1. Introduction
1.1. Procedure
1. The motion for a recommendation entitled “Urgent
need to deal with new failures to co-operate with the European Court
of Human Rights” (
Doc.
13185) was transmitted to the Committee on Legal Affairs and
Human Rights for report by the Parliamentary Assembly on 23 April
2013. At its meeting on 25 June 2013, the committee appointed me
as rapporteur. As agreed on 4 September 2013, the committee held
a joint hearing on “Failures to implement Strasbourg Court provisional
measures” with the Committee on Migration, Refugees and Displaced
Persons during the October 2013 part-session, on the basis of my
introductory memorandum.
The
following experts participated in the hearing:
- Ms Clara Burbano Herrera, Senior
Research Fellow, Human Rights Centre, Ghent University, Belgium
- Mr Vincent Berger, former Jurisconsult of the European
Court of Human Rights, lawyer, Paris
- Ms Heather McGill, Amnesty International, London
1.2. States Parties’
duty to co-operate with the Court: a safeguard of the right of individual petition
2. The right of individual petition is a cornerstone
of the system of protection of human rights under the European Convention
on Human Rights (ETS No. 5, “the Convention”). The Assembly has
defended this right throughout the discussions over the past years
on the reform of the Convention system.
The
effective exercise of the right of individual petition is guaranteed
by the obligations undertaken by the member States not to hinder it
(Article 34 of the Convention) and to co-operate with the European
Court of Human Rights (“the Court”) by furnishing all necessary
facilities, should it decide to carry out its own investigation
(Article 38).
3. In recent years, the number of cases in which the Court found
a breach of Article 38 of the Convention has dramatically decreased.
This may be due in part to the resolution of certain political situations
and the States’ increased willingness to co-operate with the Court.
It may also be the consequence of a change in the Court’s approach,
namely a quasi-automatic shifting of the burden of proof on the
governments in cases characterised by certain patterns of fact.
As
a result, the Court finds substantive violations even without indisputable
evidence, which the governments are still often reluctant to provide.
Consequently, while the problems previously leading to findings
of the breach of the obligation to co-operate with the Court have
not disappeared, presently they appear to be examined and taken
into account in the context of substantive violations.
4. I am quite satisfied that the Court has found a way to resolve
such cases in a way which safeguards the applicants’ rights to the
extent possible. The Assembly, in
Resolution 1571 (2007) on member States’ duty to co-operate with the European
Court of Human Rights,
had in fact “commended the Court
for its assertiveness in developing case law concerning member States’
duty to co-operate in the establishment of facts” and encouraged
it to continue “making use of presumptions of fact and reversing
the burden of proof in appropriate cases”.
5. The situation is quite different when it comes to Article
34 of the Convention and, especially, to the States’ compliance
with Rule 39 of the Rules of Court. This rule empowers the Court
to indicate to the Parties any interim measure which it considers
should be adopted in the interests of the Parties or of the proper conduct
of the proceedings before it. In particular, application of Rule
39 in extradition and expulsion cases allows the Court to ensure
that the status quo is maintained or an applicant’s situation is
not worsened before it has an opportunity to examine the merits
of the complaint. In 2005, the Court ruled that interim measures indicated
by it are legally binding on the Parties and their breach can result
in a violation of the right of individual petition.
6. In 2010, the Court received the highest number of requests
for application of Rule 39 in its history. Since then, their number
has significantly dropped,
which
may be explained by a variety of factors, ranging from changes in
certain political situations to the Court’s own procedural reforms,
as well as, perhaps, to a possible improvement in the processing
of a certain category of cases by domestic administrative and judicial authorities.
7. Despite the apparent statistical success in terms of the decreased
number of requests lodged with the Court, non-compliance with binding
interim measures ordered by the Court provides a reason for serious concern.
