I. Introductory
remarks
1. This appendix contains updated
information that was originally provided in background memoranda prepared
for hearings that the Committee on Legal Affairs and Human Rights
(“the committee”) held between April 2012 and January 2013. It also
takes into account information provided by some delegations in response to
my letters of 7 June 2013 requesting comments on the Addendum to
my previous document on “Implementation of judgments of the European
Court of Human Rights: preparation of the 8th report. Stock-taking
and proposals by the rapporteur” of May 2013.
In the second half
of 2013, the following delegations provided replies to my query:
Bulgaria, Greece, Italy, Poland, Romania, Turkey, Ukraine and the
United Kingdom.
2. The purpose of this appendix is to provide insight into the
main issues concerning implementation of judgments of the European
Court of Human Rights (“the Court”) faced by the nine States that
are the focus of the 8th report: Italy, Turkey, the Russian Federation,
Ukraine, Romania, Greece, Poland, Hungary – not included in the
2013 Addendum – and Bulgaria. Among the issues assessed are: excessive
length of judicial proceedings (endemic notably in Italy, but also
existing in Bulgaria, Greece, Hungary, Poland, Romania and Ukraine),
chronic non-enforcement of domestic judicial decisions (widespread,
in particular, in the Russian Federation and Ukraine), deaths and
ill treatment by law-enforcement officials and lack of effective investigations
into them (particularly apparent in the Russian Federation), poor
conditions in detention facilities (in particular in Bulgaria, Romania,
the Russian Federation and Ukraine), unlawful or over-long detention
on remand (notably in the Russian Federation, Turkey and Ukraine)
and various violations of the Convention concerning foreigners who
face expulsion or seek asylum (especially in Greece and Italy).
The appendix takes stock of the progress that has been accomplished
since the 7th report on this subject by Mr Pourgourides
(“Pourgourides report”) and focuses on cases
that are under the enhanced supervision of the Committee of Ministers
and which involve structural and/or complex problems according to
the Committee of Ministers 2014 (8th) Annual Report on the supervision
of the execution of judgments and decisions of the European Court
of Human Rights.
I
have not been able to include in this appendix issues raised at
the most recent 1230th Committee of Ministers (DH) meeting (9-11
June 2015).
3. While not directly relevant in the context of a discussion
of the most difficult human rights problems, the end of the present
document addresses unresolved issues relating to the non-implementation
of certain Court judgments by the United Kingdom.
II. State-by-state overview
1. Italy
4. Mr Pourgourides’ report identified
the main problems for Italy to be:
- excessive length of judicial proceedings;
- lack of an effective remedy in that regard;
- the expulsion of foreign nationals in violation of the
Convention.
5. The report also dealt with an issue of “indirect expropriation”.
On
22 and 23 October 2014, I carried out a fact-finding visit to Rome,
where I discussed these problems with the authorities and representatives
of civil society (Amnesty International, Associazione Antigone,
focusing on detainees’ rights and Centro Astalli, focusing on refugees’
rights).
1.1 Excessive length of judicial
proceedings
6. This issue has plagued the
Italian justice system for decades, the backlog of cases having
increased steadily each year. Currently, the Committee of Ministers
is examining more than 2 000 cases concerning this issue. Most of
these cases relate to the situation before 2001, when a compensatory
remedy was introduced in Italy, while the more recent cases concern
issues related to the functioning of this remedy.
7. In its Interim Resolution (2010) 224 of 2 December 2010,
the Committee of Ministers
urged Italy to provide statistics on the situation of the backlog
of cases and to adopt effective measures to solve this problem. According
to the statistics provided by the Italian authorities, in their
action plan of 25 October 2011,
an important
development can be noted. By the end of 2010, the number of pending
civil cases in the Italian courts had decreased by roughly 360 000
to 5 466 346 (namely by 4%). Furthermore, at the date of the action
plan, the number of new civil cases had declined in comparison with
previous years mainly due to a new procedure of compulsory preliminary
mediation in certain civil law matters.
8. The said action plan mentions other measures taken: introducing
a simplified procedure for less complex civil disputes and a minimal
court fee in proceedings against administrative sanctions as a deterrent
to manifestly ill-founded applications. On 6 October 2011, new legislation
entered into force, which seeks to simplify civil proceedings, limiting
the types of civil procedures to three.
Further measures
adopted include the digitalisation of case files, allowing easier
and faster access through information technology. A uniform method
of managing civil case files in appeal courts and tribunals throughout
Italy was put into operation at the end of March 2011. Finally,
best practices have been disseminated widely and honorary judges
were appointed to clear the backlog of cases.
9. At the 1136th meeting in March 2012, the Committee of Ministers
welcomed the renewed commitment expressed by the Italian authorities
towards adopting further measures and monitoring the effects of
those already adopted, as well as the slight decrease in the length
of bankruptcy proceedings and in the backlog of civil proceedings.
However, it demanded that “additional large scale measures” be adopted,
as it considered that the situation was “deeply worrying”,
constituted “a serious
danger for the respect of the rule of law, resulting in a denial
of rights enshrined in the Convention” and created “a serious threat
to the effectiveness of the system of the Convention”. This evaluation
was further underscored by a letter, of 14 December 2011, sent by
the Registrar of the Court to the Chairperson of the Committee of
Ministers, drawing the Committee of Ministers’ attention to the
seriousness of the situation in view of the significant number of
cases which continue to pour into the Court.
10. Despite repeated calls from the Committee of Ministers (see
the decision adopted at the 1144th meeting (DH) (June 2012)),
the authorities appear to still
have not addressed the issues related to the monitoring of the impact
of the measures already taken in relation to civil proceedings.
As regards the administrative proceedings, the last information
was submitted on 30 July 2012.
The authorities indicated that
a legislative reform resulted in the adoption in 2010 of a new Code
of Administrative Proceedings, which came into force on 26 September
2010. As a consequence of this reform, in 2011, the administrative
courts (the Council of State and the regional administrative courts)
registered an overall decrease of the backlog. According to the Italian
authorities, although the results of this reform are “hampered”
by the need to process the backlog, the length of administrative
proceedings is presently in a better position when compared to that
of the civil proceedings. However, the authorities have not measured
the backlog of administrative proceedings and have not yet drawn
up a timetable for anticipated medium-term results with a view to
assessing the impact of this reform on the backlog and identifying
additional measures, if need be,
of which
the Committee of Ministers took note in its decision taken at its
1157th (DH) meeting in December 2012.
11. In a letter from the Registrar of the Court to the Chair of
the Committee of Ministers dated 22 June 2012, Italy appeared as
the first among the seven member States which had the highest number
of repetitive applications pending before the Court with more than
8 000 applications concerning the length of proceedings and the
implementation of decisions taken under the Pinto law.
At its 1157th (DH) meeting (December 2012),
the Committee of Ministers once again recalled that excessive delays
in the administration of justice resulted “in a denial of the rights
enshrined in the Convention” and were “a serious threat to the effectiveness of
the system of the Convention”, “underlined again the urgency to
stop the flow of further repetitive applications before the European
Court and the urgency to find a sustainable solution” to this structural
problem and urged the Italian authorities to provide a “consolidated
action plan”.
12. In April 2013, the Italian authorities presented an update
about the measures taken or planned,
which was
carefully examined by the Department for the Execution of Judgments
of the European Court of Human Rights in an information document
CM/Inf(2013)21 of 6 May 2013. The authorities announced some measures aimed
at improving the efficiency of the judicial system, such as specialisation
of judges, some organisational measures to be taken by the heads
of the judicial offices (such as preparing annual action plans for
the handling of cases) and, in civil cases, by judges (such as setting
a “trial timetable”), dissemination of best practices and wider
use of information technology. As regards civil cases, as of 11
September 2012, new procedural rules on appeals, allowing judges
to filter more quickly manifestly ill-founded appeals, entered into
force. The obligatory mediation in civil and commercial cases introduced
in 2010 was declared unconstitutional by the Constitutional Court
in 2012. The authorities also provided statistical data, but only
concerning the first instance courts. These data showed an increase
in the average length of civil proceedings (1 139 days in 2012)
and a decreasing trend as regards the backlog of cases. As regards
criminal cases, the authorities informed about their intention to
decriminalise some minor offences, but failed to provide updated
statistical data. Concerning administrative courts, they registered
an overall decrease of their backlog in 2012. The authorities also
showed that the average length of bankruptcy proceedings had decreased
in 2012.
13. At its 1172nd DH meeting in June 2013,
the Committee of Ministers
stressed again the need to set up a domestic monitoring mechanism
in order to evaluate the impact of the reforms. It also invited
the Italian authorities to finalise the “consolidated action plan”,
in close co-operation with the Department for the Execution of Judgments
of the European Court of Human Rights and by taking into account
its comments included in document CM/Inf(2013)21. It welcomed the
determination expressed by the Italian authorities in order to adopt the
necessary measures to effectively solve the problem of the excessive
length of judicial proceedings. The Committee of Ministers recalled
some encouraging trends for the bankruptcy and administrative proceedings and
noted that most of the reforms announced for the civil proceedings
had been adopted. However, it observed that additional information
(in particular concerning criminal proceedings) and precise and
updated data were necessary in order to properly assess the situation.
14. During and following my visit to Rome, I was provided additional
information concerning the measures taken by the Italian authorities
to reduce the length of civil proceedings between 2013 and 2014
(including those introduced by Decree Laws 69/2013, 132/2014 and
90/2014): “assisted negotiation” (out-of-court dispute resolution
procedure, with the help of lawyers), transfer to an arbitrator
(who must be a lawyer), new rules on mediation, more frequent use
of the summary procedure, streamlining and acceleration of forced
execution, further computerization (making obligatory the submission
of documents in electronic form in some cases), hiring of additional
qualified staff to assist judges (
ufficio
per il processo), hiring 400 “auxiliary judges” at courts of
appeal and appointing judges as law clerks at the Court of Cassation
(
magistrato assistente di studio). According
to the Ministry of Justice, the delays in civil proceedings were
mainly due to the backlog of cases at appeal courts and/or the Court
of Cassation. During my meeting with the President of Cassation,
he raised the issue of access to this jurisdiction, stressing that
the cassation appeal should be excluded for small claims. As of
31 December 2013, there were 5.16 million civil cases pending (compared
with 6 million at the end of 2009, this shows a decreasing trend).
Interestingly, according to the European Commission for the Efficiency
of Justice (CEPEJ) report of 2014 (based on data from 2012),
the Italian judges are among the
most productive in Europe. As regards criminal cases, I was informed
at my meeting in the Chamber of Deputies that the initiative to
decriminalise some (petty) offences, the reform of statutory limitations
and other structural measures were in the pipeline. Concerning administrative
court proceedings, they usually lasted five years (for two instances),
which was not a good result, according to the legal advisors of
the Council of Ministers’ office.
1.2 Lack of effective remedy
15. The
Mostacciuolo
Giuseppe (I) group of cases deals with over 160
such cases. The 2010 quasi-pilot judgment
Gaglione
and others concerns
475 applicants, who claimed a delay in the payment of compensation.
The Court found in the latter case that delays by the Italian authorities
in enforcing “Pinto decisions”
ranged from 9 to 49 months,
and that in 65% or more of the cases there was a 19-month delay.
The Court regarded
this to be not only an aggravating factor with respect to Italy’s
responsibility under the Convention, but also a threat to the future
of the European human rights system.
It
also noted that almost 4 000 cases concerning, amongst others, delays
in paying “Pinto compensation”, were pending before it.
16. In its Interim Resolutions (2009) 42 of 19 March 2009
and (2010) 224 of 2 December 2010,
the Committee of Ministers requested that
Italy amend the “Pinto Act” providing compensation for victims of unreasonably
long judicial proceedings.
While domestic case law developments
showed compliance with the criteria set by the Court as regards
determination of compensatory amounts, the delays in paying out
the compensation awarded by national courts were still a serious
problem.
The
Committee of Ministers included several proposals in its Interim
Resolution CM/ResDH(2010) 224, including amendments of the Pinto
Act. On 18 October 2011, Italy transmitted an action plan stating
that the Court’s and the Committee of Ministers’ suggestions were
not carried at national level due to the financial crisis. Instead,
Italy considered it more effective to allocate additional funds
to addressing the root problem, namely the excessive length of proceedings,
and resolving the large number of complaints in the judicial system.
17. At its 1136th meeting (DH) in March 2012, the Committee of
Ministers welcomed the Italian authorities’ commitment towards finding
a solution to delays in payment of amounts awarded under the Pinto
Act, and invited the authorities to submit concrete proposals in
this respect, along with a calendar for the implementation of proposals.
Despite
the submission of an updated action plan of 30 March 2012, in accordance
with the decision adopted at the 1144th meeting (DH) (June 2012),
the Italian authorities still had to provide the Committee of Ministers
with a detailed explanation on the announced plan for payment of
arrears under the Pinto proceedings. They have only confirmed that
on 30 October 2012, the Ministry of Justice had begun paying these
arrears for the period 2005-2008.
18. Amendments had been made to the Pinto Act by Legislative Decree
No. 83 issued on 22 June 2012, which came into force on 26 June
2012. The new provisions introduced a written procedure for the
examination of the compensation claims. Other provisions conditioned
the access to the Pinto remedy upon termination of the main proceedings
and excluded or limited the compensation in certain cases. The amendments occasioned
an exchange between the Committee of Ministers Secretariat and the
authorities as regards their compatibility with the Convention and
the Court’s case law on the effectiveness of the remedies and compensation
criteria.
Article 3.7 of the Pinto Act, which
provides that the payment of the compensation is made within the
limit of the available funds, has not been amended. Under the new
legislation, the purely compensatory nature of the Pinto remedy
is maintained. At its 1157th (DH) meeting in December 2012, the Committee
of Ministers noted with concern that the said amendments might raise
issues as to their compatibility with the Convention and the Court’s
case law.
19. In November 2012, the authorities announced that they envisaged
changing the system of financing the Pinto Act compensation,
that
they exempted from seizure the funds allocated for such payments
and that they allocated 50 million euros for them in the budget
for 2013. However, no timetable for the adoption of the reform of
the financial system set by the Pinto Act was presented.
20. In its decision taken at its 1172nd (DH) meeting in June 2013,
the Committee of Ministers invited again
the Italian authorities to provide information on lifting budgetary
limitations on the payment of the compensation stemming from the
Pinto Act application and on allocating funds for the payment of
arrears in this compensation. It stressed the urgency to stop the
flow of repetitive applications before the Court caused by the deficiencies
in the Pinto Act.
21. On 5 September 2013, Italy provided new information pertaining
to the progress made to address the issue of repetitive cases before
the European Court of Human Rights concerning the functioning of
the Pinto mechanism.
According to an action
plan established for 2012-2014, agreed with the Registry of the European
Court of Human Rights, the authorities aimed at closing over 7 000
cases pending before the Court by proposing friendly settlements
or unilateral declarations.
22. Following my visit to Rome, I was informed that funds for
the payment of Pinto compensations had increased and that the Ministry
of Justice disposed of 100 million euros (55 million attributed
for 2013-2015 plus 45 million added in 2014) for this purpose. In
2013, the State’s General Accounting Officer authorised the Ministry
of Justice to pay such compensations, even if there were no funds
in the relevant budgetary chapter, by using the “suspended account”
procedure (for example using money advanced by the Bank of Italy).
This meant that, in practice, Article 3.7 of the Pinto Act was irrelevant.
1.3 The expulsion of foreign
nationals
23. The
Saadi group
of cases concerned potential violations of Article 3 of the Convention
if the applicants had been expelled to their country of origin (in
these cases, Tunisia), where there was a real risk of them being subjected
to ill treatment.
The
Ben Khemais group of cases
, (which includes
also the
Mannai, Toumi and Trabelsi judgments), concerns violations of Articles
3 and 34 due to the applicants’ expulsion to Tunisia, notwithstanding
the real risk of ill treatment they faced in this country and in
disregard of the Court’s interim measures requiring Italy not to
expel applicants until further notice.
24. In a series of inadmissibility decisions against Italy of
2012, the Court confirmed its new position,
according to which
there were no substantial grounds to believe that applicants would
face a real risk of being ill treated in Tunisia, due to the recent
democratic transition in this country. Following these decisions
and the individual and general measures taken by the Italian authorities
to implement the judgments from the
Saadi group,
at its 1211th DH meeting in November 2014, the Committee of Ministers
declared the cases closed.
25. As regards more specifically the
Ben
Khemais group of cases
, at
its 1108th DH meeting in March 2011, the Committee of Ministers
again requested the authorities to provide examples showing that
interim measures indicated by the European Court of Human Rights
were respected in practice, “in particular when Justices of Peace
are required to validate expulsions ordered by the Ministry of Interior
and Prefects”, and to provide information on “the feedback requested
from courts of appeal by the Ministry of Justice on the implementation of
the requirements of the Convention and on measures envisaged to
create a mechanism to ensure that all relevant authorities are rapidly
informed when an interim measure is indicated by the European Court”.
Subsequently,
the Italian authorities have provided an action report;
however, it appears
that the authorities are still expected to clarify some aspects
related to the individual and general measures taken in this group.
26. Interestingly, the Committee of Ministers is also now examining
the
Hirsi Jamaa and others case, which concerns
the interception at sea and transfer to Libya by the Italian military
authorities of 11 Somalian and 13 Eritrean nationals in May 2009.
According to the Court, the applicants were exposed to the risk
of being subject to ill treatment in Libya and to the risk of being
arbitrarily returned to their countries of origin (two violations
of Article 3 of the Convention). Their removal to Libya was of collective
nature (violation of Article 4 of Protocol No. 4) and they did not
dispose of an effective remedy (violation of Article 13 taken together
with Article 3 of the Convention and Article 4 of Protocol No. 4).
The Committee of Ministers received a number of submissions from
civil society
and from the
UNHCR
calling
upon the Italian authorities to prevent similar cases of
refoulement in the future. The Italian
authorities provided an action plan on 6 July 2012.
On 25 June 2014, the Italian authorities
submitted an action report,
in which they assured that since
the judgment became final in 2012, push-backs such as those at the
root of the violations in this case did no longer take place. The
authorities also confirmed that migrants intercepted at sea enjoyed
today the full protection of Italian legislation and they could
lodge their complaints with a competent authority to obtain an assessment
of their asylum request before any removal measure was enforced.
Moreover, procedures adopted by the Italian Navy were in conformity
with international and domestic legislation, including those on
fundamental rights.
27. At its 1208th DH meeting in September 2014,
the Committee of Ministers noted
with interest the efforts made by Italian authorities to obtain
assurances that the applicants would not be subjected to treatment incompatible
with Article 3 of the Convention in Libya or arbitrarily repatriated
to Somalia or Eritrea. The Committee of Ministers, furthermore,
recalled the firm assurances given by the authorities about the incorporation
in Italian law of the clarifications given in the said judgment
as to the requirements of the Convention and practice to prevent
similar pushbacks or expulsions of foreign nationals in the future.
