The heart of the doctrine is important, it goes without saying, but from here on we will add and say that the ‘permission is granted’ and thus once we have learned the principle, we will put it away in a  backpack on our backs, and for the rest of the journey we will proceed on our own strength.  We will develop the principle in our way and slowly proceed on the road on which we walk, while we determine – on our own responsibility – in the struggle between the basic tenets which guide us at all times: on the one hand the right of the individual to his property and the extent of the proper defense of property, and on the other the interest of the public – the welfare of the public and the undisputed need to establish proper infrastructure for the society in which we live.

Land that was expropriated – leaping from one public purpose to another

52.  Until now we have spoken, primarily, about land that was expropriated for a specific purpose and the purpose ceased to exist (or which never came into being by action).  A separate and different question is, what is the law where the land was expropriated for a specific public purpose, and after a time the authority decides to make use of it for another public purpose – a public purpose that to begin with would have justified expropriation for that designation; it would have been justified – but the land was not expropriated for it.  On this subject – one of the subjects in which ‘permission is granted’ – differences of opinion have surfaced in this Court.  One view holds that within the innards of the concept ‘public purpose’ in the Expropriation Ordinance – meaning, a purpose for which it is possible to expropriate land assets – all the public purposes for which land can be expropriated are running about, and as a necessary conclusion of this: in this framework of ‘public purpose’ it is possible to pass and leap from one public purpose to the next and the validity of the expropriation will not be harmed nor scratched.  Thus, even if a parcel of land was expropriated for public purpose A, the authority can change its mind and make use of it for public purpose B.  Justice Goldberg expressed this in the Mahol case [5] and he told us as follows (ibid, at p. 323):

In my opinion the authority is entitled to use the land that was expropriated for another public purpose, which itself justifies, the expropriation of the land, and its hands are not to be tied specifically to the original purpose that was at the source of the expropriation.  The fact that this approach is consistent with the public interest needs no elaboration… If our assumption is, that the new public need justifies expropriation of the land and that, if the land were not expropriated at the time for the [first] purpose, the authority could have now expropriated it for the new purpose, what is the justification not to allow a change in the purpose?  This example illustrates that the public interest that the planning authorities are charged with advancing requires that they not shut their eyes to the sight of the changing needs of society and in the face of changes in social priorities.  To the contrary: an authority that freezes the policy of making use of the land that it expropriated for needs that were proper at the time of the expropriation and does not adapt itself to the needs of the time and the place, fails to serve the public interest.

The protection of the property right of the individual does not justify an interpretation according to which the Minister of Finance is obligated to stick with the original purpose of the expropriation where there is a new public purpose for whose realization it would have been possible to expropriate the land to begin with.  When the property right retreats before the public necessity, this need continues to prevail despite the change in original purpose.  Change in the purpose of the expropriation, in itself, does not therefore constitute grounds to cancel the expropriation.

A contrary approach was expressed by Justice Mazza in that same case.  According to this view, when the first public purpose terminates, a duty is imposed on the authority to return the land to its original owners.  And if indeed a new appropriate public purpose has been found, the authority can again expropriate the land while paying compensation as per its value at the time of the expropriation (of course with appropriate calculation including deduction of the compensation that was paid at the time of the original expropriation etc.) and in the words of Justice Mazza in the Mahol case [5] (ibid, at p. 328):

When the public purpose for which the land was expropriated ceases to exist, the owners will have the choice of taking back the land, or demanding and receiving its value...  and if the land is still needed to satisfy another public necessity, then the authority is required to again declare the expropriation of the land for the new need.  This method might slightly burden the authority and lengthen the administrative process, but the property right of the owners will be respected and so long as there exists a justified necessity again expropriate the land from him, this necessity will need to be realized via the high road and not by roundabout paths.

Similar words were expressed by Justice Mazza in the Nuseiba case [6] in paragraph 5 of his opinion.  So too were the words of Justice Dorner in HCJFH Nuseiba [9] (ibid, at pp. 87-88):

In states which recognize property right as a basic right, a governmental authority is not free to use an asset it has expropriated other than for that purpose for which it was expropriated, and the asset is not to be used for another purpose, even if it is for the good of the public... In Israel the practice is different.  An authority that expropriated land for a specific public purpose tends to take advantage of it for another purpose.  This practice cannot hold, as a broad interpretation of the power which enables the authority to use the land for a purpose different from the purpose for which it was expropriated, contradicts the principle established in the case law as to a narrow interpretation of the power to infringe on a person’s basic right.  All the more so that a broad interpretive approach is not to be accepted with the passage of the basic law.

My conclusion therefore is that change in the purpose is grounds for cancellation of the expropriation.

53.  In our matter we need not settle between the two versions.  There is logic and reason in each of them and the preference of one over the other is a policy determination.  Some will hold one way, others will hold the other, and absent a legislated and binding statutory provision, a person from the one camp will not be able to protest against a person from the other camp: justice is in my bag, your bag is empty.

After saying the things that I said, I will add for my part, that I lean toward the second version, the one which limits the authority’s power.  First of all, this version brings expropriation as an institution to a complete whole, to an action with its own internal logic, logic which leads us from the beginning of the expropriation until its end.  This version draws a straight path between the act of expropriation itself and the second phase in the life of the expropriated land, and it can fill with substantive content the burden imposed on the Minister of Finance in the expropriation proceedings, and the burden is: to decide precisely for which purpose he is expropriating the land, and by way of publishing it in the Reshumot to publicize this purpose among the public.  The determination of the specific purpose for the expropriation – its establishment and publication in public – are like a royal seal which is stamped on the normative status of the land for the second phase of its life, and they determine the status of the land in the continuation of its life.

Second, this interpretation of the law gives force and intensity to the individual’s right to property, as is appropriate in our time and place.  In this matter we will add what we have all known, the higher status that property right has acquired in the provision of section 3 of the Basic Law: Human Dignity and Liberty.  Indeed, if Reuven’s land was expropriated for a specific purpose for the public good, what justice is there in the public continuing to hold on to that land after the termination of the purpose of the expropriation, even where another public purpose has come to replace it?  If indeed, another public purpose has sprouted and arisen, the authority should show some respect: expropriate the land anew, and in this way give appropriate and proper expression to the property right of the owners in the land.  The individual from whose ownership the land was expropriated has already made his contribution to the public, and there is no justification for him to again contribute to the public.  To the contrary, the principle of substantive equality – the same principle which is woven in each and every norm in law – dictates that when the public purpose for which the land was expropriated from a specific person for the good of the entire public is exhausted, the land is to be returned to that specific person – its former owners – to those owners that have already made their contribution to the public.  With the return of the land to its owners – and it is possible that this will be, as an interim stage, merely a conceptual return – the equality principle will require us to conduct a renewed assessment of which land should be expropriated, and whether it should again be the land of that specific person.  In this renewed assessment it will also be appropriate to make use of the consideration that that same specific person already made his contribution to the public.  This, in the context of our matter, is one of the conclusions that arises from the principles of social solidarity and community responsibility.  See further and compare H. Dagan ‘Distributive Considerations in the Laws of Governmental Taking of Lands’ [60].

Despite all these things – and they are important things – there is reason and logic, even public reason and logic, in the other version as well.  We cannot say to those holding the other version that they are mistaken and their version is not ‘correct’.  And those who come after us will resolve this.

54.  Reason suggests that not every change in the original public purpose will bring about a ‘termination of the expropriation’ and the return of the land to its original owners.  And indeed, Justice Mazza establishes in his opinion in the Mahol case [5] (ibid, at p. 328), that:

Not every change, but only a substantive change in the definition of the public necessity for which the expropriation should be considered as a new public necessity.  Meaning, that a change which is not substantive will not suffice to detract from the ostensible validity of the expropriation.

One should distinguish therefore between a substantive change in purpose and a change which is not substantive, as only a substantive change will uproot the original purpose from its place and impose on the authority the burden of returning the land to its original owners.  Further on, Justice Mazza further adds two criteria for determining whether the change that occurred was ‘substantive’ or not, and one who wishes should study and learn (the Mahol case [5], at pp. 328-329).

Even in this matter – with the reservations we have discussed above – our view leans toward the view of Justice Mazza.  Until we can say that the original purpose of the expropriation has terminated and is no longer, a substantive change must take place in the purpose.  This will be so in the case of the termination of the public purpose whether another public purpose comes in its place or not.  But when another public purpose comes in the place of the original purpose, another question will arise – how distant is the new purpose from the original purpose to the point that we can say that the first purpose has terminated and is no longer.

Resolution of this question will depend on the circumstances of each and every case, and we will have difficulty establishing hard and fast rules in advance.  Indeed, some public purposes are so close to one another that at times we will have difficulty distinguishing between them.  At the core of things, the question is to what level of abstraction will we follow in assessing the various public purposes.  Justice Goldberg, as we saw, was of the view that the authority is entitled to move freely among public purposes and not to return the land to its owner even if another public purpose has come in the place of the original purpose.  This is the highest level of abstraction.  This interpretive approach is difficult for us, as we have seen.  On the other hand, we will not agree that every change and even the smallest change will bring about the return of the land to its owners.  The question is reduced therefore to the level of abstraction which will be appropriate in our view, in general and in each and every case.

55.  As an aside: the very same question will also arise in the interpretation of the Planning Law.  The legislator instructed us in section 195(2) of the Planning Law that where land was expropriated according to a zoning plan, the right of the original owner comes back to life where ‘their designation was changed according to the provisions of this statute’.  What does ‘their designation was changed’ mean in the context of these matters?  For example: is it sufficient that the new plan establish that the designation of the land will be different than in the past, and the map appended to the plan will color the land a different color than in the past?  In my view, the answer to this question is in the negative.  The correct question will revolve around the substance of things and not their outer appearance.  We must examine the prior uses of the land; its new uses; compare them and decide whether the changes that occurred are substantive changes or not.

56.  As a rule, one could claim, that where land was expropriated for one public purpose, and the authority seeks to change its use to another public purpose, the authority must revisit the expropriation path established by law or return the land to the original owner (with deductions as required).  And if for any reason there is no possibility of returning the land to its owners nor a possibility to expropriate it – such as the land was sold to a buyer for consideration and in good faith – reason dictates that a duty will be imposed on the authority to compensate the owner at the appropriate amount, as though it had expropriated the land anew or as though it returned the land to the former owners.  In this way the rights of the owners to petition against the renewed expropriation of the land will be preserved, and in its arguments the proportionality claim will also have a place.  In this way, the authority will have a duty of care as to the uses it makes of the expropriated land, and will also be obligated to demonstrate respect to the property of the individual.

57.  At the end of it all, the question is – at its heart and core – a question of cost.  According to the other view, the authority could take its decision lightly if it changes the uses of the land from one purpose to another.  Change in the use will not require any added cost, and thus the authority will not exert too much effort deciding on such a change.  Not so with the view we are leaning toward, where a change in purpose will obligate the authority to return the land to its owners or to expropriate it anew and to pay compensation as the value of the land at the time of the change (with proper deductions).  These obligations imposed upon the authority will obligate it to give deeper thought and examination to the worthiness of the change in purpose; meaning, the obligation to return the land to its former owner or to expropriate it and pay compensation for it.  If so – if the authority will weigh questions of cost-benefit, expropriations which are not economically efficient – will be prevented from occurring – by application of the test.  Compare further HCJ 4809/93 Local Planning and Construction Committee, Jerusalem v. Kehati [25] at pp. 202-205.  Thus the authority also will not ‘invent’ (or: will not find) a new public purpose for use of the land only for the reason that a change in purpose will not obligate it to pay compensation.

Payment of compensation for expropriated land – Is this sufficient to sever the connection?

58.  A last question in the context of our words now: Does payment of compensation to the original owners sever the connection to the expropriated land?  Does the owner of the land that was expropriated exhaust his right of ownership – and become permanently severed from the land – in that he receives expropriation compensation from the authority?  This question does not arise directly in our matter, as the petitioners refused to accept the compensation that was offered to them and have been steadfast in their refusal until now.  However, we will raise a few thoughts on this subject.

59.  In the past the view was expressed that the payment of compensation does not reduce the connection of the owners to the land even in the second phase, see, for example, the Mahol case [5] at p. 319 and the references mentioned there.  In the words of Justice Goldberg (ibid): ‘payment of compensation indeed minimizes the economic damage which stems from the expropriation of the land, however it does not nullify the emotional damage which is the lot of one whose land is taken away’.  See further and compare: Y.M. Edri ‘On a Declarative Constitution and a Constitutive Constitution – the Status of the Constitutional Property right in the Human Right Ranking’ [61; A. Gross ‘Property Right as a Constitutional Right and the Basic Law: Human Dignity and Liberty’ [62].  Section 3 of the Basic Law: Human Dignity and Liberty establishes that ‘a person’s property is not to be violated’.  And while the payment of proper compensation makes it permissible to violate property (when the rest of the requirements for expropriation are met), here the violation to property, as such, remains even after payment of compensation.  Compare the words of Justice Dorner in HCJFH Nuseiba [9] at p. 85.  That same violation of property has the power to create a connection between the owner and the land that was expropriated from him, even if he was awarded compensation.

Indeed, the payment of compensation is a built-in condition in the power of the State to expropriate land from its owners, however, it is only one condition of expropriation – one condition among others.  By law the State is not entitled to expropriate land for anything other than a public purpose, and once the purpose has terminated, the right of the original owners that the asset return to his ownership (or compensation will be paid to him instead) comes back to life as though on its own.  For a similar approach in Jewish Law, see Hacohen, in his article supra [58] at pp. 53-54.

60.  In this context the claim was made that the protection of property is derived directly or indirectly, from human dignity, from the autonomy of human will, from man’s personality and his liberty.  See: the Mahol case [5] at p. 319 and the references there; HCJFH Nuseiba [9] at p. 85.  President Barak at HCJ 6821/93 Mizrahi Bank Ltd. v. Migdal Cooperative Village [26] at p. 431; Y. Weisman, Property Laws-General Part [53] at p. 115; M.J. Radin ‘Property and Personhood’ [67]; F.I. Michelman ‘Property, Utility, and Fairness: Comments on the Ethical Foundations of ‘Just Compensation’ Law’ [68] at pp. 1214-1218; and the conclusion: the owner perhaps is entitled to monetary compensation for his damages to property, but he does not receive a quid pro quo for the harm to his dignity personality, autonomy of will, free choice.

These words are correct in my opinion, at a very high level of abstraction.  They are true when it is a matter of expropriation of inherited land or the expropriation of a home in which the owner of the asset has been living for many years.  This was so, for example, when King Ahab sought to take over the vineyard of Nabot the Jezreelite:

And Ahab spoke to Nabot saying give me your vineyard so it may be a vegetable garden for me as it is close to my home and I will give you in its stead a better vineyard, if you wish I will give you its price in payment.  And Nabot said to Ahab, the Lord forbid that I should give my inheritance to you.  (Kings I, 21: 2-3).

The deal which Ahab offered Nabot was, ostensibly, a fair deal: in exchange for the vineyard which he would give, Nabot would get a ‘better vineyard’ or ‘its price in payment’.  However Nabot is not interested in a ‘better vineyard’ or in monetary compensation. ‘The Lord forbids that I should give my inheritance to you.’  This is an inheritance which Nabot inherited from his father, his father from his father, and his father from his father, back to the first generation; as his father and his father’s father before him, Nabot was born on that land, played on it as a child, spent his young adult years there, worked on it as an adult and knows every corner of it, even corners others know nothing about; the land has melded with the personality of Nabot and has become part of his existence in the world.  There are those who will defend their land from expropriation as one would defend his homeland from an enemy.  Nabot and his inherited land had become one. Nabot will not separate from his inherited land.  Of inherited land such as this it may be said that it is of human dignity, and it has become part of the personality of the person.

61.  This is so with Nabot the Jezreelite and his land inherited from his fathers.  Can we apply these words – is it proper to apply these words – to land that a land merchant, or a land broker, holds for sale to the highest bidder?  This land is entirely an exchange for money.  Indeed, in this case, it will be difficult for us to identify the property with human dignity or personality.  Compare Radin supra [67].  See further Hacohen, in his article [58] at pp. 45-46 (as to Jewish law’s distinction between inherited land and land that was bought for money).  Do we conclude from here that, where the authority expropriates land from one who deals in land, the expropriation will sever the connection between the owner and the land?  Our answer is in the negative.  There exists a different reason, an additional reason to protect the property, separate and distinct from the protection of the person’s personality, dignity, liberty, and free will.  And the reason is, in our opinion, the same reason, that the great among the greats, Justice Oliver Wendell Holmes, spoke of as a reason to protect possession.  And so says Holmes in his book, The Common Law [66] at p. 213:

Those who see in the history of law the formal expression of the development of society will be apt to think that the proximate ground of law must be empirical, even when that ground is the fact that a certain ideal or theory of government is generally entertained. Law, being a practical thing, must found itself on actual forces. It is quite enough, therefore, for the law, that man, by an instinct which he shares with the domestic dog, and of which the seal gives a most striking example, will not allow himself to be dispossessed, either by force or fraud, of what he holds, without trying to get it back again. Philosophy may find a hundred reasons to justify the instinct, but it would be totally immaterial if it should condemn it and bid us surrender without a murmur. As long as the instinct remains, it will be more comfortable for the law to satisfy it in an orderly manner, than to leave people to themselves. If it should do otherwise, it would become a matter for pedagogues, wholly devoid of reality.

See further FHC 7325/95 Yediot Ahronot v. Kraus [27] at pp. 76-77.

Indeed that same instinct that resides in the soul of a baby and which will prevent him from giving to another the object in his hand, the very same instinct resides in the soul of an adult and awakens in him a ‘natural’ – instinctive – resistance to the desire of another to take from him one of his assets, even with the payment of compensation.  If that tendency and that instinct is called a person’s personhood, the autonomy of man’s will or man’s liberty – so let it be said.  One way or the other, expropriation compensation does not make the very violation that the expropriation of the land brings upon the owners, disappear.

62.  Moreover, if we said that receiving compensation cuts off the connection between the owner and the land that was expropriated from him, as it might be argued, we have almost completely blocked off the connection between the owner and the land that was expropriated from him.  Indeed, receipt of compensation is the least to which the owner is entitled, and it would be difficult – very difficult – if it were decided that only the non-receipt of compensation would leave in the hands of the former owner connection to the land.  The choice that would be placed before the owner not to receive compensation and wait for the unknown, or receive compensation and lose the connection – as it might be argued, is a choice that is not reasonable; it is a cruel choice; a choice that has no justice.  Indeed, there is no justifiable reason that we should obligate the individual to contribute to the public from his property, and that the consideration that is given to him will itself reduce a ‘connection’ whose fate is unknown to us.

However, it could be argued, that it is proper that receipt of compensation bring about severing of the connection.  Why?  Because payment of compensation for the expropriation is meant to place in the hands of the owners – at least theoretically – the value of the expropriated land.  The owner should thus take that compensation and buy other land in the place of the land that was expropriated from him.  And if the owner does not buy other land, it may be said of him: he has brought the damage upon himself.

63.  Having said all we have said, we will now add that it is an open question whether receipt of compensation will cut off – or will not cut off – the connection of the former owner to the land that was expropriated from his ownership, or perhaps the receipt of compensation will only affect the question of the obligation of the owner to return compensation he received as a condition for returning the land to his ownership.  Compare section 196(a) to the Planning Law.  See further and compare CrimMot (J-m) 51/94 Arad v. State of Israel in the words of Justice D. Cheshin at paragraph 6 of his opinion).

The connection doctrine: Does a ‘Statute of Limitations’ apply?

64.  Once we have established that the owner of land that was expropriated from his possession continues to hold on to a connection to land that was expropriated, a related question arises, – whether this connection will be maintained and exist forever as in the case of a regular property right (if you will: a right in regulated property registered in the property registration books)?.  Or perhaps we will say, a limit has been placed on that connection, and when we pass that limit the connection will disappear.  The resolution of this question is not at all simple.  On the one hand it could be argued that this connection that the former owner holds in his bag is derived from the ownership of property (or from another property right that was expropriated); and just as ownership of property does not have a statute of limitation (in principle) the same is true for that connection which is none other than an echo of ownership.  The genetic code of the connection is like the genetic code of ownership, and a ‘statute of limitation’ will not attach to one as it does not attach to the other.  Those holding such a view will seek to find support in the provisions of section 195 and 196 of the Planning Law, according to which a ‘statute of limitations’ does not apply to the right of the owner to return to himself – under conditions established by law – land that was expropriated from his possession.

On the other hand, it could be argued, that a declaration of the existence of a connection that has no end is a declaration that has no reason or logic.  Is it to be said that the former owner – he and his heirs, his heirs’ heirs, and the heirs of his heirs’ heirs until the last generation – can demand return of land that was expropriated from the first generation?  Will the connection survive for fifty years?  One hundred years? Two hundred years? And as for the claim that the connection contains within it the genetic code of its mother – the ownership – the counter argument will be made that one is not like the other.  In this a connection is different from ownership: property ownership as a rule, is registered in the property registration books or the owners physically possess the land, and from here it can be derived that the ownership in property has no ending (until expropriation...).  Connection to the land that was expropriated is unlike ownership, as it is a conditional right to begin with and as such a ‘weaker’ right than an ownership right.

65.  If this is the law, it will be argued, what should be the period of the ‘statute of limitation’ of the connection of the former owner to the land that was expropriated from his possession?  After how many years will the connection dissolve and disappear?  After seven years, as with the statute of limitation in non-land assets according to the Statute of Limitations Law 5718-1958?  After fifteen years or twenty five years, as the statute for unregistered lands and registered lands?  And perhaps an ‘arbitrary’ period will be set?  For example a period of ten years?  None of the solutions seem right to us.  First of all the analogy to the Statute of Limitations Law appears problematic; once we know the topics are not identical, we will further know that the analogy is not appropriate.  As for the ‘arbitrary’ period of years this too is not appropriate, as no one has authorized us to set in advance a fixed and finite period of years.  This task is the task of the legislator: the legislator has his place and we have ours.  What then is the solution to be adopted by the one making the counter argument?

It appears that the jurist will call that same figure – the reasonable person – who stands at our service at all times for assistance and ask him what he will advise us.  And it appears that the reasonable person – meaning the common sense, good taste, logic, and justice – will say to us thus: I cannot tell you when the connection between the former owner and land that was expropriated from his possession dissolves and disappears; this I can tell you, that in various circumstances which will be presented before me, I will answer you whether the connection has dissolved and dissipated or whether it is alive and breathing.  And what will those circumstances be?  They will be many and varied. Thus for example, the length of time in which the land served its designation until it was changed; thus, for example, the question if the owner received compensation for the land that was expropriated or if he did not receive; thus, for example, what use was made of the land over the years, such as: if what was expropriated in fact was none other than possession alone but in fact it was ownership that was expropriated (as in our case); thus, for example, the nature of the connection between the owners and the land (possession as an investment, possession of inherited land etc.); thus, for example, changes and improvements that were done to the land over the years; thus these and other factors, and the like, factors which should affect – in their cumulative weight – determination of the question whether the property-connection exists or whether it has died.  The reasonable person is no stranger to us: he is a regular in our house; we consult him every day, knowingly or unknowingly, in all branches of the law, and ostensibly there is no good and proper reason why we should not consult also in the question before us.  We will also recall, if only as an aside, that in French law there is in the law a limit to the years of connection of the owners to land that was expropriated from his possession (thus according to  the Code de l’Expropriation).  It is also so in German law (for example: section 102(1) number 1 of the BauGB-Baugesetzbuch).

66.  And after we have said all the things we said, we will further add that the considerations which we discussed are not decisive.  One could argue – and the argument would not be devoid of logic or devoid of reason – that lacking a definitive statutory determination, the authority is not ours, the Court’s, to determine dates, and even reasonable dates.  The work of determination of dates has been given to the legislator, and absent guidance by the legislator we will not set a date.

From the general to the specific

67.  The land in our matter was expropriated for the use of the army.  Indeed, as was the custom in those days it was not said in the notice of expropriation other than that the land is absolutely necessary for public purposes, however we all know that later action follows prior intention: from the fact that to begin with – and many years after the expropriation – the land did not serve other than the needs of the army, we will conclude, if only by way of retrospection, that it was expropriated for this purpose.  This purpose was a public purpose, and there is no debate over that.  When the use of the land for military purposes ended, the authority sought to turn its use to a new purpose: for the purpose of building a neighborhood.  Against the changing of the purpose the petitioners raise several claims, and we will discuss them now.

First of all, so the petitioners claim, with the exhaustion of the first purpose – the use of the land for military designations – the land should be returned to its owners.  Second, the new purpose – the building of a residential neighborhood – is not a public purpose at all.  Thus, even according to the approach that holds that the public authority is entitled to leap from one public purpose to another within a single act of expropriation (see paragraph 52 supra), the petitioners are entitled to return of the land to their hands.  Moreover, since the purpose of establishment of a new neighborhood is not a public purpose, the Minister of Finance is not authorized to expropriate the land again for that purpose.  And finally, it is in the hands of the former owner, to implement, on its own, the purpose of establishment of a neighborhood meaning that there is no justice (in any case) that the State specifically should build the residential neighborhood, whether by the first expropriation or by power of an additional expropriation of the land.

Let us discuss these questions one by one in order.

68.  First of all we will say, that based on the normative tapestry that we have discussed in our words above (and subject to the words that we will further discuss later, such as the question of the time that has passed since the expropriation) it can be argued that the owners are entitled – in principle – to return of the land to their hands, as the public purpose for which it was expropriated to begin with was exhausted.  Moreover, even if we were to say that the purpose of establishing a residential neighborhood is a public purpose – and this question is itself in doubt – even then there would be no change in the conclusion.  The reason for this is, so it can be claimed, that the two purposes – land for use for military designations and land for use for the establishment of a neighborhood – are so different from one another that it cannot be said that the one purpose is no more than a variation of the other purpose (see paragraph 54 above).  A conclusion (ostensibly): according to the theoretical-normative tapestry it can be claimed that the petitioners are entitled – in principle – that the land be returned to them, and the respondent must return the land to the petitioners.

Moreover, the land was expropriated for training, shooting ranges and other uses of the military.  Having determined what the purpose of the expropriation was, we will further know, if only by way of retrospection – that in principle the authority could have made due with the expropriation of possession only – as distinct from expropriation of ownership (we will note that according to section 3 of the Expropriation Ordinance, the authority was given to the Minister of Finance to acquire ownership or any other right in the land, including any right of usage).  And thus, had the Minister of Finance, from the beginning expropriated only the right of use of the land, it appears that no one would be disagree that, with the departure of the military from the place, the owners were entitled to the return of the land to their hands.  Compare the doctrine prevalent in the United States as described in paragraph 49 supra.  However, knowing that in fact the land was expropriated for its designation for army training – and that it served this purpose over the years – we will also know that in truth the expropriation was not, at its core, other than for its use and not to exploit it as owners (such as for building purposes).  When the use of the land for military training ended, the law dictates that the land return to its home.  We hasten to emphasize: that we are not stating this consideration of our own accord.  This is none other than one consideration among many that can be raised to justify returning the land to the hands of the petitioners.

Moreover, it can be said that even in the view of those who broaden the power of the authority – those who permit it to change from one public purpose to another within the bounds of one expropriation – even in the their view the owners are entitled to the return to what is theirs, if only because the purpose of establishing a residential neighborhood in that location is not a public purpose under the circumstances.  Let us say a few words on that point.

The establishment of a neighborhood – Is it a public purpose?

69.  Is the purpose of the building of a residential neighborhood a public purpose in relation to the Expropriation Ordinance? The resolution of this question is not directly needed in our matter, but we will add and say that in our opinion this question does not have a single definitive answer.  It all depends on the context: at times the building of a residential neighborhood will be a public purpose as to the Expropriation Ordinance – it can even be a public purpose of a high order – and at times the building of a residential neighborhood will not be a public purpose at all in context.  The resolution of the question will always be a circumstance dependent determination, and we will have difficulty making analogies from one case to another.  If this is so, in the normative realm, all the more so in the circumstances of our case.  We will explain.

70.  Let us ignore for the moment the power of the Minister of Finance according to the Expropriation Ordinance, for he is the one who is meant to determine – according to his discretion – what ‘public purpose’ justifies expropriation of a certain land.  We will presume therefore that the concept ‘public purpose’ – in the context of the Expropriation Ordinance – is subject to the interpretation of the Court in accordance with the accepted construction (in truth, and in the final analysis, the differences between these two versions are few and minor).  When we present the question this way, we will be presented with two models from two ends: one model declares itself to be a ‘public purpose’ and the other model declares itself to be a purpose which is not public.  At one end will stand before us for example, establishing a public park, paving roads, establishing a school and similar purposes which declare themselves out loud to be ‘public purposes’.  At the other end will stand purposes which ostensibly are not public purposes.  Thus, for example, the establishment of an office building in the middle of a commercial neighborhood.  If the Minister of Finance expropriates land for this last purpose, I believe he will have difficulty classifying such a purpose – during the normal course of events–as a ‘public’ purpose.  And we will give thought to the matter: in classifying a specific purpose as a public purpose or as a purpose which is not public, we take into consideration, among other things, if only subconsciously – market forces in a free market and considerations of social norms which are accepted in our area.  Thus, for example, we presume that a private person will not agree, of his own good and free will, to establish a public garden on his land for the use of the public, even in exchange for the accepted compensation.  On the other hand, we presume that land on which an office building can be built, which is in the heart of a commercial area, the market forces will bring about the building of an office building on that land.