Since 2005, the Court has dealt with a significant number of such
cases from several States and concerning, most often, removal of
the applicants or their expulsion or extradition in contravention
of the indication under Rule 39. However, recently a new trend has
emerged: the applicants enjoying the protection of an interim measure,
who were previously subject to removal following a domestic decision,
“disappear” in suspect circumstances and then either resurface in
their home/requesting countries or never reappear at all. Eight
such incidents have been reported since 2011, all of which have
occurred in one member State and concerned applicants wanted on
extradition grounds by two States which are not Contracting Parties
to the Convention. In a few such cases, the Court has already arrived
at the conclusion that the removal had occurred either with the
direct involvement or passive connivance of the authorities of the
State which was bound by the interim measure.
8. By disregarding the Court’s indications, States Parties deny
to applicants the practical and effective protection of their Convention
rights, prevent the Court from properly examining applications and
undermine the Court’s authority. However, the situation becomes
even more unsettling when States attempt to create a “smoke screen”
to deny responsibility for the events that occur in their territory.
1.3. The Council of
Europe’s previous work on this subject
9. The subjects of respect of the right of individual
petition guaranteed by Article 34 of the Convention and compliance
with interim measures under Rule 39 is not new to the Council of
Europe’s work – several bodies have dealt with its various facets
at different times.
1.3.1. Parliamentary Assembly
10. The issue has been raised in two important reports
of the Assembly and the resolutions and recommendations based on
them.
11. In the above-mentioned report on member States’ duty to co-operate
with the European Court of Human Rights, in addition to drawing
attention to the instances of non-compliance with interim measures
indicated by the Court, the Committee on Legal Affairs and Human
Rights compared the status of interim measures in the European Convention
system and other international systems of human rights protection.
In particular, it referred to the practice developed under Article
63.2 of the American Convention on Human Rights, which empowers
the Inter-American Court of Human Rights to order positive action
by States. For example, in the
Aleman-Lacayo case,
the Inter‑American Commission of Human Rights asked the Court to
pass a measure requesting that the Government of Nicaragua adopt
effective security measures to protect the life and personal integrity
of Dr Aleman‑Lacayo, including providing him and his relatives with
the “name and telephone number of a person in a position of authority”
who would be responsible for providing them with protection. The
Court granted the Commission’s request and called on the Nicaraguan
Government to adopt “such measures as are necessary to protect the
life and personal integrity of Dr Aleman-Lacayo” (see
Aleman-Lacayo case, Inter-American
Court of Human Rights, Order of 2 February 1996). Interestingly,
one of the invited experts, Ms Burbano-Herrera,
also referred to this
interesting case at our hearing on 3 October 2013, and another, Mr
Berger, the former Jurisconsult of the European Court of Human Rights,
encouraged the latter to be “more inventive” in relation to Rule
39 interim measures.
12. In
Resolution 1571
(2007), the Assembly called on the competent authorities of
all member States to,
inter alia:
“17.2. take positive measures to
protect applicants, their lawyers or family members from reprisals
by individuals or groups including, where appropriate, allowing
applicants to participate in witness protection programmes, providing
them with special police protection or granting threatened individuals and
their families temporary protection or political asylum in an unbureaucratic
manner;
17.3. thoroughly investigate all cases of alleged crimes
against applicants, their lawyers or family members and to take
robust action to prosecute and punish the perpetrators and instigators
of such acts so as to send out a clear message that such action
will not be tolerated by the authorities;”
13. In the same resolution, the Assembly invited the Court to
“tak[e] appropriate interim measures, including new types thereof,
such as ordering police protection or relocation of threatened individuals
and their families”. It also invited national parliaments “to include
all aspects of States’ duty to co-operate with the Court in their work
aimed at supervising the compliance of governments with obligations
under the Convention, and to hold the executive or other authorities
accountable for any violations”.