It requested the authorities to provide by 1 December 2014 more
detailed information on the practical measures of implementation
taken, including instructions, guidelines and training, in order
to examine the possibility of closing the case. As stressed by my
interlocutors in Rome, both the authorities and NGOs, Italy has
been making major efforts to rescue human lives at sea, namely through
the
Mare Nostrum operation,
which had saved more than 140 000 people since October 2013 and
which had been replaced by the Frontex operation Triton as of 1
November 2014.
However, more support from the
European Union and other States was needed to tackle this problem.
1.4 Other issues
1.4.1 “Indirect expropriation”
28. The issue of the practice known
as “indirect expropriation” (violation of Article 1 of Protocol
No. 1)
still needs to be
tackled.
The
Committee of Ministers is currently examining the
Belvedere Alberghiera SRL group,
which consists of more than
80 cases.
The Italian
authorities have introduced several legislative measures, which
the Committee of Ministers welcomed in its Interim Resolution CM/ResDH(2007)3.
In October 2007, the Constitutional Court declared unconstitutional
some provisions on expropriations in the public interest. However,
the Committee of Ministers is still awaiting information concerning
further general measures (in particular, on whether there is any
reduction or suppression of the practice of indirect expropriation,
as well as on the dissuasive effect of the Law No. 296/2006, according
to which the damages for illegal occupation of land are covered
by the budget of the responsible administration).
1.4.2 Detention conditions
29. Since 2009, the Committee of
Ministers has also been examining issues of prisons overcrowding
and detention conditions in Italy. The matter already appeared with
the
Sulejmanovic case,
in which the Court found a violation of Article 3 of the Convention
in relation to the detention conditions of the applicant. Moreover, in
the case of
Cirillo v. Italy, the
Court found a violation of Article 3 of the Convention on account
of the inadequacy of the medical care provided in prison.
In
consideration of the problem of the inhuman and degrading detention
conditions deriving mainly from a structural problem of overcrowding
in Italian prison facilities,
the
Court delivered a pilot judgment in
Torreggiani
and others v. Italy, in which it requested Italy to
put in place, by 27 May 2014, a remedy or combination of remedies
providing redress in respect of violations of the Convention resulting
from overcrowding in prisons. The Court also stressed that long-term
measures were needed to resolve the problem and noted that at 13
April 2012, the rate of overpopulation in Italian prisons was at
148%, of which 42% of prisoners were detained on remand.
30. The authorities provided an action plan
on 29 November 2013, followed by
additional information and then by a revised action plan on 15 September
2014.
At its 1201st DH meeting (June
2014), the Committee of Ministers welcomed the authorities’ commitment
to resolve the problem of prison overcrowding and the progress made
in this area, including a significant drop in the prison population
and an increase in living space to at least 3m2 per
detainee. It also welcomed the introduction of a preventive remedy
and the steps taken to introduce a compensatory remedy. Following
the adoption in September 2014 of a law-decree providing for the latter
remedy, the Court found that the remedies introduced by Italy and
allowing detainees to complain about possible violations of Article
3 of the Convention were in principle effective.
At
its 1214th DH meeting (2‑4 December 2014), the Committee of Ministers
welcomed the new remedies and underlined the importance of monitoring
their implementation. It noted with interest the latest statistics
provided by the authorities, which continued to show a reduction
of prison overcrowding, and invited the authorities to provide a
consolidated action plan by 1 December 2015. In light of the progress
made in implementing these judgments, the Committee of Ministers
transferred these cases to the standard procedure.
31. During my visit in Rome, the authorities informed me that
efforts were being made to reduce the problem of overcrowding. Representatives
of NGOs agreed that some improvements had been visible, but complained about
very poor conditions of detention of migrants in temporary centres.
1.4.3 The M. C and others case
32. Another case –
M.C. and others –
is being examined by the Committee of Ministers under its enhanced
supervision procedure. It concerns a systemic problem stemming from
a legislative intervention which cancelled retrospectively, and
in a discriminatory manner, the benefit of an annual adjustment
of a compensation allowance paid to the applicants or to their deceased
relatives for having suffered accidental viral contamination (violations
of Article 6.1 and of Article 1 of Protocol No. 1 taken alone or
in conjunction with Article 14). The Court invited the authorities
to set, by 3 June 2014, a binding time-limit for guaranteeing the realisation
of the entitlement to the annual adjustment. The Italian authorities
submitted a communication regarding general measures on 22 September
2014.
In December 2014, the Committee
of Ministers decided to resume consideration of the case at the
latest at its 1242nd meeting (December 2015), with a view to examining
the status of the adoption.
2. Turkey
33. According to the Pourgourides
report, the most serious problems concerning Turkey include:
- failure to re-open proceedings;
- repeated imprisonment for conscientious objection;
- violations of the right to freedom of expression;
- excessive length of detention on remand;
- actions of security forces;
- issues concerning Cyprus.
34. The examination of the issues of excessive length of judicial
proceedings and lack of an effective remedy in respect thereof,
listed in my previous information document – AS/Jur (2013) 14 Addendum
– (see cases
Ormanci and Others v. Turkey and
Ümmühan Kaplan v. Turkey ), was
closed by the Committee of Ministers in December 2014
following
the adoption of individual and general measures by Turkey. On 24-25
April 2014, I visited Ankara, where I met the competent authorities
and representatives of civil society (from the IHOP – Human Rights
Joint Platform).
2.1 Failure to reopen proceedings
35. In the
Hulki
Günes v. Turkey group
of cases, the Court found that the applicants were convicted in unfair
criminal proceedings on the basis of testimony of witnesses who
never appeared before the court or of statements obtained under
duress and in the absence of a lawyer (violations of Articles 3
and 6 paragraphs 1 and 3.
c).
The
Court requested the reopening of proceedings,
but
the Turkish Code of Criminal Procedure only provided for the reopening
of judgments finalised before 4 February 2003 and those applications
lodged with the Court after that date.
37. On 30 April 2013, the aforesaid law entered into force. Following
this, the applicant in the case of
Hulki Günes lodged a request for reopening of proceedings,
which was accepted by the competent domestic court and a retrial
started. At their 1172nd (DH) meeting (4-6 June 2013),
the Committee of Ministers invited
the Turkish authorities to provide further information with respect
to the progress in the reopening of proceedings by the other applicants
in this group and decided to continue the supervision of the cases
under this group under the standard procedure. On 31 March 2015,
the Turkish authorities provided an action report concerning individual
and general measures
. According to this
document, the conviction of Mr Hulki Günes was upheld and the other
applicants either did not request the reopening of proceedings or
requested it after the three-month deadline.
2.2 Repeated imprisonment for
conscientious objection
38. In the case of
Ülke v. Turkey,
the Court found
that Turkey had violated Article 3 of the Convention by repeatedly
convicting and imprisoning the applicant for conscientious objection.
According
to the Court, the Turkish authorities’ actions forced the applicant
to go into hiding and endure a life equivalent to “civil death.”
40. At its 1150th (DH) meeting (September 2012), the Committee
of Ministers noted with interest the assurances given by the Turkish
authorities
that the applicant
could exercise his civil rights without any hindrance, obtain a
passport, and travel abroad.
However, as a result of the application
of the legislation in force, an investigation against the applicant
for desertion was still pending, and therefore the applicant could still
be theoretically subjected to prosecution and conviction.
At its 1157th
meeting in December 2012, the Committee of Ministers noted with
concern that further individual measures were still needed in the
cases of
Erçep and
Feti Demirtaş. It urged the Turkish authorities to erase
the consequences of the violations for the applicants
and
to “take the necessary legislative measures with a view to preventing
the repetitive prosecution and conviction of conscientious objectors
and to ensure that an effective and accessible procedure is made
available to them in order to establish whether they are entitled
to conscientious objector status”.
Since
then, the applicant had lodged a complaint before the Constitutional
Court on 2 June 2014 and the proceedings are now pending.
In the meantime, the government
submitted another communication on this group of cases.
During my visit in
Ankara (24-25 April 2014), I raised this issue with my interlocutors
in the Grand National Assembly and was informed that the initiative
aimed at establishing an alternative military service had been postponed
for the moment, mainly due to geopolitical considerations.
2.3 Freedom of expression
41. There are over 100 cases against
Turkey concerning violation of the right of freedom of expression, which
are pending execution before the Committee of Ministers.
42. Although Turkey has enacted a number of reforms aimed at adequately
protecting freedom of speech and pluralism since 1998,
Mr Pourgourides concluded
in his report that the legislative amendments put forth and training
initiatives undertaken did “not eradicate the root of the problem”
and were “merely a different expression of the same Convention-violating
substance”.
In
November 2011, the Secretary General of the Council of Europe announced
that the Council of Europe would implement a project on “Freedom
of Expression and Media in Turkey”, specifically designed to address
the problems stemming from this group of judgments. The project
was carried out between January 2012 and April 2014: a number of
awareness-raising activities, in particular training sessions for
judges and prosecutors, were organised in its framework. Consequently, numerous
legislative measures were taken in order to bring the Turkish law
in line with the standards of the European Court of Human Rights
and the high courts started delivering judgments more and more in
line with the Convention standards.
43. In his report of 2011 the then Council of Europe Commissioner
for Human Rights, Mr Thomas Hammarberg,
echoed the Pourgourides
report’s concerns that “the various amendments to the Turkish Criminal
Code and the Anti-Terrorism Act have not been sufficient to effectively
ensure freedom of expression.”
Among
the issues highlighted in Mr Hammarberg’s report were the on-going
lack of proportionality in the interpretation of the statutory provisions
and their application by courts and prosecutors, the absence from
the Turkish legal system of the defences of truth and public interest,
and the unfairness of detention and trial proceedings in cases related
to freedom of speech. Mr Hammarberg “urge[d] the Turkish authorities
to address these problems through legislative and practical measures,
as well as through systematic training and awareness-raising activities
within the justice system”.
Notwithstanding
the above mentioned project on freedom of expression, the incumbent
Commissioner for Human Rights, Mr Nils Muižnieks, also raised concerns
about the state of media freedom in Turkey, particularly in the
context of arrests of journalists and media workers in December
2014.
44. During its 1201st (DH) meeting (3-5 June 2014), the Committee
of Ministers welcomed that “the recent legislative amendments made
to the Anti-Terrorism Law and the Criminal Code restrict the scope
of certain crimes to expression containing incitement to hatred
and violence.” Although the Committee of Ministers “welcomed the
positive developments in domestic case law,” it also stressed the
need to “incorporate fully the case law of the Court” into the domestic
courts’ assessment and reasoning and decided to review the progress made
at the latest at its DH meeting in June 2015.
The above-mentioned “Project on
Freedom of Expression and Media in Turkey” seems to have played
a triggering role in the adoption of legislative amendments and
to be a good example of co-operation between the Council of Europe
and the Turkish authorities.
In April 2015, the
Turkish authorities provided to the Committee of Ministers an updated
action plan,
including information on
legislative changes that had come into force between 2012 and 2013
and new trends in judicial practice. The Committee of Ministers
recently examined this group of cases at its 1230th meeting (DH)
in June 2015.
45. The Committee of Ministers is also examining the case of
Ahmet Yildirim v. Turkey, concerning restriction
of access to Internet and blocking of Internet sites (last examined
at its 1208th meeting in September 2014).
In April 2014, our Committee adopted
a statement condemning restrictions of access to Internet services
by Google, Twitter and YouTube, during election time in Turkey.
During my visit to Ankara (April 2014),
I pointed out the necessity to protect the freedom of expression,
including on the Internet, with my interlocutors in the Ministry
of Justice, the Constitutional Court and the Court of Cassation,
and was informed of various training activities organised to this
effect.
2.4 Excessive length of detention
on remand
46. There are currently nearly
170 excessive length of detention on remand cases against Turkey
pending execution before the Committee of Ministers (concerning
primarily violations of Article 5 paragraphs 3, 4 and 5 of the Convention).
47. In his report, Mr Pourgourides welcomed the changes introduced
by the Code of Criminal Procedure, which came into force in 2005
and was aimed at improving the reasons given for detention on remand,
and urged Turkey to introduce “an effective remedy to challenge
the lawfulness of detention on remand”.
Similarly, in the report
following his visit to Turkey in October 2011, Mr Hammarberg acknowledged
Turkey’s efforts to eradicate this systemic problem, but noted that
more needed to be done, particularly with regards to the use of
adequate alternatives and the establishment of an effective remedy.
Since
the Code of Criminal Procedure came into force, there has been gradual
progress in the execution of these judgments, in particular concerning
the decrease in the length of detention on remand.
48. In June 2011, the Turkish authorities informed the Committee
of Ministers that a working group had been set up in the Ministry
of Justice in order to examine the legislative amendments required
to execute these judgments and that further training of judges was
envisaged.
On 3 May 2013,
the government submitted a second action plan.
49. At its 1172nd (DH) meeting (4-6 June 2013),
having recalled the structural nature
of the problem at stake, the Committee of Ministers welcomed the
recent efforts made by the Turkish authorities, in particular within
the context of the so called “Third and Fourth Reform Packages,”
aimed at aligning Turkish legislation and practice with Convention
requirements, and noted with satisfaction a significant decrease
in the length of detention on remand and an increase in the use
of alternative measures. At the same time, having noted that Turkish
legislation still allowed for the possibility of extension of detention
on remand up to 10 years for certain crimes, including terrorism,
the Committee of Ministers invited the authorities to provide further
statistical information in this respect as well as with respect
to judicial practice following the legislative reform. The Committee
of Ministers further welcomed the introduction of a remedy to challenge
the lawfulness of detention on remand and the extension of the scope
of the right to compensation. It asked the Turkish authorities to
clarify whether the right to compensation can be exercised while
detention on remand was continuing and proceedings were pending.
2.5 Actions of security forces
50. Despite the positive changes
made to the Turkish legislative framework governing the security
forces’ behaviour and the training of law-enforcement officers,
there
are over 60 cases regarding the lack of effective investigation
into the actions of Turkish security forces currently pending execution
before the Committee of Ministers.
51. According to the Turkish authorities’ action plan of 29 July
2011 for the execution of the
Bati and
others v. Turkey group of cases,
the new Criminal
Code (No. 5237) extends the prescription period after which wrongful
actions of the security forces may no longer be investigated or
punished. Besides that, in November 2011, the Ministry of Justice
organised an international seminar on the execution of judgments
of the European Court of Human Rights. The issue of effective investigations
is to be considered in the framework of professional training for
judges and prosecutors and a road map for the execution of the judgments
from this group is being prepared.
In her letter of 19 August 2013,
the
then head of the Turkish delegation to the Assembly, Ms Nursuna
Memecan, specified that following the adoption of the “Fourth Reform
Package”, the statute of limitations with respect to the offence
of torture had been removed from the Criminal Code and that it was
now possible to reopen, after a judgment of the European Court of
Human Rights, an investigation which had led to the non-prosecution
of the alleged perpetrators of such an offence. According to the
Committee of Ministers 2014 Annual Report, bilateral contacts are
under way concerning an action plan under preparation by the Turkish
authorities.
2.6 Issues concerning Cyprus
52. In the interstate case of
Cyprus v. Turkey,
the Court found multiple
violations of the Convention in connection with Turkey’s 1974 military
intervention in Cyprus concerning mainly Greek-Cypriot missing persons
and their relatives, the property rights of displaced Greek Cypriots,
as well as the living conditions of Greek Cypriots in the northern
part of Cyprus. In his report, Mr Pourgourides highlighted the lack
of progress in resolving the issue of missing persons, and also
focused on the issue of the property rights of displaced Greek Cypriots.
53. Despite the Committee of Ministers’ close supervision, issues
concerning Cyprus have been on its agenda since 2001.
As regards the issue of Greek-Cypriot
missing persons and their relatives (violations of Articles 2, 3
and 5; see also the judgment in the case of
Varnava
and Others v. Turkey), some
progress has been noted following the identification of missing
persons by the Committee on Missing Persons in Cyprus (“CMP”). The
Committee of Ministers examined this question at its 1186th (DH)
meeting (in December 2013), when
it took note of the exchange of views with the members of the CMP
and the new information provided by the Turkish authorities and
permissions granted to the CMP to access military zones. At the
same time the Committee of Ministers recalled its previous conclusions
on the necessity of adopting a proactive approach and called on
the Turkish authorities to continue providing the CMP with all relevant
information and giving it access to all relevant places. As regards
identified persons, the Committee of Ministers took note of the
progress of the investigations into their deaths. In April 2015,
the Turkish authorities provided new information.
54. Concerning the issue of homes and other immovable property
of displaced Greek Cypriots (violation of Articles 8 and 13 of the
Convention and Article 1 of Protocol No. 1), following the European
Court of Human Rights’ 2010 inadmissibility decision in the case
of
Demopoulos v. Turkey, the
Committee of Ministers was in the process of analysing its impact
on the implementation of this cluster of the judgment.
In
December 2011, the delegation of Cyprus requested the Committee
of Ministers to postpone its examination since the European Court
of Human Rights had pronounced itself on a request filed by its
government under Article 41.
On 12 May
2014, the Court (Grand Chamber) delivered its judgment on just satisfaction,
ordering Turkey to pay to Cyprus €30 000 000 for non-pecuniary damage
suffered by the relatives of the missing persons and €60 000 000
for non-pecuniary damage suffered by the enclaved Greek-Cypriot
residents of the Karpas peninsula.
55. As regards the living conditions of Greek Cypriots residing
in the northern part of Cyprus (Karpas region), the Committee of
Ministers continues to examine the issue of their property rights
and the effective remedies in this respect (violations of Article
1 of Protocol No. 1 and Article 13 of the Convention). An assessment
of these questions has been prepared by the Committee of Ministers
Secretariat for the 1172nd (DH) meeting (June 2013)
and,
subsequently, both the Turkish and the Cypriots submitted their
comments on the outstanding issues.
56. In his report, Mr Pourgourides
expressed concern about the
case of
Xenides-Arestis v. Turkey (also
concerning the property rights of the displaced Greek Cypriots),
in which, despite two interim resolutions of the Committee of Ministers,
there had been no progress in payment of the just satisfaction awarded
in 2006 by the Court. He stressed that this situation was “an unacceptable
state of affairs.” At its 1208th(DH)
meeting (September 2014), the Committee of Ministers adopted Interim
Resolution
CM/ResDH(2014)185 concerning the
Varnava and
Others case and 33 cases from the group of Xenides-Arestis.
It deplored that “the Turkish authorities have not complied with
their obligation to pay the amounts awarded by the Court to the
applicants in those cases, … on the grounds that this payment cannot
be dissociated from the measures of substance in these cases.” Furthermore,
the Committee of Ministers declared that “the continued refusal
by Turkey was in violation with its international obligations, both
as a High Contracting Party to the Convention and as a member State
of the Council of Europe” and exhorted Turkey “to review its position
and to pay without any further delay the just satisfaction awarded
to the applicants by the Court, as well as the default interest
due”. The Committee of Ministers examined again these cases, as
well as the
Cyprus v. Turkey case,
at its 1230th meeting (DH) in June 2015.