71.  The question therefore is toward which of these poles does the purpose of the establishment of a residential neighborhood incline.  It appears to me that the normative analysis will not provide us with an answer, as the purpose might contain both public and private elements, and the question in each case will be which elements dominate.  In any case, let us remember, that the change from one public purpose to another requires the expropriation of the land, and hence the burden is imposed on the State to prove that the purpose of establishing a residential neighborhood – is a public purpose.

72.  In this context we will add, that in each case and every matter the great principle of primary and secondary will apply, meaning: in examining the implementation of the purpose of the authority one is to examine the totality and not one detail or another.  In the words of Justice Berinson in HCJ 147/74 Sapolinsky v. Minister of Finance (the Sapolinsky case [28]) at p. 424:

The fact that, while implementing the purpose of the expropriation a profit is made here or there, whether by the State or by a private construction company which operates on its behalf, does not detract from the true substance of the expropriation and cannot cause a defect to its purpose, if from the start it was not done solely in order to make a profit.  When the purpose of the expropriation is not making profit and this is only an indirect result of the expropriation, it means nothing.  It does not affect the legality of the expropriation.

This was also the conclusion in the Mehadrin case [10] the expropriation of land to expand Ben Gurion airport – where part of the land had ‘commercial elements’.  And in the words of the Court (ibid, at p. 103):

Examination of said purposes and usages reveals that indeed they also contain commercial elements (dining and retail services).  However, these elements are not only negligible to the primary purpose for which the section of land was expropriated, but they constitute an inseparable part of the operation of an airport, meaning they have a direct connection to the public purpose for which the lands were expropriated.  In particular when these are intended for the welfare of the employees of BGA (and this is true as well for the welfare and sports structures).  And even if RST indirectly benefits in some way from these elements, this does not detract from the true substance of the expropriation or damage its purpose, when to begin with the expropriation was not done solely for the purpose of making profits.

And later (ibid at p. 107):

There can be no doubt that parking garages for visitors and others are an integral part of the airport.  And I am of the view that the same is true also for a hotel in a modern airport... Although these are both two commercial elements,  they have, as said a connection to the public purpose for which the land was expropriated.  Therefore, it is not proper to view the commercial elements detached from the entire project, as though they stand on their own.  The propriety of the expropriation of these elements is to be examined as part of the overall view of the purpose of the expropriation, and they are not to be isolated and examined separately.

The reason for this is that only the concentration of the land in one hand will enable the implementation of the project (ibid, at p. 108):

I also see favorably the claim of RST that if the property rights in the airport project are split up between it and another entity, in a manner that in a certain location its rights will be subject to the right of that entity, it would be  difficult for it to properly accomplish its role.  From the substance of the project and its content it is necessary that the rights in the entire area will be in the hands of RST, in a manner that will leave freedom of movement in its hands throughout the area, according to changing necessities and future developments, without being dependent on the will and consent of another entity.  Only concentration of the rights in the hands of RST will enable it to accomplish its role according to the powers given to it.

73.  This was the case, for example, in the Makor Hanfakot and Zechuyot case [8] and the Sapolinky case [28].  Both these cases dealt with the establishment of a residential neighborhood, and in both cases the court was of the view that the public-general need dominated over the private-particular motive.  In both cases the public necessity to establish a neighborhood on the expropriated area was established, and in both cases it was emphasized that the ownership of the lands was divided among many owners, something that would make it very difficult to achieve quick implementation of the building plans.  One case dealt with populating Jerusalem Southward and the other case dealt with populating Jerusalem Eastward.  We  will add that in the second case it was also emphasized that there is both national importance and urban importance to establishing the neighborhood (Makor Hanfakot and Zechuyot case [8], paragraph 9 of the opinion of Justice Or).

The same decision was reached even where it was agreed that the use of the land for a public purpose may lead to profits in the future.  The profit factor did not rule out the legality of the expropriation, provided it was possible – and in the Court’s opinion it was proper – to view the specific expropriation in the overall context of a purpose that is, by all accounts, a public purpose (a commercial district within an airport).  See the Mehadrin case [10]; and HCJFH Nuseiba [9].  (We note, however, the minority opinion of Justice Dorner in FHHCJ Nuseiba, ibid, at p. 88), that ‘the establishment of a commercial structure in a built neighborhood does not enter within the bounds of ‘public necessity’ which justifies expropriation.  Fulfilling needs such as these are to be left to market forces.’  Indeed, the Nuseiba case [9] – and comparison of the majority to the minority opinion – exemplifies well the difficult struggle between the ‘public’ element in expropriation and the ‘private’ element in it.  See further A. Haviv-Segel ‘Problems of Adaptation and the Question of Public Purpose in Land Expropriation’ [63].

74.  And thus, the establishment of a residential neighborhood can be a public purpose and can also not be a public purpose.  In this context we will remember, that generally the initiative to build residential homes belongs to the individual and not the state.

75.  And what about in our matter?  Let us recall that at first – since the mid-eighties – the land was designated for single-story building, recreation and public areas, and that in 1995 an alternate plan begun to be planned: for the designation of the land for multi-story building, for public structures, for a commercial area and for open public areas.  The respondents claim that this new plan was done for a pure public purpose, and Mr. Dan Seto Vice-Chair and Director of the Planning and Development Division in the Israel Lands Administration tells us as follows:

Due to the existing needs and the great demand in the area, the Ministry of Construction and Housing saw fit to change the existing plan, according to which the land was designated for single-story building, and converted it to massive construction of hundreds of residential units.  Among other things, it is intended to be built in the neighborhood small, basic apartments which will serve a needy population.  In addition, there are planned large apartments in the area which are intended to improve the living conditions of the residents, and enable clearing out of the apartments they are living in for the needs of a population with lesser means.

Development of a residential neighborhood of a fairly high quality, as expressed in said plan [HD/VM/944] including a substantial contribution in public areas such as: comprehensive school, sports center, and a community center will bring about the raising of the welfare of the existing neighborhood in Givat Olga.

It appears that these words – intended to substantiate the ‘public purpose’ – are overly broad in their scope.  It is no wonder therefore that the petitioners respond to this – not without anger – that when we take these words at face value, it would be possible to justify any land expropriation for the purpose of building residential units.  Indeed, the State has not been able to show that building a residential neighborhoods in the area has severed it from the zones of private purposes and entered it into the zone of the public purpose.  Moreover, examining these things closely will teach us that the State is making its claims facing backward rather than facing forward.  We will explain.

76.  In preparing and approving the plan of 1985; and the plan for the years 1995-1997; the authorities and the planners presumed – as a given – that the land is fully and completely owned by the State for every matter – available and free from any burden or encumbrance – and that as the owner the State was entitled and permitted to do with the land as it saw fit.  On the basis of this assumption the planners planned what they planned and the authorities approved what they approved.  These things are self-evident – from review of the chain of events and the evidentiary material brought before us – and if there is need for proof, it may be found in the affidavit of the Engineer of the City of Hadera, Mr. Michael Sharon, from whose affidavit we learn the following (among other things):

In the meeting of the respondent no. 4 [the Committee for Residential and Commercial Construction, Haifa District] on June 20 1995 it was indeed decided on the amendment of the plan, before it was filed, such that it would be written in the bylaws that the plan would be implemented with unification and division.  On the other hand, there was not attached to the plan a table of area allocations/balancing as stated in section 122 of the Planning and Construction Law in light of the claim of the respondent no. 1 [the State] which was adopted by respondent no. 2 [the City of Hadera] that it is a matter of lands that are under one ownership (of the State) and therefore there is no need for said table (the first emphasis is in the original; the second emphasis my own – M.C.).

We will learn from here, that the starting assumption of the Planning Committee and of the State were the assumptions that the former owner has no connection to the land, and that the land is not tied at all to any public purpose.  These assumptions are also those that led to the planning processes as they occurred in fact.  Having discovered – based on the theoretical-normative tapestry – that these assumptions were mistaken assumptions, we further learned that classification of the building of a residential neighborhood as a ‘public’ purpose comes only after the fact and not in advance.  The reason for this: the authorities gave no thought at all – in advance – not to the Expropriation Ordinance nor to the connection of the former owner to the land nor to the question whether the purpose is a ‘public’ purpose.  Their claim – made in reverse and facing backward – may be claimed, but will not be successful.  Proof of this, it will be further argued, will be found in the litmus test below.

77.  Everyone agrees that, the State is not authorized to continue and hold the land that was expropriated – after exhausting the first expropriation – unless it makes use of the land for (another) ‘public’ purpose.  This is also the holding of those who broaden the power of expropriation, meaning: those who are of the view, that the State is authorized to leap from one public purpose to another in the framework of the same expropriation, without being obligated to return the land to the former owners.

Thus, the State is entitled  to leap from purpose to purpose only where there is a new public necessity, and where this necessity justifies expropriation of the land as of today.  See the words of Justice Goldberg in the Mahol case [5] at p. 323, which are brought in paragraph 52 supra.  Our opinion is – as opposed to the view of Justice Goldberg – that in a case such as this the State must return the land to its owners or go back and expropriate it in the regular way.  However, if this is the law, it is to be presumed that until it reaches a decision on expropriation, the authority would (in our matter) weigh very carefully whether it is proper to expropriate the land for that new purpose, meaning to expropriate – and to owe compensation to owners.  And here is the litmus test: in our matter the State did not consider the matter.  And if it had considered it, it is possible it would not have decided on expropriation – for the purpose of the establishment of that residential neighborhood – while obligating itself to pay expropriation-compensation.

Conclusion: knowing that it would owe compensation to the owner, it is possible that the State would not decide on expropriation at this time.  In our view, the State is obligated – according to the normative-theoretical scheme – to return the land to its former owner and to deal directly with a new expropriation and with its obligation to pay expropriation-compensation to the new-old-owners.

In order to remove doubt we will add: we do not recommend to the State authorities that they act one way or the other with land that was expropriated for a certain purpose.  In general it will be said, that when land was expropriated for a certain purpose, and the purpose was exhausted, it is not appropriate for the State to manoeuvre and take inappropriate action only in order to continue to hold the land in its possession.

78.  Let us presume – without agreeing to the presumption – that the purpose of establishing a residential neighborhood under the circumstances is a public purpose, and that therefore the authority is authorized – in principle – to expropriate anew the land subject to discussion (it goes without saying, as said, that this question has not arisen at all, as the authority was working from the assumption – mistaken in our view – that the land is in its ownership free of any connection to former owners).  Then too, so claim the petitioners, the question arises on its own – whether the authority is entitled, under the circumstances, to expropriate the land for the purpose of establishing a residential neighborhood?  As this question has not come up for discussion explicitly, we have not heard arguments as to it.  However, we will say, with full caution, several words on the issue, without purporting to settle it one way or another.

79.  Until the authority is entitled to expropriate land for a public purpose – and for our matter we have assumed that the establishment of a residential neighborhood can be, in certain circumstances, a public purpose – it is incumbent upon us to inquire whether it is possible to achieve the public purpose – the same purpose for which it seeks to expropriate the land – not by way of expropriation and not necessarily by way of expropriation of the land that was expropriated and whose expropriation expired.  In theory, a precondition to the expropriation power is that the purpose of the expropriation cannot be achieved in an efficient manner that is not expropriation. This precondition to the power to expropriate land is necessary out of respect for the individual’s property right, and the property right proclaims as though on its own this burden imposed on the authority.  Indeed, where the authority proposes to expropriate Reuven’s land for the realization of a certain purpose; Reuven declares at that time his intention to himself realize, that same purpose and proves that his intent is sincere, that he is capable of doing it, and that he is about to realize that purpose in the near future.  It could be claimed – and we will not decide on the claim–that in these circumstances the power of the authority to expropriate the land will be denied – indeed, not in all circumstances and not every case –.  That same person could further claim – and we will not express an opinion as to this – that the burden is on the authority to point to the need to expropriate the land specifically to realize the purpose of the expropriation and to explain and justify why the owners themselves will not allowed to achieve that same purpose.  In the words of Justice Dorner in HCJFH Nuseiba [9] (ibid at p. 89):

The burden of proof as to the existence of the elements of the limitations clause in an administrative decision which violates property right by expropriation is placed on the shoulders of the expropriating authority.

And Justice Or said on this in the Makor Hanfakot and Zechuyot case [8] (in the words of Justice Or, in paragraph 6 of the judgment).

The fact that the expropriation contains a severe violation of man’s right to his property must stand before the eyes of the court when it comes to interpret section 3 [of the Expropriation Ordinance – M.C.] and to determine if the expropriation is in fact necessary in order to realize that same public necessity in the name of which the expropriation is to be implemented.  Therefore, if it is possible to reach the same result of satisfying the public necessity not by way of expropriation, it would be proper to do so.  Thus, for example, if there exists a public necessity to build a certain residential structure and this can be done by the land owner, in a way and in a manner and within a time frame which is required for that public necessity, it cannot be said that expropriation of that land is necessary for the purpose of building that building.

So taught us Justice Goldberg in HCJFH Nuseiba [9] (at p. 82):

If it is proven that it is possible to realize the public necessity without expropriation, then we face a balance between the public necessity and the property right of the owner of the expropriated lands.  All this, with the condition that it is possible to ensure that the ‘self realization’ will not impair and will not delay the execution of the purpose of the expropriation.

See further the Mehadrin case [10] at p. 107.  But the question is very complex and we will not take upon ourselves to resolve it.  Indeed, real life has taught us that in many cases – possibly in most cases – the nature of the plan, its scope, the multiplicity of ownerships in the land and other similar factors will prevent self implementation of the plan and will necessitate expropriation of the land to achieve a proper public purpose.  See for example Makor Hanfakot and Zechuyot case [8]; the Sapolinsky case [28]; the Mehadrin case [10].  However, in cases where self implementation is possible, we may reach the conclusion that expropriation is an inappropriate means, a means that goes beyond that which is necessary.  In this context it is proper that we give thought to the words of Justice Dorner (in a minority opinion) in HCJFH Nuseiba [9] (at p. 91):

When the individual is not capable of implementing the required project for public purposes on his own due to planning of broad scope, there may be a justification for use of the expropriation power.  But when it is a matter of a small lot, whose owners have declared their intention to develop it themselves, there is no reason not to entrust the implementation of the plan to them.

See further the Paz case [40] mentioned in paragraph 45 supra.

Moreover, just as the burden is placed on the authority not to make use of expropriation if it is possible to realize the purpose of the expropriation not by way of expropriation, so too the burden is imposed on it – ostensibly – not to expropriate the ownership right in the land if it can achieve its purpose by way of expropriation of a lesser right than ownership, such as expropriation of rights of usage.  This statement is important in our matter, if only because to begin with – as we learned at the time of the expropriation and for over 30 years that followed the expropriation – the State could have made due with expropriation of the rights of usage of the land and not expropriated the ownership right in its entirety.  When we say this, we will add and say that here we have found an additional reason for which it can be said that the petitioners are deserving – in principle – of the return of the land to their ownership.

80.  We have said what we have said, and we wish to reiterate, that our words do not go beyond mere ruminations.  Resolution of all these questions – those and others derived from them – will only come about in the days to come.

81.  In our matter, so claim the petitioners, it is also possible to achieve the public purpose not by way of expropriation but by advancing the processes for planning the construction of a residential neighborhood by the owners, and the advancement will occur by way of unification and division (a process which is necessary in any case) and the preparation of a table which deals with allocation of areas and balance, and all this as per the provisions of sections 121-128 of the Planning Law.  Thus the owners will not be required to give up their lands, and thus they will be the ones who advance the construction rather than it being done by private contractors on behalf of the State.  The petitioners’ claims are consistent with the law, but given its view that it need not address this at all – as the land is in its complete and absolute ownership – the State did not attempt at all to be in contact with the petitioners to clarify this matter of self implementation.  Indeed so: the State claims that the area of the plan is split among many lot owners; and that due to the multiple purposes of the plan the authorities will have difficulty constructing balancing charts and because of all this the construction of a residential neighbourhood by the owners will not be possible in the desired time frame.  However, all these arguments did not arise other than as a response to the petitions, and the State never made an effort to try to clarify with the owners these topics that it claims prevent self implementation.  By this course of action the opportunity has been denied from the petitioners to prove that they can achieve self implementation, and thus their rights have been detracted from.

We have not said, and we also will not say, that the petitioners are right in their claims and that the State has the lower hand.  All we are saying is that in our case a precondition for renewed expropriation has not been met (if you wish, for transition from one public purpose to another).

82.  This is also the case with the arguments of the respondents according to which the execution of such a large project, as planned, must be under one hand, and that it will be best for all if a State authority implements it.  As said in the affidavit of Dan Seto on behalf of the State:

The possibility to plan a residential neighborhood which includes hundreds of housing units and public structures exists primarily, and best, where the ownership of the land is concentrated in the hands of one entity, in our case – the Israel Lands Authority.

Hadera is in a high demand area for residences, there is an explicit advantage to development of a residential neighborhood by the Construction and Housing Ministry – as opposed to the private sector – both in terms of concentration of sufficient areas to establish a residential neighborhood of a large scope, and in terms of the ability and desire to donate land and develop it for public purposes.  This advantage is also manifest in all that relates to the speed of the planning and swiftness of implementation.

As can be seen with other parts of the city of Hadera, as in other cities where there exist many split lots in private ownership, the process of development of new neighborhoods, not by governmental entities and tools is lengthy, slow and at times impossible.  Only neighborhoods whose planning and establishment is dealt with by a governmental entity like the Ministry of Construction and Housing, based on lands found in State ownership, can be established with proper momentum and scope, which will be sufficient to serve the immediate public needs.

I will not express my view as to these words, not positively or negatively.  I will make due by saying that this topic has not been properly worked through between the petitioners and the State, and thus it is not appropriate that we address it.  If this is so in general, all the more so when we all know that the State too, being in charge of the building of a public project, makes use of private entities for implementation.  See further Haviv-Segel, in her article supra [63].

83.  The State has followed a process of we will do and then we will listen, while we are of the view that the process must be by way of we will listen and then we will do.  The State has not listened, and therefore – in principle – it is not proper for it to do.

Delay

84.  The State further claims that the petitioners have delayed their petition to the Court; that in that period of delay the State bore significant expenses in planning proceedings and building of infrastructure, and for this reason alone the petition should be dismissed.  The State asks: why haven’t the petitioners petitioned against the plans that began in 1986?  That is a sign and indication that they gave up their rights and hence their petition ought to be dismissed.

Indeed, it is a long held legal rule that delay in objecting to an expropriation action – delay which is accompanied by a change in the situation of the authority due to investments made in the expropriated land – can lead to dismissal of the petition for this reason alone.  See for example HCJ 63/52 Neiman v. Minister of Finance [29]; HCJ 334/63 Galinovitz v. Minister of Finance [30]; Kamer in his book supra [52] at p. 149-153.

85.  This claim by the State is somewhat strange.  The petitioners knew nothing about the proposed plans for the expropriated land, and had no basis to presume that, parallel to the use of the land for military designations, the authorities had plans for civil construction in the area.  Moreover, in its view that it was the unconditional owner, the State did not notify the former owner as to the existence of the plans, and we can but wonder as to the claim of delay it raises, meaning, a claim which is thrown in the face of a petitioner who bides his time.  In the Geulat Hakerech case [15] (supra) the petitioner, the owner of expropriated land, discovered – after five years passed from the day of the expropriation – that a parcel of that land that was expropriated was not needed by the authority to implement the public purpose for which the land was expropriated.  The petitioner sought to declare that the expropriation was not valid for that parcel of land, but the Court was of the view that due to the delay it should not listen to her.  This ruling raised the ire of Professor Klinghoffer, and he stated as follows in his article about the attachment of expropriated land to its designation (in his article, supra [59] at p. 877):

One may ask if the feeling of justice has not been harmed slightly when the blame is placed on the petitioner in such a manner.  It would be more reasonable to expect that, out of decency, the expropriation authority notify the former owner as to the lack of suitability between the expropriated asset and its designation.  If the governmental authorities are not willing to act so of their own will, then it is in the power of the legislator to obligate them to act in this way.  In this context note that in Switzerland, if the intention of the expropriator is to carry out a transfer of the expropriated lands or dedicate them to a designation different than the one determined for purposes of the expropriation, it must give notice of this to the one who is entitled to demand their return.

This was true there; this is true in our matter as well.  Indeed so: our matter is different from Geulat Hakerech case [15], and in the following two ways: first of all, in the Geulat Hakerech case [15] the petitioner sought cancellation of the expropriation retroactively, while in our matter we speak of cancellation of the expropriation only henceforth.  Second, in the case before us the ownership passed to the State many years ago, and the State could not have known that the connection rule would be applied to the expropriation action.  Not knowing this, one cannot criticize it for not notifying the petitioners of the plans that were applied to the area.  But, this claim could hold only until the day in which the Mahol case [5] was decided, which is 12 March 1996.  From that time on the State could have known of the shift that occurred in the legal rule, and if it had undertaken precautionary measures as dictated by the legal rule, then the petitioners would have been warned  about the plans, if only from that time on.

My view is the view of my mentor, Professor Klinghoffer, and his words of criticism on the ruling in Geulat Hakerech case [15] should be applied to our case as well.  This is demanded, in my view, by the duty of decency.  For,  if the individual does not know of the authority’s plans, how can he protest against them and protect his rights?

This duty imposed on the authority – it can be claimed – can also be learned from the provision of section 195(2) of the Planning Law, according to which:

The Law

of

Land Purchased for Consideration

195

The following special provisions will apply to lands which were acquired in implementation of a plan by agreement or that were expropriated for payment of compensation: 

(1) ...

(2) where their designation was changed according to the provisions of this statute, it is permitted with the approval and consultation as said to sell them, to rent them or to effect some other transfer of them, as long as the one from whom the lands were purchased or his successor is given a notice that he is entitled, within thirty days, to purchase them. . .

This statutory provision establishes the duty of the authority to notify the individual as to the change in the designation of the lands – so that he can realize his right and buy the land that was expropriated from his possession – and from this explicit statutory provision one can also learn as to our matter what is the Israeli common law, meaning as a legal rule that obligates the authority in the framework of the connection that is maintained between the former owner of the expropriated land and the land that was expropriated from him.  In cases of planning, the duty is fixed explicitly in the statute; in our matter we can learn and establish this duty from the combination of the connection of the owners to land expropriated from them; the duty of decency which fills this connection with content and from a (possible) analogy to planning law.  See further paragraph 47 supra.  But again: Our words are to be interpreted as thoughts only.

86.  In our matter the authority did not notify the owners of the plans – and the changes to them – while, it goes without saying, no changes were visible on the land: just the opposite.  Moreover, reading the words of the petitioners in HCJ 360/97 teaches us that the late attorney Mr. Samuel persevered in his view that the expropriation should be cancelled, and, though the years passed, he never gave up his desire to return the land to his ownership.  The decedent’s son, Mr. Michael Samuel informs us that in the late 1980’s and early 1990’s he travelled to the expropriated land – at his father’s behest and his own initiative, and sought to learn the status of the land.  Only at the end of 1995, so he declares, did he learn – indirectly – about the changes occurring on the land, and only as a result of this learned of the plans applying to it.  Moreover, even though the late Adv. Samuel, and his heirs after his passing, approached the Administration several times with the request that the land be returned to their possession, the Administration was steadfast in its stance that the expropriation cannot be cancelled due to the military’s use of it, and all those years the Administration did not reveal to the petitioners the change in the plan.  When they found out about the change, the petitioners immediately filed the request that the land be returned to their possession, and on 21 March 1996 they even filed an objection to the new plan that was filed.  Their objection was dismissed on 17 November 1996; they were notified of the matter of the dismissal on 2 December 1996, and on 16 January 1997 they came to the Supreme Court.  Against the background of all this we have difficulty understanding in what way the petitioners delayed their petition.

The petitioners in HCJ 1947/97 also declare that they only became aware of the change with the publication of notices as to the cessation of the use of the place for military purposes, and that immediately upon this being made known to them they approached the authorities to clarify the status of the land.  In point of fact therefore, the owners did not know of the intentions of the authorities until close to the date in which the land was returned to the Israel Lands Authority, on 25 August 1996.

As for the petitioners in HCJ 2390/96 – these demanded their rights, and we have not found delay as to them either.

87.  The claim of delay is difficult in our view for another reason.  It relies on the expenses that the authority incurred in implementing and advancing plan HD/VM/944, however, as we saw (in paragraph 7 supra) – and as per the notice of the Chairperson of the Committee for Building for Construction and Industry in the Haifa region that was published on 24 October 1997 – this plan was cancelled.  Once the plan was cancelled, how can the respondents complain as to their situation being made worse due to the implementation of a plan which is no longer among the living?  One way or the other, the expenses expended by the State – it is to be presumed (and so it was argued before us) – will be taken into consideration if the land is returned to its owners.

The claim of delay has nothing to it and is to be dismissed.

Date of applicability – the past and the future or only the future?

88.  As per the ongoing-connection rule – a legal rule which we today plant in the soil of Israeli law – one from whom land was expropriated –  in principle –  to the return of the land or to the payment of its value with the exhaustion of the public purpose for which the land was expropriated (with the payment of certain balancing-payments, for the improvement of the land due to zoning plans or for other reasons, return of the compensation that the former owner received, etc.).  This is so as a general rule, and the matter of the petitioners can also serve as a model in practice.  In this case the petitioners’ lands were expropriated to begin with for military purposes; this purpose exhausted itself, and thus in any event the petitioners can claim that what was taken from them should be returned to them.  Indeed, it is possible the authority can expropriate those lands anew, but this expropriation – if it happens – must be performed properly and according to the accepted process – as per the expropriation legal rules.  All this – as we have emphasized time and again – in principle.  But the principle is not sufficient.

89.  In our judgment we have not discovered a new continent and we have not invented a doctrine ex nihilo.  The idea of the ongoing connection – as we have seen – has come up in the past more than once, and during the course of the years the doctrine has even been favored by some of the judges.  Nevertheless it is not lost on us that this is the first time that we are determining – in a broad panel–definitive statements as to the connection of the owner to land that was expropriated from him.  Until now the connection-severing doctrine governed, and now we have come and turned things upside down: we have uprooted the doctrine from its place and planted another doctrine in its place.  Indeed, the doctrine of the connection sends roots to the expropriation law, and draws its strength from the Expropriation Ordinance – since otherwise we couldn’t decide what we are deciding – and yet it is also true, that removing the queen from her throne and crowning a new queen instead is something of a mini-revolution in expropriation law.  It appears that we would not be far from the truth if we say that the changing of the guards which we are conducting between doctrines appears like a change in the law; until that very day a certain law established arrangements in a certain segment of life, and on the same day a certain law was passed which establishes different arrangements in that life segment, and in certain respects – arrangements which are the opposite of prior arrangements.

90.  As to our matter, the question which is pressuring us for a solution arises on its own.  According to the new doctrine, it is possible that the petitioners have acquired a ground for return of the land to their possession or to receipt of compensation instead.  However, this right, if the petitioners have acquired such a right, was born prior to our establishment of the legal rule which we have established in this decision.  And this raises a question: what will be the date for the beginning and applicability of the new arrangements we have established.  Will the legal rule be applicable prospectively only, meaning: the new arrangements will apply only to an expropriation which will occur in the future or land that was expropriated in the past yet the public purpose will only dissipate in the future?  Or perhaps we will say, the correct date for application of the legal rule will be retrospective – will look toward the past and will apply in the past – meaning: the new arrangements will also apply to an expropriation that occurred in the past and even if the public necessity has ended in the past.  And possibly there will be found those who will say that the new arrangements indeed will apply just for the future but in an exceptional manner they will hold in the matter of the petitioners.

91.  The question of the correct date for the applicability of the new arrangements involves various and important considerations; among them: the reliance interest of the expropriating authority – at the time of the expropriation or at the time of change or giving up of the public necessity; questions of budget and discussions which are necessitated by retroactive application, and on the other hand the consideration of the interest of the owners whose lands were expropriated in the past and more.

On this question of the date of applicability and on the matter of the relevant considerations, we have not heard arguments from the parties, not in writing nor orally, and it would not be right that we make a determination in the law prior to hearing from them.  It is therefore appropriate that we take a short break and ask the parties to argue before us as to the question of the proper date for the applicability of the new arrangements in general, and, particularly, on the question of the applicability of the new arrangements in the petitions before us.

I therefore propose that the petitioners make their arguments in writing as follows: first, arguments on the question of the correct date for application of the new arrangements in general, whether from this day forward or also retroactively, and second, presuming that the new arrangements will also apply retroactively – the question whether they should apply to the expropriations which are the subject of the petitions before us.

The petitioners are requested to make their arguments, as said, within 30 days; the respondents will respond to these arguments within 30 days; the petitioners may submit a response within 15 additional days.  Following that, and if we believe that it is proper, we will set a date for an oral hearing, or we will make a determination in the law on the basis of the written arguments only.

A call to the legislator

92.  Once we have made a determination on the matter of the doctrine, we see it as our duty to direct a call to the legislator that it act – and quickly – to regulate the matter of expropriation of land in a comprehensive and organized statute.  The Expropriation Ordinance of today was passed in the Mandate period – in the year 1943 – and will soon celebrate sixty years to its birth.  Now, with the arrival of the connection doctrine, there is no doubt in our minds that more than a few questions will pop up here and there – some of which we have discussed above – and it would be proper for these questions, at least their core elements, to find a solution in the written law.  In the same motion it is proper that the legislator give thought to the expropriation provisions in the Planning Law and consider the possibility of unifying the law.  The work is great and now is the time to act.

 

 

Justice I. Zamir

I agree to the main element in the judgment of Justice M. Cheshin.  And what is the main element?  The essential main is that the power to expropriate land according to the Expropriation Ordinance (Purchase for Public Purposes) is appended to a public purpose.  The meaning of this is that a public purpose is needed not only as a precondition which must exist before the expropriation of lands according to the Ordinance, but also as a later condition which also must exist after the expropriation.  From hence, if the public purpose ceases to exist after the expropriation it is possible and proper, in principle, to cancel the expropriation.