14. It is noteworthy, in this context, that in the recent judgment
in the
Savriddin Dzhurayev case,
the Court, for the first time, required, as a general measure under
Article 46 of the Convention, that the respondent State put in place
an appropriate mechanism capable of ensuring that applicants in
respect of whom the Court has indicated interim measures “benefit
from immediate and effective protection against unlawful kidnapping
and irregular removal” from the host State’s territory and jurisdiction.
This mechanism “should be subject to close scrutiny by a competent
law-enforcement officer … capable of intervening at short notice
to prevent any sudden breach of interim measures that may occur
on purpose or by accident”. The Court also required easy access of
such applicants and their legal representatives to the State agents
concerned “in order to inform them of any emergency and seek urgent
protection”.
As Mr
Berger pointed out, at the hearing on 3 October 2013, the Court
still refrained from indicating precisely which specific measures
the respondent State was required to take in order to achieve the
intended result, but the fact that the Court clearly requested the
authorities to take positive measures is a significant step forward,
in line with the Assembly’s earlier invitation.
15. Following the transfer by the Italian authorities of the applicant
Mr Toumi to Tunisia in flagrant disregard of the Court’s interim
measure, on 6 August 2009 Ms Herta Däubler-Gmelin (Germany, SOC)
and Mr Christos Pourgourides (Cyprus, EPP/CD), at the time respectively
the Chair of the Committee on Legal Affairs and Human Rights and
the rapporteur on implementation of judgments of the European Court
of Human Rights, made a joint statement to the press, condemning
Italy for its action.
16. On 20 August 2009, Ms Däubler-Gmelin addressed a written question
to the Committee of Ministers, seeking information about the steps
it had taken with respect to repetitive non-compliance by Italy
with interim measures and the measures it intended to take to ensure
its compliance in the future.
Simultaneously, Ms Däubler-Gmelin
sent a letter to the Italian parliamentary delegation with similar
questions.
17. The second relevant report of the Assembly is that on “Preventing
harm to refugees and migrants in extradition and expulsion cases:
Rule 39 indications by the European Court of Human Rights”
by the Committee
on Migration, Refugees and Displaced Persons. It was published at
the height of the influx of the requests for application of Rule
39 made mostly by asylum seekers and migrants and focused specifically
on that vulnerable group of potential beneficiaries of interim measures.
With the number of incidents of non-compliance with an interim measure
at the time still being relatively low, the report analysed the
general notion of States’ compliance and objective impediments which
might thwart it. It also provided an overview of the Council of
Europe’s structure of institutional support for the Rule 39 mechanism.
18. In
Resolution 1788
(2011), based on this report, the Assembly condemned “any disrespect
of legally binding measures ordered by the Court … as a blatant
disregard for [this] system of protection of human rights” and urged
the member States to:
“15.1 guarantee
the right of individual petition to the Court under Article 34,
neither hinder nor interfere with the exercise of that right in
any manner whatsoever and fully comply with the letter and spirit
of interim measures indicated by the Court under Rule 39, in particular
by:
15.1.1 co-operating with the Court and Convention organs,
by providing full, frank and fair disclosure in response to requests
for further information under Rule 39(3), and facilitating to the
highest degree any fact-finding requests made by the Court;
...”
19. In addition, the Assembly again expressed the hope that the
Court would require “the adoption of specific measures by States
to remedy harm caused, in order that the Committee of Ministers
may more effectively monitor the execution of judgments”.
20. In June 2012, the Committee on Legal Affairs and Human Rights
discussed the issue of non-compliance with interim measures by the
Russian Federation and Ukraine in the framework of its hearings
on implementation of Court judgments.