57. During my visit to Ankara (April 2014), my interlocutors in
the Ministry of Foreign Affairs reaffirmed the Turkish authorities’
position, according to which the last two clusters of the judgment
– the issue of property rights of displaced Greek Cypriots and the
property rights of Greek Cypriots in the Karpas region – should
be closed by the Committee of Ministers, as the required general
measures have been adopted. I was informed that the authorities
intended to pay the just satisfaction in the Xenides
Arestis cases, once the Committee of Ministers closed
the issue of general measures.
2.7 A new issue: ill treatment
and excessive force used to disperse peaceful demonstrations
58. In the
Oya
Ataman group
of cases, the European Court of Human Rights found violations of
the applicants’ right to freedom of peaceful assembly and/or ill
treatment of the applicants on account of excessive force used to
disperse peaceful demonstrations; certain cases also concerned failure
to carry out an effective investigation into the applicants’ allegations
of ill treatment or lack of an effective remedy (violations of Articles 3,
11 and 13 of the Convention). This group concerns at present 46
cases under the supervision of the Committee of Ministers.
In particular, in the cases of
Izci and
Abdullah Yasa of July
2013, the Court observed under Article 46 of the Convention that
the problems at the origin of the violations were systemic and that
Turkey had to adopt general measures to prevent similar violations
in the future. Accordingly, it was necessary to adopt clearer rules
on the use of tear gas (or pepper spray) and tear gas grenades,
ensure adequate training of law-enforcement officers and their control
and supervision during demonstrations and provide for an effective
after-review of the necessity, proportionality, and reasonableness
of any use of force. The Court further reiterated its findings from
the
Abdullah Yasa judgment
in the case of
Ataykaya, concerning the death
of the applicant’s son as a result of a tear gas grenade fired by
the police.
59. The Turkish authorities provided two action plans
and
responded to a communication submitted by IHOP
in January 2015.
At its 1222nd
(DH) meeting (11-12 March 2015), the Committee of Ministers adopted
another decision
urging the Turkish authorities to
amend the relevant legislation, in particular the “Meetings and
Demonstrations Marches Act” (No. 2911), “so that Turkish legislation
requires an assessment of the necessity of interfering with the
right to freedom of assembly, in particular in situations where demonstrations
are held peacefully and do not represent a danger to the public
order”. It also requested the authorities to consolidate the diverse
legislation that regulated the conduct of law-enforcement officers
and fixed the standards regarding the use of force during demonstrations,
and to ensure that the relevant legislation required that any force
used by law-enforcement officers during demonstrations was proportionate
and included provisions for an adequate ex post facto review of
the necessity, proportionality and reasonableness of any such use
of force. Lastly, the Committee of Ministers called again on the
authorities to carry out investigations promptly and diligently
into allegations of ill treatment and hold accountable law-enforcement officers
responsible for such abuses.
60. It should be noted that a new security bill, increasing the
powers of police, has recently been sent to the Turkish Parliament.
On 6 February 2015, the Council of Europe Commissioner for Human
Rights expressed his concerns about this bill,
in line with his previous criticism expressed
after the Gezi events in May-June 2013.
In
its report published in January 2015, the Committee for the Prevention
of Torture (CPT) also paid particular attention to the situation
of persons deprived of their liberty following the Gezi protests.
Moreover, our
Committee’s rapporteur, Ms Ermira Mehmeti Devaja (“the former Yugoslav
Republic of Macedonia”, Socialist Group) is currently preparing
a report on “Urgent need to prevent human rights violations during peaceful
protests”.
During my visit to Ankara (April
2014), I stressed the necessity of not abusing the use of force
during peaceful demonstrations and the need to sanction law-enforcement
officials responsible for such abuses with my interlocutors in the
Grand National Assembly, the Ministry of the Interior and the General Prosecutor’s
Office, and was provided information on training activities and
the use of disciplinary sanctions.
2.8 New complex/structural issues
61. The Committee of Ministers
2014 Annual Report also mentions the judgment in the case of
Söyler v. Turkey concerning an
automatic ban on certain convicted prisoners’ voting rights (violation
of Article 3 of Protocol No. 1). An action plan was submitted by
the Turkish authorities in December 2014
and this case
is now under the enhanced supervision of the Committee of Ministers.
Moreover, the Committee of Ministers recently
transferred
under its enhanced supervision procedure the case
Opuz v. Turkey, concerning a domestic
violence incident (violation of Article 2 of the Convention).
3. Russian Federation
62. The Pourgourides report defined
a number of areas which give rise to the overload of the Convention system
due to underlying structural problems and which are of special seriousness:
- non-enforcement of domestic
judicial decisions;
- violation of the principle of legal certainty on account
of the quashing of final judicial decisions through the “supervisory
review procedure” (Nadzor);
- unacceptable conditions of detention, in particular in
pretrial detention centres;
- excessive length of and lack of relevant and sufficient
reasons for detention on remand;
- torture and ill treatment in police custody and lack of
an effective domestic investigation in this respect.
63. The report also focused on the actions of the security forces
in the Chechen Republic.
Additionally, at the June
2012 meeting of our committee, attention was drawn to Russia’s disregard
of the Court’s interim measures indicated under Rule 39 of the Rules
of Court, and violations of the freedom of assembly coupled with
discrimination on the grounds of sexual orientation. Although I
wished to conduct a dialogue on the above-mentioned issues with
the Russian authorities through a fact-finding visit, in line with
my predecessors’ practice, my visit to Moscow, planned for May 2014
upon an agreement reached with the authorities in February 2014,
was postponed
sinae die and
de facto cancelled by the Russian
delegation, after the adoption on 10 April 2014 of Assembly
Resolution 1990 (2014) on reconsideration on substantive grounds of the previously
ratified credentials of the Russian delegation, suspending the Russian
delegation’s voting rights in the Assembly. In its decision on the
“postponement” of my visit, the Russian delegation referred to the
State Duma’s declaration “On the anti-Russian resolution adopted
by the Parliamentary Assembly of the Council of Europe”,
which stated that “in the context
of the reprisals and restrictions introduced against the delegation of
the Federal Assembly of the Russian Federation its further constructive
participation in the PACE activities cannot be possible”.
3.1 Non-enforcement of domestic
judicial decisions
64. In 2009, the Court adopted
a pilot judgment in the case of
Burdov
v. Russia (No. 2),
imposing
on the Russian authorities an obligation to introduce in their national
legal system an effective remedy for non-enforcement of domestic
judicial decisions. A remedy was put in place by two new federal
laws, which came into force on 4 May 2010. This remedy allows claims
for compensation for extremely lengthy judicial proceedings as well
as delayed non-enforcement of domestic judgments delivered against
the State. The Court has since required applicants to make use of
this law before complaining to the European Court of Human Rights.
65. In its Interim Resolution CM/ResDH(2011)293,
the Committee
of Ministers welcomed the improvements that have occurred following
the pilot judgment concerning this issue. It also decided to close the
examination of the issue with respect to the specific obligations
laid down in the pilot judgment and to join
the examination of further general measures with the
Timofeyev group, the original group
where all problems related to the non-execution of domestic judgments
were examined,
including
the underlying structural problems of non-enforcement more generally.
66. Notwithstanding this progress, the Court held in two subsequent
judgments
that the new legislation did not
resolve the specific problem of failure to enforce decisions that
ordered the provision of housing to 50 members of the Russian armed
forces. The Court noted with regret that there was still no remedy
available in Russia with respect to complaints relating to such
delays, and that this part of the problem remained unresolved despite
the Compensation Act. Another judgment concerning non-enforcement
of domestic decisions awarding social-payment arrears to former
policemen (41 applicants) was given by the Court on 20 February
2014.
At the same time,
the Court tackled the structural problem in question in the context
of another group of cases (
Gerasimov
and Others v. Russia),
which led
to issuing a pilot judgment (of 1 July 2014) dealing with non-enforcement
or delayed enforcement of judicial decisions imposing obligations
in kind or pecuniary obligations on the State or municipal authorities
(violations of Articles 6.1 and 13 of the Convention, and 1 of Protocol No. 1).
The Court found
that these violations stemmed from a practice incompatible with
the Convention and indicated that the Russian authorities should
set up, by 1 October 2015 and in co-operation with the Committee of
Ministers, an effective domestic remedy in respect of the non-enforcement
of in-kind obligations and to grant redress, by 1 October 2016,
to applicants in similar cases pending before it (which have been
adjourned). At its 1222nd meeting (11-12 March 2015), the Committee
of Ministers welcomed the rapid response of the Russian authorities
to this judgment, in particular the draft amendments to the Compensation
Act, promptly prepared by the Ministry of Justice and aimed at extending
its scope to obligations in kind. It also invited the authorities
to submit a comprehensive action plan concerning the measures taken/envisaged
to implement the said pilot judgment and address the long-standing
problem examined in the
Timofeyev group
and to co-operate closely with its Secretariat in preparing the
legislative reform.
3.2 Violation of the principle
of legal certainty on account of the quashing of final judicial
decisions through the “supervisory review procedure”
67. The Supervisory Review Procedure
(
nadzor), which has led to
the quashing of final judicial decisions under the Code of Civil
Procedure, has been another cause of multiple clone cases at the
European Court of Human Rights. In 2003, the Court found a violation
of Article 6.1 of the European Convention on Human Rights in the
case of
Ryabykh v. Russia.
Although two legislative
reforms had been undertaken since, the European Court of Human Rights
did not regard them as sufficient to solve the problem.
A
third reform of the Code of Civil Procedure, aimed at the introduction
of appeal courts in the system of Russian courts of ordinary jurisdiction,
was adopted in December 2010 and entered into force in January 2012.
This reform has very recently been subject to the assessment by
the European Court of Human Rights: in its decision in the case
of
Abramyan and Others v. Russia, the
Court examined for the first time the new cassation procedure before
the presidia of regional courts and the Supreme Court in civil cases.
It held that the new procedure was to be considered an ordinary
appeal on points of law similar to that existing in the jurisdictions
of other States Parties.
3.3 Poor conditions of pretrial
detention and its excessive length
68. The
Kalashnikov group
comprises 71 cases under the Committee of Ministers supervision
in which the European Court of Human Rights found that the poor
conditions of pretrial detention, particularly the severe overcrowding
and unsanitary environment, amounted to degrading treatment, and
there was no effective remedy in this respect (violations of Articles
3 and 13 of the European Convention on Human Rights).
A further 61 cases concern
unlawful detention, excessive length and insufficient grounds for
extending detention on remand (violations of Article 5).
Communications
regarding a number of specific cases
have been submitted to the Committee
of Ministers by the authorities, but until now the measures taken
(and envisaged) are not regarded as fully satisfactory.
69. In January 2012, the Court delivered a pilot judgment in the
case of
Ananyev and Others v. Russia, in which it found that inadequate
conditions of detention were a recurrent structural problem in Russia
resulting in a malfunctioning of its penitentiary system, with insufficient
legal and administrative safeguards (violations of Article 3 and
13). It further noted that the primary cause of overcrowding was
the excessive use of pretrial detention without proper justification
and the excessive duration of such detention. Remand in custody
had to be an exceptional measure rather than the norm, and preventive
and compensatory remedies had to be introduced. The Court held that
the Russian authorities had to produce, within six months of the
date on which the judgment becomes final, a binding time frame for
resolving these problems. In view of the fundamental nature of Article
3 of the Convention, the Court did not adjourn the examination of
similar applications pending before it. An action plan and an action
report were provided by the Russian authorities in October 2012
and November 2012
respectively, which were welcomed
by the Committee of Ministers at the 1157th meeting (December 2012)
as based on a comprehensive and long-term strategy to solve the
structural problem; following this, an additional action plan and
report were provided by the authorities in February 2013
and August 2013
respectively, and in April 2014,
the authorities provided an updated action plan
(which has not yet been fully analysed
by the Committee of Ministers).
At their 1201st meeting (3-5 June 2014),
the Committee of Ministers expressed
satisfaction that the Russian authorities had undertaken significant
efforts to ensure the swift resolution of similar cases pending
before the Court and noted with interest the information provided
with respect to the setting up of judicial domestic remedies, with
preventive and compensatory effect. It urged the Russian authorities
to accelerate the adoption and entry into force of a system of effective
remedies before the end of 2014, at the latest, and strongly encouraged
them to take full advantage of the opportunities provided by the
Human Rights Trust Fund (HRTF) project No. 18.
3.4 Torture/ill treatment in
police custody and lack of an effective investigation in this respect
70. In the case of
Mikheyev and over 60 similar cases,
the Court found that the applicants had been subject to torture
or ill treatment in police custody and that the State subsequently
either failed entirely to investigate wrongdoing by State officials
or did it ineffectively (mainly substantial and procedural violations
of Article 3; covering the period of 1998-2006).
Action
plans were provided by the Russian authorities in November 2010
and in August 2013.
The authorities informed about
the following measures: the adoption of a new law “On Police” and
a number of implementing acts, improvements in the supervision of
prosecutors, improvements in monitoring by civil society, the setting-up
of the Investigative Committee of the Russian Federation and creation
of specialised investigation units, amendments to the Code of Criminal
Procedure, improvement of judicial control over investigations,
training and awareness-raising measures.
71. At its 1201st (DH) meeting (3-5 June 2014),
the Committee of Ministers took
note of the comprehensive action plan provided by the authorities,
but pointed out a number of issues that still needed to be addressed
as regards general measures.
In particular, the Committee of
Ministers called upon the authorities to deliver “at a high political
level, a clear and firm message of “zero tolerance” of torture and
ill treatment, at improving safeguards against such acts and at
reinforcing judicial control over investigations”.
It
also “strongly urged the Russian authorities to address, without
delay, the problem of the expiration of limitation periods, in particular,
in the case of serious crimes such as torture committed by State
agents” and to take measures to ensure that the domestic courts
exclude any evidence found to have been obtained in breach of Article
3 of the Convention”.
The Committee of Ministers
also examined the issue of individual measures and “noted with grave
concern” that no “tangible progress” had been made in the majority
of cases in this group as regards domestic investigations into allegations
of torture. It also expressed concern about the case of
Tangiyev v. Russia, in which the
applicant had been convicted on the basis of evidence obtained through
ill treatment and was allegedly intimated by the Federal Security
Service (FSB) when he was seeking the reopening of his criminal
case after the European Court of Human Rights judgment.
72. In December 2014, the Russian authorities provided additional
information
which
was examined by the Committee of Ministers at its 1222nd (DH) meeting
in March 2015.
As regards individual measures,
the Committee of Ministers expressed again its concern about the
lack of progress in the conduct of the domestic investigations,
and, concerning the
Tangiyev case,
it took note of applicant’s retrial by a jury whereby his confession
obtained through ill treatment had been declared unlawful, and requested
a copy of the judicial decision. Concerning general measures, the
Committee of Ministers welcomed the recent regulatory and legislative
changes aimed at providing more safeguards against ill treatment
as well as the awareness-raising measures and requested additional
information concerning a number of issues such as the functioning
of the Investigative Committee. However, it also reiterated its
call upon the Russian authorities to adopt measures aimed at sending
“a zero tolerance” message to the police and addressing the problem
of the expiration of limitation periods.
3.5 Actions of the security forces
in the Chechen Republic
73. Since 2005 the Court has found
grave human rights violations in over 220 cases against the Russian Federation
caused by the action of security forces in the North Caucasus, mainly
in the Chechen Republic, between 1999 and 2006 (unlawful killings,
unacknowledged detention, disappearances, torture, destruction of property,
lack of effective investigations as well as of effective domestic
remedies).
74. Since then, the systemic problems of the state’s failure to
effectively investigate and provide domestic remedies are still
prevalent. The Committee of Ministers has consistently urged the
Russian authorities to improve the legal and regulatory framework
governing the anti-terrorist activities of security forces, to ensure accountability
of perpetrators, to provide domestic remedies for victims and to
enhance awareness-raising and training of members of security forces.
75. Although throughout 2011 the Russian authorities provided
information concerning the measures adopted at a national level
to provide a remedy to victims and conduct effective investigation,
in its Interim Resolution
CM/ResDH(2011)292, adopted at the 1128th meeting in November 2011,
the Committee of Ministers criticised the lack of decisive progress
in domestic investigations with regard to the grave human rights
violations identified in the judgments of the European Court of
Human Rights, even where key elements had been established with
sufficient clarity.
Further issues
of great concern which were noted were the risk of loss of evidence
with the passage of time, and especially the possible expiry of
time-limits in the statutes of limitation, which would render it
impossible to bring perpetrators to justice.
The
Committee of Ministers therefore called on the Russian authorities
to ensure independent and thorough investigations in co-operation with
all law-enforcement and military bodies (which should include the
participation of victims and relatives and increase the effectiveness
of the remedies available to them). It also urged the authorities
to rapidly take measures to intensify the search for disappeared
and missing persons through better co-ordination between agencies,
in co-operation with relatives of disappeared persons. Although
the Russian authorities provided further information on 14 May 2012,
the Committee of
Ministers reiterated its previous concerns in June and September
2012.
76. On 18 December 2012, the Court delivered its judgment in the
case of
Aslakhanova and Others v. Russia, in which it concluded that
the situation of disappearances resulted from a systemic problem
of non-investigation of such crimes, for which there was no effective
remedy at the national level. The European Court of Human Rights
outlined two types of general measures, under Article 46 of the
Convention, to be taken by Russia to address those problems: 1)
to alleviate the continuing suffering of the victims’ families;
and, 2) to remedy the structural deficiencies of the criminal proceedings.
The Court based its findings not only on the circumstances of this
case, but also on a general assessment of the progress in the implementation
of the
Khashiyev group of
cases. A corresponding strategy was to be prepared by Russia without
delay and to be submitted to the Committee of Ministers for the
supervision of its implementation. At the same time, the Court decided
not to adjourn the examination of similar cases pending before it.
77. Despite additional information provided by the Russian authorities
in August 2013
and July 2014,
there has been no significant progress
in the implementation of this group of judgments.
In July 2014, the Russian
authorities submitted another action plan,
which was examined by the Committee
of Ministers at its 1208th (DH) meeting (23-25 September 2014).
The Committee of Ministers “noted
with grave concern that the information provided does not attest
to any improvement in the capacity of the present system of criminal
investigations to handle the problem of the persons reported as
missing” and insisted that the Russian authorities create “a single
and high level body mandated with the search for persons reported
as missing as a result of counterterrorist operations in the North
Caucasus”. As this has not yet been done, as attested by the information
contained in another action plan of December 2014,
at its 1222nd (DH) meeting (11-12
March 2015),
the Committee of Ministers adopted
Interim Resolution
CM/ResDH(2015)45 in which it “strongly urged” the Russian authorities
to establish such a body. In its decision adopted at the same meeting,
it also invited the Russian authorities to provide information on
the concrete work carried out by forensic institutions and additional
information on the fate of missing persons and urged them again
to ensure that the domestic law and practice concerning the applicability
of the statute of limitations take into account the Convention standards.