That is the main element, but I reach it by my own path, different from the path which Justice M. Cheshin has taken.  Indeed, we are dealing with theory, but as we know, in the end theory impacts practice.

The expropriation power: the original interpretation

1.    The Expropriation Ordinance (Purchase for Public Purposes) (hereinafter: ‘Expropriation Ordinance’) is a Mandatory ordinance not just in terms of time period but also by its character.  The Ordinance, like other ordinances from that period, expresses the spirit of the Mandatory regime of Britain.  This regime was not very different, in spirit and actions, from a colonial regime, as it was in the colonies of the British Crown.  The regime, by nature of a colonial regime, was not committed to the values of democracy, but primarily to the interest of the Crown.  For this need the regime acquired for itself far ranging powers via ordinances and other means.  The powers that were granted to the regime did not show proper respect for basic human rights. On the contrary, they enabled severe violation of these rights.

So too the Expropriation Ordinance.  The Ordinance grants extreme power to the Minister of Finance (who comes in the place of the High Commissioner) to expropriate private property (with compensation).  In theory it grants the power to the Minister of Finance to expropriate lands only for public necessity.  But in fact it establishes, in language that can mislead the innocent reader, that the Minister of Finance may expropriate land for any purpose he sees fit.  How so?  Section 3 establishes that the Minister of Finance (or according to section 22, any entity or other person that the Minister authorized for this) may expropriate any land if he finds that this is necessary for any public necessity, but section 2 adds that public necessity is any necessity that the Minister has approved as a public necessity, and section 5(2) says that publication of a notice in the Reshumot according to which the Minister intends to expropriate specific land, will be considered definitive proof that the Minister certified that the purpose of the expropriation is a public purpose.

Moreover, the Expropriation Ordinance by its language does not demand that the Minister of Finance conduct an inquiry as to the public necessity in order to establish whether a certain land is necessary for a certain public necessity to a degree that requires expropriation; it does not obligate the Minister to give the owners of the land an opportunity to voice arguments against the expropriation, as would follow from the rules of natural justice, and it does not even impose a duty to note in the expropriation decision the public necessity at the basis of the expropriation.  See, for example, HCJ 67/79 supra [4].  Indeed, as I have said elsewhere, ‘this is a striking example of the unbearable ease of governmental violation of property right’.  See Zamir in his book supra [50] at p. 197.

2.    When the State of Israel was established, it could be expected that the very transition from a Mandatory regime to a democratic regime would lead to the cancellation of the Mandatory Expropriation Ordinance and the legislation of an Israeli expropriation law which would properly balance between public necessities and human rights.  Indeed, in Britain itself the law which regulates expropriation of lands for public necessities has undergone substantive transformations, and it protects property right much more than the Expropriation Ordinance.  But in Israel, surprisingly, not only has the Expropriation Ordinance not been cancelled and not made room for a new law, but it remained as it was, without even one amendment over the course of all the years since the State was founded, as though it were a perfect law.  Moreover, it was left in its original version, which is the English version, with a Hebrew translation which is infelicitous and not binding, and a new version has not even been produced according to section 16 of the Orders of Government and Justice Ordinance 5708-1948.   Is this not so because the Ordinance is so convenient for the government which is given such an easy hand for the purpose of expropriation, to the point where the government is hesitant to touch it, lest the need be found to amend it in a thorough manner?  One way or the other, the fact that this ordinance has remained standing as it was for so many years is not a badge of honor for the State of Israel.  And it is still possible and proper to fix the distorted.

Indeed, the truth must be told, in fact the situation changed since the legislation of the Planning and Construction Law.  This law also regulates the expropriation of lands for public necessities.  Among other things it establishes, in sections 195 and 196, provisions for the case where the designation of lands that were expropriated is changed, and this includes provisions as to the return of lands to the original owners.  Today this law is the basis for the expropriation of land in many cases, and apparently even in most cases.  However, the Expropriation Ordinance still is valid, as it was, and it enables expropriations according to the Ordinance, and not necessarily according to the Planning and Construction Law.

3.    Since the legislator has not done anything to amend the Ordinance, it was possible and proper that the Court do something toward a new interpretation of the Ordinance, as is called for by the very transition, with the establishment of the State, from a Mandatory regime to a democratic regime.  Indeed, as was established in section 11 of the Orders of Government and Law Ordinance, the law that existed in Israel on the eve of the establishment of the State will stay in force, inter alia, ‘with the changes necessitated by the establishment of the State’.  One of the most important changes stemming from the democratic character of the State is the relative status of human rights vis-à-vis public necessities.  The balancing point between these and these, so ruled the Court, changed with the establishment of the State.  The change must also be expressed in a change in the interpretation of the Mandatory ordinances, even if the language of the ordinance has remained unchanged.  So ruled the Court, for example, as to the Journalism Ordinance from 1930.  This ordinance granted the Minister of the Interior power, inter alia, to stop the publication of a newspaper that published something that may, in the opinion of the Minister, endanger public safety.  The Court determined in HCJ 73/53 Kol Ha’am Company Ltd. v. Minister of Interior [31] that the democratic character of the State obligates granting effective protection to freedom of expression, and therefore a new interpretation of that ordinance is necessitated: according to that interpretation, the Minister of the Interior is not authorized to stop the publication of a newspaper unless something has been published in it which creates a near certainty of real danger to public safety.

In a similar manner it was possible to interpret the Expropriations Ordinance, after the establishment of the State, in a manner that would limit the power to violate the right to property.  However, the Court, while it declared property right as a human right, did not act with the property right as it acted with freedom of expression.  It is possible that this was so because the Court did not evaluate the property right as it evaluated the freedom of expression, or because it was not willing to spread its force over all the rights or for any other reason.  Indeed over the years a certain change occurred in the approach of the Court toward the Expropriation Ordinance in a manner that somewhat strengthened the defense of property right.  See HCJ 307/82 supra [3].  However, in a general manner, the Court continued to give the expropriation power a broad interpretation, in accordance with the language of the Ordinance, in a manner that is not accepted in democratic states.  In Mot 33/53 Salomon v. Attorney General [1] the Court said:

‘The manner of expropriation of lands for a public purpose is subject to the unlimited discretion of the Minister of Finance as an executive branch, and as long as it operates in good faith,  when he uses his discretion to implement his policy he is subject to supervision and review of the Knesset and not review of the Court.’

The Court also ruled in this vein after this.  Inter alia the court held that even if it turns out after the expropriation that the lands that were expropriated for public necessities no longer serve a public necessity and the State intends to sell them to the highest bidder, this is not sufficient to rescind the expropriation. See for example, HCJ 282/71 supra [14] where Justice Landau said (at p. 470):

‘Ostensibly the meaning of these words is simple nationalization of private property for compensation that does not compensate, in the guise of purchase for public necessities which ceased and no longer exist.  The tool of the Ordinance of Purchase for Public Necessities was not created for this, although in a formal sense the Administration is acting also in this case within its provisions.’

See further Kamer in his book supra [52] at pp. 158-160.

However, since then a change has occurred in the legal rule, although no change has occurred in the language of Ordinance.  What occurred?

Property right as a constitutional right

4.    In 5752-1992 a substantive change occurred in the legal status of property right in Israel.  The Basic Law: Human Dignity and Liberty, that was legislated that year, established in section 3 that: ‘a person’s property is not to be violated’.  Indeed, this section does not stand on its own, but it is woven with other sections of the Basic Law, including section 8 (‘the limitations clause’) which permits infringement of basic rights, including property right, under certain conditions: infringement in a law (or by power of an explicit authorization in it) which is compatible with the values of the State of Israel, which is intended for a proper purpose, and to a degree that does not go beyond that which is necessary.  Yet, as has been ruled, the basic law has elevated property right up the levels of the pyramid of the legal norms and placed it at the pinnacle: it made it not only into a basic right but also a constitutional right.  See CA 6821/93 supra [26].

From a practical perspective a double significance stems from the status of a constitutional right.  First the Court is authorized to void a new statutory provision that was legislated after the Basic Law if it violates a right in conflict with the provisions of the Basic Law.  Second, the Court may interpret an old statutory provision that was legislated prior to the Basic Law, if it violates the right, in a manner that will reduce the violation.  Indeed, this Court has clarified well in various contexts, that the interpretation of a law that violates a constitutional right, and accordingly the meaning of that law, may change consequent to the Basic Law.  See, for example, CrimMA 537/95 Ganimat v. State of Israel supra [20].  The Court has also clarified this as to property right.  Thus, for example, in HCJ 1188/92 Local Planning and Construction Committee Jerusalem v. Bareli [32], at p. 483, the Court said: ‘The interpretation today, more than in the past, must operate in the direction of reducing the violation of property right.’ See also LCA 5222/93 Lot 1992 Building Ltd. v.  Parcel 168 in Lot 6181 Ltd. [33].

If so, then today it is possible and appropriate that the Court act toward the interpretation of the expropriation power in the Expropriation Ordinance, following the change that occurred in the status of the property right, as it acted after the establishment of the State as to the interpretation of the power to stop the publication of a newspaper in the Journalism Ordinance, consequent to the change that occurred then in the status of freedom of expression.  See supra paragraph 3.  Accordingly, it is possible and appropriate that the expropriation power will be interpreted today on the basis of the balance between public necessities and property right that would be compatible with the values of the State of Israel so that will strengthen the protection, that until now was weak, of property right.

Expropriation power: purpose appended

5.    Indeed, after property right was raised to the level of a constitutional right, and since it went up a level, a change has occurred in the interpretation of the expropriation power in a manner that strengthens the protection of the right: the expropriation power has been recognized as purpose appended.  What does this mean?

There is a strong connection between the power and the purpose.  Every power has its own purpose.  At times the purpose is explicit in the law and at times it is learned, in an implied way, from the history of the statute, the language of the statute, the substance of the power and more.  The Planning and Construction Law, for example, in section 188 grants the power to the local planning and construction council to expropriate land for public purposes, and it defines public purposes in great detail.  The Expropriation Ordinance also explicitly establishes the purpose of the expropriation power: to purchase land for a public necessity (the exact translation from the English source is purpose).  But what is the public necessity?  The Ordinance intentionally uses opaque language: public necessity, as section 2 of the Ordinance establishes, is any necessity which the Minister of Finance certified as a public necessity.  However, today it is clear that the certification of the Minister, like any administrative decision, is subject to judicial review, inter alia, to review in terms of the purpose of the statute and the relevant considerations.  Therefore, it is clear that there is a duty to exercise the expropriation power like any power, for the purpose of the power and not for an irrelevant purpose.  From hence, that if the Minister of Finance decides to exercise this power, for example, for a personal purpose, the decision is defective and illegitimate.

This is so as to any power.  However, there are powers that can be called purpose appended powers, in which the purpose of the power must exist not only at the time the power is exercised, but also after the exercise of the power.  With such power the exercise of the power changes the legal situation over time upon the condition that the purpose of the power exists for the entire time.  When the condition ceases to exist, the legal situation that is created with the exercise of the power must change.  Thus, for example, the Court saw the power according to the Defense Regulations from 1939 to expropriate the use of an asset for a certain purpose, such as public safety or supply of vital services.  The Court stated that such expropriation is ‘an ongoing and continuous activity’, and therefore it can exist as long as the purpose of the expropriation exists.  See HCJ 31/48 supra [11] at p. 200.  The power of the Minister of Finance according to section 2 of the Emergency Powers (Detentions) Law 5739-1979, to order the administrative detention of a person if security reasons necessitate that he be held in detention.  Or the power of a district psychiatrist according to section 11 of the Law for the Treatment of the Mentally Ill 5751-1991, to order compulsory clinical treatment of a mentally ill person who needs continued clinical treatment.  With powers such as these, if the purpose of the treatment that existed at the time of the decision to exercise the power ceases to exist, it is possible that the Court would void the decision.

6.    The expropriation power, as said, was not considered a purpose appended power at the time.  See supra paragraph 3.  The result was that even if the public necessity which lead to the expropriation ceases to exist, the expropriation continues to exist, as if the connection between the power and the purpose had been severed.  This result appeared, more often than once, unjust.  In HCJ 282/71 supra [14], in which such a case was discussed, the Court said (at pp. 469-470) that ‘in the case of the petitioner the injustice cried out in particular’ and that ‘in the present case justice would require that the State return the land to the petitioner and his brother, after the security necessity for which the land was acquired at the time ceased to exist.’  See the criticism voiced by Professor Klinghoffer, in his article supra [59].  See further as to accepted legal theories of public property in the countries of the European continent, and in contrast, as to the Expropriations Ordinance in Israel, Klinghoffer in his book supra [51] at p. 141 and on.  But this was not sufficient over many years to bring about change in the interpretation of the expropriation power as it was established in the Expropriations Ordinance.

7.    The change in the interpretation of the expropriation power, which recognized this power as a purpose appended power, occurred following the Basic Law: Human Dignity and Liberty.  The change was expressed at first in HCJ 5091/91 supra [6]. See also HCJFH 4466/94 supra [9].  There Justice Dorner related to the new status that the Basic Law: Human Dignity and Liberty granted to property right as a constitutional right.  And so she said (at p. 87):

‘The rise in the status of property right to a supra-statutory constitutional right requires an additional development in the interpretation of the Mandatory Ordinance, in order to adapt its provisions to the new normative reality which was created with the passing of the Basic Law…  a broad interpretation of the power, which enables the authority to use the land for a different purpose than the purpose for which it was expropriated, is contrary to the rule that the case law established as to a narrow interpretation of the power to infringe on a basic human right.  All the more so that one is not to accept a broad interpretive approach with the passing of the Basic Law.’

The change found expression once again, after a short time, in HCJ 2739/95 supra [5], at p. 321-322.  Justice Goldberg said there with the agreement of Justice Mazza and Justice Kedmi, as follows:

‘The expropriation is an unavoidable necessity if there is no escape from it in order to ensure that public necessities are satisfied.  However, expropriation was not intended to enrich the State.  Between the expropriation of the land and public necessities there exists an unseverable connection, to the point where it can be said that from a conceptual standpoint the property right that the State acquires in the land that was expropriated from the individual – even if the expropriation processes were completed – is a ‘conditional’ right, and the condition is the necessity of the land to achieving the public purpose: once the public purpose has passed from the world, or other grounds have arisen to cancel the expropriation, the land is to be returned to is owners, if he so wishes.  Returning the land in this situation is what returns the ‘orders of property in land’ to their place, as otherwise the expropriation turns from a tool for realizing social objectives to an independent purpose, which stands on its own.’

This being so we are not today breaking new ground, but rather continuing to go in the path that has already been opened following the Basic Law: Human Dignity and Liberty, which connects the expropriation power to the purpose of the expropriation.  Justice M. Cheshin, who is also of this view, uses the language of an ongoing connection between the lands that were expropriated and the owners of those lands.  This, it appears to me, is language anchored in civil law.  But we find ourselves in public law.  Therefore I am of the view that it is preferable to say, in the language of public law, that the expropriation power is appended to the purpose of the expropriation throughout the entire expropriation.

This way or that, today there is no longer room for doubt that a legal rule has been established by the Court in an extended panel: in principle, expropriation of lands for public necessity is valid as long as the public necessity exists.  This is the new rule.

This is so in principle. But in a practical manner there now have grown out of the new rule many and complex problems.  How is the legal rule to be implemented in the many cases of land expropriations that occurred over decades, being very different from one another?

8.    It is clear that the new rule does not require in every case in which the public necessity expires in land expropriation that, without exception, land will be returned to the original owners.  For example, it is possible that the lands were expropriated a very long time ago, and even the public necessity expired a long time ago, and since then they have served a private purpose, and no one has said a word; it is also possible that in the meantime the lands were sold and have been transferred in good faith from hand to hand; it is also possible that the face of the lands has undergone significant change, such as that a large structure was built on it for a certain purpose, so that under the circumstances it is not practical or reasonable to return the lands to the original owners; so too it is possible that the lands are still necessary for a public necessity although another necessity, slightly or greatly different from the original necessity; and it is possible that there is no justification for returning the land to the original owners because of delay on the part of the owners or because returning the lands will cause severe damage to the public interest.  What is the law in such cases?  Even in other countries where the law establishes that expropriation of lands is valid only as long as the public necessity exists, this law is subject to limitations, such as the time that has passed since the expropriation.

When and how then is it possible and proper to implement the new rule in Israel?

Problems in implementation of the new rule

9.    First, it is to be clarified that according to the new rule, it is not sufficient that the public necessity expired in order for the lands that were expropriated to transfer as though on their own, from the hands of the expropriation authority (whether it be the State or another authority) to the hands of the original owner.  In order for the lands to be transferred from hand to hand a decision is still necessary.  The decision can be made by the expropriating authority after it realizes that the public necessity expired, or by the Court when it is asked to decide in a dispute between the expropriating authority and the original owners.

Indeed, when the expropriating authority realizes that the public necessity expired, it would be proper that it notify the original owners of this and exchange words with him in order to make an arrangement for return of the lands to his possession or to work out another arrangement (such as purchase or compensation) which will be agreed to or even to inform him that it is its intention to continue holding the lands for another public purpose.

This is a change which is derivative of the new rule.  It has practical significance.  The communication between the expropriating authority and the original owners, against the background of the new l rule, is likely to end, and it is desirable that it should end, with an agreed upon arrangement.

10.  Second, implementation of the new rule raises various questions.  Among others, the question arises in the case where the public necessity which led to the expropriation of the lands expired, but in the meantime another public necessity, slightly or greatly different from the original necessity, has arisen.  Is the expropriating authority entitled to continue holding the land for the new public necessity, or does it need to expropriate the land again?  If in such a case, the authority has to expropriate anew, does it also have to pay compensation again?  And if so, in what amount?  And there is also room for the question if there is a difference between the case in which the owner of the land received compensation for the expropriation and the case where the owner did not receive (perhaps because he refused to receive) compensation.  Moreover, is the authority obligated to return the lands that were expropriated to the owner, or perhaps must it sell the lands to the owner?  And if so, at what price?  These questions and additional questions are as complex as they are important.  However, they need not be answered now, nor even an opinion expressed, by the Court.  It is possible and even proper that in time the answer be given in a statute.  If the answer will not be given in a statute, the Court will have no recourse but to provide the answer itself, when there will be a need for this.

11.   Third, a date must be set for the applicability of the new rule.  It is straightforward that this legal rule applies prospectively, on any land expropriation that will be done according to the Expropriation Ordinance from here on in.  From here on in the expropriating authority knows that the expropriating power is purpose appended, and therefore a new expropriation will be valid only as long as there is a public necessity for expropriation.

However, what is the law as to expropriation in the past, such as expropriation which was done a year or ten or fifty years ago:  does the legal rule apply retroactively on every expropriation that was done in the past?  Moreover, let us presume that the legal rule also applies to an expropriation that was done in the past for one period of time or other.  In such a case what is the law if the public necessity for the expropriation has also expired in the past, such as a year or thirty years ago?  It can be said that even if the new rule applies to an expropriation that was done in the past, it does not apply unless the public necessity in the expropriation will expire in the future, meaning from here on in.  But it can also be said otherwise, What is the law?

The question whether to give a new rule retroactive applicability is at the Court’s doorstep, at times explicitly and at times impliedly, whenever it lays down a new rule.  At times, the answer is clear, one way or another, according to the circumstances of the case and the substance of the legal rule.  At times the answer can move to and fro, and it is dependent on the circumstances of the case and the substance of the rule.  Then the Court must develop a stance for itself, as a matter of judicial policy, as to the date of applicability of the rule.

 

In the present case there are several possibilities for determining a date for the applicability of the rule.  In various countries in Europe in which the expropriation authority is purpose appended, such as France and Germany, the duty to return lands that were expropriated, when the public necessity expires, applies for a specific time period, such as a period of ten years from the day of expropriation.  What is the proper rule?  It is appropriate that these questions and other additional questions derived from the new rule be provided in a statute.  Indeed, the subject of expropriation of lands for public necessities is a topic that should properly be regulated in a detailed and comprehensive manner, as much as possible, by statute.  This is accepted in other countries.  So too in Israel.  But in Israel the Mandatory Ordinance which regulates the expropriation of lands is an outdated ordinance that is not compatible with the values of the State.  It should have already been replaced by a new law.  See supra paragraphs 1 and 2.  In any event now, with the change in the rule, the need for a new statute that will be compatible with the values of the State, will not infringe on property right in a manner that goes beyond what is necessary, and will also provide answers to problems which arise from the new rule, has become more urgent and pressing.

However, the question of the date for applicability of the new legal rule is before us today, in the petitions that were filed already several years ago, and there is no avoiding an answer, if only a partial answer, to the extent it is necessitated by the present case.

12.  However, the question of the date for the applicability of the new rule was not discussed at all before the Court, neither orally nor in writing, and it would not be proper to give it an answer without a foundation of arguments.  Therefore I agree that it is proper to now hear the arguments of the parties on this question, as said in paragraph 91 of the decision of Justice Cheshin.

 

 

Justice T. Strasberg-Cohen

1.    I accept that according to the legal rule that has come out of this decision in the words of Justice M. Cheshin and I. Zamir, once the public purpose for which the land was expropriated has been exhausted, the one from whose ownership the land was expropriated is entitled – in principle – to the return of the land or to compensation if it cannot be returned subject to the exceptions mentioned in the opinion of my colleague.

2.    As for myself, I see the ownership acquired by the State by way of expropriation as a special legal institution of ‘public ownership’ which is acquired by compulsion, and which is not expressed in the Land Law 5729-1969 and it is an outcome of the laws of expropriation.  The legal rule that has come out of this decision before us is derived of this.  When the purpose of the expropriation has been exhausted, the duty of the authority arises to return to the original owner the land that was taken from him by the authority by compulsion (or to pay compensation, according to the circumstances).  This duty reflects the protection of the property right of the original owner, which was anchored as a constitutional right in the Basic Law: Human Dignity and Liberty.

3.    From the  legal determination which has come out before us in this decision various questions are derived which we are not called upon to determine at this stage or in this matter, such as on whom the legal rule which has come out before us will be applied, on one whose grounds for his suit – which arises with the change in expropriation of the land – will ripen after the handing down of this decision; one whose grounds for suit arose in the past and the statute of limitations has not applied to it yet, or only on the petitioners before us.  Additional questions are what is the ramification of the passage of time since the expropriation and until the change of purpose on the right to the return of the land or to compensation; what is the ramification of the new purpose that was designated for use of the land by the expropriating authority, on the right to the return of the land; what ramification is there to the state of the land at the time of the change in designation (the existence of structures on it or the granting of rights to third parties) on the question if it is to be returned or if compensation is to be paid for it; what is the fate of improvement of the land by the authority, if it was improved: what are the conditions in which it is made possible for the expropriation authority to change the purpose of the expropriation and leave the land in its hands by power of the expropriation; what are the ramifications of receipt of compensation in the past as a result of the expropriation on the right to return of the land and other similar questions.  Part of these questions will be dealt with – as necessary – at the second phase, after hearing the parties’ arguments, as was determined in the decisions of my colleagues, some of them will be left for later determination, when they arise.

I therefore also join the result acceptable to my colleagues, which finds expression in paragraph 91 of the decision of Justice M. Cheshin and I also join my colleagues call to the legislator, to regulate this important topic in legislation, and the sooner the better.

 

 

President A. Barak

Today an important legal rule is being handed down.  According to it if the public purpose which served as the basis for expropriation of lands according to the Expropriation Ordinance (Purchase for Public Purpose) (hereinafter: ‘the Expropriation Ordinance’) ceases to exist, the expropriation is cancelled and as a rule (subject to exceptions) the lands are to be returned to the owner of the lands from which they were expropriated (the ‘original owner’).  This legal rule is acceptable to me.  I ask to make several comments as to the theory (or model) at the basis of this important legal rule and its normative basis.

The model at the basis of the legal rule

1.    My colleague Justice M. Cheshin places the ‘ongoing connection model’ at the basis of the legal rule.  My colleague Justice Zamir places at the basis of the legal rule the approach of ‘purpose appended authority’.  Both of my colleagues seek to establish a ‘model’ or a ‘prototype’ or a ‘doctrine’ (hereinafter: ‘the theory’).  The role of the theory in general is two-fold: on the one hand it explains the existing normative framework.  This framework is not impacted by it nor was it caused by it.  The existing normative framework is deduced from sources which are external to the theory itself (this can be termed the explanatory face of the theory).  On the other hand, it constitutes a legal source from which normative results are derived.  The theory, in itself, effects legal consequences (they can be termed the creative face of the theory).  I have discussed these two roles of theory elsewhere, noting:

‘The purpose of general theory is twofold: first, it can give an explanation of existing law.  From this perspective it constitutes a tool of interpretation; second, it can assist in the solution of new problems, which have not yet arisen.  From this perspective it constitutes an operative legal norm.  In a certain sense, our work is like the work of a mathematician, who on the basis of a given number of geometric points on a surface deduces a general geometric shape which represents these points.  With the help of this geometric shape it is possible to deduce the existence of additional points that have not yet been established’ (A. Barak ‘the Essence of a Note’ [54] at p. 17).

We find that in relation to certain questions, theory summarizes existing law.  It gives a ‘name’ or ‘explanation’ to what was determined without it, and in for whose determination it was not needed.  In relation to other questions, theory is an independent norm, from which solutions are derived.  It grants the solution to the legal problem that is derived from the theory itself.  What is the status of the theory which my colleagues are proposing in the case before us?

2.    I will open with the theory of my colleague Justice Cheshin.  A significant portion of his judgment is dedicated to the model (or the theory or doctrine) of the ongoing connection.  According to the importance which my colleague attributes to it, it would be possible to presume that in relation to the problem before us – whether the cessation of the public purpose brings about cancellation of the expropriation – it provides an answer to the problem (the creative face).  Support for this approach can be found in the stance of my colleague that in expropriation, the authority ‘as though must justify the expropriation action daily’ (paragraph 17).  My colleague continues and learns an analogy from the seizing of assets according to the Defense Regulations from 1939, and from the words below of Justice Silberg as to that seizure:

‘Confiscation of assets according to regulation 48, is not a one-time completed act, but an ongoing continuous action which often draws its right to exist from the consistent desire of the authority that is condemning’ (HCJ 31/48 supra [11], at p. 200)

Indeed, were the ‘institution’ of expropriation built on the concept that the expropriation is not a one-time completed act but a continuing act which ‘often draws its right to exist from the consistent desire of the authority’ that is expropriating, then it would be possible to say that from this model of expropriation the conclusion is to be drawn – as an expression of the creative face – that if the public purpose ceased to exist the expropriation must be cancelled.  But the expropriation is not an ongoing activity.  It does not constitute – while adopting the theory espoused by Justice Silberg as to making a will – ’a sort of ‘ambulatory’, transitory creature’ (CA 148/52 Kasprios v. Kasprios [34] at p. 1292.)  Expropriation is a one-time legal action.  The need for the continued existence of the public purpose is not derived from the very institution of expropriation.  It is concluded from considerations which are external to the expropriation itself, and at their center the central status of property right.  Indeed, as my colleague Justice M. Cheshin has shown, in various countries in which the institution of expropriation exists there are various solutions as to the need for the continued existence of the public purpose.  I have no doubt that there is not in the model (or theory) of the ongoing connection to bring about the legal rule which arises from our judgment.  It is not to be said the since the connection between the original owner and the expropriated lands is an ongoing connection, therefore, with the cessation of the public purpose which stood at the basis of the expropriation the lands return to the original owner.  All that can be said is that the connection-maintaining model (or theory) explains the result that the Court reached for other reasons.  Therefore, it is to be said that since according to the legal rule the State must return to the original owner – to him and not to another – the lands that were expropriated from him, therefore, the original owner maintains, despite the expropriation, the connection to the land that was expropriated.  Indeed, it is important to relate to the connection-maintaining model (or theory) as a model which explains a normative system that was designed by force of considerations which are external to it (explanatory face), and not as a model that has, in terms of the question before us, a life of its own, in a manner that there is in the force of the model to provide a foundation for the legal rule.  If indeed I am right, then in any event the title of the (explanatory) model does not raise a question of much importance.  It is only a matter of judicial semantics.  It can be used if it is precise and does not create excessive problems.

3.    In this textual realm I would like to note that the talk of ongoing connection may create the impression that the original owners is left with a property right in the land even after expropriation.  My colleague Justice M. Cheshin writes:

‘The ongoing connection model shows us that past owner holds on to a legal connection – at some intensity or other – to the land that was expropriated from his ownership; and that the act of expropriation does not disconnect the owner entirely from that land.’

Certainly this is not the approach of my colleague Justice M. Cheshin.  The ongoing connection of the original owner does not grant him a property right to the lands that were expropriated.  All that was granted to the original owner is the right to demand from the State the cancellation of the expropriation and the return of the ownership (or its value) to the original owners.  This is an obligatory right toward the State.  It is not a property right in the land.  It is not to be said that after the expropriation the original owner is in a ‘holding pattern’ for his ownership to be filled with new content.  (See Y. Weisman Property Laws-Ownership and Partnership [55] at p. 28).  He is not left with a blank box titled ‘ownership’ which will be filled with property rights that were ripped from it. (ibid, at p. 31).  With the formulation of the expropriation the original owner ceases to be the owner of the lands.  The ‘box’ in its entirety has been transferred to the State.  However since the property was taken from the original owner without his consent and for the sake of realizing a public purpose, the expropriation is cancelled and the original owners are given a remedy following this.