1.3.2. Committee of Ministers
21. In Resolution CM/Res(2010)25,
adopted as a response to Assembly
Resolution 1571 (2007), the Committee of Ministers called on the States Parties,
inter alia, to:
“2. fulfil their positive obligations to protect applicants
or persons who have indicated an intention to apply to the Court
… by … providing appropriate forms of effective protection, including
at international level;
3. … take prompt and effective action with regard to any
interim measures indicated by the Court so as to ensure compliance
with their obligations under the relevant provisions of the Convention
...;
4. identify and appropriately investigate all cases of
alleged interference with the right of individual application, having
regard to the positive obligations already arising under the Convention
in light of the Court’s case law;
5. take any appropriate further action, in accordance
with domestic law, against persons suspected of being the perpetrators
and instigators of such interference, including, where justified,
by seeking their prosecution and the punishment of those found guilty;”
22. In addition, in the same resolution the Committee of Ministers
decided to examine urgently any incident of interference with the
right of individual application. Since then, the incidents of non-compliance
with Rule 39 in adjudicated cases, as well as the ones that are
still pending before the Court, are regularly on the agenda of the
Committee of Ministers’ Human Rights meetings.
23. At their 1176th meeting on 10 July 2013, the Ministers’ Deputies
“1. noted with grave concern that
a further incident involving allegations of kidnapping and illegal
transfer of an applicant protected by an interim measure indicated
by the Court under Rule 39 has been reported, this time in the context
of the Mamazhonov case;
2. strongly insisted that light be shed on this incident
and on the fate of the applicant as quickly as possible;
3. consequently insisted again on the pressing need to
adopt as of now measures to ensure an immediate and effective protection
of the applicants in a similar situation against kidnappings and irregular
removals from the national territory;
…”
2. The Rule
39 mechanism: recent trends
24. Rule 39 of the Rules of Court reads as follows:
“1. The Chamber or, where appropriate,
the President of the Section or a duty judge appointed pursuant to
paragraph 4 of this Rule may, at the request of a party or of any
other person concerned, or of their own motion, indicate to the
parties any interim measure which they consider should be adopted
in the interests of the parties or of the proper conduct of the
proceedings.
2. Where it is considered appropriate, immediate notice
of the measure adopted in a particular case may be given to the
Committee of Ministers.
3. The Chamber or, where appropriate, the President of
the Section or a duty judge appointed pursuant to paragraph 4 of
this Rule may request information from the parties on any matter
connected with the implementation of any interim measure indicated.
4. The President of the Court may appoint Vice-Presidents
of Sections as duty judges to decide on requests for interim measures.”
25. As stated above, Rule 39 is linked to Article 34 of the Convention,
by which the States Parties “undertake not to hinder in any way
the effective exercise of the right” of individual application.
The Court’s practice is only to issue an interim measure against
a State Party where, having reviewed all the relevant information,
it considers that the applicant faces a real risk of serious, irreversible
harm if the measure is not applied. In its very recent judgment
in the case of
Savriddin Dzhurayev v.
Russia, the Court reaffirmed that the purpose of interim
measures is not limited to facilitating effective examination of
applications but includes ensuring effectiveness of the protection
afforded to the applicant by the Convention.
Such indications
also allow the States concerned to properly discharge their obligation
to comply with a legally binding final judgment of the Court and
permit the Committee of Ministers to supervise execution of the
final judgments.
A
firm position on the absolute and utmost importance of States’ compliance
with interim measures was expressed by the States Parties themselves
in the Izmir Declaration
and
by the Committee of Ministers in its Interim Resolution CM/ResDH(2010)83
in the case of
Ben Khemais v. Italy. The Court
has also reiterated on several occasions that, in complying with
an interim measure, States should have regard not only to its letter
but also to its spirit or, in other words, its very purpose.
26. While the legally binding nature of interim measures means
that their non-respect can result in the finding of a violation
of Article 34 of the Convention, the Court has specified that this
may not happen if the respondent State has demonstrated that an
objective impediment prevented compliance and that it took all reasonable
steps to remove the impediment, and to keep the Court informed about
the situation. Such was the case in the applications
Muminov v. Russia,
Sivanathan v. the United Kingdom,
M.B. and Others v. Turkey, and
Hamidovic v. Italy,
where
the Court accepted that a breach of the imposed interim measure
had been either the result of an unfortunate sequence of events
(usually insufficient time between the Court’s communication of
the measure and actual removal of the applicant or delays in transmission
of information within the government structures) or a consequence
of the applicant’s own actions, failing to establish the government’s
responsibility.