As regards individual measures, the Committee of Ministers once
again requested information on the outcome of criminal proceedings.
78. It is worth recalling here that, as stated by Mr Dick Marty
in his report of June 2010, the Chechen situation “constitutes today
the most serious and most delicate situation from a standpoint of
safeguarding human rights and upholding rule of law, in the entire
geographical area covered by the Council of Europe”.
The lack of tangible
progress in these cases was also deplored in the Pourgourides report
and in Assembly’s
Resolution 1787 (2011).
Our Committee
colleague, Mr Michael McNamara (Ireland, Socialist Group) is currently preparing
a report “Human Rights in the North Caucasus: what follow-up to
Resolution 1738 (2010)?”, which will examine in depth the issue of non-implementation
of this group of judgments.
3.6 Risk of ill treatment in
cases of extradition (and/or expulsion), disregard of interim measures
of the European Court of Human Rights under Rule 39 of the Rules
of the Court and illegal abductions and forcible transfers
79. This problem is examined in
the
Garabayev group of cases.
In the case of
Iskandarov v. Russia, the Court
held the Russian Federation responsible for a violation of Article
3 on account of the applicant’s unexplained abduction by unidentified
persons whom the Court found to be Russian State agents and his forcible
transfer to Tajikistan in circumstances in which the authorities
must have been aware that the applicant faced a real risk of ill
treatment.
A
few similar cases concerning abductions/disappearances and forcible transfers
to Tajikistan and Uzbekistan are now pending execution before the
Committee of Ministers,
some of them also concerning
violations of Article 34 due to non-respect of the interim measures
indicated by the Court under Rule 39 of its Rules of Court.
In the
Abdulkhakov case, the Court noted
that “any extra-judicial transfer or extraordinary rendition, by
its deliberate circumvention of due process, is an absolute negation
of the rule of law and the values protected by the Convention”.
On
25 April 2013, the Court delivered an important judgment in the
case of
Savriddin Dzhurayev v. Russia,
in which it found
that disappearances of persons who were the subject of extradition
requests followed a certain factual pattern and occurred with the direct
or indirect involvement of the authorities. It also indicated, under
Article 46 of the Convention, a number of measures that Russia should
take to solve the recurrent problem without delay”.
80. Since the
Iskandarov judgment
delivered in 2010, the Committee of Ministers has been repeatedly informed
of incidents of this kind either by the Registry of the European
Court of Human Rights or by NGOs/applicants’ representatives.
Despite a number of instructions
and awareness-raising measures adopted by the Russian authorities,
in September 2013, the Committee of Ministers adopted an Interim
Resolution,
in which it exhorted the
Russian authorities to develop a mechanism of protection against
unlawful or irregular removal from the territory of Russia and the
jurisdiction of the Russian courts. Although the authorities had provided
further information in January 2014,
new alleged abduction incidents
were reported to the Committee of Ministers in the course of 2014.
Hence,
the authorities provided an updated action plan in November 2014
on further measures to raise awareness;
however, at its 1214th meeting (DH) in December 2014, the Committee
of Ministers found these measures insufficient and requested further
information from the authorities, with a view of examining the necessity
of adopting a second interim resolution at its 1229th meeting (DH)
in June 2015. It also decided to examine this group of cases at
its first regular meeting in case a new similar abduction or disappearance
is reported. As regards individual measures, the Committee of Ministers expressed
grave concern regarding the unknown fate of several (abducted/disappeared)
applicants
. Following the submission by the
authorities of an updated action plan in April 2015
, the Committee of Ministers examined
this group of cases at its 1230th meeting (DH) in June 2015.
81. It should be noted in this context that the issue of non-co-operation
with the Court in respect of interim measures has already been examined
by our Committee and the Assembly.
The issue of
“undercover” transfer of persons to Tajikistan and Uzbekistan was
dealt with in detail in the report of our Committee colleague Mr
Kimo Sasi (Finland, EPP/CD) on “Urgent need to deal with new failures
to co-operate with the European Court of Human Rights”.
According to Amnesty
International, the repeated abductions/disappearances, as those
reported in the
Iskandarov group
of cases, result from a region-wide renditions programme in the
Commonwealth of Independent States (CIS).
3.7 Violation of the freedom
of assembly and discrimination on grounds of sexual orientation
82. In the case
Alekseyev v. Russia the Court found
a violation of the applicant’s freedom of assembly, the lack of
an effective remedy in this respect and discrimination on the grounds
of sexual orientation due to the repeated bans over a period of
three years (between 2006 and 2008), on the holding of gay-rights
marches and pickets imposed by Moscow authorities on account of
the failure of the authorities to adequately assess the risk to
the safety of the participants and public order (violations of Article
11, Article 13 in conjunction with Article 11 and Article 14 in
conjunction with Article 11). Despite the findings of this judgment,
the situation of LGBT persons and activists raises further concerns
in the light of recently adopted laws restricting the freedom of
expression for LGBT persons.
83. Although since 2011 the Committee of Ministers has repeatedly
called for the adoption of general measures and expressed concern
about the implementation of this judgment, the competent authorities
in the Russian Federation have continued to mostly refuse to authorise
public events in support of the rights of LGBT persons since 2005.
When examining this case, the Committee of Ministers focused on
two aspects: the laws prohibiting “homosexual propaganda” among
minors and the procedure for the organisation of public assemblies.
84. Although on numerous occasions the Committee of Ministers
had expressed concerns about regional laws prohibiting “homosexual
propaganda” among minors, on 11 June 2013, the State Duma adopted
similar provisions at the federal level, without giving consideration
to the Opinion of the Venice Commission.
At its 1179th meeting (DH) in September
2013, the Committee of Ministers expressed its concerns about this
law, noting that it “could undermine the effective exercise of the
freedom of assembly”.
85. Following the submission by the authorities of another action
plan in July 2014,
at the 1208th (DH) meeting (23-25
September 2014), the Committee of Ministers expressed serious concern
that the majority of requests made in Moscow, St Petersburg, Kostroma
and Arkhangelsk between 1 July 2013 and 1 May 2014 to hold public
events, similar to those described in the
Alekseyev judgment,
had been refused on the basis of the Federal Law prohibiting “propaganda
of non-traditional sexual relations” among minors. It called on
the authorities to ensure that the Federal Law did not hinder the
effective exercise of the right to assembly and noted that a case
was pending before the Constitutional Court concerning this law.
86. As regards the question of an effective remedy, the Committee
of Ministers strongly encouraged Russian authorities to speedily
adopt the draft Code of Administrative Procedure, which would oblige
courts to settle disputes concerning the organisation of public
events prior to the date foreseen for such events. It also invited
the authorities to continue to monitor the implementation of the
Constitutional Court’s decision of 14 February 2013, which stressed
the need for courts to settle disputes concerning the holding of
public events before the date foreseen for such events. Following
the submission by the authorities of an updated action plan in April
2015,
the
Committee of Ministers examined this group of cases at its 1230th
meeting (DH) in June 2015.
3.8 Other new issues
87. The Committee of Ministers
2014 Annual Report points out a couple of other complex/structural
issues concerning implementation of judgments against Russia which
are examined under its enhanced supervision: automatic blanket ban
on prisoners’ voting rights (
Anchugov
and Gladkov), violation
of the right to education of children and parents from Moldovan/Romanian
language schools in the Transdniestrian region of the Republic of
Moldova (
Catan and Others) and shortcomings
of the system for judicial review of expulsion of foreigners based
on national security grounds (
Liu No.
2 group
of cases). Especially the
Catan and Others case,
which was recently examined at the 1230th meeting (DH) in June 2015,
has been the object of close supervision by the Committee of Ministers
in 2014 and 2015 due to the absence of information on any measure which
would be compliant with the Court’s judgment.
4. Ukraine
88. Mr Pourgourides’ report summarised
the main issues concerning Ukraine as follows:
- non-enforcement of domestic
judicial decisions;
- length of civil and criminal proceedings;
- issues concerning detention on remand (poor conditions,
length, ill treatment);
- unfair trial, inter alia,
due to lack of impartiality and independence of judges.
89. The report also dealt with the issues surrounding the
Gongadze case.
4.1 Non-enforcement of domestic
judicial decisions
90. The
Zhovner group
comprises over 400 cases concerning non-enforcement of final domestic
judgments, mostly delivered against the State or State enterprises,
and the absence of an effective remedy in this respect (violations
of Articles 6.1 and 13 of the Convention and of Article 1 of Protocol
No. 1).
In its pilot judgment
Yuriy Nikolayevich Ivanov v. Ukraine of 2009, the Court
noted that Ukraine “has demonstrated an almost complete reluctance”
to solve the structural problems concerning non-enforcement of domestic
judicial decisions and fixed a specific deadline of 15 January 2011
for the establishment of effective domestic remedies. After extending
the deadline once and finding that the measures called for in the
pilot judgment had still not been adopted, on 21 February 2012,
the Court decided to resume the examination of applications raising
similar issues, thus making Ukraine the first State in the Court’s
history to have failed to execute a pilot judgment.
91. The law “On State guarantees concerning execution of judicial
decisions” was finally adopted by the Ukrainian parliament on 5
June 2012 and entered into force on 1 January 2013.
It
introduced a new specific procedure for the execution of domestic
judicial decisions delivered against the State after its entry into
force: pecuniary debts are to be met by the State Treasury within
certain deadlines if the debtor (State bodies, State companies,
or legal entities whose property cannot be subjected to a forced
sale within enforcement proceedings) fails to pay them in due time.
The law also provides for automatic compensation if the authorities delay
payments under this special procedure. The impact in practice of
the new remedy legislation on the general problem of non-execution
of domestic judicial decisions still remains to be assessed.
92. At their 1164th (DH) meeting in March 2013, the Committee
of Ministers noted its concerns as regards the effectiveness of
the measures taken to ensure execution within a reasonable time
in all situations (notably because of the inflexibility of the new
system, including the level of compensation) and the absence of adaptation
of other legislation (in particular the moratorium laws). It also
encouraged the Ukrainian authorities to adopt with the utmost urgency
the required legislation, taking into account the recommendations
made, and to develop, awaiting the reforms, a viable practice of
friendly settlements and unilateral declarations before the Court,
as well as to resolve the issue of non-enforcement of judicial decisions
imposing non-pecuniary obligations.
93. On 19 September 2013, the Ukrainian Parliament adopted amendments
setting up a remedy in respect of the non-enforcement of domestic
judicial decisions rendered before 1 January 2013. At its 1186th(DH) meeting
on 5 December 2013, the CM noted with satisfaction these developments
and invited the Ukrainian authorities to take all the necessary
measures to ensure that the new remedy is implemented effectively.
94. On 11 March 2014, the European Court of Human Rights decided
to suspend the examination of this type of non-enforcement cases
and to review the situation in six months; at that time, there were
10 440 cases pending before the Court, out of which 1 585 had been
communicated to the Ukrainian government.
In April 2014,
the authorities provided information
on the number of applications for
compensation lodged at the domestic level, recognising that the
lack of funds remained a problem. They also did not prove that the
new domestic remedy was effective. In September 2014, the Cabinet
of Ministers adopted the “Rules on Debt Payment Under the Courts
Judgments the Implementation of Which is Guaranteed by the State”,
which established the procedure for payment under the new remedy
and a working group was set up for a better implementation of this
procedure.
The Ministry of Justice is currently preparing
an electronic register with information on relevant payments.
Another
action plan was provided by the authorities in April 2015, but it has
not yet been assessed by the Committee of Ministers.
95. As noted by the Committee of Ministers at the 1214th (DH)
meeting in December 2014,
the adopted measures have not prevented
similar violations and in a large number of cases, the just satisfaction
awarded by the Court has not been paid to the applicants and the
domestic judicial decisions have not been enforced. The Committee
of Ministers encouraged the authorities to “explore all possibilities
for co-operation which the Council of Europe can offer in ensuring
a viable solution to this problem”.
To sum up, despite the adoption by
the Committee of Ministers of five interim resolutions in this group
of cases,
there has been no tangible progress
in the implementation of these judgments since 2004.
96. In April 2015,
the Ukrainian authorities provided
their latest action plan concerning general measures for this group
of cases The Committee of Ministers examined it at its 1230th DH
meeting (June 2015).
4.2 Excessive length of civil
and criminal proceedings
97. Two groups of cases – concerning
mainly the excessive length of civil (the
Svetlana
Naumenko group)
and
criminal (the
Merit group)
proceedings and the lack of an effective
remedy in this respect (violations of Articles 6.1 and 13) – are
pending execution before the Committee of Ministers (in total, nearly 270
cases)
since
2004.
98. Since 2005, the Committee of Ministers has been informed of
the preparation of legislation aimed,
inter alia,
at setting up a domestic remedy with respect to complaints against
the length of judicial proceedings. However, no law or any other
measure capable of effectively assuaging the problem of the excessive
length of domestic proceedings has been adopted. The information
received mainly focused on the question of a remedy and not on solutions
to the root causes for excessive length of judicial proceedings.
Thus, the Committee of Ministers
had urged the Ukrainian authorities, in its decision of March 2012,
to take concrete measures to solve the structural problem revealed,
recalling
its Recommendation CM/Rec(2010)3 on effective remedies for excessive
length of proceedings.
Between July
2012 and February 2013, the authorities provided information on
legislative measures such as the adoption of the 2010 Law on Judiciary
and Status of Judges, amendments to the Code of Civil Procedure
of 2011 and the new 2012 Code of Criminal Procedure.
At its 1164th meeting in March 2013,
the Committee of Ministers requested additional information and
“reiterated their serious concern” that, despite the Court’s numerous
judgments, no progress had been achieved regarding the introduction
of an effective remedy against excessive length of proceedings.
99. In view of the Ukrainian authorities’ failure to provide the
requested information, at their 1179th(DH) meeting
in September 2013,
the Committee of Ministers strongly
urged the Ukrainian authorities to provide, by 31 December 2013,
the required analysis specifying how the measures adopted will remedy
all the shortcomings found by the Court, together with an assessment
of their impact in practice and relevant statistics on the length
of proceedings. The Committee of Ministers further reiterated its
previous request to adopt concrete measures aimed at setting up
effective domestic remedies in view of a number of similar repetitive applications
brought before the European Court of Human Rights and to provide
information in this respect by 31 December 2013.
An updated action plan was provided
on 20 January 2015
and is being assessed.
4.3 Issues concerning detention
on remand
4.3.1 Poor conditions of detention
100. Mr Pourgourides’ report highlighted
several problems concerning detention facilities. In over forty
cases, violations of Article 3 of the Convention mainly arose from
overcrowded, unhygienic conditions and a lack of adequate medical
assistance, especially for those suffering from tuberculosis, hepatitis
and HIV.
There have
been some attempts by the Ukrainian authorities to address these
problems, but still more information on the developments in this
respect is awaited.
The
Committee of Ministers has been awaiting a plan detailing such improvements
since 2005. In spite of some information provided by the authorities
in May 2012,
at its 1144th (DH)
meeting (June 2012) the Committee of Ministers invited them to “provide
urgently an action plan aimed at responding to the structural problems
highlighted by the Court in respect of conditions of detention and
medical care …”.
According
to the Committee of Ministers 2014 Annual Report,
consultations between the Committee
of Ministers Secretariat and the authorities continued throughout
the course of 2014 with a view to elaborate a comprehensive action
plan and special meetings were organised in the context of the Human
Rights Trust Fund Project (HRTF) No. 18 Programme.
101. In its preliminary observations of the visit in 2011, the
CPT expressed deep concerns about extremely poor conditions of detention
in Ukrainian prisons, and in particular about the poor state of
repair of numerous cells and the severe overcrowding in some establishments.
Furthermore,
in its preliminary observations of the visit in 2013, the CPT pointed
to poor access to natural light and fresh air, lack of privacy as
concerned in-cell toilets, the small size and oppressive state of
the exercise yards and poor level of cleanliness in temporary detention
isolators (ITT), as well as internal affairs divisions not suitable
for keeping detainees.
In
its periodic 2013 report on Ukraine published on 29 April 2014,
the
CPT noted a major decrease in the number of inmates, but stressed
the need to pursue efforts to eliminate overcrowding in pretrial
detention centres. It also noted that no decisive action had been
taken to improve the material conditions in most of the centres
that it had visited. The cumulative effect of these conditions and
restrictions could be considered a form of inhuman and degrading
treatment by many detainees.
4.3.2 Ill-treatment by police
and lack of effective investigation
102. At present over 35 cases are
pending execution in this area (mainly violations of Articles 3
and 5).
In the
Kaverzin
v. Ukraine judgment (also concerning systemic handcuffing
of the applicant when he was out of his cell), under Article 46
of the Convention, the Court stated that the practice of ill treatment
in custody is a systemic problem. In December 2012, the Ukrainian
authorities submitted a communication indicating that a number of
legislative and administrative measures had been put in place to
remedy the problem, among which are the establishment of a special
supervisory committee for human rights within the Ministry of the
Interior and the adoption of a new code of criminal procedure in
April 2012.
In April 2013,
the Ukrainian authorities further provided their action plan,
that the Committee of Ministers
assessed at their 1172nd(DH) meeting
in June 2013.
The Committee of Ministers welcomed the
adoption of a number of legislative and practical measures, in particular
the setting up of a National Preventive Mechanism (NPM) under the
United Nations Optional Protocol to the Convention against Torture
and other Cruel, Inhuman or Degrading Treatment or Punishment (OPCAT)
and the changes to the new Code of Criminal Procedure. It also invited
the Ukrainian authorities to provide information on the impact in
practice on these measures and the measures aimed at ensuring that
investigations into ill treatment allegations comply with the Convention
standards. The Committee of Ministers took note of the authorities’
intention to establish the State Bureau of Investigation at the
latest by 2017. Lastly, the Ukrainian authorities were encouraged
to take advantage of the opportunities offered by the Council of
Europe under its various co-operation/technical programmes. In 2014,
two new action plans were provided.
During its 1201th (DH) meeting
in June 2014, the Committee of Ministers reiterated its satisfaction with
the significant improvements brought about by the new Code of Criminal
Procedure and invited the authorities to provide, an updated action
plan containing their assessment of the impact of the reforms and information
on additional measures envisaged to implement the recommendations
of the CPT. On 31 October 2014, the Ukrainian authorities provided
an updated action plan,
which is now being assessed.
103. According to a report of Amnesty International of 12 October
2011,
“endemic police criminality”, such as
the use of torture, beatings and extortion by police remained a
widespread phenomenon. This was confirmed by the CPT in the observations
from its visits to Ukraine of 2011 and 2013; the CPT noted that
ill treatment by police in a number of cases was of such severity
that it could well amount to torture.