4.    My colleague Justice Zamir describes the power of the Minister of Finance to expropriate lands as a ‘purpose appended’ authority.  It is clear from his decision that he does not see this characterization as a source of the requirement that the public purpose exist not only at the time of the expropriation but also after the expropriation.  This characterization does not express the creative face of the theory.  This characterization is descriptive, and it expresses the explanatory face of his approach.  The source for the requirement of ‘appendance’ of the purpose does not stem from the expropriation laws themselves or from the jurisprudence of administrative law.  The source for this requirement stems from the weighty status of property right, which in 1992 became a constitutional right.  Justice Zamir notes that ‘This being so we are not today breaking new ground, but rather continuing to go in the path that has already been opened following the Basic Law: Human Dignity and Liberty, which connects the expropriation authority to the purpose of the expropriation’ (paragraph 7).  I agree with this approach and in any event I have no objection to use of the phrase ‘purpose appended’ power.  I hope that in the future it will be possible to develop the rules of this power for additional and similar powers in a manner that it will be possible to use this model not only to explain normative results achieved by sources external to it (the explanatory face), but it will be possible to see in this model itself a source of the requirement as to the appendence of the requirement to the authority (creative face).  This matter does not require determination in our matter.

5.    My colleagues dedicate part of their decision to finding the ‘geometric place’ of the new theory – the model of the ongoing and continuous connection on the one hand and the ‘purpose appended’ model – in the field of private or public law.  It appears that they both agree to the fact that at the source of the legal rule which arises from our judgment rests the central status of property right.  This right has lately received constitutional supra-statutory status.  By its very nature, property right operates both in the public realm (in all that relates to the relationship between individuals among themselves).  In the matter before us – the (obligatory) right of the original owner toward the State (to cancellation of the expropriation) – its operation is in the realm of the public law.  Indeed, Justice M. Cheshin notes in his judgment that ‘this bite that the doctrine is meant to take out of property ownership, limits itself, by definition – and subject to other doctrines in law – primarily to the relationship between the State (or other public authorities) and the individual, and to the law of expropriation alone’ (paragraph 35).

The status of the basic law: Human dignity and liberty

6.    What is the role of the Basic Law: Human Dignity and Liberty in the petitions before us?  In this matter there is a certain difference between the approach of Justice Zamir and the approach of Justice M. Cheshin.  Justice Zamir sees the Basic Law: Human Dignity and Liberty as the primary basis for a change in the interpretation of the Expropriation Ordinance.  Justice Zamir writes:

‘The change in the interpretation of the expropriation power, which recognized this power as a purpose appended power, occurred following the Basic Law: Human Dignity and Liberty.’

The stance of Justice Cheshin is more qualified.  According to his view, it was possible to reach this legal rule already in the Mandate period, and certainly after the establishment of the State and before the legislation of the Basic Law: Human Dignity and Liberty.  We find that it is not the Basic Law which brought about the new legal rule, although it ‘helped us reveal the light of the hidden, but did not have – and does not have the power – to create something from nothing as to the statutes which preceded it’ (paragraph 42).  These differences of opinion are not new (see CrimMA 537/95 [20] CrimFH 2316/95 [21]).  I wish to express my view on them briefly.

7.    The starting point is that the Basic Law: Human Dignity and Liberty did not come to damage the validity of a law that existed on the eve of the start of the Basic Law (see section 10).  However, the Basic Law impacts the interpretation of a statute that existed on the eve of its inception (hereinafter: ‘the prior statute’).  This impact is inherently limited, as there is not in the power of the Basic Law to bring about a new interpretation which cannot be reconciled with the language of the prior statute.  Any interpretation is limited by the language.  The interpreter is not permitted to give the language of the law a meaning which the language cannot bear.  I discussed this in one of the cases, noting:

‘The work of interpretation is not limited only to words, but the words limit the interpretation... it is possible that the language of the statute will be given a broad interpretation or a narrow interpretation, a regular interpretation or an exceptional one, but generally an archimedic grasping point must be found for the purpose in the language of the Statute.’ (FH 40/80 Kenig v. Cohen [35] at p. 715).

But in the framework of the range of textual possibilities of the prior statute the Basic Law has a great influence.  It operates primarily in formulating the purpose of the prior statute.  This purpose is, as is known, the specific purpose and the general purpose.  The first is learned from the language of the law and its history.  The second is learned from the basic values of the system (see HCJ 953/87 Poraz v. Mayor of the City of Tel-Aviv Jaffa [36]).  These two purposes – and the final purpose which is formulated from them – are not frozen in time.  They are dynamic (See A. Barak, Interpretation in Law, Vol. 2, Statutory Construction [56] at p. 264, 603) Therefore a purpose that would have formulated in the Mandate period is not identical to the purpose that the Court would formulate after the establishment of the State HCJ 680/88 Scnitzer v. Head Military Censor [37] at p. 627; HCJ 2722/92 supra [22], at p. 705).  A purpose that would formulate with the establishment of the State is not identical to the purpose the Court would formulate following fifty years of independence.  Our understanding of the language and the history (the specific purpose) changes with the passage of time.  Our understanding of the basic values of the system (the general purpose) change with the change of time.  Our understanding of that which surrounds us changes all the time, and with it our approach as to the purpose of the legislation changes.  I discussed this in one of the episodes, noting:

‘The meaning that is to be given to the statement in the statute... is not set and standing forever.  The law is part of life, and life changes.  With the change in reality the understanding of the law also changes.  The language of the law stands as is, but its meaning changes with the ‘changing life conditions’... the law blends with the new reality.  In this way an old law speaks to the modern person.  From the interpretive approach, that ‘the law always speaks’... interpretation is a renewing process.  Modern content is to be given to the old language, in this way the gap between the law and life is narrowed.  Against this background it would be proper to say, as Radbruch has said that the interpreter may understand the law better than the maker of the law and the law is always wiser than its maker... the law is a living creature, its interpretation must be dynamic.  It is to be understood in such a way that it will blend with and advance the modern reality.  (HCJ 2000/97 Lindorn v. Karnit, Fund for Compensation of Victims of Road Accidents [38] at pp. 32-33.)

Therefore I do not find fault with the justices of the Supreme Court at the time of the establishment of the State for not developing the legal rule that arises from our judgment fifty years ago or thirty years ago.  Times were different.  Problems were different.  Horizons were different.  The balance between the needs of the public and the individual – which formulates the general purpose of every statute – was different.

8.    A central factor which brings about a change in understanding the language of the law is constitutional change.  The new constitutional framework brings after it constitutionalization of all legal systems (see HCJ 3267/97 Rubinstein v. Minister of Defense [39] at p. 522).  Its significance is that it raises new values or gives them new weight.  A new balance is created between the conflicting general values.  This is so generally.  This is so in particular when the constitutional change is in the provision of constitutional status to human rights.  The change creates a new normative framework for the status of human rights.  As a result a new balance is created between human rights and public necessities.  A ‘constitutional revolution’ takes place (see CA 6821/93 supra at p. 352).  In the framework of this new balance a change may occur in the purpose of prior statutes.  A purpose that could not have been formulated prior to the passing of basic laws might be able to be formulated after the passage of basic laws.  And again, the text of the law has not changed.  But the purpose of the law has changed.  The change might be slight.  It may reflect a new purpose that could have been reached – even if in fact it was not reached – in the past.  The change may be weighty.  It may reflect a new purpose that could not have been reached in the past.  Indeed, Radbruch’s statement – that the law is always wiser than its maker – is particularly true during a time of constitutional change.  These change the normative expanse in which we continue to think.  It is no longer possible after the legislation of the basic laws on human rights to think of the general purpose of the legislation in the same manner in which we thought of it before the legislation of the basic laws.  Our normative world has changed, our way of thinking has changed (knowingly or unknowingly).

9.    Therefore, it is only natural in my view that our approach to the purpose of the Expropriations Ordinance is different from the approach to it fifty years ago or thirty years ago.  The central change occurred with the legislation of the Basic Law: Human Dignity and Liberty.  This law granted constitutional supra-statutory status to the property right of the original owners.  In the balance between the property right of the original owners and the public necessities a change has occurred.  This change does not impact the validity of the expropriation ordinance.  It is expressed in our new understanding of the purpose of the Expropriation Ordinance.  It leads to increasing consideration of the rights of the original owners (see HCJFH 4466/94 supra [9] at p. 88 (Justice Dorner); HCJ 2739/95 supra [5] at p. 321 (Justice Goldberg); at p. 327 (Justice Mazza)).  This consideration is not enough to create a property link between the original owner and the expropriated land.  But this consideration is sufficient to impose upon the state the duty to cancel the expropriation if the public purpose no longer exists.  Indeed, the basis for the legal rule is the central status of the property right of the original owner.  The expropriation mortally wounded this right.  The property of the original owner was taken from him without his consent, without leaving in his hands a vestige of right in his property.  The reason for taking the property was in the existence of the public purpose which justified sacrificing the property of the individual on the public’s altar.  Justice requires that when the public purpose terminated, and the original reason was removed for the continued ownership by the State in the land, the ownership will be returned to the original owners (see HCJ 282/71 supra [14], at p. 469-470).  The State’s ownership comes to it for the use of its governmental powers and against the wishes of the original owner.  From hence, that its ownership in the lands is of a special character (‘public property’).  Thus, for example, it is not proper that the day after the expropriation the State can sell the land in the market in order to finance its budget.  Limitations are placed on the State’s ownership.  One of those limitations – which is derived from the demand of justice and from the property right of the original owner which has been denied from him without his consent – is that with the passing of the public purpose which was at the basis of the expropriation the expropriation itself will be cancelled.

10.  My colleagues, Justices Zamir, Strasberg-Cohen and S. Levin have raised a series of questions which they wish to leave for further inquiry.  I join them.  I also join the call to the legislator as to the urgent need to regulate the entire matter in a statute.

 

 

Vice President S. Levin

1.    I agree both with the result and the basic approach of my distinguished colleague Justice M. Cheshin in his monumental opinion as to the non-severing of the connection between the owner of the land that was expropriated and the land.  Whether we adopt the model of the connection-maintaining expropriation action or the model of the purpose appended expropriation power, I accept, as do my colleagues, that when the purpose of the expropriation is cancelled the owner of the land is entitled – in principle – to its return to his possession.  The disagreement between my esteemed colleagues Justice M. Cheshin and Justice Zamir as to the precise placement of the question before us – appears semantic to me.  It relates to artificial distinctions, which may be different from one another in various legal systems and may contain elements of this one and of that one.  In the end – the law is one, and its division into separate and distinct squares – each evolving independently –appears undesirable to me and does not serve any useful purpose.

2.    As my distinguished colleague Justice M. Cheshin, I too wish to leave for further inquiry the same questions which he did not determine with finality, without expressing any opinion as to them.  Thus, for example, I wish to leave for further inquiry the question as to what the law is regarding one whose lands were expropriated and compensation was paid to him, and the question whether consequent to a change in the public purpose it is incumbent upon the authority to expropriate the land anew. 

I join the call of my distinguished colleagues to the legislator to regulate the subject of expropriation of lands in a comprehensive, modern, and ordered statute.

 

 

Justice D. Dorner

1.  I agree that the expropriation power according to the Lands Ordinance (Purchase for Public Purposes) (hereinafter: ‘the Purchase Ordinance’) is limited to the purpose of realization of a public necessity, and that when the land is no longer necessary for the realization of the public necessity, the Minister of finance, as a rule, is to cancel the expropriation.

This legal rule is not new to us.   It developed following the legislation of the Basic Law: Human Dignity and Liberty (hereinafter: ‘the Basic Law’), in the framework of which constitutional status was granted to the right to property .  This necessitates a re-examination of the interpretation of laws which violate the right to property.  See the words of Justice Or in HCJ 3956/92 supra [8], at paragraph 6 and the words of Vice-President Barak in CrimMA 537/95 [20], at pp. 418-419 (in a majority opinion that was approved in FHCrimA 2316/95 supra [21], at p. 655).

2.  Even before the passing of the Basic Law the right to property was recognized as a basic right.  With the passage of years changes also occurred in the interpretation of the Mandatory Purchase Ordinance.  It was established that the authority of the Minister of finance to expropriate land exists for a defined purpose, which it must publicize; that its discretion is limited and not absolute and that the expropriation will be invalidated if the considerations of the minister were afflicted by severe defects.  See HCJ 307/82 supra [3].

However, the actual decisions of the courts—which possibly fit the social reality of the early days of the State  - did not reflect the rhetoric, which the courts expressed, as to the status of the right to property as a basic right.  See Haviv-Segel in her article supra [63], at pp. 454-455.

3.  In our matter it was decided that expropriation according to the Purchase Ordinance is valid even if the public purpose for which the land was expropriated has ceased to exist, and that in principle the court will not get involved unless the expropriation was afflicted by severe defects such as arbitrariness and lack of good faith.  Thus, in HCJ 282/71 (hereinafter: ‘HCJ Binyan’ [14] a petition to return land that was expropriated without compensation for the purpose of establishing a military camp, and which with the passing of the security necessity was to be sold to investors, was dismissed.  The Court did not find a basis in law to obligate the Minister of finance to cancel the expropriation, although it was of the view that justice would require this.  It was also decided that under the assumption that the land is necessary for a public purpose different from the one for which it was expropriated, it is not possible to compensate the petitioner according to the present value of the land because with the implementation of the expropriation the ownership of the land was granted to the State, ‘and what has already been acquired for public needs, is not to be acquired again.’ (Justice Landau, ibid, at p. 470).  The Court even recommended amending the Purchase Ordinance in a manner that would prevent injustice.

The legislator did not heed the Court’s recommendation, and the Purchase Ordinance was not amended, nonetheless in 1992 the right to property was anchored in the Basic Law.

4.  Against this background, and as the normative change in the status of the property right has introduced an opportunity for the re-examination of the interpretation of laws infringing on the right to property, the laws of expropriation according to the Purchase Ordinance were given a new interpretation, which brought about significant change.

In HCJ 5091/91 (hereinafter: ‘HCJ Nuseiba’ [6]) it was decided in reliance on the Basic Law, to return lands that were expropriated after it was determined that the public necessity for which they were expropriated expired.  And so wrote Justice D. Levin in paragraphs 4-8 of his decision:

‘In light of the principles in the Basic Law itself, the limiting interpretation of [the Purchase Ordinance] is to be given even greater validity.

...

When it turns out after the fact that there is no longer a vital need for the expropriated land, the owners have grounds to free themselves from the shackles of expropriation and to act as the owners of their land.  This result is necessitated by the basic rights of the petitioners over their private property...’

Justice Mazza agreed with Justice D. Levin.  Even Justice Or, who in a minority opinion was of the view that the petition was to be dismissed, did not disagree that indeed a change had occurred in the normative status of the right to property which requires an interpretation which suits this change.  But, Justice Or explained, in the circumstances of that case, as a matter of fact, the original public necessity remained intact.

In addition, in the further hearing that took place on this decision—FHHCJ 4466/94 (hereinafter ‘FHHCJ Nuseiba’ [9])—in the framework of which the stance of Justice Or in HCJ Nuseiba [6] was accepted, no reservation was expressed as to legal rule which establishes that with the passing of the public purpose the authority must return the land to its owners.  The debate between the judges of the majority and the judges of the minority was factual in essence and touched upon the question of the existence of the public necessity.  In the legal literature as well it was explained that in FHHCJ Nuseiba [9] the Court did not intervene in the legal rule that was established in the original High Court of Justice case but rather only in the result.  See Haviv Segel, in her article supra [63] at p. 460; H. Dagan ‘The Laws of Governmental Taking and Laws of Competition—Toward a New Property Discussion’ [57] at p. 676 footnote 6.  In any event, the legal rule -  that the rules of expropriation according to the Purchase Ordinance are to be cancelled when the public necessity for which the land was expropriated no longer exists - is alive and well since the day that FHHCJ Nuseiba [9] was handed down—9 August 1994.

5.  My view in FHHCJ Nuseiba [9]—from which the majority judges did not have reservations—was that in the face of the constitutional status of the right to property a broad interpretive approach which enables the authority which expropriated land for a public purpose to use it for another purpose, after the original purpose has passed on from this world, is no longer to be accepted.  I wrote as follows:

‘It was decided that the Minister is entitled to expropriate the land for a public purpose, and later to change the designation of the land as he sees fit.

...

This approach of the case law... can[not] be accepted after the passing of [the Basic Law].  The basic right to property is today anchored in section 3 of the Basic Law, in which it was determined:

‘a person’s property is not to be violated’

...

Indeed [the Purchase Ordinance] has preceded the Basic Law and therefore its provisions cannot impinge on its validity (section 10 of the Basic Law).  However, as to its interpretation and the exercise of discretion by its authority section 11 of the Basic Law applies.  According to this section, all the governmental authorities—including the Court—must respect the rights anchored in the Basic law, as much as this is consistent with the valid statutes on whose basis they operate.  The Court must fulfill this duty by an exacting interpretation of the statutory provisions which permit infringement of the property right, which will express the status of property right as a constitutional supra statutory basic right.  From this status a new balance is needed between the public interest and the basic right.

...  respect of the right to property as necessitated by section 11 of the Basic Law will be achieved, inter alia, by the exercise of discretion according to the law in accordance with what is said in section 1 and section 8 of the Basic Law.  From section 1 of the Basic Law in which it is established, inter alia, that ‘basic human rights in Israel...  will be respected in the spirit of the principles in the declaration of the establishment of the State of Israel’ it follows that the discretion which relates to the right to property (similar to the rest of the constitutional basic rights) are to be exercised out of ‘complete social and political equality for all the citizens [of the State] without distinction as to religion, race or gender’ (as said in the Declaration).  From section 8 of the Basic Law... it follows that the right to property is not to be infringed upon, other than in a manner that is compatible with the values of the State of Israel as a Jewish and Democratic State, for a proper purpose and to a degree that does not go beyond what is necessary.’

I have continued to hold this view even after reading the decision of my colleague Justice M. Cheshin who has reservations as to connecting the change that occurred in the interpretation of the Purchase Ordinance to the passing of the Basic Law, and in any event I agree with the stance of Justice Zamir.

Indeed the legal rule agreed to by all of us establishes a fundamental approach, alongside which remain a row of open questions which were detailed by my colleagues Vice-President S. Levin, and Justices Zamir and Strasberg-Cohen, who have also recommended that legislation provide an answer to these question.

Indeed, the legal development by way of changes in interpretation is slow and truncated and generally derivative of the concrete cases heard before the Court.  There is, therefore, no doubt, that in our matter it would be proper to establish comprehensive and full regulation in the law.

I therefore join the stance of my colleagues both as to the existence of the open questions and as to the need for legislation.

However, in this proceeding we must determine whether the interpretation according to which the expropriation is subject to be cancelled when the land is no longer needed for public necessity, is applicable in our matter.  We will do so after receiving the arguments of the parties.

 

 

Justice D. Beinisch

We have reached broad agreement in determining the legal rule according to which if the public purpose that was at the root of the expropriation of the land according to Lands Ordinance (Purchase for Public Purposes), has ceased to exist, the expropriation is cancelled, and this subject to the exceptions and the rules that are to be developed.  Before I developed my stance in the matter before us there was before me the comprehensive, broad scoped opinion that my colleague Justice M. Cheshin laid out and the opinion of my colleagues Justice Zamir and President Barak which reached the same conclusion on the basis of different theories.

Once we have agreed to the result I do not see the necessity of expanding on the questions which touch upon difference in the starting point which is at the basis of the joint result.  In a general manner it would be correct to say that the basic approach in our system was that the expropriation denies the property right from the owners and severs the property connection to the lands in the transfer of the full rights to the State.  Accordingly this Court did not find that it was able to intervene as to the exercise of powers in all that relates to the later stages of the expropriation, even though this result was unsatisfactory and subject to criticism.  My colleague Justice M. Cheshin is of the view that this approach is to be changed from its core and thereby expressed the criticism that was expressed over many years as to the ‘connection-severing’ approach.  The question of the nature of the connection between the land owner and the expropriated land and the result which arises from this are planted in the legal system in which the expropriation power is anchored.  In my view, the result we reached is necessitated by the character of the expropriation power and from the relationship that was created between the expropriating authority as a governmental authority and the individual whose property was expropriated.  As to the expropriation power and as to the governmental activity which will bring on the principles which limit the power of the regime to infringe on basic rights, where the duty to narrow the infringement is not limited to the expropriation process itself.  In the era after the passing of the Basic Law this limitation is to be given meaning that will express the narrowing of the expropriation power to the public purpose for which it was designated.

In their various opinions my colleagues pointed, each in their way, to the development that occurred over the years in the approach of this Court in relation to the expropriation power and judicial review of it.  In summary it can be established that the path that our case law has taken from the beginnings of the State until today was a one way path that has marched the Court in one direction: a direction of interpretive development according to which the discretion of the authority on the subject of expropriations stands before judicial review according to the general principles which apply to the authority when it comes to infringe on a basic right.

My colleagues have discussed the fact that the manner of this Court in interpretation which touches upon the extent and the nature of governmental powers that were granted to the authority in the period of the Mandatory regime adapts itself to the period in which the interpretation is given, and therefore it is a dynamic interpretation which is not to be detached from the background and the circumstances in which the governmental power is exercised.  Like them, I too am of the view that after legislation of the Basic Law: Human Dignity and Liberty the interpretive process took a significant turn in all that relates to establishment of the proper balance between the protection of the rights of the individual and the public interest.  It appears, that none among us disputes the very impact of the Basic Law on the matter before us.  The difference in views is none other than a difference in the weight that each of us gives to the centrality of the Basic Law in the legislation that preceded it.

I share the view of those who hold that the change in the view of this Court as to the result which is necessitated by the cancellation of the purpose of the original expropriation is anchored in the change in the system of balances between the rights of the individual and the public interest according to the Basic Law.  This change also influences the character and extent of the governmental authority in all that relates to the expropriation of the property of the individual for the public purpose.  My colleague, Justice Dorner, has discussed this development which came following the Basic Law in the decision in HCJFH 4466/94 supra [9] at pp. 86-88.

I join the view that the character of the expropriation power is what necessitates that it be limited to the purpose for which it was granted.  The limitations on the power of the authority according to the principles of the limitations clause in the Basic Law are not exhausted at the expropriation stage itself and apply to every later governmental activity related to the expropriation.  The very expropriation and the processes implemented following it are to be seen as subject to the limitations of the law which are tied to the violation of basic rights.  These principles raise a duty on the part of the authorities as to those from whom the land was expropriated for a purpose that was justified at the time of expropriation and for this purpose only.  Return of the land or provision of compensation, depending on the circumstances, at the time that the purpose of the expropriation ends is part of this duty.

I will further add that I have no other recourse but to join the views of all my colleagues that the change in the legal rule raises many questions that we cannot answer in the framework of the proceeding before us and as to the recommendation shared by all of us for this matter to be regulated in legislation.

 

 

Justice T. Or

I had the advantage and pleasure of reading the decisions of my colleagues Justice M. Cheshin, Justice Zamir, and President Barak.  I accept, as do all the other members of the panel, the result reached by the three of them.  According to this result (a) if the public purpose which served as the basis for the expropriation of the lands according to Lands Ordinance (Purchase for Public Purposes), ceased to exist, as a rule, the expropriation is cancelled, and the owner of the expropriated lands is entitled to the return of the lands subject to exceptions and rules that are to be formulated; (b) once the principle has been established in our judgment, it is proper that the legislator say its piece and regulate the matter of expropriation of lands against the background of what has been said in this judgment; (c) as to the question of the applicability of the law to our matter, this will be decided after hearing the parties’ arguments, as said in paragraph 91 of the decision of my colleague Justice M. Cheshin.

 

 

Justice E. Mazza

The legal rule coming forth before us today expresses in clear and explicit language the approach which I expressed and supported in the Nuseiba case (HCJ 5091/91 [6] and HCJFH 4466/97 [9]) and in the Mahol case (HCJ 2739/95 [5]) as to the expropriation power being a ‘purpose appended’ power.  I, of course, agree to this legal rule, which properly reflects a change in the interpretation that was given in the past to the meaning of expropriation according to Lands Ordinance (Purchase for Public Purposes) and which is necessitated from recognition of the Basic Law: Human Dignity and Liberty given that property right is a protected constitutional right.  Due to the possible ramifications of this legal rule, and without taking a stand as to the proper determination in the matter of the petitioners, I agree to the determination proposed in paragraph 91 of the decision of our colleague Justice M. Cheshin.  It seems to me as well that the legislator would do well if it moved promptly to develop a statutory arrangement that would provide a practical and proper response to a row of open questions that the application of the new legal rule may raise.

 

It was unanimously decided as said in paragraph 91 of the decision of Justice M. Cheshin.

 

20 Shvat 5761

13 February 2001

Ka’adan v. Israel Land Administration

Case/docket number: 
HCJ 6698/95
Date Decided: 
Wednesday, March 8, 2000
Decision Type: 
Original
Abstract: 

Facts: The State of Israel, through the Israel Lands Administration, allocated land in the Eron valley region to the Jewish Agency for Israel.  The Jewish Agency, through a cooperative society, set up the settlement of Katzir on this land. The objectives of the Jewish Agency for Israel include the settlement of Jews throughout the land of Israel. For its part, the cooperative society will only grant membership to Jews. Petitioners, a couple with two daughters, are Arabs. They requested to live in the settlement of Katzir. According to petitioners, their request was immediately denied by reason of their being Arabs, since the land was allocated for the exclusive establishment of a Jewish settlement.

 

Held: The Court held that the principle of equality is one of the foundational principles of the State of Israel. It applies to all actions of every government authority. The Court held that the policy constituted unlawful discrimination on the basis of nationality.  The Court held that the fact that the settlement was built through the Jewish Agency for Israel could not legitimize such discrimination.

 

Justice Y. Kedmi in a separate opinion was of the view that only a declaratory judgment regarding the status and weight of the value of equality with regard to the allocation of state land was warranted along with the clarification that the judgment is forward-looking and does not provide grounds to re-examine acts performed in the past. 

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

 

HCJ 6698/95

1.     Aadel Ka’adan

2.     Iman Ka’adan

v.

1.     Israel Land Administration

2.     Ministry of Construction and Housing

3.     Tel-Eron Local Council

4.     The Jewish Agency for Israel

5.     Katzir, a Cooperative Society for Communal Settlement in Samaria Ltd.

6.     Israel Farmers Association

 

The Supreme Court Sitting as the High Court of Justice

[March 8, 2000]

Before President A. Barak, Justices T. Or, M. Cheshin, Y. Kedmi, I. Zamir

 

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

 

Facts: The State of Israel, through the Israel Lands Administration, allocated land in the Eron valley region to the Jewish Agency for Israel.  The Jewish Agency, through a cooperative society, set up the settlement of Katzir on this land. The objectives of the Jewish Agency for Israel include the settlement of Jews throughout the land of Israel. For its part, the cooperative society will only grant membership to Jews. Petitioners, a couple with two daughters, are Arabs. They requested to live in the settlement of Katzir. According to petitioners, their request was immediately denied by reason of their being Arabs, since the land was allocated for the exclusive establishment of a Jewish settlement.

Held: The Court held that the principle of equality is one of the foundational principles of the State of Israel. It applies to all actions of every government authority. The Court held that the policy constituted unlawful discrimination on the basis of nationality.  The Court held that the fact that the settlement was built through the Jewish Agency for Israel could not legitimize such discrimination.

Justice Y. Kedmi in a separate opinion was of the view that only a declaratory judgment regarding the status and weight of the value of equality with regard to the allocation of state land was warranted along with the clarification that the judgment is forward-looking and does not provide grounds to re-examine acts performed in the past.

 

For petitioners—Neta Ziv, Dan Yakir

For respondents 1 & 2—Uzi Fogelman

For respondent 3—Ilan Porat

For respondent 4—Dr. Amnon Goldenberg, Aharon Sarig, Moti Arad;

For respondents 5 & 6—Gad Shteilman, Yehudah Torgeman.

 

Basic laws cited:

Basic Law: Israel Lands, s. 1.

Basic Law: Human Dignity and Liberty, ss. 1, 8.

Basic Law: Freedom of Occupation, s. 4.

 

Legislation cited:

Law of Return 5710-1950.

World Zionist Organization -- Jewish Agency (Status) Law, 5722-1952, s.

8(b).

Israel Land Administration Law, 5720-1960, s. 3.

 

Draft legislation cited:

             Draft Proposal for Basic Law: National Lands, Hatzaot Hok 5719-1959 at 272 in 27 Divrei Knesset (5719-1959).

             Draft Proposal for the Israel Land Administration Law, 5720-1960 (Hatzaot Hok 34).  