27. Nevertheless, since 2005, when the Court declared interim
measures legally binding, there have been nearly 20 cases in which
the Court found a breach of Article 34 of the Convention linked
to a non-respect of Rule 39. In several of these cases, namely
Aleksanyan v. Russia,
Paladi v. Moldova and
Grori v. Albania,
the interim
measures concerned the applicants’ medical treatment – transfer
from prison to hospital or continued treatment in a specialised
medical facility. In one case,
Shtukaturov
v. Russia,
the
Court required the respondent government to permit the applicant
to see his lawyer. However, in most of such cases an interim measure
had been applied in order to stay the applicants’ extradition or
expulsion, so as to prevent the risk of their ill-treatment, proscribed
by Article 3 of the Convention, in the receiving country.
28. The particulars of all the cases with a (alleged) breach of
Rule 39 can be found in the appendix to the present document (and
therefore do not bear a repetition here); several trends are discernible.
29. Firstly, between 2009 and 2012, the Court rendered four judgments
against Italy concerning the extradition, in flagrant defiance of
interim measures, of Tunisian nationals who, in their home country,
were charged with, or convicted
in absentia of,
terrorist activities. The transfers of the applicants to Tunisia
occurred between June 2008 and May 2010. The Italian Government
justified their actions by claiming that the applicants represented
a threat to national security. In all of the above judgments, in
addition to a breach of Article 34 of the Convention, the Court
found violations of Article 3 of the Convention, which prohibits
torture and inhuman treatment, due to the applicants’ risk of being
subjected to ill-treatment. It is noteworthy that one of the four
applicants, Mr Toumi, subsequently indicated to the Court that he
had been tortured upon arrival in his home country.
No
information regarding the current situation of the other applicants
has, to date, been submitted by the Italian Government.
30. An even longer series of episodes concerning “undercover”
transfer of persons to Tajikistan and Uzbekistan from the Russian
Federation began in the summer of 2011.
Thus
far, the Court has delivered three judgments against the Russian
Federation in this type of case, finding in all of them that the
illegal transfers had occurred with the active involvement or passive
connivance of the Russian authorities.
The Court
has also established in all three judgments that, by transferring
the applicants or failing to protect them from forcible removals,
the Russian Federation acted in breach of its obligations under
Article 3 of the Convention. Five more applications raising the
same issue are currently pending before the Court.
In the majority of these cases
the applicants were wanted in their home States for membership of
an illegal religious organisation or participation in unlawful religious
activities. In other cases, the applicants were indicted for alleged
terrorist activities or crimes that could be qualified as being
against State security. In all of these cases, the applicants were
initially arrested in Russia with a view to extradition, and then
released, usually upon expiry of the statutory time-limit for such
detention, and thereafter they “disappeared” in suspect circumstances.
In the majority of the cases, after their “disappearance” the applicants
resurfaced in the requesting countries where they were convicted
and sentenced as charged, often amidst claims of torture, which
the local authorities refused to investigate. In other cases, indirect
evidence of the applicants’ transfer to the requesting States has surfaced,
mostly coming from anonymous media sources.
In all of
these cases, the Russian authorities either refused to open criminal
investigations into the applicants’ disappearance or produced vague
and inconclusive explanations, with the investigations pending for
years.
31. The most recent Court judgment in this respect, Savriddin Dzhurayev v. Russia, concerns
a case falling exactly into this category. The applicant, initially
arrested in Russia with a view to extradition to Tajikistan for alleged
unlawful religious activities, was released in May 2011, following
an application by the Court of an interim measure staying his extradition.