Similar findings are contained in
its report of 29 April 2015 concerning an ad hoc visit in September
2014 to a few correctional colonies in the Kharkiv area, the CPT
noted some progress and called again on the authorities to pursue
their efforts to combat the phenomena of ill treatment in the visited
colonies.
4.3.3 Unlawful and/or excessively
long pretrial detention
104. Numerous judgments of the Court
pertaining to the issue of unlawful and/or excessively long pretrial detention
(violations of Article 5) are currently
pending execution as regards Ukraine, some of them for many years
(since 2005). A “quasi-pilot” judgment was delivered by the Court
in February 2011 in the case of
Kharchenko
v. Ukraine, in
which it highlighted the structural nature of the problem regarding
the legal framework governing pretrial detention in Ukraine. The
Court stressed that specific reforms in legislation and administrative
practice should be urgently implemented in order to bring such legislation
and practice into line with the requirements of Article 5.
105. The Court set a six-month deadline for Ukraine to submit to
the Committee of Ministers a strategy adopted in this respect. On
9 November 2011, the Ukrainian authorities submitted an action plan,
according to
which a new Criminal Procedure Code was to be adopted. The new Criminal
Procedure Code (‘CPC’) entered into force on 20 November 2012; it
was the object of extensive expert advice from the Council of Europe.
It aims to set up a modern adversarial
criminal procedure based on the equality of arms of the parties
to the process and other fair trial guarantees and should create
the necessary conditions for the proper implementation of the European
Convention on Human Rights in Ukraine. Despite these improvements,
the Committee of Ministers awaits information on other measures
taken or planned to solve problems identified in other cases from
this group, such as the practice of unregistered detention by police
or the use of administrative arrest for criminal investigation purposes.
At
its 1128th DH meeting (29 November – 2 December 2011), the Committee
of Ministers welcomed the fact the Ukrainian authorities’ strategy
paper requested in the
Kharchenko judgment
had been provided in time and invited the authorities to implement
it rapidly.
However, the Committee of Ministers
also called upon the Ukrainian authorities to provide information
on the measures taken or planned to resolve the remaining problems
highlighted in other cases of this group. In response, in August
2012 the Ukrainian authorities provided information relating to
the general measures in the context of the case
Balitskiy against Ukraine
and, in October 2012, in the context
of the
Kharchenko group of
cases.
In both submissions, the authorities
mainly referred to the provisions of the new Code of Criminal Procedure.
They also provided statistics on the application of detention on
remand covering 2010, 2011 and the first half of 2012, showing a
minor trend of decrease regarding the use of detention on remand. In
February 2013, the authorities submitted a revised action plan,
of which the Committee of Ministers
took note at its 1164th (DH) meeting (March 2013). The Committee
of Ministers instructed its Secretariat to prepare an in-depth assessment
of this new information and encouraged the authorities to take advantage
of the co-operation offered in the framework of the HRTF No. 18.
106. On 9 October 2014, the Court delivered another judgment concerning
detention without a court order in 2013 (violation of Article 5.1)
in the case of
Chanyev v. Ukraine. Under Article 46
of the Convention, it indicated the need for further legislative
changes, including amendments to the 2012 CPC.
107. As noted in the Committee of Ministers 2014 Annual Report,
problems remain concerning the implementation
of two judgments concerning unlawful detention on remand and use
of detention for other reasons than those permissible under Article
5 of the Convention in the context of criminal proceedings against the
applicants –
Lutsenko v. Ukraine and
Tymoshenko v. Ukraine (violations of Articles
5.1, 5.4, 5.5 and Article 18 taken together with Article 5). Although
both applicants were released, the Committee of Ministers is still
examining the issue of general measures that would prevent the circumvention
of legislation by prosecutors and judges.
This
issue was also dealt with by our Committee colleague Mr Pieter Omtzigt
(Netherlands, EPP/CP) in his report on “Keeping political and criminal
responsibility separate”.
4.4 Unfair trial, inter alia
due to lack of impartiality and independence of judges
108. Several judgments are pending
before the Committee of Ministers on this issue (violations of Article 6.1).
In
order to tackle the problems identified in the Strasbourg Court’s
judgments, on 7 July 2010 the Verkhovna Rada adopted the Law on
the Judiciary and the Status of Judges.
It is noted that this legislative
reform has been the object of several Venice Commission opinions.
In June 2013, the Venice Commission
published an opinion on the draft law concerning amendments to the
Constitution aimed at strengthening the independence of judges.
109. In the meantime in the judgment
Oleksandr
Volkov v. Ukraine the
European Court of Human Rights found serious systemic problems as
regards the functioning of the Ukrainian judiciary. The case concerns
four violations of the applicant’s right to a fair hearing on account
of his unlawful dismissal from his post as a judge at the Supreme
Court of Ukraine. The Court ordered urgent legislative reforms to
be implemented as well as the applicant’s reinstatement in his previous
post of the judge of the Supreme Court at the earliest possible date.
Moreover, it is to be noted that the European Court of Human Rights
communicated to the Ukrainian Government 18 similar applications
on 15 January 2014.
110. As regards individual measures in this case, upon repeated
pressure from the Committee of Ministers and after the adoption
of its
Interim
Resolution CM/ResDH(2014)275
on 4 December 2014, the applicant was reinstated to
his post of judge of the Supreme Court as of 2 February 2015. The
Committee of Ministers welcomed this step at their 1222nd (DH) meeting
(11-12 March 2015).
The Deputies assessed the latest action
report
submitted in January 2015 and invited
Ukrainian authorities to transmit an updated and comprehensive action
plan on the general measures envisaged and to take full benefit
of all co-operation opportunities offered by the Council of Europe
to ensure that the judiciary is reformed in line with Convention standards.
111. As regards general measures in this case, it should be noted
that, according to the Ukrainian authorities, certain issues have
been solved by the new law “On Ensuring the Right to Fair Trial”
adopted by Parliament on 12 February 2015, which entered into force
on 29 March 2015.
On 3 March
2015, a Constitutional Commission was established by the President
and tasked with drafting co-ordinated proposals for constitutional
amendments, including amendments aimed at reforming the judiciary.
112. In its
Resolution
1862 (2012)
and
Resolution 1988 (2014) the
Assembly again expressed its deep concern regarding the lack of
independence of the judiciary and considered it to be the principal
challenge for the justice system in Ukraine. =
4.5 Other issues
4.5.1 The Gongadze case
113. A specific case of concern
is the case of
Gongadze v. Ukraine, in
which the Court found a violation of Articles 2 and 3 of the Convention
on account of a journalist’s death and a lack of effective investigation
into it.
This
case is particularly sensitive politically, as several senior State
officials, including a former President, are implicated.
At its
1157th (DH) meeting in December 2012, the Committee of Ministers
noted some developments and insisted on the Ukrainian authorities’
obligation to continue their efforts to find the instigators and
organisers of the killing of Georgiy Gongadze. At its 1172nd (DH)
meeting (4-6 June 2013),
the Committee of Ministers welcomed
that the trial against Oleksiy Pukach, the superior of the three
police officers involved in the murder of Mr Gongadze, was completed
in first instance on 29 January 2013. Noting that the Prosecutor
General’s Office continues its investigation into the circumstances
of Mr Gongadze’s death, the Committee of Ministers once again urged
the Ukrainian authorities to continue and enhance their efforts
to ensure that all necessary investigatory measures to this end
are taken as a matter of urgency. No new information has been received
since by the Committee of Ministers.
114. As stated in the Pourgourides Report, “any delays addressing
this issue should be subject to close monitoring by parliament which
should have appropriate means to compel the government to solve
these issues as a matter of priority”.
This issue was
examined by the Assembly in 2009
and, more recently,
in March 2015, following a report on “Threats to the rule of law
in Council of Europe member States – asserting the authority of
the Assembly” by our Committee colleague Ms Marieluise Beck (Germany,
ALDE).
In its
Resolution 2040 (2015), the Assembly noted that its previous recommendations
concerning this case had been implemented only in part. Although
three Interior Ministry officials and their commander, General Pukach,
had been found guilty of the murder, their former Minister committed
suicide in questionable circumstances and the accusations launched
by General Pukach against the former President and the former head
of the Presidential Administration were not followed up effectively.
4.5.2 Freedom of assembly
115. Another case under the enhanced
supervision of the Committee of Ministers is
Vyerentsov
v. Ukraine, where the Court found violations of Articles
11 and 7 on account of the applicant’s conviction for having organised
a peaceful demonstration in October 2010. The European Court of
Human Rights discovered a lacuna in the Ukrainian legislation with
respect to a procedure for holding demonstrations and required an urgent
reform.
116. At their 1201st (DH) meeting (June 2014),
the Committee of Ministers assessed
the second action plan
submitted by Ukraine on 7th April
2014. Welcoming the Supreme Court’s decision of 3 March 2014, which
quashed the applicant’s administrative sentence and the co-operation
between its Secretariat and the authorities, it nevertheless stressed
again the urgency to bring into conformity the legislative framework
on freedom of assembly and the administrative practice with the
Convention requirements. The Committee of Ministers noted, however,
that there was currently no draft legislation pending before the
Ukrainian Parliament with respect to the issue of freedom of assembly.
5. Romania
117. The Pourgourides report identified
the vast majority of problems in the following areas:
- failure to restore or compensate
for nationalised property;
- excessive length of judicial proceedings and lack of effective
remedy;
- non-enforcement of domestic judicial decisions;
- poor conditions of detention.
118. The report also dealt with the case of
Rotaru
v. Romania concerning a violation of
the right to respect for private life (Article 8) due to the Romanian
system of storing and using information gathered by the secret services
which operated in Romania before the fall of the communist regime.
Following the adoption of individual and general measures by Romania,
the Committee of Ministers closed the examination of this case in
November 2014.
The
Committee of Ministers continues to supervise the adoption of legislative
measures in the framework of the case
Bucur
and Toma v. Romania concerning ongoing
secret surveillance measures based on national security considerations.
119. Another sizable group of cases concerning ill treatment by
police and lack of effective investigation has been identified in
the Committee of Ministers 2011, 2012, 2013 and 2014 Annual Reports.
5.1 Failure to restore or compensate
for nationalised property
120. The issue of nationalised property
represents a systemic problem linked to the failure of Romania to
set up, after 1989, an effective mechanism to restitute or compensate
for properties nationalised during the communist period. The European
Court of Human Rights has, very often, found a violation of Article
1 of Protocol No. 1 and Article 6.1 of the European Convention on
Human Rights with respect to this problem, and a total of 180 such
cases are currently pending before the Committee of Ministers.
121. Considering the scale of the problem, the European Court of
Human Rights handed down in 2010 a pilot judgment in the case of Maria Atanasiu and Others v. Romania.
The Court required Romania to put in place clear and simplified
procedures to provide redress to victims. The time limit set by
the Court for the adoption of appropriate measures was to expire
on 12 July 2012, but it was subsequently extended to 12 May 2013.
122. In response to the pilot judgment and following consultations
between high level representatives of the Romanian government, the
Department for the Execution of Judgments and the Registry of the
European Court of Human Rights, the Romanian Parliament adopted,
on 22 April 2013, a law reforming the compensation mechanism, which
entered into force on 20 May 2013. The law provides for restitution
of property and, if the latter is not possible, it sets up a mechanism
for compensation. It also foresees the adoption of some preparatory
measures, such as the drawing up of an inventory of available agricultural
land and woodland and the setting-up of a National Fund for agricultural
lands and other immovable properties. The Rules for the application
of the law entered into force on 29 June 2013.
123. At its 1172nd (DH) meeting (4-6 June 2013),
the Committee of Ministers welcomed
the adoption of the above-mentioned law, underlined the importance
of a thorough and constant monitoring of its implementation at the
national level, encouraged the Romanian authorities to continue
to co-operate with the Execution Department with a view to clarifying
the outstanding issues identified in the Memorandum CM/Inf/DH(2013)24,
and to keep the Committee of Ministers regularly
informed of the implementation of the first stages of the application
of the new law, with a view to enabling it to assess the progress
made.
124. On 29 April 2014, the Court delivered a follow-up judgment
to the pilot judgment in the case of
Preda and
Others v. Romania, in
which it held that the new law provided, in principle, an accessible
and effective framework of redress for the vast majority of situations
arising in the reparation process. However, some issues identified
in this judgment turned out to still be problematic, such as the
lack of provisions affording redress in cases where there were multiple
documents of title for the same building or lack of access to compensation
of former owners entitled to compensation (in the absence of restitution),
when the fact rendering restitution impossible became known after
the deadline for lodging a compensation claim.
As
a consequence of the
Preda and Others judgment,
the Court rejected 442 applications because of non-exhaustion of
domestic remedies.
125. On 22 October 2014, Romanian authorities submitted a revised
action plan,
which was assessed by the Committee
of Ministers at its 1214th (DH) meeting (2-4 December 2014).
The Committee of Ministers noted
with interest the progress in the implementation of the first stages
of the law and decided to close the examination of cases concerning
situations identified in the
Preda and
Others judgment as covered by the new mechanism and in
which all the individual measures have been taken, i.e. 85 cases
from this group.
However, as regards the other cases
and the pilot judgment
Maria Atanasiu
and Others, the Committee of Ministers decided to monitor
the developments concerning the outstanding issues identified by
the Court. In March 2015, the authorities provided new information
on the general measures required in this group of cases.
5.2 Excessive length of judicial
proceedings and lack of an effective remedy
126. The cases of
Nicolau v. Romania and
Stoianova and Nedelcu v. Romania concern the excessive length
of civil and criminal proceedings and in some cases also the lack
of an effective remedy in this respect (violations of Articles 6
and 13). At present, over 80 similar cases are pending execution
before the Committee of Ministers concerning this structural problem.
On
10 October 2011, Romania submitted an action plan to the Committee
of Ministers detailing a number of measures Romania is taking to
solve these problems.
127. Firstly, in order to simplify and accelerate judicial proceedings
a “little reform” was instituted in 2010, through which a number
of legislative amendments to the Civil and Criminal Procedure Codes
were introduced.
The
new Civil and Criminal Procedure Codes were adopted in July 2010;
the Civil Procedure Code entered into force in February 2013, and
the Criminal Procedure Code entered into force in February 2014.
They both envisage large-scale legislative measures.
128. With respect to the lack of effective remedies, the above-mentioned
new Code of Civil Procedure has introduced a remedy aimed at accelerating
civil proceedings. For the time being, no statutory provision (including
in the new Codes) provides for a compensatory remedy. The Romanian
authorities pointed out the direct application of the Convention
in the domestic law and that the domestic courts’ case law has evolved accordingly,
thereby providing interested persons with remedies, and allowing
for acceleration of proceedings and compensation for damages suffered.
129. On 26 June 2013, the Romanian authorities submitted their
revised action plan.
At its 1179th (DH) meeting (24-26
September 2013),
as concerns excessive length of
proceedings, the Committee of Ministers took note of the entry into
force of the new Code of Civil Procedure and of the positive impact
of the “little reform” and called on the authorities to continue
to monitor the effects of these reforms. As concerns effective remedies,
the Committee of Ministers invited the authorities to indicate the
reasons for which the acceleratory remedy introduced by the new
Code of Civil Procedure only applied to the proceedings initiated
after its coming into force on 15 February 2013 and invited the
authorities to provide clarifications to certain other outstanding issues,
including the functioning of civil action for damages as a compensatory
remedy. On 26 November 2013, the Court delivered a judgment in the
case of
Vlad and Others v. Romania, in
which it welcomed the general measures taken by Romania to remedy
the structural problem of excessive length of civil and criminal proceedings.
However, under Article 46, the European Court of Human Rights invited
the authorities to take further measures to ensure a specific and
clearly regulated remedy against excessive length of proceedings.
5.3 Non-enforcement of domestic
judicial decisions
130. For over ten years, the Committee
of Ministers has been examining a number of cases with regard to the
State’s failure to enforce final domestic court decisions (violations
of Article 6.1 of the Convention and/or Article 1 of Protocol No.
1).
131. In November 2011, the Romanian authorities provided to the
Committee of Ministers a revised action report regarding the
Ruianu group.
Moreover,
an action plan concerning the
Sacaleanu group
of cases was submitted in January 2012
and
an action plan concerning the
Strungariu group
of cases was submitted in June 2012,
followed
by a revised version in March 2013.
In the revised action report submitted
for the
Ruianu group
in November
2011, the authorities asserted that the violations found in these
cases did not originate in an underlying structural problem within
the Romanian justice system, but were rather singular cases. This
answer was explained with reference to various similar cases concerning
enforcement of judicial decisions that had been brought before the
Strasbourg Court, and which had been deemed inadmissible due to
non-exhaustion of domestic remedies or manifestly ill-founded.
The Romanian
authorities further detailed the various general measures taken
with respect to such cases
and
requested the Committee of Ministers to close the examination of
this group of cases. On 6 September 2012, they submitted additional
comments concerning the
Sacaleanu group,
asserting in particular that a new Code of Civil Procedure contained provisions
simplifying the domestic enforcement procedure and thus better safeguarding
the rights of the creditors.
132. At its 1150th (DH) meeting (September 2012),
the
Committee of Ministers noted with interest the latest action plan
submitted in the
Sacaleanu group
of cases, but expressed concern that several crucial issues related
to general measures were still outstanding, in particular as regards
the mechanisms and the guarantees set forth in the domestic law
for ensuring voluntary and prompt enforcement of court decisions
by the administration and the remedies available in this respect.
It noted that the violations found
by the Court in these cases revealed the existence, at the time
of the relevant facts, of important complex problems.
133. On 16 December 2014, Romanian authorities provided updated
information
on measures adopted in the
Sacaleanu group, containing,
inter alia, information about the
setting up of a ministerial working group tasked with examining
the problem of non-implementation of decisions against public debtors.
On 29 January 2015, the authorities provided another action plan
concerning the
Ruianu group
of cases.
5.4 Poor conditions of detention
134. In the cases of the group
Bragadireanu v. Romania the Court
held that the applicants’ conditions of detention amounted to inhuman
and degrading treatment (violations of Article 3 and 13), due, in
particular, to prison overcrowding and poor material conditions
of detention and that there was no effective remedy to obtain redress
in such situation. At present, more than 90 similar cases concerning
these structural problems in prisons and police detention facilities
are pending before the Committee
of Ministers.
135. The Romanian authorities provided two action plans in April
2011
and in March 2012,
setting out the measures taken and
envisaged to tackle the issues highlighted in these judgments affecting
prisons and police detention facilities. At its 1144th meeting (June
2012),
the
Committee of Ministers welcomed the information that the domestic
prison monitoring mechanism used evaluation criteria similar to
those of the Court and that its findings were accessible to civil
society; however, it expressed concerns about most detention facilities’
inability to observe the national standards guaranteeing a minimum
individual living space to prisoners.
The Committee of Ministers also
encouraged the Romanian authorities to establish a similar monitoring
mechanism for police detention facilities, to intensify their efforts
to tackle poor detention conditions and to provide information on
other concrete measures taken in response to other outstanding issues
identified by the Committee of Ministers Secretariat
and their effects, in particular
the setting up of effective domestic remedies.