 

Israeli cases cited:

 

  1. CA 55/67 Kaplan v. State of Israel, IsrSC 21(2) 718.
  2. HCJ 953/87 Poraz v. Mayor of Tel-Aviv-Jaffa, IsrSC 42(2) 309.
  3. HCJ 869/92 Zwilli v. Chairman of the Central Elections Committee for the Thirteenth Knesset, IsrSC 46(2) 692.
  4. CA 105/92 Re’em Engineers and Contractors Ltd. V. The Municipality of Nazareth-Illit, IsrSC 47(5) 189.
  5. HCJ 7111/95 Center for Local Government v. Knesset, IsrSC 50(3) 485.
  6. HCJ 114/78 Burkan v. Minister of Finance, IsrSC 32(2) 800.
  7. HCJ 1703/92 C.A.L. Cargo Airlines Ltd. v. The Prime Minister, IsrSC 52(4) 193.
  8. EA 2/88 Ben-Shalom v. The Twelfth Knesset’s Central Elections Committee, IsrSC 43(4) 221.
  9. HCJ 153/87 Shakdiel v. Minister of Religious Affairs, IsrSC 42(2) 221.
  10. HCJ 840/79 Israeli Contractors and Builders Center v. The Government of Israel, IsrSC 34(3) 729.
  11. HCJ 262/62 Peretz v. Chairman, Members of the Local Council and Residents of Kfar Shmaryahu IsrSC 16 2101.
  12. LCA 5817/95 Rosenberg v. Ministry of Construction and Housing, IsrSC 50(1) 221.
  13. HCJ 5023/91 Poraz v. Minister of Construction and Housing, IsrSC 46(2) 793.
  14. HCJ 392/72 Berger v. Regional Committee for Planning and Construction, Haifa Region, IsrSC 27(2) 764.
  15. HCJ 4541/94 Miller v. Minister of Defence, IsrSC 49(4) 94.
  16. HCJ 2671/98 Israel Women’s Network v. Minister of Labour, IsrSC 52(3) 630.
  17. HCJ 73/53 Kol Ha’Am Company Ltd. v. Minister of the Interior, IsrSC 7 871.
  18. HCJ 7128/96 Temple Mount Faithful Movement v. The Government of Israel, IsrSC 51(2) 509.
  19. HCJ 5016/96 Horev v. Minister of Transportation, [1997] IsrSC 51(4) 1; [1997] IsrLR 149.
  20. HCJ 528/88 Avitan v. Israel Land Administration, IsrSC 43(4) 297.
  21. HCJ 1000/92 Bavli v. Great Rabbinate Court of Jerusalem, IsrSC 48(2) 221.
  22. HCJ 453/94 Israel Women’s Network v. The Government of Israel, IsrSC 48(5) 501.
  23. EA 1/65 Yardor v. Chairman of the Central Elections Committee for the Sixth Knesset, IsrSC 19(3) 365.
  24. LCA 7504/95 Yaasin v. Party Registrar, IsrSC 50(2) 45.
  25. LCA 2316/ 96 Isaacson v. Party Registrar, IsrSC 50(2) 529.
  26. HCJ 175/71 Abu-Ghosh/Kiryat Yearim Music Festival v. Minister of Education and Culture, IsrSC 25(2) 821.
  27. HCJ 200/83 Wathad v. Minister of Finance, IsrSC 38(3) 113.
  28. EA 2/84 Neiman v. Chairman of the Central Elections Committee for the Eleventh Knesset, IsrSC 39(2) 225.
  29. HCJ 4212/91 Beth Rivkah National-Religious High School for Girls v. The Jewish Agency for Israel, IsrSC 47(2) 661.

 

American cases cited:

  1. Brown v. Board of Education of Topeka, 347 U.S. 483 (1954).
  2. Burton v. Willmington Parking Authority, 365 U.S. 721 (1961).

 

Canadian cases cited:

  1. Eldridge v. B.C. (A.G.) [1997] 3 S.C.R. 624.

 

Israeli books cited:

  1. Y. Weisman Property Law 216-217 (3rd ed. 1993).
  2. I. Zamir, Administrative Power 236-37 (1996).
  3. Y. Dotan, Administrative Guidelines 315-16 (1996).

 

Israeli articles cited:

  1. R. Alterman, ‘Who Will Sing the Praises of the Israel Lands? An Examination of the Justification for the Continued Local Ownership of Land,’ 21 Iyunei Mishpat at 535 (1998).
  2. Barak-Erez, ‘An Acre Here, an Acre There’--Israel Land Administration in the Vise of Interest Groups, 21 Iyunei Mishpat 613, 620 (1998).
  3. E. Benvinisti, "Separate But Equal" in the Allocation of State Lands for Housing, 21 Iyunei Mishpat 769 (1998.

 

Non-Israeli articles cited:

  1. D. Days, Brown Blues: Rethinking the Integrative Ideals, 34 Wm. & Mary L. Rev. 53 (1992).
  2. M. Tein The Devaluation of Non-White Community in Remedies for Subsidized Housing Discrimination, 140 U. Pa. L. Rev. 1463 (1992)

 

Jewish Law Sources Cited:

  1. Genesis, 1:27.
  2. Leviticus 24:22.
  3. Babylonian Talmud, Tractate Ketubboth, 33a.
  4. Babylonian Talmud, Tractate Babba Kamma 83b.

 

Other:

  1. Proclamation of Independence of the State of Israel.
  2. Universal Declaration of Human Rights.
  3. Covenant on Civil and Political Rights (1966).
  4. European Convention on Human Rights.

 

 

 

JUDGMENT

President A. Barak

The State of Israel has allocated land to the Jewish Agency for Israel. The Jewish Agency, in turn, has established a communal settlement on that land. The settlement was established through a cooperative society. In accordance with its objectives the Jewish Agency deals with the settlement of Jews in the State of Israel. The cooperative society, for its part, in fact accepts only Jews as members. The result in this situation is that an Arab cannot build his home on state lands allocated to the Agency. Under these conditions – and taking into account the circumstances of the case -- is the State’s decision to allocate lands to the Agency unlawful, due to prohibited discrimination against Arabs? That is the question before us in this petition.

The Facts

1. The State of Israel is the owner of lands in the Eron valley region. On some of these lands it is in the process of establishing a large urban settlement called Harish. In another area, some distance from Harish, two adjacent hills were settled that together constitute the settlement of Katzir. On one of these hilltops, called “The Central Hill”, the State (the Ministry of Construction and Housing: respondent no. 2) established a neighborhood. The State constructed the residential units. These units were allocated to the public at large, in accordance with the customary rules of the Ministry of Construction and Housing. Both Jews and Arabs are entitled to purchase residential units in this neighborhood. The area located on the second hilltop (known as the “Western Hill”) was allocated for development to the Jewish Agency for Israel; respondent no. 4 (hereinafter; The Jewish Agency) by the State of Israel (the Israel Land Administration: respondent no. 1.  Hereinafter: “the Administration”) -- within the framework of a “licensing agreement”.  The Agreement, drawn up in 1986, is for a term of seven years.  It is extended periodically. The last agreement, dated September 1, 1993, was to remain in force until the year 2000.

2.    The Jewish Agency decided to establish a rural-communal settlement on the land it received from the State (on the Western Hill). It established (in 1982), the Katzir Communal Settlement [hereinafter: “the Communal Settlement”].  The Jewish Agency invested considerable sums in it, in the form of infrastructure and buildings. Katzir is a cooperative society for communal settlement (respondent no. 5: hereinafter the Katzir Cooperative Society). It was formed (in 1981) with the assistance of the Israel Farmers Association (respondent no. 6). The goals of the Katzir Cooperative Society are, inter alia, to establish, maintain and manage a rural communal settlement, set up on the basis of the organization of its members as a community that institutes cooperation among its members. The cooperative society numbers more than 250 families. These families built their homes in Katzir, leading their lives in a communal and cooperative framework, as defined in the Society’s bylaws. These bylaws stipulate, inter alia, that only a person who, inter alia, “has completed [the] compulsory military service in accordance with the Security Service Law [Consolidated Version]-1959, or has been discharged from compulsory service under that same law, or whose military service was postponed in accordance with that law” (chapter C, s. 6e of the regulations, as amended on 8.2.82.) may be admitted to the Society. In point of fact, Arabs are not admitted as members of the Cooperative Society.

3.    From a municipal standpoint, the Katzir Communal Settlement is managed by a local committee.  It is within the jurisdiction of the Tel-Eron Local Council (respondent no. 3). The urban settlement of Harish is also within that Council's jurisdiction.

4.    The petitioners are a couple with two daughters. They are Arabs currently living in an Arab settlement. They sought – and continue to seek -- to live in a place where there exists a quality of life and a standard of living different from the one in which they currently live.  The petitioner approached (in April, 1995) the Katzir Cooperative Society and requested information regarding his options for purchasing a house or lot in the Katzir Communal Settlement. According to the petitioner’s claim, he was told on the spot that, as he was an Arab, he would not be accepted to the Communal Settlement given that the lands upon which the Communal Settlement was built were designated exclusively for Jews. As a result, (on April 7, 1995) the Association for Civil Rights in Israel, approached the Local Council of Tel-Eron on the petitioners’ behalf, and filed a complaint about the response the petitioners were given. The Council replied, (on July 16, 1995), that the procedures governing acceptance to the Communal Settlement are under the control of the Cooperative Society, and that the petitioners were free to purchase a residential unit in the urban settlement of Harish. The Association for Civil Rights in Israel subsequently filed a complaint with the Minister of Construction and Housing and the Director of the Administration. Their complaints were not responded to as of the date of the filing of this petition.

5.    Upon the filing of the petition, (on October 30, 1995), an order nisi was granted. The respondents were requested to show cause as to:

“1.  Why they (the Administration, the Ministry of Construction and Housing and the Local Council)or one of them, do not offer lots for independent building in the Katzir settlement, by way of tender, or by any other alternative manner, which would maintain equality of opportunity between all those interested in settling in the settlement; and

2.  Why they do not amend their policy or their decision whereby lots for independent building in the Katzir settlement are allocated only after receiving approval (from the Jewish Agency and the Katzir Cooperative Society – A. B.) of acceptance of a candidate for residence in the Cooperative Society as a member (in the Cooperative Society – A.B.) and why they should not adopt all the steps demanded by such an amendment; and

3. Why they do not enable the petitioners to directly purchase from (the Administration, the Ministry of Construction and Housing or from the Local Authority – A.B.) a lot for personal construction in the Katzir Settlement, on which they can build a home for themselves and their children.”

The petition was heard, (on October 13, 1996), before a panel of three (Justices Goldberg, Kedmi and Zamir). The panel decided that, in light of the issues raised by the petition, the presiding panel should be expanded. The judges convened for oral arguments (on March 19, 1997) and we decided to hear the parties’ claims by way of written summations. Upon completion of the first round of summations, (on February 17, 1998), I recommended to the parties that an effort be made to find a practical solution to the petitioners’ problem. I noted that such a solution may be found within the framework of the Harish Urban Settlement or the Katzir Communal Settlement, with the petitioners submitting their candidacy to the Cooperative Society. Mr. Bar-Sela was appointed as a mediator.  His efforts failed. The petitioners notified us of this, (on December 17, 1998), and requested that the Court rule on the merits of their petition.

The Petitioners’ Claims

6.    The petitioners’ principal claim is directed against the policy according to which settlements are established which are intended exclusively for Jews. They claim that establishing settlements in such a manner, as well as allocating land on the basis of nationality or religion (whether directly or by way of allocation to entities whose operation is based on these criteria) violates the principle of equality and therefore cannot be upheld. Their primary arguments, on this issue, are directed at the Administration. They argue that the Administration breaches its obligation to act as a fiduciary for all Israeli citizens and residents and to treat them equally in its allocation of State land to entities (such as the Jewish Agency, the Farmer’s Association and the Katzir Cooperative Society) which make use of the land in a discriminatory and unequal manner.

7. The Petitioners are not disregarding the Jewish component in the identity of the State of Israel, nor do they disregard Israel’s settlement history. Their petition is forward-looking. They submit that the Jewish component in the identity of the State carries determinative weight only in matters that are fundamental to the Jewish essence of the State -- such as the Law of Return 5710-1950. Additionally, the petitioners do not completely negate the right of a closed community to establish unique criteria for accepting new members -- provided that the community in question is truly distinct, with clearly defined characteristics, displaying a high degree of solidarity and cooperation between its members. It is the petitioners’ contention that such characteristics do not exist in the Katzir Communal Settlement.

The Respondents’ Claims

8.    The respondents raise two preliminary claims. First, they claim that the petition was filed after a prolonged delay, as the land upon which the Communal Settlement is situated was allocated to the Jewish Agency many years ago, and since that time the respondents have invested considerable investments in its development and infrastructure. The respondents also argue that the change in the existing situation, sought by the petitioners today, would also lead to a serious encroachment on their autonomy, and interference with the social-settlement fabric that the society’s members have chosen. In this regard, the respondents go on to claim that if the petitioners desire to alter the existing situation, they have the option of waiting until September 1, 2000, at which time the existing development license is scheduled to expire. Therefore, the petition suffers from both delay and prematurity.  An additional preliminary claim raised by the Katzir Cooperative Society relates to the fact that the petitioners failed to actually apply for membership in the Cooperative Society. Their application was therefore never evaluated on its merits, and was consequently never rejected. In light of the above, the Cooperative Society claims that the petition was filed prematurely. Furthermore, the Cooperative Society claims that it has the autonomous authority to decide whether to accept or reject any of the candidates for membership, and that the authority to review the exercise of this discretion, lies only with the general court system, and not with the High Court of Justice.

9.    Substantively, respondents 1 and 2 (the Administration and the Ministry of Construction and Housing) claim that they acted lawfully in allocating the land to the Jewish Agency, in reliance on the World Zionist Organization -- Jewish Agency (Status) Law, 5722-1952 [hereinafter: “the Status of the Jewish Agency Law”], and the “Covenant between the Government of Israel and the Jewish Agency for Israel” dated 28.6.79 (Yalkut Pirsumim 5737-1979 2565 at 2172 [hereinafter: “the Covenant”], the Covenant replaced the prior Covenant of 1954) and that given the specific circumstances of the case, and in view of the restrictive language characterizing the order nisi issued, the Court is not required to conduct an in-depth examination of the general constitutional issues raised by the petitioners by way of their specific petition.

10.  The Jewish Agency clarifies that it has set itself the goal to settle Jews all over the country in general, and in border areas and areas with sparse Jewish population in particular. This goal, the Agency asserts, is along with the other goals it has set itself a legitimate goal, anchored in the Status of the Agency Law and the provisions of the Covenant, and is consistent with the State of Israel’s very existence as a Jewish and democratic state. As such, it argues, granting the present petition would effectively signal the end of the extensive settlement enterprise operated by the Agency since the turn of the century. It would also constitute a violation of the Agency's freedom of association, and essentially thwart one of the fundamental purposes at the core of the Agency's existence. Furthermore: no one disputes the petitioners’ (or any other person’s) right to establish a new settlement or join an existing one; however, this does not mean that the petitioners may demand to settle in a settlement established by the Jewish Agency and to benefit, directly, or indirectly, from the Jewish Agency’s investment.  In this matter, it goes on to claim that the Supreme Court has in the past recognized the authority to allocate residential land to an identifiable segment of the population, whether on the basis of nationality or any other basis.

11.   For their part, the Farmers Association and the Cooperative Society emphasize the national goals underlying the establishment of a communal settlement in the Eron River specifically. These respondents, too, do not contest the right of Israeli Arabs to live on state lands and enjoy full equality.  Rather, they hold that there is no place for mixed communal settlements against the will of residents of the settlements.

The Preliminary Claims

12.  I will first deal with the preliminary claims presented by the respondents. The argument regarding the petitioners’ delay in bringing their petition must be dismissed, as the petitioners were not late in submitting their application. They applied to the Katzir Cooperative Society during the registration period. When it was made clear to them that as Arabs they would not be accepted as members of the Society they turned to this Court. It is true, the policy that underlies the respondents’ action is not new, but this does not preclude its examination by the Court. This is certainly true—as per the petitioners’ submission—in all that relates to the future. Nor can it be said that the petition is premature due to the petitioners’ failure to apply for membership formally.  As can be seen from the factual foundation laid out before us, it is uncontested that had the petitioners applied for membership to the Katzir Cooperative Society their request would have been denied. Under these circumstances, there is no point in submitting a completely futile application. Nor did the mediation process produce any results. We will therefore proceed to examine the merits of the petition before us.

The Questions before Us:

13.  The legal question before us is whether the State (through the Israel Land Administration) acted lawfully in allocating the lands on which the Katzir Communal Settlement was established to the Jewish Agency, given that on these lands -- which were leased to a cooperative society that did not accept Arabs as members -- the petitioner (or any other Arab) cannot build his home. In light of the question’s complexity, it is appropriate to divide the question into two sub-questions: First, would the State (the Ministry of Construction and Housing and the Israel Land Administration) have acted lawfully had it itself directly formulated a policy whereby licenses or tenancies on state land were allocated to the Katzir Communal Settlement, which limits its memberships to Jews? If such a policy is found to be unlawful, we must then turn to the second sub-question: Are the State’s actions no longer unlawful if it itself does not operate directly within the bounds of the Katzir Communal Settlement, but rather, as is in fact the case, it allocates rights in the land to the Jewish Agency which, in turn, contracts with the Katzir Cooperative Society? We will begin by addressing the first sub-question.

The State Allocates Land to a Rural Communal Settlement that does Not Accept Arab Members

14.  Was the State of Israel permitted to establish a policy according to which it would directly issue land use permits for the purpose of the establishment of the Katzir Communal Settlement, designated exclusively for Jews? Answering this question requires us to turn to the normative framework applicable to the allocation of state lands. The starting point in this respect is the Basic Law: Israel Lands.  This Basic Law (s. 1) provides that:

The ownership of Israel lands, which are lands in Israel belonging to the State, the Development Authority or the Jewish National Fund, shall not be transferred, whether by sale or by another manner.

We are only concerned with Israel lands that are state lands, and our discussion will be confined to these lands alone. Israel lands are administered by the Israel Land Administration. (Israel Land Administration Law, 5720-1960). Policy respecting the land is formulated by the Israel Land Council (Israel Land Administration Law s. 3). 

15.  In establishing the Administration’s policy, the Council must strive towards the realization of the purposes which are at the foundation of the Administration’s authority, and which determine the scope of its discretion. These purposes, like those underlying the establishment of any statutory authority, are of two types: specific purposes, which flow directly from the statute regulating the authority’s powers, and general purposes, which extend like a normative umbrella over all statutes. We shall first examine the specific purposes and then turn to the general purposes.

The Administration’s Activities: Specific Purposes

16.  Examination of the specific purposes underlying the Israel Land Administration’s authority reveals a complex picture: the laws regulating Israel lands are premised on the desire to create a uniform and coordinated administration of the totality of the lands. It has been written in relation to this topic that:

“. . .A striking feature is the legislature’s trend of ensuring that the land policy governing all future acts and transactions pertaining to Israeli state lands, the lands of the Development Authority, and of the Jewish National Fund, will be a coordinated national policy, which will be subject to the principles set forth in this law on the one hand, and which will be established in accordance with these principles by a government-appointed council, on the other hand; and also to ensure that the performance of such acts and transactions, in accordance with the policy formulated, is henceforth centralized under one, single administration; an administration appointed by the government and operating under the supervision of said council, and whose actions are subject, as a consequence of the government’s duty to report its actions, to the review of the Knesset.”  (CA 55/67 Kaplan v. State of Israel [1] at 727; see also Y. Weisman Property Law 216-217 (3rd ed. 1993) [33]; R. Alterman, ‘Who Will Sing the Praises of the Israel Lands? An Examination of the Justification for the Continued Local Ownership of Land’ [36] at 535; see also Draft Proposal for Basic Law: National Lands, Hatzaot Hok 5719-1959 at 272, in 27 Divrei Knesset (5719-1959), at 2940, 2952). 

It will be noted that beyond the centralization of powers relating to lands administration, the laws do not include a definition of the purposes and objectives for which the centralized authority will be employed. The Israel Land Administration Law, 5720-1960 does not define the specific objectives and purposes of the Administration. All that is said in the statute in this regard is that:

The Government shall establish an Israel Land Administration [hereinafter: “the Administration”] to administer Israel lands.

This arrangement has been the subject of much critique. It has been characterized as an act of “lazy legislation,” inconsistent with the rule of law and one which further poses a threat to proper government. (See I. Zamir, Administrative Power 236-37 (1996) [34]; see also Y. Dotan, Administrative Guidelines 315-16 (1996) [35]; see Barak-Erez, ‘An Acre Here, an Acre There’--Israel Land Administration in the Vise of Interest Groups [37] at 620.

17.  In light of the statute’s silence on the matter, we must turn to sources external to it and examine the specific purposes underlying it. In this context, we will initially refer to the draft proposal for the Israel Land Administration Law, 5720-1960 (Hatzaot Hok 34). The explanatory notes state:

“According to the Covenant about to be concluded between the State of Israel and the Jewish National Fund, with the approval of the World Zionist Federation, the government will establish the Israel Land Administration as well as a council which shall formulate the land policy of the administration, approve budget proposals for the administration and supervise its activities.  The proposed law will grant the Israel Land Administration and the Israel Lands Council the legal status necessary to discharge their functions under the Covenant. The Administration will form part of the governmental framework.”

Section 4 of the said Covenant, (signed on November 28, 1961 and published in Yalkut Pirsumim 1456 at p.1597) stipulates:

“Israel lands shall be administered in accordance with the law, meaning, in conformity with the principle that land may only be transferred by lease, in a manner conforming to the land policy formulated by the Council that was established under section 9. The Council shall formulate land policy with the goal of strengthening the absorption potential of the land and preventing the concentration of land in the hands of private individuals. In addition, the lands of the Jewish National Fund will be administered in accordance with the memorandum and articles of association of the Jewish National Fund.”

18.  As to the specific objectives and purposes of the Administration, we may further refer to Government Decision No. 489, dated May 23, 1965 (section 3 of the decision) which established that:

“It is incumbent upon the planning authorities promptly to complete a national plan for the designation, use and utilization of state lands, which will give expression to the government’s policies, including the policy of population dispersal, the defense policy, the preservation of agricultural land, and the allocation of areas for vegetation and recreation and open areas for public use, as well as the maintenance of land reserves for national and public purposes.”

This government decision was submitted to the Council prior to its adoption by the government, and was adopted by the Council, without any amendments (on May 17, 1965). (See Weisman, supra [33] at 243-44, n. 2.)  The Israel Lands Council also ratified the key elements of the Administration’s policy in Decision No. 202, of March 28, 1978, which established that:

“. . . The Israel Land Administration is the exclusive body managing Israel lands, in accordance with the land policy determined by the Council. Both in accordance with the Covenant between the Israeli Government and the Jewish National Fund, and by statute, the Israel Land Administration is the single and authorized body for managing Israel lands. The policy of the Council shall be dictated by the need to preserve the land as a national asset and by the aim of bringing about appropriate dispersal of the population throughout the land.”

19.  We see, therefore, that the specific purposes underlying the Administration’s authority relate to the maintenance of Israel lands under state ownership, and the centralization of their administration and development under the auspices of one statutory body. This is in order to prevent the transfer of land ownership to unwanted entities, to implement security policies, and to allow for the execution of national projects such as the absorption of immigrants, the dispersion of the population, and agricultural settlement. The legislation also contains specific purposes intended to facilitate planning, while setting aside land reserves for national needs and allocating open areas for public needs. This is necessary to enable implementation of planning schemes and to prevent speculative trade in state land. (See also Weisman supra [33] at 216-18.)   It should also be noted that to the extent that the specific statutory purposes are explicitly set out in the statute or clearly stem from it, a judge is required to give them expression. To the extent that these specific purposes are not explicit and do not clearly stem from the statute—as is the case here—it is incumbent upon the Court to learn about the specific purposes not only from the law itself but also from external sources, such as legislative history, the essence of the issue, the essence of the authorized power and the general values of the legal system. Indeed, in formulating the specific purposes – to the extent that they do not stem explicitly and clearly from the statute – it must be insisted upon that those purposes are consistent with the totality of the values of the system.

The Administration’s Activities: the General Purpose of Equality

20.  Alongside the specific purposes underlying the Administration’s authority and discretion, there are overarching, general purposes that extend as a normative umbrella over all Israeli legislation. These general purposes reflect the basic values of Israeli law and society. They are an expression of the fact that each piece of legislation is an integral part of a comprehensive legal system. The basic foundations of this system “permeate” every piece of legislation, and constitute its general purpose. (See HCJ 953/87 Poraz v. Mayor of Tel-Aviv/Jaffa [2] at 328 [hereinafter: “the Poraz case”]; HCJ 869/92 Zwilli v. Chairman of The Central Elections Committee for the Thirteenth Knesset [hereinafter: “the Zwilli case”] [3]; CA 105/92 Re’em Engineers and Contractors v. Municipality of Nazareth-Illit [4] at 198.) These fundamental principles also reflect the State of Israel’s character as a Jewish and democratic state. Among these principles the principle of equality is relevant to our issues.

Equality as a Fundamental Principle

21.  Equality is one of the State of Israel’s fundamental values. Every authority in Israel—and first and foremost the government, its authorities and employees—is required to treat all individuals in the State equally. (See I. Zamir & M. Sobel, Equality Before the Law, 5 Mishpat U'Memshal 165 (1999)). This is dictated by the Jewish and democratic character of the State; it derives from the principle of the rule of law in the State.  It is given expression, inter alia, in our Proclamation of Independence [42] which establishes that:

“The State of Israel will . . . ensure complete equality of social and political rights to all its inhabitants irrespective of religion, race or gender. . .”

Indeed, the State must honor and protect every individual’s fundamental right to equality. Equality lies at the very foundation of social co-existence. It is the “beginning of all beginnings.” (Justice Cheshin in HCJ 7111/95 Center for Local Government v. The Knesset [5] at 501). It is “one of the central pillars of the democratic regime. It is critical for the social contract at the core of our social structure.” (Zwilli [3] at 707). It constitutes a basic constitutional principle, intertwined with, and incorporated into, all of our basic legal concepts, constituting an indivisible part of them (Justice Shamgar in HCJ 114/78 Burkan v. Minister of Finance [6], at 806). I referred to this in one of the cases where I stated:

“Indeed, equality is a basic principle of every democratic society, ‘to which the law of every democratic country, for reasons of justice and fairness, aspires.’ (President Agranat in FH 10/69). . .  The individual integrates into society and does his part to help build it, knowing that others too are doing the same. The need to ensure equality is natural to man. It is based on considerations of justice and fairness. A person who seeks for his right be recognized must in turn recognize the right of others to seek similar recognition. The need to ensure equality is critical to society and the social contract upon which it is founded. Equality protects the regime from arbitrariness. In fact, no element is more destructive to society than the feeling of its sons and daughters that they are being treated unequally. The feeling that one is being treated unequally is of the most difficult to bear.  It weakens the forces that unite society. It harms the person’s sense of self.” (The Poraz case [2] at 332)

In a similar vein, Justice Cheshin wrote:

“The claim that one is being discriminated against shall always be heeded, as it is at the foundation of foundations. The principle of equality is rooted in a deep need within us, within each of us—it can perhaps be said that it is part of man’s nature and one of his needs: in man but not only in him—that we not be detrimentally discriminated against, that we be afforded equality, from God above, and from man at the very least…. Discrimination, (real or imagined) leads to feelings-of-oppression and frustration; feelings-of-oppression and frustration lead to jealousy, and when jealousy arrives, intelligence is lost. . .  We are prepared to bear the burdens, the hardships and the suffering if we know that our fellow man – who is equal to us – is like us and with us; but we will, rise up and refuse to resign ourselves where our fellow man --—who is equal to us—receives what we do not. (HCJ 1703/92 C.A.L. Cargo Airlines v. The Prime Minister [7] at 203-04.)”

As such, “equality of rights and obligations for all citizens of the State of Israel is part of the essence and character of the State of Israel” (Vice-President M. Elon in EA 2/88 Ben-Shalom v. The Twelfth Knesset’s Central Elections Committee [8], at 272, see also his decision in HCJ 153/87 Shakdiel v. Minister of Religious Affairs [9].)

22.  The State’s duty to operate with equality applies to each and every one of its actions. It certainly applies where an administrative authority operates in the realm of public law.  In a long list of judgments, the Supreme Court has repeatedly emphasized the obligation of administrative authorities to treat all individuals equally. (See Zamir & Sobel, supra [38]). The principle of equality is also applicable where the State acts within the realm of private law. Therefore, it applies to contractual relations entered into by the State. (See HCJ 840/79 Israeli Contractors’ and Builders’ Center v. Government of Israel [10], at 746).  Indeed, at the basis of our stance is the approach that the State and its authorities are public fiduciaries. “Governmental authorities derive their authority from the public, which elected them in an egalitarian manner, therefore they too must exercise their authority over the public in an egalitarian manner.” (Zamir & Sobel supra [38], at 176). Justice Sussman, (in HCJ 262/62 Peretz v. Chairman, Members of the Local Council and Residents of Kfar Shmaryahu [11], at 2115).  Justice Sussman also discussed this, noting:

“While the private citizen is entitled to ‘discriminate’ between one person and another and choose those he will deal with, even if his reasons and motivations are unreasonable, the discrimination by a public authority is prohibited. The reason is that when administrating its assets, or when performing its functions, the authority assumed the role of a fiduciary vis-à-vis the public, and as such, the authority must treat equals equally, and when it violates this fundamental principle and unlawfully discriminates against a citizen, then those are grounds for the intervention of this Court: it is of no consequence whether the use itself or the action itself belong in the realm of private law or public law. The role of fiduciary vis-à-vis the citizen and the obligations that stem from this stem from the law and, as such, are subject to supervision and review in this Court.”(HCJ 262/62, Peretz v. Chairman, Members of the Local Council and Residents of Kfar Shmaryahu [11] at 2115).

23.  The State’s obligation to act in accordance with the principle of equality applies to all of its actions. As such, it also applies to the allocation of state land. Indeed, the Israel Land Administration holds state lands “by way of trust, and is therefore subject to all of the duties owed by a trustee. Since the Administration is -- both theoretically and practically -- the state itself, it is subject to all of the obligations applicable to a public authority.” (Justice Cheshin in LCA 5817/95 Rosenberg v. Ministry of Construction and Housing [12], at 231).  Therefore, decisions of the Israel Lands Council which come together to form the policy respecting the allocation of land must respect the principle of equality. President Shamgar discussed this, noting:

“Public lands must be administered in accordance with government criteria—the adoption of such criteria is incumbent upon public authorities in all of their dealings, and, all the more so, when the matter relates to property belonging to the public as a whole. Translation of these criteria to behavioral norms points, inter alia, to the need to act with fairness and equality and in accordance with the norms of proper administration.” (HCJ 5023/91 Poraz v. Minister of Construction and Housing [13] at p.  801)

Thus, the principle of equality establishes that the state may not discriminate among individuals when deciding on the allocation of state lands to them.