In September 2011, the Russian authorities granted Mr Dzhurayev temporary
asylum in Russia. According to the applicant, on 31 October 2011,
he was abducted in Moscow by a group of men who detained him in
a minivan for one or two days and tortured him, then took him to
the airport, from where he was flown to Khujand (Tajikistan) without
going through normal border formalities or security checks. Upon
arrival, he was handed over to the Tajik authorities. According
to his father’s submissions, Mr Dzhurayev was then detained at a
police station, where he was severely ill-treated and forced to
confess. Once informed of the abduction in Moscow, Mr Dzhurayev’s
lawyer immediately contacted a number of Russian officials, including
the Head of the Moscow police and the Prosecutor General, asking
them to protect Mr Dzhurayev from the risk of a forcible transfer
to Tajikistan. An official request to that effect was also addressed by
the Russian Commissioner for Human Rights to the Head of the Moscow
police. The investigators in charge refused to open a criminal investigation
on at least four occasions. The Russian Government relied in their
final submissions on the information received from the Prosecutor
General of Tajikistan to the effect that the applicant had “voluntarily
surrendered” to the Tajik authorities after crossing several State
borders without a single document.
32. In April 2012, a regional court in Tajikistan found Mr Dzhurayev
guilty of a number of offences and sentenced him to 26 years’ imprisonment.
During the trial, according to the applicant’s lawyer’s submissions, the
applicant did not plead guilty and insisted that he had been abducted,
forcibly transferred to Tajikistan and tortured to extract confessions.
The local authorities did not answer the relatives’ request for
a forensic examination of the applicant and his co-accused.
33. In the above case, the Court, based on several factual elements
of the case – the speed with which the applicant reached Tajikistan,
which suggested the use of an aircraft, the impossibility to board
an aircraft bound for a foreign country without going through the
administrative checks and formalities, the refusal of the authorities
to conduct anything resembling a good-faith investigation into the
incident, and its own findings in two previous applications –, found
it established that the applicant’s forcible transfer had occurred
with the involvement of State agents. The Court stressed, in particular,
that the actions of the State agents were “characterised by manifest
arbitrariness and abuse of power with the aim of circumventing”
the decision granting the applicant temporary asylum and the steps
taken to prevent the applicant’s extradition in line with the interim
measure. The Court likened the actions of the Russian authorities
concerning the applicant’s forcible transfer to the infamous “extraordinary
renditions” in the sense that both were conducted “outside the normal
legal system” and, “by [their] deliberate circumvention of due process,
[were] anathema to the rule of law and the values protected by the
Convention”.
34. Noteworthy in this context is the nature of co-operation between
Russia and central Asian States in the framework of the Shanghai
Cooperation Organisation, mentioned on several occasions by international organisations
as incompatible with international human rights norms, especially
the principle of
non-refoulement,
and the rule of law.
The Shanghai Convention on Combating
Terrorism, Separatism and Extremism of 2001
requires member States, among which
are the Russian Federation, Tajikistan and Uzbekistan, to exchange
information, develop legal co-operation and share practical assistance.
Co-operation between secret services is carried out without any
oversight: a service merely requests assistance from another service
upon which the receiving State “shall take all necessary measures
to ensure a prompt and most complete execution of the request”.
In fairness, the convention contains
a caveat which allows for denial or postponement of execution of
a request for assistance if the competent authority of the requested
State “considers that its execution … contradicts the legislation
or international obligations of the requested Party”.
Even assuming that the aforementioned
events in Russia took place within the framework of co-operation under
this convention, an inference can be made that it is the lack of
political will, and not of legal tools, that impedes proper safeguarding
of individuals against their forcible transfer to countries implicated
in widespread and systematic use of torture.
35. It should be noted, in this connection, that other States
have also been recently implicated in situations of direct defiance
of interim measures. One such case is
Labsi
v. Slovakia,
where
the Slovak authorities, under the pretext of a superior societal
interest, expelled the applicant, convicted
in
absentia by an Algerian court of membership of a terrorist
organisation, to his home country in flagrant disregard of the Court’s indication
under Rule 39. This case gained particular notoriety due to the
comments made by the spokesperson of the national Ministry of the
Interior to the effect that the Slovak authorities were prepared
to run the risk of being found to be in breach of the Convention
and that other States which had failed to comply with a Rule 39 measure
only had to pay “a few thousand euros”.