136. In 2012, the European Court of Human Rights delivered its
judgment in the case of
Iacov Stanciu, in which
it stated that the measures taken by the authorities had led to
an improvement in the living and sanitary conditions in Romanian
prisons. However, under Article 46, it called on the authorities
to take further measures in this respect and to set up a system
of effective remedies against violations of Article 3.
Following
this judgment and the Committee of Ministers assessment of the adopted
measures, in September 2012, the Government adopted new lines of
priority action to resolve the structural problem in question; they
also set up a working group to monitor their implementation. Moreover,
Romania became a beneficiary of the HRTF Project No. 18 aimed at
implementing judgments of the European Court of Human Rights revealing
structural problems in the field of detention on remand and effective
remedies to challenge conditions of detention.
137. A revised action plan was submitted to the Committee of Ministers
in October 2014,
which was assessed at their 1222nd
(DH) meeting (11-12 March 2015).
The Committee of Ministers noted
with interest the measures taken by the authorities as part of the
reform of the State’s criminal law policy. However, the Committee
of Ministers considered with concern that the legislative measures
adopted were not sufficient regarding the severity of overcrowding
in detention facilities and noted that the authorities maintained
the system of detention on remand in police detention facilities,
despite the fact that a part of these facilities were not suitable
for detention. It also noted that the information provided to that
date by the authorities did not allow for a conclusion that the
available procedures represented adequate and effective remedies.
Thus, the Committee of Ministers urged the authorities to rapidly
define and implement appropriate additional measures and to provide
information on the strategy they envisaged to put in place for the
implementation of these judgments by 1 June 2015 at the latest and
encouraged them to draw inspiration from the solutions proposed in
the framework of the relevant project of the Human Rights Trust
Fund.
138. Moreover, the CPT, after its visit to Romania in September
2010, raised concerns about several shortcomings regarding conditions
of detention in its report.
It mentioned, amongst others, serious overcrowding
in establishments all over the country (150% of the capacity), insufficient
conditions in police detention facilities regarding minimum living
space (in most of the visited establishments less than 4m2),
the poor hygienic situation in cells and sanitary facilities, quality
and quantity of food served in some facilities, as well as a lack
of outdoor activities for detainees.
Furthermore,
the CPT made several recommendations concerning deficiencies in
the provision of medical services.
5.5 Ill-treatment by police and
lack of effective investigations
139. There are currently over 20
cases concerning this issue before the Committee of Ministers.
In the
Barbu
Anghelescu group of cases the Court found violations
of the Convention on account of several issues, including ill treatment
of the applicants in police custody, lack of effective investigation
into the abuses and racially motivated treatment of detainees of
Roma origin (violations of Articles 3, 13 and 14 taken in conjunction with
3 and 13). In the case of
Carabulea v.
Romania, it found a substantive violation of Article
2, as the applicant had died due to the ill treatment by law-enforcement
authorities.
140. On 9 January 2013, the Romanian authorities submitted an action
plan for the execution of this group of judgments,
but the Committee of Ministers Secretariat
found multiple deficiencies in it.
First of all, the fundamental procedural
safeguards against ill treatment, comprised of the right to have
access to legal and medical assistance and the right to inform a
third party of the apprehension, continued to apply only to those individuals
who have been formally remanded. Issues were also to be noted in
the implementation the regulatory provisions on the medical examination
of prisoners: non-observance of the confidentiality of the medical
examinations and medical files of the prisoners, incomplete medical
examinations and information included in the medical charts and
non-compliance with the obligation on the medical doctors to report
to the relevant judicial authorities the signs of violence and aggression
possibly observed. Moreover, the regulatory provisions on the forensic
examination of persons detained in police detention facilities who
present traumatic injuries appear to delay such examination and
to leave it at the discretion of an authority that lacks the required operational
independence (the head of the detention facility). The awareness-raising
and training measures taken do not appear to have been capable of
completely eradicating acts contrary to Articles 2 and 3. Additional measures,
in the context of a policy of “zero-tolerance” of such acts, appear
therefore necessary in respect of all law-enforcement services.
141. As regards the effectiveness of criminal investigations into
abuses by police, no convictions for acts prescribed by Articles
2 and 3 were reported during the reference period (2003-2012) and
problems persist as regards prosecutors’ compliance with courts’
instructions on the conduct of the investigation.
142. At its 1164th meeting (DH) in March 2013, the Committee of
Ministers requested further information on individual and general
measures from the Romanian authorities.
It
underlined the need for systematic action in line with a policy
of “zero-tolerance” of acts contrary to Articles 2 and 3 of the
Convention.
On 17 July 2013, the Romanian
authorities provided information on individual measures.
In the course of 2014, bilateral consultations
between the authorities and the Committee of Ministers Secretariat
were pursued, taking into account the impact of the entry into force
of a new Criminal Code and a new Code of Criminal Procedure on 1 February
2014.
5.6 Other areas of specific concern
143. The Committee of Ministers
2014 Annual Report also points out other cases involving important structural
and/or complex issues. Most of these cases concern violations of
Articles 2 or 3 of the Convention and reveal the following problems:
the ineffectiveness of criminal investigations into violent crackdowns
on anti-governmental demonstrations related to the fall of the communist
regime in the context of the group of cases
Association
“21 Decembre 1989” and Maries v. Romania (mainly
procedural violations of Article 2), lack of appropriate judicial
and social protection and medical care for a seropositive man of
Roma origin, diagnosed with “profound intellectual disability”,
who died in 2004 in a psychiatric facility (violations of Article
2 and 13) in the case of
Centre for Legal
ressources on behalf of Valentin Câmpeanu, the
inadequacy of the detention regime of “dangerous” prisoners (violation
of Article 3) in the case of
Enache v.
Romania and
the inadequate management of psychiatric conditions of detainees
in prison (violation of Article 3 in the group of cases of
Ţicu v. Romania).
6. Greece
144. According to the Pourgourides
report, the most serious problems concerning Greece included:
- excessive length of proceedings
and lack of an effective remedy;
- use of lethal force and ill treatment by law-enforcement
officials and lack of effective investigation into such abuses.
145. Another two issues were discussed by our committee at its
January 2013 hearing: the conditions of detention of foreigners/asylum
procedure and violations of the right to freedom of association
of Muslim minorities. They are also mentioned in the Committee of
Ministers 2014 Annual Report.
146. Additionally, the Committee of Ministers 2014 Annual Report
lists poor conditions of detention in prisons as an important issue.
6.1 Excessive length of proceedings
147. At present over 320 judgments
against Greece are pending execution, in which the Court found violations
of the right to a fair trial due to excessive length of proceedings
and lack of an effective remedy (Articles 6.1 and 13 of the European
Convention on Human Rights).
A 2007 Committee
of Ministers interim resolution highlighted these chronic violations
and urged the adoption of draft legislation on the acceleration
of proceedings and provision of compensation to victims.
Due to the persistence of this problem,
the European Court of Human Rights decided to apply its pilot judgment
procedure in
Vassilios Athanasiou and
Others v. Greece, finding that the excessive length of
proceedings before administrative courts was a structural problem and
holding that Greece was to introduce an effective remedy or a combination
of remedies at the national level, which would prevent further similar
violations, within one year after the judgment became final (i.e.
21 March 2012).
Thus
some general measures have been taken or are underway.
148. Law No. 3900/2010, entitled “Rationalisation and acceleration
of proceedings before administrative courts and other provisions”,
entered into force on 1 January 2011.
The new law provides
that legal disputes raising new and similar issues in numerous cases
can be prioritised and brought before a committee of three judges
of the Council of State, whose judgment will serve as a guideline
for other cases pending before the administrative courts. The Council
of State was able to transfer 4 333 cases to lower administrative
courts within the first five months of the law’s entry into force.
Furthermore, stricter conditions for lodging appeal proceedings
and a single judge system in the courts of appeal were introduced
and the number of posts for administrative judges at all levels
of jurisdiction was increased.
At
its 1136th (DH) meeting (March 2012), the Committee of Ministers
noted these measures with interest and encouraged the Greek authorities
to keep it regularly informed of the law’s impact.
149. On 6 March 2012, Law No. 4055/2012 providing an acceleratory
and a compensatory remedy in cases of excessive length of proceedings
before administrative courts and the Council of State was adopted
by Parliament before the expiry of the deadline set by the Court
(i.e. 21 March 2012) and entered into force on 2 April 2012.
According
to the new law, anyone claiming that proceedings before administrative
courts are excessively lengthy may request compensation for damage
caused. Furthermore, courts shall assess the reasonableness of the
procedure’s length and the amount of the compensation to be awarded
according to the case law of the European Court of Human Rights.
The Committee of Ministers, at its 1136th (DH) meeting (March 2012),
welcomed the adoption of the law and took note of the Greek authorities’
intention to follow the compensatory remedy’s implementation and
to explore if necessary, in the light of its functioning, the opportunity
for possible adjustments.
150. On 8 April 2013, Greek authorities submitted a revised action
plan
recalling that a first set of satisfactory
results were obtained within 8 months after the entry into force
of law 3900/2010 and that the implementation of Law 4055/2012 resulted
in a decrease in the workload of the Council of State. On 1 October 2013,
the Court delivered a decision in which it stated that the remedies
set out by Law No. 4055/2012 were effective and accessible.
Following
this decision, at its 1193rd (DH) meeting
(4-6 March 2014),
the Committee of
Ministers decided to supervise this group of cases under the standard
procedure and invited the Greek authorities to provide further information
on the concrete impact of the measures aimed at reducing the length
of administrative proceedings.
151. Independently of the progress noted in respect of the acceleration
of proceedings before administrative courts and the Council of State,
the European Court of Human Rights adopted a pilot judgment, on
4 April 2012, in the case of
Michelioudakis
v. Greece concerning excessive length of criminal proceedings.
In
its judgment, the Court highlighted the structural nature of the
problem at stake and called on Greece to introduce, within one year
(i.e. by 3 July 2013), a domestic remedy or a set of remedies capable
of affording redress for the unreasonable length of criminal proceedings,
and decided to adjourn all similar cases (50 out of 250 pending
cases before the Court concern criminal proceedings) during that
time. It noted that, despite the adoption of Law No. 3904/2010 containing
a set of provisions aimed at simplifying and accelerating criminal proceedings
and various other legislative initiatives, the domestic legal system
did not provide to the parties concerned a remedy or remedies enabling
them to enforce their right to have their cases heard within a reasonable
time.
152. Similarly, on 30 October 2012, a pilot judgment was delivered
in the case of
Glykantzi v. Greece,
concerning excessive
length of proceedings before civil courts and the lack of an effective
remedy in this respect. The Court requested that Greece put in place
an effective remedy for excessively lengthy civil proceedings before
30 January 2014. In the meantime, the European Court of Human Rights
extended the deadline for the introduction of a remedy in the case
of
Michelioudakis until 30
January 2014
to be in line with the deadline
for the execution of the
Glykantzi pilot
judgment.
153. At its 1193rd (DH) meeting (March
2014),
the Committee of Ministers noted
with satisfaction that a law introducing a compensatory remedy was
adopted by the Greek Parliament on 13 February 2014 (Law No. 4239/2014)
and entered into force on 20 February 2014.
154. In October 2014, the Court delivered a judgment in the case
of
Xynos v. Greece, in which it found
that the above-mentioned compensatory remedy constituted a sufficient
response to the State’s obligation to establish an effective remedy
against excessive length of civil and criminal proceedings as well
as the proceeding before the Court of Audit. At its 1214th (DH)
meeting (2-4 December 2014), the Committee of Ministers noted that
the Court concluded that the compensatory remedy introduced by Law
No. 4239/2014 could be considered effective and accessible and invited
the authorities to provide further information on its functioning
in practice.
155. As regards measures to reduce the length of civil and criminal
proceedings, between 2012 and 2014 the authorities provided a number
of submissions to the Committee of Ministers.
As regards civil proceedings, they
informed,
inter alia, about
the setting up of a single-judge court of appeals, computerised
court management, assessment of judges’ performance; as regards
criminal proceedings – about the introduction of a single-judge
formation, reclassification of certain misdemeanours as petty offences
and the inadmissibility of anonymous complaints. The Committee of
Ministers examined these measures at their 1172nd (June 2013), 1179th
(September 2013) and 1186th (December 2013) meetings (DH). At the
1186th meeting, the Committee of Ministers requested the authorities
to provide information (including statistical information) on the
impact of these measures on reducing the length of civil and criminal
proceedings and reiterated this request at its 1214th meeting in
December 2014.
A new updated action plan and an
action report were respectively provided in March 2015
and
June 2015.
6.2 Use of lethal force and ill
treatment by law-enforcement officials and lack of effective investigation
into such abuses
156. Violations of Articles 2 and
3 of the European Convention on Human Rights arose due to the excessive use
of lethal force and ill treatment by law-enforcement officials and
the subsequent failure of the Greek authorities to conduct effective
investigations into such abuses. Currently there are eleven cases
pending before the Committee of Ministers.
157. As concerns the use of lethal force by police officers in
the absence of an appropriate legislative and administrative framework
relating to the use of firearms, the Greek authorities have taken
a number of measures to avoid further similar violations of Article
2 of the Convention.
In particular,
Law No. 29/1943 on the use of firearms, which had been criticised
by the European Court of Human Rights, was abolished. New comprehensive
legislation detailing the rules for the use of firearms by police
officers was introduced.
Furthermore, since 2003 there
have been no similar cases communicated or pending before the Court. Consequently,
the Committee of Ministers decided to close the examination of this
aspect of the cases in question at its 1157th (DH) meeting (December
2012).
158. As regards ill treatment under the responsibility of the police
(violations of Article 3), several measures have been taken by the
Greek authorities, such as adopting a new Disciplinary Code,
disseminating circulars
to police stations and prosecutors as reminders of their obligation
to effectively investigate human rights violations and training
police officers more extensively on human rights issues.
159. Furthermore, by Law No. 3938/2011, an independent, three-member
committee competent to evaluate the advisability of opening new
administrative investigations following judgments of the Court was
established in order to ensure effective investigations into deaths
and other abuses by police officers (procedural violations of Articles
2 and 3).
At
its 1157th (DH) meeting (December 2012), the Committee of Ministers
welcomed this progress and invited the Greek authorities to keep
them updated about its establishment and effective functioning.
According to the Committee of Ministers
2014 Annual Report, in November 2014, the authorities provided an
action report, which is being assessed.
160. It should be noted that, according to some prominent international
NGOs, abuse of force by police officers remains a worrying phenomenon
in Greece, especially concerning anti-austerity protesters,
migrants and asylum-seekers.
Moreover, the CPT, in its report
following its visit to Greece in April 2013, noted that the problem
of ill treatment by the police appeared to be growing and that there
was little evidence showing that such abuses had been promptly and
thoroughly investigated.
This
issue was also examined during its visit to Greece in April 2015.
6.3 Conditions of detention of
foreigners and asylum procedure
161. In nearly 20 cases examined
by the Committee of Ministers subsequent to the case of
M.S.S v. Belgium and Greece,
the Court found violations
of Article 3 due to the conditions under which the applicants (including
unaccompanied minors)
were detained
as irregular migrants (overcrowding, lack of beds/mattresses, insufficient
ventilation, no regular access to toilets or sanitary facilities,
and no outdoor exercise). The case of
M.S.S.
v. Belgium and Greece also addressed shortcomings in the Greek
authorities’ examination of the applicant’s asylum request and the
risks he would face upon being returned directly or indirectly to
his country of origin. The Court found that his asylum application
was treated without any serious examination of its merits, and that
he lacked access to an effective remedy (violation of Article 13
taken in conjunction with Article 3). Moreover, in October 2014,
in the case of
Sharifi and Others v.
Italy and Greece, the
Court found, amongst others, that Italy violated Article 3 of the
Convention, when returning the applicants to Greece, where they
had no access to adequate asylum procedure and were facing deportation
to Afghanistan. It also held that there had been a violation of
Article 13 in conjunction with Article 3 with respect to Greece.
162. In March 2011, the European Committee for the Prevention of
Torture and Inhuman or Degrading Treatment or Punishment issued
a public statement regarding the treatment and conditions of detention
of persons deprived of their liberty in Greece, in particular that
of irregular migrants,
and put forward
a series of recommendations in its related report on its January
2011 visit to Greece.
The CPT statement
and the response of the Greek authorities were also discussed at
the meeting of our committee’s Sub-Committee on Human Rights on
4 October 2012.
Following his
visit to Greece, the Council of Europe Commissioner for Human Rights
Mr Nils Muižnieks issued a statement in April 2013 where,
inter alia, he urged Greece “to
remedy certain serious, long-standing gaps which adversely affect
the human rights of migrants, including asylum seekers and refugees”.
In its report on Greece of October
2014,
the
CPT reiterated its concerns about the conditions of detention of
irregular migrants and was particularly critical about the treatment
of unaccompanied minors (who are occasionally detained with adults)
and the poor conditions in the special holding facilities at the
Athens airport, Fylakio and Petrou Ralli.
163. The Greek authorities, some NGOs and the UNHCR submitted a
number of communications to the Committee of Ministers concerning
this group of cases.
The first measures taken by the Greek
authorities were assessed in the Memorandum CM/Inf/DH(2012)19.
164. As regards the conditions of detention of asylum seekers and
irregular migrants, the Greek authorities informed the Committee
of Ministers that irregular migrants were no longer detained in
police stations; however, the UNHCR alleges that this is not the
case.
The authorities have also informed
the Committee of Ministers about improved medical and psychological
care for irregular migrants in a number of detention centres. However,
a number of issues still remain. At their 1222nd meeting (DH) in
March 2015, although the Committee of Ministers welcomed the improvements
made as regards the conditions of detention in pre-return centres
and noted the Greek authorities’ statement that aliens subject to
deportation were no longer detained at police stations, it urged
the authorities to improve the conditions of their detention, in
particular at the holding facilities at the Athens airport, Fylakio
and Petrou Ralli (as noted by the CPT). It also urged the authorities
to ensure, as a matter of priority, the full protection of the rights
of unaccompanied minors, so that alternatives to detention are sought
for them, taking into account the “best interests of the child”.
165. As regards a remedy allowing asylum seekers and irregular
migrants to complain about the conditions of detention, the authorities
alleged that they could do so under Article 76 of Law No. 3386/2005.
In its admissibility decision of 8 July 2014 in the case of
S.B. v Greece, the Court acknowledged
the existence of this remedy; however, it has not yet recognised
that it is effective.
At its 1222nd meeting (DH) (March
2015), the Committee of Ministers invited the authorities to ensure
that this remedy is effective in practice and to provide developments
of domestic case law in this regard.
166. As regards shortcomings in the asylum procedure, at its 1186th
(DH) meeting (3-5 December 2013),
the Committee of Ministers noted
with satisfaction that the three services established by Law No.