24.  Equality is a complex concept.  Its scope is unsettled. With that, all agree that equality prohibits different treatment on grounds of religion or nationality. This prohibition appears in international declarations and conventions. (See, e.g., The Universal Declaration of Human Rights (1948) [43], the Covenant on Civil and Political Rights (1966) [44] and the European Convention of Human Rights [45].) It is accepted in most modern constitutions. It was given expression in our own Proclamation of Independence [42], which established that the State of Israel shall “ensure complete equality of social and political rights to all its inhabitants irrespective of religion, race or gender.” This Court further ruled – in the words of Justice Shamgar -- that “the rule according to which one does not discriminate between people on grounds of . . .  nationality . . . religion is a fundamental constitutional principle, interspersed and interlaced with our fundamental legal perceptions and constituting an inseparable part of them.”  (HCJ 114/78 Burkan v. Minister of Finance supra [6] at 806).  Justice Berinson expressed this well, noting:

“When we were exiled from our country and cast out from our land, we fell victim to the nations among whom we dwelled and in each generation we tasted the bitter taste of persecution, oppression and discrimination, just for being Jews—whose ‘laws are diverse from all people.’ Having learnt from our own bitter, miserable experience, which permeated deep into our awareness and national and human consciousness, one can expect that we will not follow the wayward ways of these nations and with the renewal of our independence in the State of Israel, it is our responsibility to avoid even the slightest hint of discrimination and unequal treatment toward any non-Jewish, law abiding, person who lives among us, whose desire it is to live with us in his own way according to his religion and beliefs. The hatred of strangers carries a double curse: it destroys the divine image of the hater and causes harm to the hated, through no fault of his own. We must act humanely and with tolerance towards all people created in the image of God, and ensure the great principle of equality between all people in rights and duties. (HCJ 392/72 Berger v. Regional Committee for Planning and Construction, Haifa Region [14] at 771).  

The practical translation of these fundamental understandings as to equality is that the (general) purpose of all legislation is to guarantee equality to all persons, without discrimination on the basis of religion or nationality. Dissimilar treatment on the basis of religion or nationality is “suspect” treatment and is therefore prima facie discriminatory treatment. (Compare HCJ 4541/94 Miller v. Minister of Defence [15] at 136-37; HCJ 2671/98 Israel Women’s Network v. Minister of Labour [16], at 659.) We state that the treatment is prima facie discriminatory, for there may be circumstances -- such as in affirmative action (according to the approach that views affirmative action as a realization of the principle of equality and not an exception to it: see the view of Justice Mazza in the Miller case supra [15]) -- in which different treatment on the basis of religion or nationality is not deemed discriminatory. Additionally, dissimilar treatment on the basis of religion or nationality may at times be lawful. This is the case, for example, when explicit and clear language of a statute sets out specific purposes that lead to discriminatory treatment and, in balancing between the specific purposes of the statute and the general purpose of equality, the specific purposes prevail. We will now move on to the balance between specific statutory purposes and general purposes.

25.  In solidifying the purpose of a statute, both the specific and the general legislative purposes must be considered. Often, these purposes all lead in one direction and reinforce each other.  Occasionally, however, contradictions arise between these purposes. Thus, for example, there may be contradictions between specific purposes which seek to realize social objectives, and general purposes which seek to ensure human rights. When such a conflict occurs, a (fundamental and horizontal) balance between the conflicting purposes must be achieved. This court has taken this approach since the Kol Ha’am case. (HCJ 73/53 Kol Ha’am Company Ltd. v. Minister of the Interior [17]). In that case, it was held that in balancing the specific purposes at the core of the legislation being discussed, which related to the preservation of public peace and security, against the general purpose relating to freedom of expression, preference would be given to the specific purpose (public peace) only if there was a near certainty that allowing for the realization of the general purpose (freedom of expression) would cause concrete, severe, and serious harm to the possibility of realizing the specific purpose (public peace). Ever since that decision, this Court has adopted similar “balancing formulas,” in a long line of conflicts between special and general purposes. (See HCJ 7128/96 Temple Mount Faithful v. Government of Israel [18]; HCJ 5016/96 Horev v. Minister of Transportation [19]). It is a good question whether this particular balancing formula should be employed in the conflict between the general purposes and the specific purposes in this instance as well? Would it not be more appropriate to turn to a different balancing formula, such as that of the reasonable possibility? Does the issue of equality not require a spectrum of balancing formulas, depending on the specific substantive violation of equality? There is no need to address these issues in the framework of the petition before us, for, as we shall see, in this petition there is not any conflict between the general and specific purposes of the statute. We therefore leave this matter for further examination at a later date. We shall now proceed to examine the circumstances of the case before us.  Prior to doing so, two comments need to be made. First, we are dealing here with the underlying purpose of the Basic Law: Israel Land Administration. Under ordinary circumstances after the purpose has been established – and in the framework of examining the lawfulness of the Administration’s actions -- the proportionality of the means used to realize the statute's purpose must also be examined. This issue does not arise in the case before us, and we will not expand upon it; second, in special situations -- where the specific purposes are explicit or clearly implied in the statute, it is not sufficient that the balancing formula enables the determination of the specific purpose at the foundation of the authorizing law. We must also examine the constitutionality of those purposes, and this from the perspective of the basic laws relating to human rights (the Basic Law: Human Dignity and Liberty and the Basic Law: Freedom of Occupation) and the limitation clause (s. 8 of the Basic Law: Human Dignity and Liberty; and s. 4 of the Basic Law: Freedom of Occupation). This question does not arise here at all, as the issue of the constitutionality of the Israel Land Administration Law has not been raised.  The only issue this Court has been asked to determine is, whether the decision of the Israel Land Administration, in all that relates to the allocation of land for the establishment of the communal settlement of Katzir for Jews exclusively, was within the parameters of the authority granted to the Administration in the Israel Land Administration Law.

From the General to the Specific

26.  The State accepts that when it established the urban settlement of Harish, and an additional neighborhood on the Central Hill of Katzir (via the Ministry of Construction and Housing), the land allocated was “for the public at large, in accordance with the accepted norms of the Ministry of Construction and Housing.” This allocation was done in an equal manner, with no distinction between Arab and Jew.  Indeed, the State noted in its response “we do not disagree with the petitioners that the eligibility to live in the municipality of Tel-Eron, at the present time and in the future, is the same as in any other municipality, with provision of the opportunity to purchase apartments being offered to the general public. This is with the exception of the area of the cooperative society, where acceptance to the society is conditioned upon the processes that exist in every cooperative society in accordance with its bylaws.” But in what way is the communal settlement in question different from the urban settlement? No answer to this question was provided in the response briefs of the State (the Israel Land Administration and the Ministry of Construction and Housing) other than to note that the land was allocated to the Jewish Agency, which operates as the agent of the Jewish People in the Diaspora. Our concern now is not with the Jewish Agency, but with the State of Israel. The question we ask therefore is whether the State (meaning the Administration) is permitted to establish that it will itself allocate directly to the Katzir communal settlement, situated within the borders of the Tel-Eron municipality, land intended exclusively for Jews,? Such allocation violates the petitioners’ right to equal treatment, as it entails unequal treatment based on nationality. What are the specific purposes whose realization lawfully encroaches upon the principle of equality? We have not heard any answer to this question from the State.

27.  A response to these claims has been provided by the Jewish Agency, the Farmers Association and the Katzir Communal Society. In their response, they claim that the Jewish settlement is a “link in a chain of outposts, intended to preserve Israel’s expanses for the Jewish people” (as stated in the founding declaration of the communal settlement) and that the settlement is consistent with the purposes they have delineated for themselves,  which is the settlement of Jews throughout the country as a whole, and in rural areas and in areas where the Jewish population is sparse in particular; population dispersal; and increase of Israel’s security thereby. In a specific context, the Farmers Association argues that Arab residents may encounter difficulties in fulfilling their duties of guarding the settlement, which has been exposed in the past to various terrorist actions. Moreover, the respondents argue that the presence of Arab residents in the settlement may cause Jewish residents to leave, turning a settlement that was intended to be a Jewish settlement into an Arab settlement.

28.  These responses raise difficult and complex general questions. These have significance as to both the past and the future. However, we do not need to address them in the petition before us. This petition does not deal with the totality of Jewish settlement in all of its aspects, and this petition is not concerned with the full spectrum of the Jewish Agency’s activities.  The petition before us is concerned with a specific communal settlement, whose establishment does not raise the entire spectrum of difficulties that the Jewish Agency and the Farmers Association have raised.  Indeed, respondents do not contest petitioners’ right to reside in the Eron valley region.  They do not deny the existence of “mixed” settlements, be they urban or rural, where Jews and Arabs live in the same settlement, the same neighborhood or the same apartment building. Moreover, respondents do not dispute the petitioners’ right to live in Katzir itself, in the neighborhood built by the Ministry of Construction and Housing, together with the neighborhood’s other residents, Jewish and Arab as one, under the auspices of the same local council, maintaining common educational and social frameworks.  It is therefore inexplicable – and no factual basis has been laid before as – as to why in particular the residence of the petitioners in a communal settlement, located approximately two kilometers away from the neighborhood built by the Ministry of Construction and Housing, would justify violating the principle of equality.

29. My conclusion is therefore the following: A decision by the Administration to directly allocate land in Tel-Eron for the establishment of an exclusively Jewish neighborhood would have violated the (general) purpose of the Administration’s authority— which is the realization of equality. Such a decision would not have realized the special purposes of the Israel Land Administration Law that under the circumstances – and according to the appropriate balancing formula – would have prevailed. Therefore, such a decision, had it been adopted by the Israel Land Administration, would have been unlawful. The Jewish Agency and the Farmers Association raised two fundamental arguments counter to this conclusion, to which we now turn.

30.  Their first argument is this: since the Administration is equally prepared to allocate land for the establishment of an exclusively Arab communal settlement, its decision to allocate land for the establishment of the exclusively Jewish communal settlement of Katzir does not violate the principle of equality. Their contention, in its legal garb, is that treatment which is separate but equal amounts to equal treatment.  It is well known that this argument was raised in the 1950’s in the United States, regarding the United States’ educational policy that provided separate education for white students and African-American students. Addressing that policy’s constitutionality, the United States Supreme Court held (in Brown v. Board of Education of Topeka, 347 U.S. 483 (1954) [30]) that a “separate but equal” policy is “inherently unequal.” At the core of this approach is the notion that separation conveys an affront to a minority group that is excluded, sharpens the difference between it and others, and cements feelings of social inferiority. This view was expressed in section 3 of the International Convention for the Elimination of all Types of Racial Discrimination. Over the years, much has been written on the subject, emphasizing that occasionally, separate treatment may be considered equal, or in the alternative, that separate treatment may be justified, despite the violation of equality. This is especially so, inter alia, when it is the minority group itself that initiates the separate but equal treatment, seeking to preserve its culture and lifestyle and hoping to prevent “forced assimilation.” (as noted by Justice Shamgar in Burkan [6], at 808; E. Benvinisti, "Separate But Equal" in the Allocation of State Lands for Housing, 21 Iyunei Mishpat 769 (1998); and D. Days, Brown Blues: Rethinking the Integrative Ideals, 34 Wm. & Mary L. Rev. 53 (1992); M. Tein The Devaluation of Non-White Community in Remedies for Subsidized Housing Discrimination, 140 U. Pa. L. Rev. 1463 (1992)).  Indeed, I am prepared to assume -- without ruling on the matter -- that there are situations in which treatment that is separate but equal is lawful. This Court’s decision in the Avitan Case (HCJ 528/88 Avitan v. Israel Land Administration [20]) illustrates this point. In that case, the Israel Land Administration decided to lease out land exclusively for Bedouins, within the framework of a policy of helping Bedouins transition to permanent housing. A Jewish petitioner’s request to lease this land was denied by the Administration. His petition against the Israel Land Administration was denied.  In explaining the court’s position Justice Or noted:

“It is a matter of the Bedouins who, for many years, have lived nomadic lives, and whose attempts to settle in permanent locations were unsuccessful, often involving violations of the law, until it came to be in the State’s interest to assist them, and thereby also achieve important public objectives. The way of life and lifestyle of nomads lacking permanent, organized settlements, with all that it entails, is what makes the Bedouins a distinct group that the respondents consider worthy of assistance and encouragement, and special, positively discriminating, treatment, and not the fact that they are Arabs.” (Ibid. at p. 304).

Such a situation -- in which separate treatment may be considered lawful -- does not present itself here, and this is for two reasons: First, in point of fact, there has been no request for the establishment of an exclusively Arab communal settlement. In actuality, the State of Israel only allocates land for Jewish communal settlements.  The result (“the effect”) of the separation policy, as practiced today, is discriminatory, even if the motive for the separation is not the desire to discriminate.  The existence of discrimination is determined, inter alia, by the effect of the decision or policy, and the effect of the policy in the case before us is discriminatory. (Compare HCJ 1000/92 Bavli v. Great Rabbinate of Jerusalem [21], at 241; as well as Justice Mazza in HCJ 453/94 Israel Women's Network v. The Government of Israel [22]); thus, the policy of the Administration today, in practice, grants Arabs treatment that is separate but not equal. Second, there are no characteristics distinguishing those Jews seeking to build their homes in a communal settlement through the Katzir Cooperative Society that would justify the State allocating land exclusively for Jewish settlement. The communal settlement of Katzir is open to all Jews per se (subject to the conditions that appear in the Cooperative Society’s bylaws, the contents of which are not known to us). In any event, the residents of the settlement are by no means a “distinct group,” (in the words of Justice Or in Avitan [20]). Quite the opposite is true: Any Jew in Israel, as one of the many residents, who desires to pursue a communal rural life is apparently eligible for acceptance to the Cooperative Society. As such, the Society can be said to serve the vast majority of the Israeli public. No defining feature characterizes the residents of the settlement, with the exception of their nationality, which, in the circumstances before us, is a discriminatory criterion. Indeed, most of the considerations presented to us by the Jewish Agency, are based on the same “suspect” classification of national origin, and their entire goal is none other than to advance Jewish settlement in the area.  Indeed, the combination of the unequal consequence of the policy and unequal considerations driving it, together form a critical “mass” of inequality, a “mass” that can by no means be cancelled out or mitigated by the respondents’ fundamental readiness to allocate land for a separate Arab rural communal settlement. We therefore dismiss their claim that, in the circumstances before us, there is no violation of the principle of equality.

31.  The second fundamental argument raised by the respondents is as follows: They claim that, even if the Israel Land Administration had directly allocated land for the establishment of an exclusively Jewish settlement, it would have been lawful, as this would realize the values of the State of Israel as a Jewish State. These values have constitutional status, (see the Basic Law: Human Dignity and Liberty, s. 1), and as such, suffice to provide a legal basis for the Administration’s decision. This argument raises many important questions. We need not rule on most of them. There are two reasons for this: First, to the extent that this claim comes to say that the values of the State of Israel as a Jewish State (which constitute a general purpose at the foundation of the law) conflict with the principle of equality, the answer is that such a conflict does not exist. Indeed, we do not accept the approach that the values of the State of Israel, as a Jewish state, would justify—on the level of a general purpose—discrimination by the State between its citizens, on the basis of religion or nationality. The Basic Law: Human Dignity and Liberty (s. 1) provides that:

“The purpose of this Basic Law is to protect human dignity and liberty, in order to establish in a Basic Law the values of the State of Israel as a Jewish and democratic state.”

The values of the State of Israel as a Jewish and democratic state, inter alia, anchor the right of the Jewish people to stand on its own in their sovereign state, as declared by the Proclamation of Independence [42]:

“The Land of Israel was the birthplace of the Jewish People. Here their spiritual, political, and religious identity was forged. Here they first attained statehood, created cultural values of national and universal significance and gave to the world the eternal Book of Books.”

Indeed, the return of the Jewish people to their historic homeland is derived from the values of the State of Israel as both a Jewish and democratic state. (See EA 1/65 Yardor v. Chairman of the Central Elections Committee for the Sixth Knesset [23]), at 385). From these values -- each separately and from their amalgamation -- several conclusions arise. Hebrew, for instance, is necessarily the principal language of the State, and its primary holidays will reflect the national renewal of the Jewish nation. Jewish heritage constitutes a central component of Israel’s religious and cultural heritage, and a number of other conclusions are implicit, but need not be expanded upon at present. However, the values of the State of Israel as a Jewish and democratic state do not, by any means, suggest that the State will discriminate between its citizens. Both Jews and non-Jews are citizens with equal rights and duties in the State of Israel.  “The State -- is the state of the Jews; the regime that exists in it -- is an enlightened democracy, which grants rights to all citizens, Jews as non-Jews alike.”  (Justice D. Levin in EA 2/88 Ben-Shalom v. the Twelfth Knesset’s Central Elections Committee. [8], at 231). I discussed this issue in one of the cases, noting:

“In the State of Israel, as a Jewish and democratic state, every person—irrespective of his religion, beliefs or nationality—will enjoy full human rights.” (LCA 7504/95 Yaasin v. Party Registrar [24], at 70).

My colleague Justice M. Cheshin noted in another case:

“It is incumbent upon us to remember and to know— how could we forget—that the Jewish people have never had – never had nor does it have now -- any state other than the State of Israel, the state of the Jews. And yet, within the State itself, all citizens have equal rights.” (LCA 2316/96 Isaacson v. Party Registrar (hereinafter: “the Isaacson case”) [25] at 549).

Moreover: not only do the values of the State of Israel as a Jewish state not dictate discrimination on the basis of religion and nationality, they in fact proscribe such discrimination, and demand equality between religions and nationalities. (See HCJ 392/72 supra. [14], at 771; HCJ 175/71 Abu-Gosh-Kiryat Yearim Music Festival v. Minister of Education and Culture [26]): “The principle of equality and prohibition of discrimination, embodied in the Biblical commandment ‘You shall have one law, it shall be for the stranger, as for one of your own country’ (Leviticus 24:22) [39], that has been construed by the Sages as requiring a law which is equal for all of you’ (Babylonian Talmud, Tractate Ketubboth, 33a [40]; Babba Kamma 83b[41]) is a rule that has been sanctified in the law of Israel since we became a nation.”  (Justice Türkel in HCJ 200/83 Wathad v. Minister of Finance [27] at 119). 

Justice Elon stated that “one of Judaism’s established foundations is the idea that man was created in the Lord’s image. (Genesis, 1:27)[38]. Thus begins the Torah of Israel, and from this Jewish law derive basic principles as to the value of human life – each person as they are -- in their equality and their love.” (EA 2/84 Neiman v. Chairman of the Central Elections Committee for the Eleventh Knesset [28] at 298).  Indeed, “the Jewish people established the Jewish State, this is the beginning and from here we shall continue the journey.” (Justice Cheshin in the Isaacson Case [25], at 548). The Jewish State having been established, it treats all its citizens equally. The State of Israel is a Jewish state in which various minorities, including the Arab minority, live. Each of the minorities living in Israel enjoys complete equality of rights. It is true, members of the Jewish nation were granted a special key to enter (see the Law of Return-5710-1950), but once a person has lawfully entered the home, he enjoys equal rights with all other household members. This was expressed in the Proclamation of Independence [42], which calls upon “the Arab inhabitants of the State of Israel to preserve the peace and take part in the building of the State on the basis of full and equal citizenship.”  There is, therefore, no contradiction between the values of the State of Israel as a Jewish and democratic state and between the absolute equality of all of its citizens. The opposite is true: equality of rights for all people in Israel, be their religion whatever it may be and be their nationality whatever it may be, is derived from the values of the State of Israel as a Jewish and democratic state.  As such, the second fundamental argument brought before us, inasmuch as it relates to the general purpose at the base of the statute, must be dismissed.

32.  Another aspect of the argument as to the values of the State of Israel as a Jewish State pertains to the influence of these values on the formation of the special purposes of the statute. We do not deny that the State of Israel’s values as a Jewish state may come together to form special purposes on different levels of abstraction. As we have seen, in the circumstances before us (see para. 26-28) there are no such special purposes that prevail. As such, this aspect of the claim must also be dismissed.

Interim Summary

33.  We have therefore reached the conclusion that had the land for the establishment of the Katzir communal settlement been allocated by the State directly, the State would have been duty-bound to act with equality towards all those requesting the right to build a house there. The significance of this is that, every person in Israel, regardless of nationality, would have been eligible to compete for the right to build a house in the Katzir communal settlement. As is known, however, the State of Israel does not directly allocate land for the building of houses in the communal settlement of Katzir.  Direct allocation by the State took place in the urban settlement there and, in that case, the State acted with equality. Whilst with respect to the communal settlement, the State allocated land -- within the framework of a “licensing agreement” -- to the Jewish Agency, which, in turn, assisted –through the Israel Farmers Association -- in turning  the land over to the Katzir Cooperative Society, which extends membership exclusively to Jews. Did the State of Israel violate its duty to act in accordance with the principle of equality in transferring the land (via the licensing agreement) to the Jewish Agency? We can “split” this question into two sub-questions. First, would the State have breached its obligation to provide equal treatment had it allocated the lands (via the licensing agreement) to any third body (that is not the Jewish Agency) that used the land in a discriminatory manner? If the answer to that question is affirmative, then a second question must be addressed, namely: can it not be said that the State’s duty to act in accordance with the principle of equality is not violated if the land is transferred specifically to the Jewish Agency? We shall now proceed to examine these two questions.

Transfer of Land to any Third Party which Contracts Exclusively with Jews

34.  The State’s duty to respect equality in allocating rights in land is violated by the transfer of land to a third party that itself discriminates in the allocation of land on the basis of nationality or religion. The State cannot escape its legal obligation to respect the principle of equality by using a third party that adopts a discriminatory policy. What the State cannot do directly, it cannot do indirectly.  And note that we are not dealing with the question of whether by virtue of having been granted rights in state lands the third party in question is equally bound not to discriminate between Jews and Arabs. (See Burton v. Willmington Parking Authority, 365 U.S. 483 (1961) [31]; Eldridge v. B.C. (A.G.) [1997] 3 S.C.R. 624 [32]). That question does not arise in this case, as it goes beyond the parameters of the petition. The question before us is whether the State itself violates its obligation to act with equality when a third party to which state lands have been transferred adopts a policy of allocating land to Jews exclusively. Our answer to this question is in the affirmative.

The Transfer of Land to the Jewish Agency

35.  In the petitions before us the State allocated land to the Jewish Agency which, in turn, transferred it to a body that allocates land exclusively to Jews. Under these circumstances, can the State be said to have discharged its obligation to act in accordance with the principle of equality, and is no longer to be seen as violating this principle? The answer to this question is no. The Status of the Agency Law and the Covenant between the Israeli Government and the Jewish Agency do not grant a permit to the State to discriminate among its citizens. (See the Status of the Agency Law, s.8 (b), the Covenant, s. 2). Indeed, the Status of the Agency Law is “at its foundation, only declaratory. It does not confer governmental powers, nor does it delegate them.” (Vice-President Elon in HCJ 4212/91 Beth Rivkah, National-Religious High School for Girls v. The Jewish Agency for Israel [29], at 668: hereinafter the Beth Rivkah case). The Jewish Agency fulfils important functions. As provided by the Covenant, it operates “on the basis of a program, to which the Government agrees in advance.” (See the Covenant, s. 3). Such a program, to which the State is a party, must not be discriminatory. State action that is discriminatory in its circumstances, if carried out toward any third party, does not lose its discriminatory character simply because it was carried out through the Jewish Agency.

36.  Of course, the Jewish Agency’s unique status in the State of Israel, as well as its contribution to the development of the State and its role in realizing the Jewish facets of our Jewish and democratic state are not to be overlooked. The Status of the Agency Law 5713-1952 provides that the Jewish Agency “operates in the State of Israel in the areas of its choosing, subject to the Government’s consent” (Section 2a), that the World Zionist Organization and the Jewish Agency “work perseveringly as previously on immigration absorption, and orchestrate absorption and settlement projects in the State” (Section 3),  that the State of Israel recognizes the Jewish Agency as the authorized agent that will continue to operate “for the development and settlement of the country, the absorption of immigrants from the Diaspora and the coordination of the activities in Israel of Jewish institutions and organizations active in these fields” (Section 4 and on).  The Covenant, which was signed between the State of Israel and the Jewish Agency in 1979, also gives expression to the special status and the important mission of the Jewish Agency. In the Beth Rivkah case [29], this Court cited at length the provisions of the Jewish Agency Law and those of the Covenant, and noted (Vice-President Elon at 667) that “the essence of the Agency Status Law is in the expression it gives to the historical connection between the Jewish people and the State of Israel.” This status has found expression throughout the country for decades: Prior to the establishment of the State, en route to the establishment of the State, and subsequent to the establishment of the State, until this very day. The Jewish Agency fulfilled a most important role in the realization of the Zionist dream, the ingathering of the exiles, and the blossoming of the land.  And it has yet to complete the task designated to it.  It still serves as a “voluntary body,” (HCJ 4212/91, supra [29] at 670), an agent of the Jewish people in the development of the State as a Jewish and democratic state.

37.  The petitioner’s counsel does not dispute the important role played by the Jewish Agency in the history of the State of Israel, nor does he criticize the policy adopted over many years with respect to the establishment of Jewish settlements throughout the country.  The petitioner states as follows in the petition:

“This petition is primarily forward-looking. It is not our intention to examine anew the long-standing policy by virtue of which (with the assistance of settlement organizations) settlements – kibbutzim, moshavim, and outposts -- were established in which, almost always, only Jewish residents lived and live. The petitioners are not focusing their claims on the legitimacy of the policy practiced in this area in the period prior to the establishment of the State and during the years since its establishment. Nor do they dispute the decisive role played by the Jewish Agency in the settling of Jews throughout the country during the course of this century.”

Not only is this petition forward-looking, but it also focuses solely on the communal settlement of Katzir, in the circumstances as they were brought before us. By the nature of things, there exist different kinds of settlements, including kibbutzim, moshavim, and outposts. Different types of settlements may give rise to various difficulties. We did not hear any arguments regarding the different types of settlements and will consequently not adopt any position regarding them. Moreover, there may be special factors to be considered apart from the type of settlement in question, such as factors of national security, which may have significance. No arguments were made regarding any of these factors, and we shall therefore express no opinion on their significance. In addition, we must keep in mind that we are taking the first step on a difficult and sensitive path. It is therefore appropriate that we step heel to toe so that we do not stumble and fall but rather advance carefully from case to case, according to the circumstances of each case. However, even if the road before us is long, it is important that we always bear in mind, not only whence we came, but also to where we are headed.

38.  What arises from all of the above as regards the case before us?  We have held that the State may not discriminate directly on the basis of religion or nationality in allocating state land. From this it follows that the State is also not permitted to discriminate indirectly on the basis of religion or nationality in the allocation of land. Consequently, the State cannot enable such discrimination by transferring land to the Jewish Agency.  There is nothing in the Status of the Agency Law 5713-1952 or in the Covenant between the Government of Israel and the Jewish Agency, which legitimizes such discrimination in the allocation of land. Indeed, according to section 3 of the Covenant, the Jewish Agency operates “on the basis of a program, to which the Government agrees in advance.” However, according to section 8(b) of the Status of the Agency Law, the cooperation between the State of Israel and the Jewish Agency must be “in accordance with the laws of the State.”   It is clear that according to this section, and in accordance with basic principles, a plan for cooperation between the State and the Jewish Agency cannot be a discriminatory plan. Discrimination does not lose its discriminatory character, even if it is being carried out through the Jewish Agency, and therefore is not permitted to the State.

The Remedy

39.  What remedy, then, are the petitioners entitled to? The answer is by no means simple.  The petition, as the petitioners have said, is forward-looking. However, it cannot be forgotten that the State allocated the land on which the communal settlement of Katzir was established according to an agreement that was made in 1986. The agreement was drawn up with the knowledge that the Jewish Agency would invest resources in land development in accordance with its founding documents, in other words, in order to set up a Jewish settlement. And indeed, on the basis of this agreement and in accordance with the founding documents of the Jewish Agency, the Jewish Agency invested resources in the establishment of the communal settlement of Katzir. It was for this purpose that it contracted with the Katzir Cooperative Society. Furthermore, the residents of the communal settlement purchased homes and went to live there, in reliance upon the situation as it existed at the time. All of these factors pose serious difficulties from the perspective of the Agency, the Cooperative Society and residents of the settlement, not only from a social perspective, but also from a legal perspective. For it must be remembered that the decision is being rendered today, approximately fourteen years after the allocation, and after the residents and the Jewish Agency itself acted on the basis of expectations which were accepted at that time and place.  All of these create difficulties for the State and may also impose restrictions on the State from a legal perspective. We too cannot ignore these difficulties.

40.  In this situation, out of a desire to take all of these factors and difficulties into account, and in order to reach an appropriate balance, we have decided to make the order nisi absolute, in the following manner:

A.    We declare that the State was not permitted, by law, to allocate state land to the Jewish Agency, for the purpose of establishing the communal settlement of Katzir on the basis of discrimination between Jews and non-Jews.

 

B.    It is incumbent upon the State to consider the petitioners’ request to purchase for themselves a parcel of land in the settlement of Katzir for the purpose of building their home, and this on the basis of the principle of equality, and taking into consideration factors relevant to the matter-- including the factors which relate to the Agency and the current residents of Katzir –and including the legal difficulties entailed in this matter. On the basis of these considerations, the State must decide, with appropriate speed, whether it can enable the petitioners, within the framework of the law, to build a house for themselves within the bounds of the Katzir communal settlement.

 

Justice T. Or

I agree.