36. The most recent case in this category, communicated to the
authorities in January 2013, is the application
Malevanaya and Sadyrkulov v. Ukraine.
In this case,
the Ukrainian State agents disregarded the Court’s interim measure
prohibiting expulsion of the political refugees by sending them
to Georgia.
37. This type of case has caused much disarray among human rights
defenders. Amnesty International has recently published an interesting
report entitled “Eurasia: Return to torture: Extradition, forcible
returns and removals to Central Asia.”
The
report covers abduction, disappearance, unlawful transfer, imprisonment
and torture of individuals wanted on religious, political and economic
grounds from, among others, Russia and Ukraine to Central Asia,
often in breach of interim measures and judgments of the European
Court of Human Rights. Amnesty International has likened these cases
to a “region-wide extraordinary renditions programme”.
As this subject is also of interest
to the Assembly’s Committee on Migration, Refugees and Displaced
Persons, our committee held a joint hearing with our sister committee
during the Assembly’s October 2013 part-session on “Failures to
implement Strasbourg Court provisional measures”, during which I
gave the floor also to the researchers involved in the preparation
of the above-mentioned report.
3. Evolution of the
Court’s approach to States’ obligation to co-operate under Article
38 of the Convention
38. Article 38 (former Article 28) of the Convention
reads as follows:
“The Court shall
examine the case together with the representatives of the Parties
and, if need be, undertake an investigation for the effective conduct
of which the High Contracting Parties concerned shall furnish all
necessary facilities.”
39. It should be noted that before the entry into force of Protocol
No. 14 to the Convention (STCE n° 194), this provision was applicable
only at the post-admissibility stage of an application.
40. Since 1999, the Court has delivered hundreds of judgments
against Turkey and the Russian Federation touching upon the events
in their secessionist regions and concerning Articles 2 (the right
to life), 3 (prohibition of ill-treatment) and 5 (detention) of
the Convention. In a great number of these judgments, these respondent States
were found to have failed to properly discharge their duties under
Article 38 of the Convention, most often through non-disclosure
of domestic investigation files and other documents and lack of
assistance to the Court’s fact-finding missions. This failure often
meant that the Court was unable to establish conclusively whether
a substantive violation of the Convention had taken place.
41. In its Resolutions ResDH(2001)66
and ResDH(2006)45,
the Committee of Ministers, faced
with the multitude of such cases, emphasised repeatedly that the
principle of co-operation with the Court embodied in the Convention
was of fundamental importance for the proper and effective functioning
of the Convention system and called on the governments of the Contracting
States to ensure that all the relevant authorities complied strictly
with that obligation.
42. In its above-mentioned
Resolution
1571 (2007), the Assembly called on the competent authorities of
all member States to “assist the Court in fact-finding by putting
at its disposal all relevant documents, including the complete case
file concerning criminal or other proceedings before the national
courts or other bodies, and by identifying witnesses and ensuring
their presence at hearings organised by the Court” (paragraph 17.4).
43. In recent years, the Court’s case law reached a point where
the shifting of the burden of proof onto the respondent governments
became quasi-automatic if the facts of the prima facie case made
by the applicants matched a certain pattern suggestive of the authorities’
responsibility, as previously established by the Court.
Aided
by its Rule 44.C.1,
the Court began to interpret the
States’ lack of co-operation as a strong factual presumption in
support of the applicants’ assertions and thus to find substantive
violations of the Convention even when it was not in possession
of indisputable evidence, withheld by the respondent States. As
mentioned above, in its
Resolution
1571 (2007), the Assembly had in fact encouraged the Court to continue
“making use of presumptions of fact and reversing the burden of
proof in appropriate cases”.