3907/2011 – Asylum Service, Appeals Committee and First Reception
Centres – had started operating (on 7 June 2013). Since the new
asylum system was set up, the old and the new asylum regimes co-exist
and the backlog of the applications
lodged before 3 June 2013 is examined by a committee composed of
police officers and, if appropriate, by second instance committees.
At their 1222nd meeting (DH) in March 2015, the Committee of Ministers
noted with interest the positive impact of the new asylum services
on the effectiveness of the asylum procedure. It also called on
the authorities to fully protect the rights of minors through an
effective guardianship system, guarantee the right to free legal
aid and eliminate the backlog of cases lodged before 7 June 2013.
167. It should be noted that in its report of 30 January 2015,
the UNHCR commended Greece for reforming its
asylum system despite tough economic and political times. However,
it also pointed out numerous gaps and concerns and recommended to
European Union member States not to return asylum seekers to Greece
under the Dublin Regulation. The problems persist and have been
worsened due to the recent dramatic increase in refugee and migrant
arrivals (mainly by sea) from Syria, Afghanistan, Eritrea and Somalia.
The issue of irregular migrants
coming to Europe by crossing the Mediterranean or otherwise has
been debated by the Assembly on many occasions in the last few years.
6.4 Freedom of association
168. In the
Bekir-Ousta
and Others judgment and other similar cases, the Court
found violations of the right to freedom of association due to the
Greek authorities’ refusal to register associations,
and to the dissolution of an association
promoting the idea that a Turkish ethnic minority exists in Greece
(violations of Article 11).
169. After the judgments of the European Court of Human Rights
had been delivered, the applicants in all the cases requested the
revocation of the impugned domestic courts’ decisions, but their
requests were rejected at the second level of jurisdiction for procedural
reasons. In the cases of
Bekir-Ousta
and Others and
Emin and Others the
applicants lodged cassation appeals, which were pending at that
time.
The cassation
appeal lodged by the association
Tourkiki
Enosi Xanthis was rejected by the Court of Cassation,
according
to which in a non-contentious procedure a judgment of the European
Court of Human Rights did not constitute “a change of circumstances”
allowing for a revision or revocation of a final domestic judgment.
170. According to the information provided by Greece, 43 requests
for the registration of associations whose title indicated the adjective
“minority” or indicated in some way that they were of minority origin,
were accepted between January 2008 and February 2012 and there had
been only four cases in which registration was refused.
Moreover,
by judgment 24/2012, the Greek Court of Cassation overturned a judgment
of the Thrace Court of Appeal that had refused the “South Evros
Cultural and Educational Association of Western Thrace Minority”
association’s application for registration, holding, with reference
to Article 11 of the Convention, that a mere suspicion resulting
from an ambiguity in the title of the association was insufficient
to establish a danger to public order, and that there was no imperative
social need to refuse to recognise the association in question.
In November 2012,
the Greek authorities indicated that a new hearing in the said case
would be held before the Court of Appeal of Thrace on 7 December
2012 and that the Cassation Court’s decision could be followed by
lower jurisdictions.
171. At its 1157th (DH) meeting (December 2012), the Committee
of Ministers took note of this new development and “recalled the
commitment reiterated by the Greek authorities to implementing fully
and completely the judgments under consideration, which have been
under the supervision of the Committee of Ministers since 2008 and
without excluding any avenue in that respect”.
It
also invited the Greek authorities to provide precise and concrete
information on the measures taken or envisaged.
On
8 April 2013, the Greek Government submitted new information.
172. At its 1186th (DH) meeting (3-5 December 2013),
the Committee of Ministers noted
that, following the judgments of the European Court of Human Rights,
the court proceedings brought by the applicant associations in the
cases B
ekir-Ousta and Others and
Emin and Others did not lead to
the expected results, the applicants’ appeals in cassation, as in
the case of
Tourkiki Enosis Xanthis,
have also been dismissed on procedural grounds without an examination
on the merits. The Committee of Ministers further noted with dissatisfaction
that the avenue consisting of amending the Code of Civil Procedure
in order to implement the individual measures of the present judgments
appeared to be still under consideration. As the Greek authorities had
not provided further information, at its 1201st meeting (DH) in
June 2014, the Committee of Ministers adopted an interim resolution
in this group of cases.
The Committee
of Ministers recalled that since June 2013 the authorities had been
considering “the most appropriate solution” to implement individual
measures and strongly regretted that no concrete and tangible information
had been provided in this respect. Therefore, it called upon the
authorities to take, without further delay, all necessary measures
so that the applicants benefit from proceedings compliant with the
Convention requirements. So far, no reply has been provided by the authorities
to this interim resolution.
173. It should be recalled in this context that the situation of
the Muslim minority in Western Thrace has been the subject of several
reports by our committee.
In its
Resolution 1704 (2010), the Assembly urged the Greek authorities to “fully
implement the judgments of the European Court of Human Rights concerning freedom
of religion and association,
inter alia, relating
to the titles of associations, and to allow associations to use
the adjective ‘Turkish’ in their name if they so wish”.
6.5 Other outstanding issues
174. The Committee of Ministers
is currently examining under the enhanced supervision procedure
a number of cases concerning poor conditions of detention (mainly
due to overcrowding) in the Ioannina, Korydallos and Larissa prisons
(violations of Article 3). In the
Nisiotis
v. Greece judgment,
the
Court found that overcrowding in prisons appeared to be a structural
problem in Greece. This issue was also pointed out in the CPT’s
report on Greece of 2014.
The
Committee of Ministers examined this group of cases for the last
time at their 1230th meeting (DH) in June 2015.
175. Since 2006, the Committee of Ministers has been examining
a number of cases (
Beka-Koulocheri v. Greece) concerning failure or
considerable delay in the enforcement of final domestic judgments
and absence of effective remedies in this respect (violations of
Articles 6.1 and 13). Most of these cases concern non-implementation
of domestic judgments concerning lifting of expropriation. The Committee
of Ministers examined this group of cases for the last time at their
1214th meeting (DH) in December 2014.
7. Poland
176. Mr Pourgourides’ report pointed
out two main structural issues in Poland: excessive length of proceedings
and lack of an effective remedy and excessive length of detention
on remand.
177. The report also dealt with some other issues, which included
poor conditions of detention, violation of the freedom to assembly
and unfairness of lustration proceedings.
Since
then, the Committee of Ministers considered that the authorities
had taken sufficient measures to implement judgments concerning
excessive length of detention on remand (the
Trzaska
v. Poland and
Kauczor v. Poland group of 173 cases
) and unfairness
of lustration proceedings (
Matyjek v.
Poland group of cases)
and closed the examination of the cases
from these groups. However, other issues turned out to be problematic
(see below). During my visit to Warsaw (3-5 December 2014), I discussed
all these problems with the competent authorities and representatives
of the Helsinki Foundation for Human Rights and the Warsaw Bar Association.
7.1 Excessive length of proceedings
and lack of an effective remedy
178. The Pourgourides report requested
that Poland provide statistical data on the effectiveness of the
Polish authorities’ various domestic efforts to eradicate the problem
of excessively long proceedings.
Since then, further information
has been provided as regards progress on reducing the length of
criminal
(
Kudła
v. Poland and other cases) and civil proceedings (
Podbielski v. Poland and other cases)
as
well as proceedings before administrative authorities and courts
(
Fuchs v. Poland and other
cases).
179. On 22 November 2011, the Polish authorities submitted an action
plan
concerning the
Kudla v. Poland and
Podbielski v. Poland groups of cases,
and on 23 November 2011 they submitted a separate action plan concerning
the
Fuchs v. Poland group of cases.
Both action
plans contained summaries of legislative and other general measures
taken by the Polish authorities to remedy this problem (including computerisation
of judicial proceedings and increase in the judiciary’s budget and
staff),
as
well as statistical information on the matter of length of proceedings
up to 2010. At its 1128th (DH) meeting (November-December 2011),
the Committee of Ministers
noted these measures.
180. In October 2012, the Court communicated to the Polish authorities
five cases (
Suchecki v. Poland and four other cases) concerning
excessive length of proceedings and the effectiveness of the domestic remedy
introduced in 2004. The Court applied the pilot-judgment procedure
and asked the authorities whether the communicated cases showed
a systemic problem consisting in the malfunctioning of the Polish
judicial practice in that the courts did not comply with its criteria
stemming from the Convention. At that date, some 400 cases concerning
this problem were pending before the Court.
181. An updated action plan concerning the
Kudla
v. Poland and
Podbielski v.
Poland groups of cases was submitted by the authorities
on 4 July 2013.
The authorities confirmed
that they were pursuing the measures announced in 2011 and presented
a number of new legislative measures aimed at the simplification
and acceleration of proceedings such as the transfer of responsibilities
from judges to non-judicial officers and from the courts` jurisdiction
to other legal professions, such as public notaries. According to
the statistics concerning all types of cases provided for 2012,
the courts managed to deal with a number of cases that was higher
than that of the incoming ones. This led to a reduction in the backlog
of pending cases for the first time in recent years. In 2012, Polish
courts had completed over 14 million cases but, as of 31 December
2012, there was still a backlog of over 1.8 million cases.
182. The updated action plan also sets out information on the effectiveness
of the domestic complaint against excessive length of proceedings
introduced in 2004 and further improved by a legislative amendment
in 2009. The Polish authorities are of the opinion that courts were
taking into account the Court’s case law to a greater extent, and
between 2009 and 2010, the number of such complaints increased by
nearly 35%,
between 2010
and 2011 – by 23% and between 2011 and 2012 – by 32%.
In 2012, the
percentage of well-founded complaints amounted to nearly 18%, and,
in 95% of these complaints, applicants had been awarded pecuniary compensation.
Most
of the complaints concern civil proceedings (62%, compared with
25% for criminal proceedings). In its Resolution of 28 March 2013,
the
Supreme Court stated that courts should take into account the overall
length of proceedings when examining allegations of excessive length
of proceedings. In its communication to the Committee of Ministers
of 6 December 2013,
the Polish Bar
Council complained that court proceedings were often protracted
and that the domestic remedy was not efficient, because of the “fragmentation
of proceedings” (i.e. not taking into account the overall length
of proceedings), the incomplete reasoning of court decisions and
the lack of indication on how to accelerate proceedings as well
as the low level of granted compensation (although the law provides
that such compensation may vary between €500 and €5 000, courts
award it at the level of €700-€1 000).
183. When assessing that action plan at the 1179th meeting in September
2013,
the Deputies
further encouraged the authorities to “develop a clear strategy”
in order to maintain the positive trend concerning the reduction
of the backlog of pending cases. However, they expressed serious
concern as regards the functioning of the domestic remedy, considered
that further corrective measures were needed in this respect and
called upon the authorities to conduct an in-depth reflection on
the measures needed and provide an updated action plan. In response
the authorities submitted an updated action plan to the Committee
of Ministers on 26 May 2015.
184. Concerning the excessive length of administrative proceedings,
the statistical information included in the action plan on the
Fuchs group of cases of 2011 reveals
that administrative courts usually completed complaints about the
inactivity of administrative authorities within 3-6 months
and that the workload
of the Supreme Administrative Court remained stable.
In 2011, a new law on financial
liability of public officials for gross violation of law
and new amendments to the Code of Administrative
Procedure (“CAP”) entered into force. As a result of these amendments,
it is now possible not only to complain about the inactivity of administrative
authorities, but also about protracted proceedings before the latter
(Article 37 of the Code of Administrative Procedure). However, this
new remedy has no compensatory effect (in contrast the above-mentioned
remedy introduced in 2004 applies to excessively lengthy proceedings
before administrative courts).
185. This action plan and this group of cases were discussed at
the Committee of Ministers’ 1128th (DH) meeting (November-December
2011)
and
at its 1179th (DH) meeting on 26 September 2013.
In its decision adopted at the latter
meeting, the Committee of Ministers expressed concern about the
lack of new information and about the overall situation, noting
that the number of cases pending before administrative courts had
increased and that there was no information available on the length
of proceedings before administrative bodies. They also underlined
that this issue had been pending for more than ten years.
186. In January 2014, the authorities provided an updated action
plan,
with an update
on the use of the new remedy from Article 37 of the CAP, statistics
concerning proceedings before administrative courts and supervisory
and organisational measures taken within them. It results thereof
that the number of complaints based on Article 37 of the CAP, including
admissible ones, has been on a constant rise. In 2012, regional administrative
courts settled most of the cases (78%) within one year, but, despite
their efficiency, they still had a backlog of unsolved cases at
the end of 2012. The same could be said about the Supreme Administrative Court,
which had to deal with a constantly increasing number of cassation
appeals (47% of them had been examined within one year and 53% within
a period of between 12 and 24 months). No information has been provided
on the length of proceedings before administrative bodies. In April
2015, the authorities provided an updated action plan.
187. During my visit to Warsaw, the authorities told me that they
were doing their utmost to eradicate the chronic problem of excessive
length of judicial proceedings, despite the high number of incoming
court cases (nearly 15 million per year). Representatives of the
Ministry of Justice stated that it was, to some extent, related to
the deficiencies in the court experts’ system and that the authorities
intended to review the legislation governing their status. As regards
criminal proceedings, new provisions in the Code of Criminal Procedure would
enter into force on 1 July 2015 and they would shorten the length
of proceedings, by introducing adversarial procedures. Awareness
raising measures – such as training sessions for judges and prosecutors or
publications concerning the Convention and the case law – of the
European Court of Human Rights were being taken. In March 2014,
the Ministry of Foreign Affairs, the Ministry of Justice, the Supreme
Administrative Court and the Constitutional Court signed an agreement
on sharing Polish translations of judgments of the European Court
of Human Rights and other relevant information. Concerning the effectiveness
of the domestic remedy against excessive length of judicial court
proceedings (in particular the “fragmentation of proceedings” and
too low compensations), I raised this issue with the President and
judges of the Supreme Court. As regards administrative proceedings,
I was informed during my meeting in the Supreme Administrative Court
that their excessive length was mainly due to the inactivity of
administrative bodies and that a further reform of the proceedings
before administrative courts was pending.
7.2 Outstanding issues
7.2.1 Poor conditions of detention
188. There are several cases against
Poland pending execution before the Committee of Ministers regarding inhuman
and degrading treatment due to inadequate conditions of detention
caused by overcrowding (
Orchowski v.
Poland and
Norbert Sikorski v. Poland) and
the lack of adequate medical care (
Kaprykowski v.
Poland and other cases),
among other
things. As the Court recalled in
Orchowski
v. Poland, inadequate imprisonment conditions constitute
a recurrent problem in Poland, and overcrowding in Polish prisons
and remand centres reveals a persistent structural problem.
189. On 17 March 2010
and on 12 September
2011,
the Polish
authorities submitted action plans concerning the cases of
Orchowski and
Norbert
Sikorski.
The
second action plan demonstrated a decline in the number of detainees
combined with a solid increase in prison and remand centre holding
capacity from 2006 to July 2011.
Moreover,
the European Court of Human Rights delivered two inadmissibility
decisions in 2010, where it found that an effective remedy against
detention facility overcrowding was available (civil action for
compensation), and declared that it may require applicants in future
cases to make use of the new complaints system introduced by the
Code of Execution of Criminal Sentences.
190. At its 1120th meeting (DH) (September 2011),
the Committee
of Ministers noted those elements and highlighted that, as regards
the
Orchowski and
Norbert Sikorski cases, information
on aggravating factors identified by the Court was still absent
and invited the Polish authorities to submit such additional information. This
information was submitted by the authorities in January 2013 and
included two factors: the frequent transfer of prisoners, and possibilities
for prisoners to exercise. No information was provided on the other aggravating
factors identified by the Court, which include lack of privacy,
insalubrious conditions and lack of consideration for vulnerable
detainees with medical conditions.
At its 1164th meeting (DH) (March
2013), the Committee of Ministers invited the Polish authorities
to provide a consolidated action report including the outstanding
information
and, in August 2014, the authorities
provided a consolidated action report, in which they indicated,
inter alia, that new accommodation
places for detainees had been acquired between 2006 and 2010 and
that improvements in using the electronic surveillance of convicts
had been made both at the legislative and the organisational level.
The authorities also pointed out that the occupancy rate in prisons
and remand centres was of 98% as at 31 December 2012 and of 96.4%
– as at 30 April 2013 (according to the Polish statutory living
space standard of 3 m2 per inmate).
191. The European Committee for the Prevention of Torture and Inhuman
or Degrading Treatment or Punishment (“CPT”) found in its report
of July 2011 on its 2009 visit to Poland that overcrowding persisted
in detention facilities, and recommended that the Polish authorities
revise the legal standards for detainee living space to ensure 4m2 per
inmate.
Similarly,
in her communication to the Committee of Ministers from November
2011, the Polish Ombudsman pointed out that the issue of overcrowding
in Polish detention facilities remained unresolved, although, at
the time of her submission, the population density in detention
centres amounted to 96.4% at the national level, as measured against
overall capacity.
The overall figures may hide important
regional differences or reflect differences in the methods used
to compile statistics. This also stems from the submission of NGOs,
which find
that the current situation is contrary to the principle of the rule
of law and advocate reviewing the practice of applying pretrial
detention and non-custodial measures rather than the creation of
new detention facilities. When assessing this information at its
1164th (DH) meeting (March 2013) the Committee of Ministers also
noted with interest the authorities’ commitment to continue their
efforts to take into account the recommendations of the CPT, notably
in respect of living space. In the report on its visit to Poland
in June 2013, the CPT confirmed that overcrowding remained a problem
in all the prisons visited. It called upon the authorities to double
their efforts to combat this negative phenomenon and to revise as
soon as possible the current legislation for living space per prisoner
(i.e. 3 m2).
192. A first action report/plan on the
Kaprykowski group
of cases was submitted to the Committee of Ministers in March 2010
and then supplemented
on 12 September 2011.
Additional
information was provided by the government on 11 January 2013.
The authorities stated that a reform
of penitentiary hospital facilities aimed at improving the quality
and consistency of medical treatment for all prisoners was under
way.
Furthermore, in December 2010, the Minister
of Justice adopted a decree “On the provision of medical services to
persons in confinement by health-care establishments for persons
deprived of liberty”, which defines the scope of medical services
offered to detainees.
Further
information was provided to the Committee of Ministers in January
2013.
In its decision adopted at the 1164th
CM (DH) meeting (5-7 March 2013), the Deputies noted with interest
the newest developments presented by the authorities, including
the systematic growth of expenditure on healthcare services in prisons,
but considered that additional information was still needed to clarify
the scope and the impact of these measures and concerning the remedies
available to detainees in relation to access to healthcare.
According to the Polish Bar Council,
the legislation
currently in force constitutes a sufficient basis for guaranteeing
adequate medical healthcare to detainees, but the problem stems
from extra-legal circumstances, including the lack of sensitivity
of some penitentiary officers. In response to this, the authorities
indicated that the Central Board of Penitentiary Service organised
numerous training sessions for prison staff. Following its visit
to Poland in June 2013, the CPT observed that in some prisons health-care
services were not adequate and that complaints in gaining access
to these services were heard in all visited prisons.