 

Justice I. Zamir

I agree.

 

Justice M. Cheshin

In the allocation of public resources among individuals in Israeli society, the petitioners were discriminated against and are therefore entitled to the remedy to which one who was discriminated against would be entitled. For this reason, I agree with the ruling of my colleague, President Barak.

 

Justice Y. Kedmi

Opening Comments

1.    I concur with President Barak’s fundamental approach regarding the position of the value of equality among the values of the State of Israel and the implications this has for the allocation of state lands. I also agree with the President’s position according to which the application of the value of equality cannot be circumvented, in the present context, by allocating state lands to the Jewish Agency; which in itself is permitted to limit the sector of the population that will benefit from its activities, it being a Jewish Zionist settlement institution.

This fundamental approach does not—to the best of my understanding—prevent us from balancing between the value of equality and other values, including the value of national security. This value speaks of ensuring the existence of the State of Israel as a Jewish and democratic state; and in circumstances in which this is justified – and taking into consideration its location and the purpose of the establishment of a settlement that is located on national land – has the power to gnaw at and even override the value of equality (hereinafter: “the opening for balancing”).

In the early days of the State, the scope and proportions of said “opening for balancing” were relatively wide, in light of the significant weight that other values had – including the value of national security—in the special circumstances that existed at the time. However, as the State continued to develop, and as the perils that stood in the path to its establishment as a Jewish and democratic state lost some of their force, so too did this opening become narrower. Today, the proportions of this opening are particularly narrow and restricted; and such a balancing will be necessary only in rare circumstances. Unfortunately, we have not yet attained rest and tranquility; and so long as we don’t reach that point, there will not – it appears – be any escape from leaving remnants of the opening intact.

From the General to the Specific

2.    Against the backdrop of the existence of the opening for balancing, -- in my view -- past allocations of state lands are shielded from re-examination and retroactive adjustment. First, for the reason that they benefit from a presumption according to which: if they did entail a violation of the principle of equality, it is to be seen as having been necessitated by the demands of competing critical interests. The subject of the petition-meaning: the decision to establish a communal settlement in Katzir, whose population is limited to veterans of the Israeli Defense Force—was taken about eighteen years ago; I have found nothing in the material presented before us that justifies undermining the force of said presumption. In my view, it is not sufficient that the location of the communal settlement at issue is topographically close to an urban settlement for which there are no population restrictions, to establish that restrictions of this type in a communal settlement were not necessary at the time—in view of the circumstances that existed at that time—by the balance between the value of equality and other critical values.

And second, in light of the innovation in this judgment, both in terms of the power of the value of equality in all that relates to utilization of national lands generally and in terms of its application in regard to the allocation of such lands to the Jewish Agency in particular.  By its nature -- and especially with respect to the allocation of state lands to the Jewish Agency – such an innovation does not operate retroactively.

It is for these two reasons that it is appropriate – in my view -- to satisfy ourselves in the case before us with a declaratory judgment regarding the status and weight of the value of equality with regard to the allocation of state land, as detailed in the President’s opinion; and this, while making it clear that the judgment is forward-looking and does not provide grounds for re-examining acts performed in the past.

 

Decided by majority opinion, (in opposition to the dissenting opinion of Justice Y. Kedmi) to make the order nisi absolute, as stated in paragraph 40 of the President’s judgment.

 

March 8, 2000.

1 Adar B 5760

 

 

 

Adalah Legal Center for Arab Minority Rights in Israel v. Attorney General

Case/docket number: 
HCJ 3292/07
Date Decided: 
Thursday, December 8, 2011
Decision Type: 
Original
Abstract: 

Facts:  In 2004, following a series of murderous terrorist attacks on Israeli civilians in 2004, as well as continual rocket launches against Israeli civilian targets, the Israel Defense Forces conducted two military campaigns in the Gaza Strip – Operation Rainbow (May, 2004) and Operation Days of Repentance (September-October, 2004). More than a year after the end of the second campaign, Adalah – Legal Center for Arab Minority Rights (petitioner 1) requested of the Attorney General and the Military Advocate General (respondents 1 and 2) that  criminal investigations be opened in the matter of Operation Rainbow, due to the civilian casualties and the destruction of homes that had occurred in the course of its conduct. The request was denied by the Military Advocate General. The request was repeated and again denied; the third request, in January 2007 – more than two years after the end of hostilities –  included a demand to open a criminal investigation in the matter of Operation Days of Repentance as well. The petitioners claimed, based primarily on newspaper reports surveying the situation in the Gaza Strip after the operations, as well as on reports by international organizations and statements by international bodies criticizing the Israeli actions, that the extensive damage necessarily indicated criminal violations of human rights such as the rights to life and bodily integrity, as  well as violations of International law relating to treatment and protection of civilians and civilian structures in times of war. The Military Advocate General again declined to open criminal investigations, and in April, 2007, this petition was filed, asking that the Attorney General and Military Advocate General show cause why a criminal investigation should not be opened for the purpose of prosecuting those responsible for the civilian casualties and damage that resulted from the operations.

 

Held: The generality of the petition, in that it did not specify individual cases in which criminal offenses were allegedly committed, but rather referred to the damage, per se, to civilians and civilian objectives in the course of the two operations,  was to its detriment: the High Court of Justice ruled in the past that it cannot adjudicate a petition tainted by generality in the definition of the dispute, in the factual basis that it lays and in the requested relief. No proof was offered here of invalid, unlawful motives for launching the operations – on the contrary, the respondents argued for a right of self-defense and that it was their duty to defend the citizens of Israel. The determination that there was a security need put the actions in the realm of security policy, within the clear discretion of the security authorities and not justiciable by the High Court. 

 

A demand to conduct a criminal investigation must be supported by a suitable prima facie foundation, answering to the provisions of the domestic penal laws. In cases in which the laws of war have been violated, charges will be filed pursuant to Israeli domestic law for the appropriate criminal offense, the principles of which, as a rule, parallel the principles of international criminal law. The opening of a criminal investigation is not an automatic process in every case in which there is a grave outcome, such as the deaths of civilians and wide-spread destruction of houses. It must arise from a real suspicion that criminal violations were, indeed, committed. An investigation of that type must be conducted when a prima facie suspicion arises of conduct that deviates from Israeli law or of serious violations of international law that amount to criminal offenses under the domestic penal laws. In view of the absence of such a suspicion and of the required evidentiary foundation, the criminal law is not the appropriate tool for investigating issues such as the subject of the petition.  Other means of investigation and review may exist, such as commissions of inquiry; as a rule, the discretion granted to the investigative and prosecutorial bodies with regard to the establishment of a commission of examination or inquiry in general, and with regard to the selection of a particular type of examination mechanism in particular, is extremely broad, and judicial review of a decision of that type is limited and restricted to an examination of the feasibility of the choice.

 

The “principle of distinction”, which imposes on the fighting army an obligation to refrain from intentionally harming the civilian population, is a basic principle of the laws of war that govern armed conflicts between Israeli security forces and the terrorist organizations that control the Gaza Strip. However, the laws of war also recognize the existence of “collateral damage” – damage caused to civilians indirectly, as a result of an attack aimed at the military targets of the enemy – and such damage does not constitute a violation of the laws of war, even if it is foreseeable, provided that it meets the requirements of the law, among which are the proportionality of the anticipated harm that would be caused to the civilians vis-à-vis the benefit anticipated from the military action, and refraining from deliberate attacks on civilians. Therefore, the fact that citizens were harmed is not sufficient to establish a real suspicion that criminal offenses were committed in violation of the laws of war.

 

Regarding one particular incident described in the petition, in which civilians were killed as a result of artillery fire at an abandoned house towards which a procession of Palestinian civilians was moving, the Court did not find cause to intervene in the conclusion of the MAG, affirmed by the Attorney General, that the erroneous decision of the squadron commander was not unreasonable to the point of justifying the conduct of criminal proceedings against him.

 

The extensive delay in filing the petition also militated against granting the sought relief: here, not only did the delay imply a waiver of the right to apply to the courts (subjective delay), but changes had occurred in the actual situation on the ground, making it difficult to establish what actually happened (objective delay).  Even though the Court accepted that as a rule, the claim of delay should not be allowed when the rule of law and the violation of human rights is at stake,  nevertheless it held that in the present case, the delay actually negated the ability to address the petition, and there was no longer any point to it.

 

In short, the sweeping petition and the serious claims made therein did not lay a proper factual or legal foundation for a practical and concrete deliberation. The petition mixed legal claims and claims that belong in the arena of public discourse, and not in a legal proceeding. The petition was denied.

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

 HCJ 3292/07

 

1. Adalah – Legal Center for Arab Minority Rights

2. The Palestinian Center for Human Rights – Gaza

3. Al-Hak

v.

1. Attorney General

2. Military Advocate General

3. Shmuel Zakai

4. Dan Harel

5. Moshe Ya’alon

6. Shaul Mofaz

7. Israel Defense Forces

8. Government of Israel

 

The Supreme Court sitting as the High Court of Justice

[May 6, 2009]

Before President D. Beinisch, Justices E. Rubinstein, H. Melcer

 

 

Israeli legislation cited:

Commissions of Inquiry Law, 5729-1968, s. 1, 28

Military Jurisdiction Law, 5715-1955,  s. 537

Penal Law, 5737-1977.

 

Foreign legislation cited:

Geneva Convention Relative to the Protection of Civilian Persons in Time of War, 1949, & § 146.

 

Israeli Supreme Court cases cited:

[1]        HCJ 4694/04 Abu Atara v. Commander of IDF Forces in the Gaza Strip [unreported, May 18, 2004].

[2]        HCJ 4969/04 Adalah v. GOC Southern Command [unreported, July 13, 2005].

[3]        HCJ 7178/08 Forum of the Heads of the Druse and Circassian Councils in Israel et al. v. Government of Israel (not yet reported, November 18, 2009).

[4]        HCJ 6001/97 Amitay – Citizens for Good Governance and Integrity v. Prime Minister (October 22, 1997) [unreported, Oct. 22, 1997].

[5]        HCJ 7232/01 Yusuf v. State of Israel  [2003] IsrSC 57(5) 561.

[6]        HCJ 2624/97 Adv. Yedid Ronel v. Government of Israel  [1997] IsrSC 51(3) 71.

[7]        HCJ 6728/06 Ometz Association (Citizens for Good Governance and Social Justice) v. Prime Minister of Israel [unreported, Nov. 30, 2006].

[8]        HCJ 7195/08 Abu Rahma v. Military Advocate General (not yet reported, July 1, 2009).

[9]        HCJ 9594/03 Betzelem v. Military Advocate General (not yet reported, August 21, 2011).

[10]      HCJ 425/89 Zufan v. Military Advocate General  [1989] IsrSC 43(4) 718.

[11]      HCJ 4550/94 Isha v. Attorney General [199 5] IsrSC 49(5) 859.

[12]      HCJ 7053/96 Amcor Ltd. v. Minister of the Interior  [1999] IsrSC 53(1) 193.

[13]      HCJ 170/87 Asulin v. Mayor of Kiryat Gat [1988] IsrSC 42(1) 678.

[14]      HCJ 8517/07 Bassam Aramin v. Attorney General (not yet reported, July 10, 2011).

[15]      HCJ 1901/94 MK Uzi Landau v. Jerusalem Municipality [1994] IsrSC  48(4) 403.

[16]      AdminAppA 7142/01 Haifa Local Planning and Building Committee v. Society for the Protection of Nature [2002] IsrSC 56(3) 673.

[17]      HCJ 769/02 Public Committee Against Torture v. Government of Israel [unreported].

 

 

For the petitioners — H. Jabarin, O. Cohen

For respondents — A. Helman

 

Petition to the Supreme Court sitting as the High Court of Justice for an Order Nisi and an Interim Order

 

Facts:  In 2004, following a series of murderous terrorist attacks on Israeli civilians in 2004, as well as continual rocket launches against Israeli civilian targets, the Israel Defense Forces conducted two military campaigns in the Gaza Strip – Operation Rainbow (May, 2004) and Operation Days of Repentance (September-October, 2004). More than a year after the end of the second campaign, Adalah – Legal Center for Arab Minority Rights (petitioner 1) requested of the Attorney General and the Military Advocate General (respondents 1 and 2) that  criminal investigations be opened in the matter of Operation Rainbow, due to the civilian casualties and the destruction of homes that had occurred in the course of its conduct. The request was denied by the Military Advocate General. The request was repeated and again denied; the third request, in January 2007 – more than two years after the end of hostilities –  included a demand to open a criminal investigation in the matter of Operation Days of Repentance as well. The petitioners claimed, based primarily on newspaper reports surveying the situation in the Gaza Strip after the operations, as well as on reports by international organizations and statements by international bodies criticizing the Israeli actions, that the extensive damage necessarily indicated criminal violations of human rights such as the rights to life and bodily integrity, as  well as violations of International law relating to treatment and protection of civilians and civilian structures in times of war. The Military Advocate General again declined to open criminal investigations, and in April, 2007, this petition was filed, asking that the Attorney General and Military Advocate General show cause why a criminal investigation should not be opened for the purpose of prosecuting those responsible for the civilian casualties and damage that resulted from the operations.

Held: The generality of the petition, in that it did not specify individual cases in which criminal offenses were allegedly committed, but rather referred to the damage, per se, to civilians and civilian objectives in the course of the two operations,  was to its detriment: the High Court of Justice ruled in the past that it cannot adjudicate a petition tainted by generality in the definition of the dispute, in the factual basis that it lays and in the requested relief. No proof was offered here of invalid, unlawful motives for launching the operations – on the contrary, the respondents argued for a right of self-defense and that it was their duty to defend the citizens of Israel. The determination that there was a security need put the actions in the realm of security policy, within the clear discretion of the security authorities and not justiciable by the High Court. 

A demand to conduct a criminal investigation must be supported by a suitable prima facie foundation, answering to the provisions of the domestic penal laws. In cases in which the laws of war have been violated, charges will be filed pursuant to Israeli domestic law for the appropriate criminal offense, the principles of which, as a rule, parallel the principles of international criminal law. The opening of a criminal investigation is not an automatic process in every case in which there is a grave outcome, such as the deaths of civilians and wide-spread destruction of houses. It must arise from a real suspicion that criminal violations were, indeed, committed. An investigation of that type must be conducted when a prima facie suspicion arises of conduct that deviates from Israeli law or of serious violations of international law that amount to criminal offenses under the domestic penal laws. In view of the absence of such a suspicion and of the required evidentiary foundation, the criminal law is not the appropriate tool for investigating issues such as the subject of the petition.  Other means of investigation and review may exist, such as commissions of inquiry; as a rule, the discretion granted to the investigative and prosecutorial bodies with regard to the establishment of a commission of examination or inquiry in general, and with regard to the selection of a particular type of examination mechanism in particular, is extremely broad, and judicial review of a decision of that type is limited and restricted to an examination of the feasibility of the choice.

The “principle of distinction”, which imposes on the fighting army an obligation to refrain from intentionally harming the civilian population, is a basic principle of the laws of war that govern armed conflicts between Israeli security forces and the terrorist organizations that control the Gaza Strip. However, the laws of war also recognize the existence of “collateral damage” – damage caused to civilians indirectly, as a result of an attack aimed at the military targets of the enemy – and such damage does not constitute a violation of the laws of war, even if it is foreseeable, provided that it meets the requirements of the law, among which are the proportionality of the anticipated harm that would be caused to the civilians vis-à-vis the benefit anticipated from the military action, and refraining from deliberate attacks on civilians. Therefore, the fact that citizens were harmed is not sufficient to establish a real suspicion that criminal offenses were committed in violation of the laws of war.

Regarding one particular incident described in the petition, in which civilians were killed as a result of artillery fire at an abandoned house towards which a procession of Palestinian civilians was moving, the Court did not find cause to intervene in the conclusion of the MAG, affirmed by the Attorney General, that the erroneous decision of the squadron commander was not unreasonable to the point of justifying the conduct of criminal proceedings against him.

The extensive delay in filing the petition also militated against granting the sought relief: here, not only did the delay imply a waiver of the right to apply to the courts (subjective delay), but changes had occurred in the actual situation on the ground, making it difficult to establish what actually happened (objective delay).  Even though the Court accepted that as a rule, the claim of delay should not be allowed when the rule of law and the violation of human rights is at stake,  nevertheless it held that in the present case, the delay actually negated the ability to address the petition, and there was no longer any point to it.

In short, the sweeping petition and the serious claims made therein did not lay a proper factual or legal foundation for a practical and concrete deliberation. The petition mixed legal claims and claims that belong in the arena of public discourse, and not in a legal proceeding. The petition was denied.

 

JUDGMENT

 

 

President D. Beinisch

The subject of this petition is the decision of the Military Advocate General (hereinafter: MAG), which was approved by the Attorney General, to refrain from opening a criminal investigation following the injury to civilians and destruction of homes in the Gaza Strip that occurred in the course of Operation Rainbow, from May 18-24, 2004, and in the course of Operation Days of Repentance, from September 28, 2004 to October 16, 2004.

Factual Background and Course of Events in the Petition

1.    The background to the petition before us, which was filed on April 15, 2007, lies in a period of time in which a difficult security situation pertained and the activities of the Palestinian terrorist organizations were at their peak. The military operations that are the subject of the petition were preceded by a series of murderous events that occurred in the area of the Gaza Strip in May 2004. On May 2, 2004, Tali Hatuel, who was in the late stages of pregnancy, and her four daughters were murdered by a gunfire attack on their car while they were driving on the Kisufim Road. On May 11, 2004, an Israel Defense Forces armored personnel carrier was hit by an RPG rocket, and six soldiers riding in it were killed. On May 12, 2004, another five soldiers were killed, also as a result of an RPG fired at the armored personnel carrier in which they rode. Two days later, on May 14, 2004, another two soldiers were killed in the same area as they were engaged in an operation to locate the body parts of those soldiers who had been killed previously. These heavy losses were apparently caused by weapons that were suspected of having been smuggled into the Gaza Strip through underground tunnels that had been dug beneath the Philadelphia Corridor. Against that backdrop, a decision was made to launch Operation Rainbow, in which a division was sent into the southwestern neighborhoods of Rafiah for the purpose of preventing the transfer of weapons, finding wanted persons and tunnels, and preventing repetition of the sniper fire aimed at forces moving along the Philadelphia Corridor. As the State explained, during the military campaign IDF forces encountered strong opposition from terrorists operating out of residential buildings throughout Rafiah. 

 In addition to the incidents that took place along the Philadelphia Corridor, over the course of 2004 there was a significant increase in the number of Kassam rockets that were fired from the northern Gaza Strip into Israeli territory. In June 2004, a man and a four-year-old child were killed by a Kassam rocket that landed near a kindergarten in Sederot, and in September, two other toddlers were killed as a result of the direct hit of a Kassam rocket on a residential building in Sederot. That month, 46 Kassam rockets were fired at Israel. The Government stated that on that basis, it had become necessary to conduct a preventive operation in the area of the Kassam rocket launches in the northern Gaza Strip. Operation Days of Repentance, which was conducted in the northern Gaza Strip from September 28, 2004 until October 16, 2004, was designed to reduce the scope of Kassam rocket launches at Israeli towns and to strike at the terrorist organizations behind that activity. 

2. Subsequent to those operations, in July 2005 the Israeli Government implemented the disengagement plans from the Gaza Strip, the military administration of that region ended, and the Hamas organization seized power in the Gaza Strip. In November 2005, petitioner 1 (hereinafter: the petitioner) requested that respondents 1 and 2 order that a criminal investigation be opened in the matter of Operation Rainbow. About a month later, the MAG informed the petitioner that its request had been denied. In May 2006, following another request by the petitioner, the MAG again informed the petitioner of his decision not to open a criminal investigation regarding Operation Rainbow. On January 16, 2007, the petitioner applied for the third time to the MAG, and that time the application also included a demand to open a criminal investigation with regard to the events that took place during Operation Days of Repentance. On February 7, 2007, the MAG informed the petitioner that its request to open a criminal investigation for Operation Days of Repentance had also been denied. On April 15, 2007, the present petition was filed, in which the petitioners requested that the Court instruct the Attorney General and the MAG to explain why they should not order the opening of a criminal investigation to prosecute those responsible for the deaths of civilians and the widespread destruction of civilian houses and property in the Gaza Strip during Operation Rainbow and Operation Days of Repentance. On May 6, 2009, a hearing was held, in which we heard the arguments of the parties.

 

Pleadings of the Parties

3. According to the petitioners, the respondents or those acting on their behalf blatantly violated human rights law and international humanitarian law by launching Operation Rainbow and Operation Days of Repentance, and in the framework of incidents that occurred during those operations, they committed acts that constitute criminal offenses under both International law and the Penal Law, 5737-1977. The petitioners therefore argue that respondents 1 and 2 were obliged to order the opening of a criminal investigation of the incidents that occurred during the two said military operations. The petitioners argue, inter alia, that the right to life and the right to bodily integrity were violated; that widespread destruction of civilian houses and structures was perpetrated; that the prohibition on reprisals against civilians and civilian structures was violated; and that during the military operations, cautionary measures necessary for protecting the civilian population that happened to be in the area of the fighting were not adopted. The petitioners stated that these claims were based on the public statements of IDF soldiers and commanders after the end of the fighting, and primarily on newspaper reports that surveyed the situation in the Gaza Strip after the Operations  and their outcomes; they argue that such extensive destruction could not be the result of legal activity that meets the requirements of the law. The petitioners also based their arguments on reports by international organizations and statements by international bodies that criticized the conduct of the IDF in the Operations. 

4. In their response to the petitioners’ pleadings, filed on April 30, 2009,  respondents 1-2 and 7-8 (hereinafter jointly: the State or the respondents) argued that the petition should be denied in limine since it was tainted by generality and given the considerable delay in its filing. According to the State, this is a petition that seeks to order the opening of a criminal investigation for two military operations that were conducted in 2004 – over two and a half years before the petition was filed. It was argued that the petitioner first contacted respondents 1 and 2 in the matter of Operation Rainbow only in November 2005 – a year and a half after the Operation – and that already in December 2005 – over a year before the filing of the petition – respondent 2 informed petitioner 1 that its request to open a criminal investigation in the matter of Operation Rainbow was denied. With regard to Operation Days of Repentance, the petitioner first contacted the respondents in January 2007 – over two years after the end of the Operation. According to the respondents, this delay is exacerbated by the complexity of the large-scale military operations that are the subject of the petition; the lack of any basis for individual suspicion; and implementation of the disengagement plans and departure of IDF forces from the Gaza Strip, which now makes it difficult, if not impossible, to conduct an effective investigation in that area. The respondents further argue that the petitioners are attempting to bring about the investigation of the former Minister of Defense, the former Chief of General Staff and other senior officers for their responsibility for the consequences of two complex and dangerous operations that extended over more than 24 days in total, and which took place over a large area in the Gaza Strip –  all on the basis of general descriptions that rely mainly on newspaper reports which do not constitute a proper factual basis for obtaining relief from the court. Additionally, the respondents claim that the issue of the destruction of houses in the course of fighting has already been adjudicated in HCJ 4694/04 Abu Atara v. Commander of IDF Forces in the Gaza Strip [1], and HCJ 4969/04 Adalah v. GOC Southern Command [2]. In Abu Atara v. IDF Commander [1], the Court dismissed a petition in which it was asked to order cessation of the demolition of buildings in the area of the Gaza Strip. In Adalah  v. GOC Southern Command [2], a petition on the general question of the legality of demolishing houses in the framework of a military operation was denied. According to the respondents, denial of the abovementioned petitions indicates that the Court had accepted the position of the State whereby, in general, the demolition of houses in the framework of the fighting in the Gaza Strip does not constitute a “war crime”, as claimed by the petitioners, and insofar as this petition deals with the issue of demolishing houses, it should be dismissed in limine in view of the precedent on the matter.

In essence, in their response the respondents argued that the Court’s intervention in the discretion of the Attorney General and the MAG with regard to opening a criminal investigation is extremely limited. In the present matter, it was argued that in the absence of a factual basis for claims regarding criminal suspicions, and in view of the special characteristics of the war against terrorism and the complexity of the military operations that are the subject of the petition, and since, at the end of the operations, the IDF conducted operational inquiries at the various levels of command, there is no cause for intervening in the discretion of the competent authorities.

Deliberation and decision

5. This petition clearly presents the substantive rationales behind measures from the area of procedural law. Thus, from among three threshold arguments presented by the respondents, two of them do not permit us to conduct an in-depth discussion of the issues raised in the petition, let alone to grant the remedy sought therein. The petitioners argued that a petition dealing with the rule of law ought not to be denied due to threshold arguments. While the Court has said more than once that threshold arguments per se would not constitute cause for denying a petition that raises substantive questions, in the case before us the causes for denying the petition are not merely threshold arguments; rather, they touch upon the essence of the matter.

6. First, it must be said that the generality of the petition is to its detriment. As stated, in the framework of the petition we were asked to grant relief directed at the Attorney General and the MAG, whereby they are requested to explain why they should not order a criminal investigation for the purpose of prosecuting those responsible for the deaths of many civilians and the extensive destruction of civilian houses and property in the southern Gaza Strip during Operation Rainbow, and in the northern Gaza Strip during Operation Days of Repentance. As stated, these operations took place over twenty-four days, during which there were many exchanges of fire and incidents. The petitioners argue in their petition that in their opinion, the respondents – senior officers in the security forces, from the Commander of the Gaza Division during the operations, through the GOC Southern Command and the Chief of General Staff, to the Minister of Defense, the IDF and the Government of Israel – are responsible for the outcomes of the Operations, which, the petitioners claim, “cannot be described as anything other than war crimes” (section 7 of the petition). The petition, in accordance with this perception on the part of the petitioners, does not specify individual cases in which criminal offenses were allegedly committed but, rather, refers to the damage, per se, to civilians and civilian objectives in the course of the two operations. The question that it raises is whether the State of Israel should be obligated at present to open a criminal investigation pertaining to the entire conduct of the operations, while, according to counsel for the petitioners, the specific actions serve only as indications of the modus operandi that was adopted during the operations.

 We are therefore dealing with relief that is formulated in the broadest and most general language. In this context, we have already stated in the past that “the generality of the petition – in defining the dispute, in the factual basis that it lays and in the requested relief – is to its detriment, and, as such, it cannot be adjudicated by this court in its existing format” (HCJ 7178/08 Forum of the Heads of the Druse and Circassian Councils in Israel et al. v. Government of Israel [3]).

 7. We should further state that we did not accept the argument that the operations – as such – constituted action that was not justified from a security standpoint and, therefore, should be deemed war crimes. As we described above, the situation in the Gaza Strip prior to the launching of Operation Rainbow enabled the terrorist bodies to strike again and again at IDF soldiers and civilians living in the region, with weapons that had been smuggled into the region through tunnels. This attack by the terrorist bodies, which continued to escalate, and the use of increasingly dangerous weapons, are what led to the launching of the campaigns. We have not been convinced – and neither have the petitioners laid any factual foundation for this far-reaching claim, except for one newspaper interview – that the purpose of the operation was reprisal or collective deterrence for the civilian population in Gaza to refrain from cooperating with the terrorist elements. Clearly, justifications of this type for military actions are invalid but, as stated, in the circumstances of the matter, it was not proven that they were the basis for launching the operations. On the contrary – the State argues that it regarded itself as obligated to protect its residents against harm and against the murder of women and children, and it acted out of recognition of its right to self-defense, which includes defending its citizens. It also considered itself obligated to defend the residents living in towns adjacent to the Gaza Strip against the Kassam rockets and other missiles that were aimed at them from the northern Gaza Strip and, to that end, it deemed that there was an operational need to strike at the terrorist entities that were using those missiles, and at their weapons and launching sites. The determination that there was a security need for a massive operation – aimed at thwarting, or at least reducing, the activities of the terrorists in the southern Gaza Strip and their access to advanced weapons that were smuggled through the tunnels into the Gaza Strip for their use – is a matter of security policy, which is within the clear discretion of those responsible for security, and it is not a matter suitable for review by this Court. 

8. The relief sought in the petition is that a criminal investigation be initiated. Under the circumstances and with the data before us, recourse to the tools of criminal law is not appropriate for addressing the problematic nature of this issue, for reasons related to the nature of criminal law. First, relief in the form of criminal prosecution is relevant in Israel with regard to cases in which there is a suspicion that an offense has been committed. The suspicion of violation of the law that amounts to an offense cannot be considered in isolation from the protections afforded by the penal laws with regard to actions in war, and this question is, of course, a complex one which depends on the circumstances of a particular case. A demand to conduct a criminal investigation requires that there be a proper preliminary factual foundation. It should be emphasized that a criminal investigation is not the only tool through which violations of the law can be investigated, when they do not amount to criminal offenses. Our system also offers other means of examination and review, which enable us to deal with large-scale events, or with examining the policy of deploying the defense forces. Secondly, criminal law in Israel is confined by the bounds of the penal laws and criminal investigations related to offenses under those penal laws, but not necessarily to violations of other norms that are not part of the positive law. Under various laws, military or government activities that are not necessarily criminal may be investigated and examined and they may even be criticized, and operative recommendations that are not anchored, ab initio, in criminal law may also be made, even though they may sometimes entail conclusions about violations of the penal laws.