Since 2010, the
number of judgments finding a violation of Article 38 has ranged
from one to three per year; they have also concerned other States.
4. Conclusions
44. In light of the developments described above and
of the contributions of our experts at the hearing on 3 October
2013, I should like to draw the following conclusions, which are
reflected in the draft resolution and recommendation.
45. Firstly, it appears that the Court has found a workable answer
to lack of co-operation by States Parties consisting in failures
to provide evidence and explanations requested by the Court. Factual
presumptions and, in appropriate cases, the reversal of the burden
of proof, protect the applicants’ interests in having violations recognised
without placing an undue burden on States Parties: if they are in
the right, they can always avoid findings of violations by providing
the materials required by the Court.
46. Secondly, regarding non-compliance with the Court’s interim
measures, it would appear that this is mostly a political issue,
rather than just a specifically legal one. While we must continue
to remind States of their voluntarily undertaken legal obligations,
such as the one to co-operate with the Court so as to allow the latter
to discharge its functions, or the one to ensure the most effective
protection of the Convention rights to anyone within their jurisdiction,
this – I am sorry to say – does not appear to have led to any improvement
in the situation – quite the opposite has happened.
47. Attempts by certain States to cover up inappropriate and illegal
proceedings attest to the fact that their governments are in fact
aware of their unlawfulness, but perceived political self-interest
prevails. The Russian “extraordinary rendition cases” investigated
by Amnesty International, described at our hearing by Ms McGill, illustrate
the gravity of such abuses. International co-operation between law-enforcement
bodies based on regional agreements, such as the Shanghai Cooperation
Organisation, or on long-standing institutional or personal relations,
however desirable for the sake of the efficiency of law enforcement,
must not be allowed to violate a State Party’s binding commitments
under the Convention. Just as the Assembly spoke up loudly and clearly
against unlawful transfers of detainees and secret detentions by
the CIA (in collusion with certain European partners),
we
cannot tolerate actions also involving temporary disappearances
by one of the Council of Europe’s own member States.
48. Concrete preventive action and/or specific, sufficiently dissuasive
sanctions are needed to make a difference. Interestingly, one of
our experts, a former senior official of the Court, suggested that
the Court could make use of Article 41 of the Convention to award
“punitive damages”, which would provide a form of reparation because
the violation, in such cases, has already taken place. Trusting
in the ability of the Court to avoid any exaggerations, I consider
that this proposal deserves to be studied further. Also, again in
line with the proposals of our experts – both Ms Burbano Herrera
and Mr Berger – we should encourage the Court to be more “inventive”
in relation to interim measures based on Rule 39. As we have seen,
the
Court has thankfully begun to indicate “positive measures” designed
to safeguard the applicants’ rights, including provisions regarding
the follow-up of the implementation of such measures. As Ms Burbano
Herrera has shown, using the practice of the Inter-American Court
of Human Rights as an example, there is scope for further progress
in this respect. At the same time, the comparison with the Inter-American
Court has also shown that the European Court of Human Rights system
and the practice of the Court have some undeniable strengths that
we Europeans can be proud of. I therefore share Mr Berger’s sceptical
stance regarding some of Ms Burbano Herrera’s proposals. For example,
obliging the Court to provide detailed reasons for interim measures
or the possibility for judges to add concurring opinions may well
reduce the efficiency of the existing set-up, where time is often
of the essence.
49. In sum, the Assembly should reaffirm its support to the Court
regarding member States’ duty to co-operate with it by urging all
member States to comply with the Court’s requests, including with
interim measures under Rule 39. At the same time, the Assembly should
encourage the Court to cautiously continue on the path of developing
its case law with a view to further improving the effectiveness
of its measures, by endorsing some concrete proposals for further
improvements. This is the purpose of the draft resolution. The draft recommendation
shall ensure that the Committee of Ministers is also seized of this
fundamental issue.