 Thus, for example, s. 537 of the Military Jurisdiction Law, 5715-1955 states that the minister of defense or the chief of general staff may appoint a commission of inquiry to investigate any matter pertaining to the military, and the Commissions of Inquiry Law, 5729-1968 states that in cases in which the government sees that there is a matter of public importance requiring clarification, it may also order the establishment of a commission of inquiry (s. 1). Section 28 of this Law also anchors the government’s authority to establish investigative committees for clarifying issues that it does not necessarily consider appropriate for clarification by means of a state commission of inquiry (in this matter, see HCJ 6001/97 Amitay – Citizens for Good Governance and Integrity v. Prime Minister [4]). Various types of commissions of inquiry and investigation were established in the past when claims were made concerning events whose consequences necessitated clarification and the examination of issues of public interest, among which, of course, have been military and combat actions. Indeed, the common perception in our system is that commissions of inquiry do not deal with “legal” liability, but rather, with “public” responsibility and, in certain cases, they may constitute only one stage on the road to a decision about whether criminal proceedings should be initiated. At times, a problem may even arise when events for which criminal liability may be assigned are reviewed by a commission of inquiry instead of, or before, the judicial criminal process (Amnon Rubinstein and Barak Medina,  Constitutional Law of the State of Israel (6th ed., 5765-2005), pp. 1033-1034 (hereinafter: Rubinstein and Medina).

9. It must be emphasized that the decision as to whether a certain matter gives rise to a suspicion that would justify a criminal investigation lies first and foremost with those who head the prosecution system, who have the authority and the power to press criminal charges for the commission of a criminal offense. As a rule, the attorney general is in charge of the investigative and criminal prosecution system, and the MAG has broad discretion in matters pertaining to the military. When the subject of the examination is primarily of an operational nature, the decision as to the mechanism of the investigation is usually in the hands of military entities, but the military system’s tools of examination cannot block additional investigations in accordance with the substance of the matter in question. In this regard we must distinguish insofar as possible between an investigation with the predetermined intention of reaching a particular criminal or civil legal result, and other issues that require examination concerning public or individual responsibility and accountability. When the investigation is one in which the dominant aspect requiring examination is public, the political echelons are authorized to decide on the examination. In certain situations, our case law has indeed recognized the fact that the authority to establish a commission of inquiry or examination in relation to a particular matter may become an obligation (Rubinstein and Medina, at p. 1037). However, these are unusual cases (HCJ 7232/01 Yusuf v. State of Israel  [5], at p.  573). As a rule, the discretion granted to the investigative and prosecutorial bodies with regard to the establishment of a commission of examination or inquiry in general, and with regard to the selection of a particular type of examination mechanism in particular, is extremely broad, and judicial review of a decision of that type is limited and restricted to an examination of the reasonability of the choice (HCJ 2624/97 Adv. Yedid Ronel v. Government of Israel  [6], at p. 79; HCJ 6728/06 Ometz Association (Citizens for Good Governance and Social Justice) v. Prime Minister of Israel [7], per Justice Hayut, para. 3).

Beyond what is required in the present case, we should note that this Court exercises its judicial review bearing in mind the investigative bodies and the laws that our legal system makes available, and the petitioners, too, have focused their petition on the demand to make use of only the criminal tool. The issue of adapting the investigation and examination mechanisms that exist within the Israeli legal system to comport with alleged violations of the laws of war and the obligations imposed on Israel under international law, which are external to Israeli criminal law and positive law, is the subject of various discussions in the international arena, and not only in relation to Israel. This issue is also at the center of academic writing, which adopts various positions on the independence of the mechanisms in our system for investigating and examining claims about violations of the laws of war and their ability to investigate the alleged violations (see Amichai Cohen and Yuval Shani, The IDF Investigates Itself: Investigating Suspicions of Violations of the Rules of Warfare, Policy Study 93, Israel Democracy Institute (2011) (hereinafter: Cohen and Shani)). That is not the question before us and we do not need to address it, since we are dealing with a petition to invoke criminal law, which does not establish a basis for  the arguments it raises. We have also noted the fact that the fundamental question about the suitability of the investigative mechanisms for the claims and complaints made about violation of the laws of war is currently being examined by the Public Commission for Examination of the Maritime Incident of May 31, 2010, headed by Justice (Emeritus) J. Turkel, which is still looking into the matter. 

10. In addition, the relief sought by the petitioners is not practical, as stated, for another reason. The petitioners demand that a criminal investigation be opened and that those responsible for the apparent “crimes” face criminal prosecution. They do so on the basis of alleged violations of international humanitarian law, from which, they claim, violations of Israeli criminal law can be deduced (secs. 174 and 178 of the petition). Indeed, in our legal system, charges based on Israeli law are filed with the military and civil courts in the appropriate cases. In cases in which the laws of war have been violated, charges will be filed pursuant to Israeli law for the appropriate criminal offense, the principles of which, as a rule, parallel the principles of international criminal law. In cases of this type, the prosecution must establish the elements of the specific offense, just as in any other criminal trial. It is important to clarify that this Israeli policy, even when the international law, per se, is not applied as part of Israeli criminal law, does not violate Israel’s obligations under the Geneva Convention, since it allows for the imposition of effective criminal sanctions for violators of substantive sections of the Convention (Geneva Convention Relative to the Protection of Civilian Persons in Time of War, 1949) (hereinafter: the Geneva Convention), § 146; and see HCJ 7195/08 Abu Rahma v. Military Advocate General [8], paras. 35-44; Ward Ferdinandusse, “The Prosecution of Grave Breaches in National Courts”, J Int’l Criminal Justice 7 (4) (2009) 723-729, 741). This is the case when the charges express the criminal nature of the act attributed to the accused and the punishment imposed in the event of conviction reflects the aggravated circumstances of committing an offense against protected civilians under the laws of warfare (Knut Dörmann and Robin Geiβ, “The Implementation of Grave Breaches into Domestic Legal Orders”, J Int’l Criminal Justice 7(4) (2009) 703-721, 710). Moreover, various scholars argue that the decision to handle war crimes within the existing domestic criminal system (as opposed to legislating new war crimes offenses, or assimilating the laws of war into the local legal system verbatim) has clear advantages, such as the familiarity of the prosecution authorities with the elements of the offense and, accordingly, their enhanced ability to conduct an effective trial in such cases (ibid., at p. 709). 

11. Above and beyond the aforementioned difficulties, even in specific aspects pertaining to events that occurred in the course of the operations discussed in the petition, the petitioners do not establish cause for attacking the decision not to open a criminal investigation dealing with any specific event. The petition, as stated, is based on newspaper interviews and reports, which cannot serve as evidence in a criminal proceeding, and on the reports of international organizations that deal primarily with examining the outcome of the events and not with analyzing the occurrences, the threats and the responses of security forces during the operations. This meager evidentiary foundation cannot form the basis of a criminal charge at the high level of proof required for a trial of this type. The petition itself relates to dozens, if not hundreds, of incidents which resulted in the destruction of the homes of Palestinian civilians, and more than a few cases that resulted in the deaths of civilians who were not involved in the fighting. Even the petitioners themselves are not claiming that criminal acts brought about the demolition of every house among the hundreds of houses that were demolished. It should be emphasized that even according to the norms of international humanitarian law, the very obligation to investigate, which arises in cases of a suspected violation of the law as will be elucidated below, does not arise when complaints are not based on an initial factual foundation, even if only prima facie. The scholar Michael Schmitt explains:

Not every allegation requires an investigation; only those sufficiently credible to reasonably merit one do (Michael N. Schmitt, “Investigating Violations of International Law in Armed Conflict”, Harvard National Security Journal 2 (2011) 31,  39). 

12. With regard to specific events that ostensibly give rise to concrete suspicions of criminal offenses, even the State does not dispute the obligation to investigate suspected violations of the law. This obligation is derived directly from Israel’s obligation to defend the lives of the protected civilians in territories under belligerent occupation against intentional harm, and it is also anchored in the provisions of international humanitarian law, e.g., in § 146 of the Geneva Convention. There are those who claim that this is also required by the Human Rights Conventions (see, e.g., Cohen and Shani, at pp. 22-24). However, the parties before us are divided on the question ofwhat would be a sufficient indication of the existence of a suspicion that would justify opening a criminal investigation with regard to a certain event. While the petitioners claim that the  outcome of the operations as such – the deaths of civilians and the destruction of many houses – should lead to the opening of a criminal investigation, the respondents argue that the circumstances of every incident should be examined individually and a determination should be made as to whether there is a suspected violation of the laws of war and Israeli law in the matter.

The question of whether a criminal investigation should be opened automatically in every case in which the death of a civilian resulted from actions by security forces was dealt with in a parallel petition that was filed with this Court on this issue, i.e., HCJ 9594/03 Betzelem v. Military Advocate General [9], and we do not see fit to elaborate on this here. We should briefly clarify that the opening of a criminal investigation is not an automatic process in every case. It must arise from a real suspicion that criminal violations were, indeed, committed. The picture that emerges from a description of the fighting in a situation of armed conflict with a murderous terrorist organization, whose operatives took shelter among the civilian population, is certainly a harsh one, and the consequences of the fighting were painful for the civilian population in whose vicinity or among whose houses the terrorists operated. However, even that harsh general picture does not constitute, per se, cause for an investigation of a criminal nature. An investigation of that type must be conducted when a prima facie suspicion arises of conduct that deviates from Israeli law or of serious violations of international law that amount to criminal offenses under the penal laws.

 13. It should be borne in mind that the laws of war, which apply to armed conflicts between Israeli security forces and the terrorist organizations that control the Gaza Strip, provide protection to civilians who are not involved in the fighting, and the “principle of distinction” – which imposes on the fighting army an obligation to refrain from intentionally harming the civilian population – is a basic principle of those laws. However, alongside the principle of distinction, the laws of war also recognize the existence of “collateral damage” – damage caused to civilians indirectly, as a result of an attack aimed at the military targets of the enemy. The recognition of collateral damage derives from the understanding that the requirement to refrain completely from harming civilians during combat would negate the ability to fight in the modern era. Collateral damage does not constitute a violation of the laws of war, even if it is foreseeable, as long as it meets the requirements of the law, among which are the proportionality of the anticipated harm that would be caused to the civilians vis-à-vis the benefit anticipated from the military action, and refraining from deliberate attacks on civilians. No-one disputes the fact that unfortunately, innocent people may also be harmed during the fighting. This is particularly true in modern-day wars, in which boundaries are blurred between the front and the rear, between military targets and civilian targets, and between innocent civilians and those involved in terrorism and armed conflict. In the matter at hand, combat actions are often undertaken – for lack of choice – in the midst of civilian neighborhoods, from which and from within which the terrorist organizations operate. In such situations, an army must make every effort to refrain from harming innocent civilians. Nevertheless, sometimes harm to the civilian population cannot be avoided completely. We must not forget that the fighting occurs under conditions of pressure and uncertainty, with soldiers’ lives being at risk. Intensive combat is sometimes conducted against armed terrorists who operate knowingly and intentionally from within the civilian population. This combat activity is sometimes required by the laws of human rights, which charge the State of Israel with the obligation to protect its citizens and residents against terrorist attacks that endanger their lives. Therefore, the fact that citizens were harmed is not sufficient to establish a real suspicion that criminal offenses were committed in violation of the laws of war. In the absence of evidence that criminal offenses were committed, there is also no obligation to conduct a criminal investigation of the events.

 The State’s notice in response to the petition states that when there is doubt as to whether conduct that caused harm to civilians was within the boundaries of the law, the MAG refers to a preliminary factual examination that is conducted in the framework of an operational investigation, which is submitted to him for review. The operational investigation has additional purposes, such as examining the conduct of the forces and deriving lessons in order to avoid grave consequences in the future, even if these consequences did not stem from criminal behavior on the part of the combat forces. It also serves other internal operational needs. The question of the independence of this investigative mechanism and its suitability for establishing the basis for the data used by the MAG in the initial decision about opening a criminal investigation is not at issue in this petition because, as stated, no concrete cases were presented to us in which there was, indeed, a suspected violation of criminal law. Even with regard to specific events that were presented, incidentally, in the petition by means of newspaper reports, the manner in which they were handled by the security forces was not elucidated, and the petitioners did not present any arguments regarding their initial handling by means of an operational investigation. Moreover, even the State agrees that when a suspicion does, indeed, arise concerning criminal behavior, the operational investigation is not sufficient to fulfill the obligation to investigate violations of the law. It should be noted in this context that the reporting and factual examination procedures used by the MAG to make decisions have undergone changes in recent years, and a preliminary report is now submitted to the MAG himself within 48 hours from the time that harm was caused to any civilian who was not involved in the fighting. This report enables effective and immediate handling of the incident, either by way of a criminal investigation or by way of review and deriving other lessons.

14. Moreover, we have not seen fit to intervene in the decision regarding one particular incident, which was presented in the petition as an example of the general argument regarding the conduct of the security forces – an incident in which civilians were killed when tank artillery was fired at an abandoned house toward which a procession of Palestinian civilians was moving. As emerges from the detailed position of the State in this context, the incident was investigated at all levels of the IDF and the briefings were submitted to the MAG, who found that the commander of the squadron made a professional mistake with regard to the extent of the shooting, but the decision to actually shoot was justified under the conditions that existed in the field. The MAG determined that the mistake was made during the fighting and under conditions of pressure and uncertainty, and that the intention of the squadron commander was actually to prevent casualties. He therefore reached the conclusion, which was affirmed by the Attorney General, that the erroneous decision of the squadron commander was not unreasonable to the point of justifying the conduct of criminal proceedings against him. We would clarify that conditions of pressure and combat situations do not justify – per se – the firing of artillery shells at civilians, but the details of the investigation that was conducted and the array of circumstances that led to the MAG’s conclusion on that matter were not before us. As we know, the principle of maximum restraint in judicial intervention in the decisions of the executive authority regarding investigation and prosecution is deeply rooted in the judicial tradition of this Court.  Similar to the Attorney General, the discretion of the MAG on the question of whether to initiate criminal proceedings is extremely broad. Inter alia, he must act fairly, honestly and in good faith; he must act reasonably and with proportionality; he must take into account the relevant considerations and only those considerations; he must refrain from any illegitimate discrimination; and he must exhibit independence in his decision, as the person responsible for the rule of law in the military (Abu Rahma v. Military Advocate General [8], para. 66). Accordingly, intervention in the professional decisions of the MAG is implemented only rarely, in extremely exceptional circumstances (HCJ 425/89 Zufan v. Military Advocate General  [10], at pp. 727-728; HCJ 4550/94 Isha v. Attorney General [11], at pp. 871-872). As an aside, it may be noted that as a rule, the decision to terminate the handling of an incident as a criminal matter does not obviate other treatment – disciplinary, systemic or educational – of an incident that has had grave consequences.

15. Another factor that negates the ability to examine the decisions of the MAG, both with regard to the specific incident described above and with regard to the other incidents that occurred during the two operations – even if the petitioners had provided substantiated claims in relation to specific incidents – is the amount of time that passed from the time of the occurrence of the events requiring examination until the exercise of judicial review, i.e., the extensive delay that afflicts the petition. As stated above, the petitioner first contacted respondents 1 and 2 with a request to order a criminal investigation following Operation Rainbow in November 2005, about a year and a half after the end of the operation. The request to investigate the events of Operation Days of Repentance was first filed by the petitioner only in January 2007, over two years after the end of that operation. The petition itself was filed about sixteen months after the petitioner received a response from respondent 2 denying the request, and almost three years after the events.

 According to case law, acceptance of an argument of delay against an administrative petition requires the presence of two cumulative elements – one, the existence of a subjective delay, i.e., does the actual conduct of the petitioner indicate an implied waiver on its part of its right to apply to the courts; and two, the existence of an objective delay, i.e., did a change occur in the actual situation on the ground, and did the delay in filing the petition harm the interests of other parties. In this case, there was, indeed, both a subjective and an objective delay, when the petitioners asked the respondents to open a criminal investigation for events that occurred in the course of Operation Rainbow, about a year and a half after the end of the Operation. The petition itself was also filed a long time – over a year – after receipt of the respondents’ reply, and that delay was not explained by the petitioners. Moreover, the petitioners first contacted the respondents with a request to prosecute those responsible for Operation Rainbow in November 2005 – several months after implementation of the disengagement plan, during which the IDF left the Gaza Strip. 

 The petitioners argue, and there appears to be substance to the argument, that as a rule, the claim of delay should not be allowed when what is at stake is the rule of law and the violation of human rights. This is particularly true where the respondents had an obligation to investigate, even absent the request of the petitioners, and irrespective of any necessary connection to the filing of the petition. In principle, we accept this approach, and it is anchored in the case law of this Court. Indeed, the accepted law in our judgments is that the Court will not dismiss a petition because of a delay, if that entails a grave violation of the rule of law and of an important public interest (HCJ 7053/96 Amcor Ltd. v. Minister of the Interior  [12], at p. 202; HCJ 170/87 Asulin v. Mayor of Kiryat Gat [13], at p. 684). Above and beyond what is necessary, we will say that when such concerns, and even less grave ones, arise, we must not wait for applications by human rights organizations, journalists or other elements in order to initiate an investigation of the event, in a manner that would enable, should it be necessary, the conduct of an effective criminal process. Thus, we have already stated in a series of judgments that in cases in which there is a suspicion of criminal conduct, an investigation should be initiated soon after the event, to allow for the gathering of evidence (see, for example, HCJ 8517/07 Bassam Aramin v. Attorney General [14]).

In the case before us, however, we are not dealing with delay in its regular guise as a threshold argument but, rather, a delay that negates the ability to address the petition. The lengthy period of time that passed from the end of the combat operations which are the subject of the petition to the time of the actual filing of the petition affects the possibility of giving the petitioners the relief requested therein, even if their petition had merit. The more time that passes from the beginning of the fighting in a military arena, the greater the difficulty in gathering evidence, taking testimony and producing factual findings that might constitute a sufficient evidentiary and factual foundation for a disciplinary or criminal proceeding. The arena of the event changes, some of the witnesses are no longer available for questioning and accessibility to the area may change, as actually occurred in the circumstances of the matter before us. It may be said that the request for the remedy of a criminal investigation, or instituting criminal proceedings, always raises the subject of the interest of enforcing the law in its strongest sense but, on the other hand, it is a request with an “expiration date”. When time passes from an event that is the subject of a request of this type, there is no longer any point to the request, although other non-criminal remedies may be relevant in appropriate circumstances. In this case, as a year and a half passed between the Operations and the petitioners’ request to respondent 2 that he initiate a criminal investigation immediately, and certainly as almost three years have passed between the time the events took place and the filing of the petition before us, the relief of opening a criminal investigation is no longer applicable in any case. This is further justified by the absence of a factual basis that might have served as the foundation for a criminal investigation. This matter adds to the sense that the petition is not about an operative remedy but, rather, declarative relief and nothing more. In another matter, this Court stated as follows with regard to declarative relief:

‘…such a declaration, which states the obvious, is completely superfluous. Do the respondents claim that they are exempt from the burden of the law? Do the respondents believe that a declaration by the courts, to the effect that the law must be upheld, will add validity or weight to the law? The court does not issue such declarations for which there is no need, and which have no benefit or dignity’ (HCJ 1901/94 MK Uzi Landau v. Jerusalem Municipality [15], at p. 412). 

 To summarize this issue in general, it may be said that to the balance between the three different elements of the delay in its legal meaning, among which are the extent of harm to the interests of individuals who relied on a given situation and the extent of harm to the values of the rule of law (AdminAppA 7142/01 Haifa Local Planning and Building Committee v. Society for the Protection of Nature [16], at p. 679) must be added the ability to grant the requested remedy which, in effect, is also a general public interest that this Court not grant relief that cannot be realized. Therefore, in certain cases, a delay on the part of the petitioners  becomes a reason to deny the petition, even when substantive issues are involved. This is because it will only be possible to deal with cases of this type, involving these issues, in a partial and incomplete manner, due to the amount of time that has passed and the changes in circumstances.

The Existence of a Judicial Decision in the Matter

 16. Finally, the State claims that the issue of demolishing houses in the course of military operations has already been adjudicated in Abu Atara v. Commander of IDF Forces [1], and in Adalah v. GOC Southern Command [2], and the denial of those petitions shows that the State’s position, whereby, as a rule, the demolition of houses in the framework of military action in the Gaza Strip does not constitute a “war crime”, has already been accepted by the Court. This claim does not reflect the content of the aforementioned judgments. In Adalah v. GOC Southern Command [2], the petition was denied due to the respondents notifying the Court that the State intended to refrain from demolishing the houses at issue. In view of that notice, we found that the petition had become moot and that under those circumstances, “a decision on arguments in principle by the petitioners is not currently required” (para. 5 of the judgment). A similar decision was also rendered in Abu Atara v. Commander of IDF Forces [1]. In that matter, the State declared that if a decision were to be made in the future on the demolition of additional structures, that decision would not be implemented without granting the right to a hearing to all parties liable to be harmed by it, with three exceptions – immediate operational needs, danger to the lives of the soldiers or sabotage of the operation. In its judgment, the Court emphasized that – 

‘We would assume that the respondents are aware of the gravity of the responsibility placed on their shoulders and that they are making every effort to reduce, as far as possible, the extent of the harm done to the general civilian population and the extent of its suffering.’

 In view of the above, it is clear that the judgments mentioned by the State in this context did not establish any case law; rather, they related to the issue in accordance with the situation and the factual representation at that time, and with the principles presented by the State in its declaration to the Court. In the present case, the petitioners are not making a general claim regarding the authority of the military commander to demolish houses for security reasons. They argue that this authority was exercised unlawfully, in a manner that justifies an investigation. In the aforementioned judgments, therefore, general immunity was not given to the demolition, per se, of houses, but the Court recognized the fact that when a house serves as a base for firing at the State of Israel and terrorist activities are being conducted within it, or it is being used as shelter for a terrorist squad, its demolition, even without the right to a hearing, may constitute a legal and justified act. When a house serves as the residence of innocent civilians, under certain circumstances its demolition is prohibited, even during combat. Everything depends on the circumstances of each and every matter, taking into consideration the conditions, the needs and the situation at the scene. 

 

Before Concluding

17. For the reasons we have elucidated, we do not find that the petition has established cause for our intervention in the decision not to conduct a criminal investigation, as requested by the petitioners. The delay in filing the petition, its generality and its reliance on partial information highlight the fact that the legal tool is the least suitable tool for achieving the goals of the petitioners in this matter, whatever they may be. Regarding the substantive issue, the war on terrorism is a difficult one, which poses difficult dilemmas for the combat forces and the defense leadership with regard to avoiding harm to civilians when murderous actions come from among them. The grave, blood-soaked events that preceded the operations illustrate the difficulty involved in making decisions about combat actions and their outcomes. It certainly cannot be said that launching two operations and all the actions that were taken during those operations establish a prima facie suspicion of criminal offenses, as indicated by the arguments in the petition. Moreover, as we have explained above, the decision by the Attorney General or by the MAG with regard to pressing charges is made in light of an isolated incident, and that is also how judicial review on decisions of this type is exercised. Indeed – 

‘If the petitioners leave this Court with empty hands, it is only because they took the wrong path, and therefore did not reach their objective. There are those who say that this Court is the last refuge of the citizen in his dispute with the government. But as opposed to these, there are those who apply to this Court in order to settle such an argument, as the first step on the path, even before turning to the government itself. And there are also those who come to the Court not in order to settle the argument, knowing that the case is not at all amenable to judicial decision and, accordingly, there is also no basis for assuming that the Court will grant them relief’ (MK Uzi Landau v. Jerusalem Municipality [15], at p. 418).

 The sweeping petition and the serious claims made therein do not lay a proper factual or legal foundation for a practical and concrete deliberation. The petition mixes legal claims and claims that belong, perhaps, to a publicist-public discourse, and not in a legal proceeding. It appears on its face to be an attempt to utilize the Court in a debate which seemingly should not be planted in that field. 

 

 

18. In this context, it should be noted that, for its own reasons, the petitioner also saw fit to refer extensively in its arguments to the principle of universal jurisdiction. This principle is not relevant to the proceedings that are held before this Court, nor does it have any relevance to the present proceeding. Claims of that type, in accordance with the manner of their formulation, are in the nature of a veiled “threat” against the respondents and even the Court, and it would have been better had the petitioner not chosen to bring that argument before us.

19. The reality in which we live is dynamic and changing and it seems that the day is still far off when the fighting will end completely. Unfortunately, the armed conflict between the State of Israel and the Palestinian terrorist organizations claims many victims from among the civilian population on both sides, and there is no end in sight. In combat situations, just as in calmer times, the security forces are obligated to refrain, as far as possible, from harming innocent people who are caught up in the fighting through no fault of their own, under both Israeli and international law, and under basic principles of humanity. However, tragically, during the fighting and due to the manner of the fighting conducted by the terrorist organizations, innocent people may be hurt, even when the IDF acts properly. Contending with such tragedies does not necessarily – nor should it always – lead to a criminal trial. We feel that we must emphasize yet again – and the State has not disputed this – that when there is a suspected deviation from the proper norms of behavior, even if there is no reason for a criminal trial, the investigating authorities must conduct an examination of the incident with the appropriate tools for that purpose, in order to establish deterrence that could prevent harmful behavior in the future, to instill an educational message into the fighting forces as to the importance of respecting the legal and moral criteria, and to demonstrate the importance of maintaining the rule of law.

Conclusion

In view of all the above, the petition is denied. Due to the importance of the matter with which the petition deals, however, we have not seen fit to grant an order for costs.

 

 

Justice E. Rubinstein

1. I concur in all that was said by my colleague the President, from beginning to end, and even though any addition would only detract, I would like to add some brief words of my own. 

2. The State of Israel is frequently engaged in a battle against cruel terrorism, which is part of the saga that takes on and sheds the form of a struggle against those who have tried to destroy it in every generation, including this one. This petition, which is 135 pages long, contains no legal reference to this struggle of the State of Israel against ignominious and nefarious people who do not deserve the name human beings, who do not hesitate to slaughter its citizens in buses, in cafes and at the Passover seder table, at bus stations and in any possible place, including in a serene family home on a Sabbath or holiday, and to launch missiles at Sederot and the villages around Gaza year after year, with the aim of hurting civilians and only civilians. I am not even talking about empathy – although the reader of the petition might believe that the matter involved intentional harm to people who were sitting “tranquil and unsuspecting …and had no dealings with any man” (Judges 18:7). What hides behind the learned legal cover with innumerable citations? And the question is whether its true purpose is not the delegitimization of the State of Israel, with the “threat” to which my colleague referred about the exercise of “universal jurisdiction”. The truth is that we are not in a bubble surrounding only one party at which are aimed the arrows of the petition – the State of Israel and its soldiers – and no other party or parties whose hands are covered in blood, who do not act according the humanitarian laws and according to the rules of humanity in general. The sophisticated legal language cannot cover this up. This Court is not oblivious to the harm caused to civilians, as shown by its rulings over many years – and neither are the IDF and the defense establishment in general. This Court deals with this constantly, on an almost daily basis, including judicial review of decisions made by military entities in various contexts that are threaded throughout the judgments. The Court’s decisions have also attracted internal criticism from various circles in Israel; but it will not alter its path, which takes into consideration domestic and international law, but which also recalls that the Court operates amongst its people.

 

3. Indeed, this Court has more than once granted petitions that were directed against the defense establishment (see, inter alia, Abu Rahma v. Military Advocate General [8]). On the other hand, I occasionally visit prisons and meet security prisoners, among them murderers, who are given rights under all the laws and rules, including visits by the Red Cross and their families. Gilad Shalit was held for five years and four months by evil Hamas operatives without the Red Cross being allowed to visit him. In the case of Operation Cast Lead in 2009, this Court heard petitions immediately, while the battles were raging, on humanitarian and other issues connected with the war, which is unique and has no equal in other countries: that the highest court in a country would deal, in real time, while the actual events are occurring, with issues pertaining to the war that is being waged at that time. In addition, I can attest firsthand to innumerable discussions in various fora, among them the very highest, such as the government and the cabinet, during my term as attorney general, and before that as the government secretary, in which the legal entities reminded and warned about the duty of caution under the circumstances vis-à-vis innocent civilians, at the time when terrorists were using civilian neighborhoods and residents for their own criminal actions. This Court will remain on guard, and the military and civilian law enforcement authorities will fulfill their obligations with regard to specific complaints; with regard to their obligation to act in that context and in the context of “government offenses” in general, there is no need to elaborate (in addition to the words of my colleague the President here, extensive case law exists. See, e.g., HCJ 769/02 Public Committee Against Torture v. Government of Israel [17] (para. 40)).

4. My colleague analyzed the petition and the arguments therein, and addressed each one of them, exercising great restraint. I concur, as stated, in all of her words.

 

Justice H. Melcer

I concur in the judgment of the President, Justice D. Beinisch.

I would like to add that allegations similar to those made by the petitioners in this petition were made at the time to the prosecutor who was appointed to examine the NATO bombings in Yugoslavia, which were perpetrated in response to the harm done to the residents of Kosovo. The prosecutor there was assisted by a special committee, which advised her on the issue and determined as follows:

‘… in the particular incidents reviewed by the committee with particular care (…) the committee has not assessed any particular incidents as justifying the commencement of an investigation by the OTP. NATO has admitted that mistakes did occur during the bombing campaign; errors of judgment may also have occurred. Selection of certain objectives for attack may be subject to legal debate. On the basis of the information reviewed, however, the committee is of the opinion that neither an in-depth investigation related to the bombing campaign as a whole nor investigations related to specific incidents are justified. In all cases, either the law is not sufficiently clear or investigations are unlikely to result in the acquisition of sufficient evidence to substantiate charges against high level accused or against lower accused for particularly heinous offences.’ (See: Final Report to the Prosecutor by the Committee Established to Review the NATO Bombing Campaign Against the Federal Republic of Yugoslavia, §90. Can be viewed at: http://icty.org/sid/10052 ). 

These words also hold true, mutatis mutandis, for the issues here, and thus this petition is also distinguished from what was before us in Abu Rahma v. Military Advocate General [8], in which this Court issued an absolute order (see: my opinion, ad loc.)  

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