193. During my visit in Warsaw, the authorities informed me that
the number of detainees had decreased (with 90% population density
in prisons), but they still had to tackle the problem of “queues
to prisons”. That was why electronic surveillance was being used
more and more often, with over 30 000 persons having been monitored since
2009 and nearly 4 600 being currently monitored. The Ministry of
Justice proposed to build new facilities outside big cities and
MPs from the Justice and Human Rights Committee were in favour of
this initiative. The authorities also reckoned that they needed
a couple of years to reach the CPT’s standard of 4m2 per
inmate and that health-care facilities in detention centres should
be further improved.
7.2.2 Violation of the right
to freedom of assembly
194. In the case of
Bączkowski and others v. Poland,
the Court found a violation
of the applicant’s right to freedom of assembly, a lack of an effective
remedy against this violation, and discriminatory treatment due
to the Polish authorities’ refusal, “not prescribed by law”, of
requests to hold demonstrations in 2005 seeking to raise awareness
about discrimination against minorities, women, and persons with
disabilities.
195. Whilst a number of execution measures have been taken, the
lack of an effective remedy against local authorities’ refusal to
hold an assembly still remains an issue. According to the action
plan submitted on 17 February 2012,
interim measures
(mainly a broad dissemination of the judgment of the European Court of
Human Rights) were in place, whilst awaiting a final legislative
solution.
196. Following proposals submitted by the Polish President, amendments
to the 1990 Assemblies Act were adopted on 14 September 2012 by
the Sejm. However, it was still possible for the organisers of an
assembly to receive the decision of the appellate body after its
planned date. On 18 September 2014, the Constitutional Court delivered
a judgment on the constitutionality of the Assemblies Act as amended.
As
regards the appellate procedure in case of a ban on an assembly,
it ruled that “the legislators not only failed to set out a proper
deadline for State administration bodies to take action, but also
entirely prevented a possibility to judicially review negative decisions
issued by such bodies. Therefore, it is impossible to consider the
existing appellate procedure effective”. A draft law to implement
this judgment of the Constitutional Court was issued by the Ministry
of Administration and Digitalisation in March 2015 the details of
which are set out in the authorities revised action plan submitted
to the Committee of Ministers on 27 April 2015.
During my visit in Warsaw,
I discussed this issue at length with the Minister of Administration
and Digitalisation – Mr Andrzej Halicki, a former member of the
Assembly and head of the Polish delegation to Parliamentary Assembly.
7.3 Other outstanding issues
197. A few cases concerning treatment
inflicted by the police – between 1997 and 2006 – and lack of effective investigation
in this respect (substantive and procedural violations of Article
3)
are
pending before the Committee of Ministers, which, at its 1201st
(DH) meeting (3-5 June 2014), decided to transfer them from the standard
to the enhanced procedure, in the light of the judgment delivered
by the Court in the
Przemyk case.
In the latter judgment, the Court considered
that the excessive length of judicial proceedings and delays in investigating
alleged violations of human rights protected under Articles 2 and
3 of the Convention were an object of recurrent complaints brought
before the Court and noted that this appeared to disclose a structural problem
which called for adequate general measures to be taken. During my
visit in Warsaw, I raised this problem during my discussion with
the Prosecutor General; he stressed that, although he was entitled
to take disciplinary measures against prosecutors, since a reform
of 2009, he had only limited powers to influence pending investigations.
198. The excessive length of investigations was also,
inter alia, criticised by the Court
in the cases
Al Nashiri and
Husayn (Abu Zubaydah) concerning
secret rendition and detention by the CIA in Poland of the applicants
who were suspected of terrorist acts. In both cases, the Court found
violations of Article 3 (in both its substantive and procedural
aspects), Articles 5, 8, 13,
6.1, and 38 of the
European Convention on Human Rights, and in
Al
Nashiri, of Article 1 of Protocol No. 6 to the Convention.
The implementation of these judgments is now being supervised by
the Committee of Ministers
. The authorities have paid just satisfaction
in the case of
Al Nashiri and,
as regards the
Husayn case,
they submitted a motion for deposit to the relevant domestic court
(the Polish law does allow to make payments to persons who, like
the applicant, are on European Union and United Nations sanctions
lists).
Although
the Polish authorities acknowledged the existence of CIA secret
detention centres on the Polish territory,
during my visit to Warsaw, I got only evasive
answers concerning this issue.
199. Moreover, the Committee of Ministers is also examining the
Horych group of cases concerning
the “dangerous detainee” regime that the Court found contrary to
Articles 3 and 8 of the Convention.
At its 1208th (DH) meeting
(23-25 September 2014), the Committee of Ministers noted that some
legislative amendments were envisaged by the Polish authorities
and invited them to submit the further information to assess this
group of cases at one of their meetings in 2015.
8. Hungary
200. According to the Committee
of Ministers 2014 Annual Report, the most serious problems concerning Hungary
are:
- excessive length of proceedings;
- overcrowded detention facilities amounting to ill treatment;
- discriminatory assignment of children of Roma origin to
schools for children with mental disabilities during their primary
education.
8.1 Excessive length of proceedings
201. Since 2003, over 230 judgments
against Hungary have been pending execution concerning excessive length
of civil and criminal proceedings and the lack of an effective remedy
in this respect.
Hungarian authorities
adopted a series of measures including a law providing for acceleratory
remedies in 2006 and laws to improve the functioning of the judiciary
in 2009, 2010 and 2011. Nevertheless, the problem persisted, and at
its 1136th meeting (DH) in March 2012, the Committee of Ministers
transferred the cases to enhanced supervision in light of the structural
nature of the issue.
202. The Hungarian authorities submitted an action plan in December
2012,
which highlighted
that the Court found the acceleratory remedy in criminal proceedings
effective in certain circumstances
and pointed out
the serious consideration that was being given to the introduction
of a compensatory remedy. In December 2013, the Court delivered
a judgment
in which it found,
under Article 46, that in view of the systemic character of the
problem at stake, general measures were needed. It pointed out that
there were nearly one hundred similar cases pending before it. The
Court also called on the Hungarian authorities to either amend the
existing domestic remedies or to create new ones. Moreover, in November
2014, the Court communicated to the government the case
György Gazsó, asking
whether that case lent itself to the pilot judgment procedure.
203. Hungarian authorities submitted an updated action plan in
January 2015,
in which they
acknowledged the need for measures to shorten the length of judicial
proceedings, improve the effectiveness of existing acceleratory
remedies and create a compensatory remedy or a combination of remedies
for excessively lengthy proceedings. They also announced their intention
to make a decision by March 2015 as to whether to introduce new
remedies by separate law or within the content of the ongoing legislative
reform of the codes of civil and criminal procedure.
204. The Committee of Ministers, at its 1222nd (DH) meeting (11-12
March 2015), noted with interest the Hungarian authorities’ acknowledgement
that general measures were required and urged them to intensify their
efforts in that respect.
The Committee of
Ministers also invited Hungarian authorities to provide their decision
regarding the way in which new remedies would be introduced by the
end of April 2015. An updated group action plan was submitted on
28 April 2015.
8.2 Overcrowded detention facilities
amounting to ill treatment
205. In a few cases, violations
of Article 3 of the Convention arose due to the conditions of detention
facilities, due to multi-occupancy cells measuring less than 4 square
meters per person and statutory provisions.
The Committee
of Ministers received an action plan from the Hungarian authorities
on 22 April 2013,
which
was updated on 9 March 2015.
A pilot judgment concerning this
issue became final on 10 June 2015.
8.3 Discriminatory assignment
of children of Roma origin to schools for children with mental disabilities during
their primary education
206. In the case
Horváth and Kiss v. Hungary, the
Court found a violation of Article 2 of Protocol No. 1 read in conjunction
with Article 14 with respect to the discriminatory assignment of
Roma children to special schools for children with mental disabilities.
In
their action plans of October 2013
and January 2014,
the authorities
provided information on measures taken so far, including the objective
and non-discriminatory nature of the tests applied to evaluate the
aptitude and abilities of Roma children and the procedural safeguards
against misdiagnosis and misplacement of Roma students.
207. At its 1193rd (DH) meeting (4-6 March 2014), the Committee
of Ministers took note of these measures, invited the authorities
to provide information on their concrete impact and encouraged them
to continue implementing a non-discriminatory education policy.
A revised action plan was submitted
on 20 May 2015.
9. Bulgaria
208. According to Mr Pourgourides’
report, the most serious problems concerning Bulgaria are:
- deaths and ill treatment taking
place under the responsibility of law-enforcement officials and
the subsequent lack of effective investigation into such abuses;
- excessive length of judicial proceedings and lack of an
effective remedy;
- violations of the right to respect for family life due
to deportation/orders to leave the territory.
209. The Committee of Ministers 2014 Annual Report also lists poor
conditions of detention and a number of other outstanding issues
(see below).
9.1 Deaths and ill treatment
taking place under the responsibility of law-enforcement officials
and the subsequent lack of effective investigation into such abuses
210. The Committee of Ministers
is currently examining over 30 cases concerning deaths and ill treatment
at the hands of law-enforcement officials: the
Velikova group of cases
concerning
deaths and ill treatment and the
Nachova group
of cases regarding excessive use of fire-arms. In most of those
cases, the State was found to have failed to conduct effective investigations.
211. In February 2013, the Bulgarian Government submitted a revised
action plan for further measures to be taken.
On 1 July 2012, an amendment to
the Ministry of Interior Act (Bill No. 202-01-14), containing important
changes to the legal framework restricting the use of force and
firearms, entered into force. Having assessed it, the Committee
of Ministers concluded that the new legislation seemed to be in
conformity with the requirements of the Convention.
This legislative
reform is also a relevant measure in respect of the effectiveness
of investigations, for this new regime obliges the competent authorities
to apply similar criteria to the standards that emerge from the
case law of the Court. The setting-up of a specialised unit in the
Chief Public Prosecutor’s office responsible for promoting the impartiality
and the effectiveness of criminal investigations concerning law-enforcement
agents was also a positive step forward. However, these measures do
not seem sufficient to ensure the effectiveness of the criminal
and disciplinary investigations within the meaning of the Court’s
case law. Further information or clarifications were necessary,
in particular on the following issues: a) exact procedure followed
in cases of allegations of ill treatment by law-enforcement agents; b)
measures taken to ensure the impartiality and independence of the
police investigators who carry out investigative steps against other
police officers; c) possibility under the current legal framework
to question special forces officers when their intervention has
given rise to allegations of ill treatment; or, in the absence of such
possibility, measures taken or envisaged in order to bring the domestic
legal framework and practice in line with the requirements of the
Court’s case law.
212. Moreover, the practical operation of procedural safeguards
during police custody has admittedly been improved as compared to
the period prior to 2008, but the reports of the CPT,
its recent public
statement concerning Bulgaria of 26 March 2015
and
the reports prepared by observers from civil society
show that little or no progress
had been achieved and that measures are still necessary in order
to overcome some problems. Some of these problems persist and are
related,
inter alia, to obtaining
the assistance of a duty lawyer in police custody, the record keeping
concerning detainees and the effective implementation of the obligation
to notify the prosecution authorities of injuries which may be caused
by ill treatment.
213. The analysis of the statistical data for the period 2006-2009
has shown a positive downward tendency in the numbers of allegations
of ill treatment as compared to the period prior to 2006. However,
additional measures seem necessary in order to produce fuller and
more accurate data for the last years, in order to allow a complete
assessment of the impact of the measures already taken by the authorities.
In fact, currently different institutions collect data in this area,
in apparently separate files, which creates risks of mistakes and of
incidents being recorded twice. Therefore, it seems useful to put
in place nationally co-ordinated data collection in order to produce
information concerning allegations of ill treatment notified to
all institutions, as well as concerning the criminal and disciplinary
investigations carried out in this connection. As concerns the internal
monitoring, it seems useful to examine the possibility of producing
public versions of the monthly and/or annual reports on discipline
within the Ministry of Interior.
214. On 3 November 2014, Bulgarian authorities submitted a revised
action plan currently under assessment.
In a judgment of 3 March 2015 (
S.Z. v. Bulgaria),
the
Court, under Article 46, stated that the lack of effective investigations
(procedural violations of Articles 2 and 3 in over 45 cases, not
only in the context of allegations of misconduct by law-enforcement
agents, but also concerning acts of private persons) was a structural
problem and called upon the Bulgarian authorities to take the necessary
general measures to solve this problem, in co-operation with the
Committee of Ministers.
9.2 Excessive length of judicial
proceedings and lack of an effective remedy
215. The problem of excessive length
of proceedings was widespread for many years widespread in criminal, civil
and administrative cases in Bulgaria and was usually accompanied
by a lack of effective remedies (over 120 cases).
On 10 May 2011, the European Court
of Human Rights issued two pilot judgments,
Dimitrov and
Hamanov v. Bulgaria and
Finger
v. Bulgaria, concerning the systemic lack of effective
legal remedies for unreasonably lengthy criminal, civil and administrative
proceedings.
Bulgaria was asked to introduce such remedies
within one year, i.e. by 10 August 2012.
216. The Bulgarian authorities have adopted an administrative compensatory
remedy for excessive length of proceedings which entered into force
on 1 October 2012. This remedy is accessible only when the judicial proceedings
have ended. Moreover, a law introducing a judicial remedy entered
into force on 15 December 2012; it is available to persons who are
parties to pending judicial proceedings as well as after the termination of
the proceedings.
217. On 18 June 2013, in two inadmissibility decisions
– Valcheva
and Abrashev v. Bulgaria and
Balakchiev and Others v. Bulgaria – the Court found the two new remedies
(judicial and administrative) taken together to be effective. At
their 1179th (DH) meeting (24-26 September 2013),
the Committee of Ministers noted
with interest these decisions and invited the Bulgarian authorities
to keep it informed of the development of the domestic practice
in this area. As concerns the introduction of a preventive remedy
in criminal proceedings (allowing for the closure of an investigation
if it has lasted more than two years), the Committee of Ministers
found that it raises questions concerning its compatibility with
the requirements of the Convention, in particular in the area of
effective investigation, and invited the authorities to provide
additional information on the measures envisaged to ensure its compliance
with these requirements as described in the pilot judgment of
Dimitrov and Hamanov. At their 1157th
(DH) meeting, the Committee of Ministers had already encouraged
the Bulgarian authorities to continue with their works aiming at
introducing an acceleratory remedy in criminal matters.
218. As concerns the actual length of judicial proceedings, the
reforms described in Interim Resolution CM/ResDH(2010)223
and in Information document CM/Inf/DH(2012)36
(such as adoption of new procedural codes,
supervision measures and electronic case management) seem to have
improved the efficiency of the Bulgarian judicial system. However,
it seems that the results of these reforms have not yet been entirely consolidated
and that problems with length of proceedings may still arise because
of the very important workload of some large courts (Sofia City
Court and Sofia District Court).
Although
the efficiency of the courts has continued to increase, this has
not led to the elimination of the backlog of the largest courts
since 2009. At their 1179th (DH) meeting in September 2013, the
Committee of Ministers recalled the existence of this backlog and
called again upon the authorities to take all the necessary measures
to improve the situation, especially concerning the large courts
which seemed to be overburdened and to submit a revised action plan. However,
such an action plan is still awaited from the Bulgarian authorities.
9.3 Violations of the right to
respect for family life due to deportation/order to leave the territory
219. In a number of cases, initially
referred to as the
Al-Nashif and Others group regarding deportation
or orders to leave the territory on grounds of national security,
the European Court of Human Rights found violations of the right
to respect for family life (Article 8). Some of the cases from this
group also concern other violations of the Convention, such as risk
of ill treatment in case of the implementation of an expulsion order, unlawful
detention and lack of an effective remedy or of procedural guarantees
in case of expulsion (Articles 3, 5 and 13 of the Convention and
Article 1 of Protocol No. 7).
220. The lack of independent control of expulsion orders, highlighted
in this group of cases, received a first response from the Bulgarian
authorities with the introduction of a remedy before the Supreme
Administrative Court and several subsequent improvements of this
remedy.
Therefore, in
March 2015,
the
Committee of Ministers decided to close the examination of four
cases from this group and to consider the outstanding questions
related to the functioning of the remedies in the area of expulsion
of foreigners based on national security considerations in the cases
from the group of
C.G. and Others v.
Bulgaria, concerning
more recent facts. In two judgments from this group –
M. and Others v. Bulgaria and
Auad v. Bulgaria – the Court indicated,
under Article 46, several legislative changes and/or change of the
domestic case law that it deemed necessary to implement the judgments,
in particular with respect to the lack of examination of the facts
on which an expulsion order is based, or the lack of an automatic
suspensive effect in cases where a substantial risk of death or
ill treatment remains.
221. Following the submission of an action plan from the Bulgarian
authorities,
at its 1222nd
meeting (DH) in March 2015,
the Committee of Ministers
welcomed the positive developments concerning the practice of the
Supreme Administrative Court and the legislation relating to detention
pending expulsion, although certain indications given by the Court
still needed to be implemented. It called upon the authorities to
“introduce, without further delay, a remedy with automatic suspensive
effect where an arguable claim about a substantial risk of death
or ill treatment in the destination country is made in a legal challenge
against expulsion and to provide that the destination country should
be mentioned in a legally binding act and that every change of the destination
country is amenable to appeal”.
Moreover,
the authorities were invited to take measures to ensure that the
expulsion based on public order considerations would not be implemented
before the foreigner had been able to exercise his rights under
Article 1 of Protocol No. 7, unless the circumstances of the case required
it.
9.4 Poor conditions of detention
222. There is a group of over 20
cases before the Committee of Ministers concerning inhuman and degrading treatment
of the applicants due to poor conditions of detention in investigative
detention facilities and prisons (in particular due to overcrowding
and poor sanitary and material conditions).
Some of
the cases also concern the lack of effective remedy to challenge
the conditions of detention (violations of Article 13 in conjunction
with Article 3).
223. On 15 May 2012, the Bulgarian authorities submitted an action
report describing the measures already taken and envisaged for execution
of these judgments, in particular: 1) measures taken to promote
alternatives to imprisonment and more adequate distribution of the
detainees between different penitentiary facilities in order to
partially solve the problem of overcrowding; 2) measures taken to
strengthen the effectiveness of the domestic compensatory remedy
for poor conditions of detention; 3) the setting-up of a national
prevention mechanism which assigns an important role to the Ombudsman
for the monitoring of detention facilities.
224. The Committee of Ministers examined this action report at
their 1144th (DH) meeting in June 2012 and invited the authorities
to provide clarification on a number of outstanding issues.
225. On 9 April 2013, the authorities submitted a revised action
plan.
At its 1172nd (DH) meeting (4-6
June 2013),
the Committee of Ministers welcomed
the efforts of Bulgaria to solve the systematic problem of overcrowding
and improve the material conditions of detention, namely through
the reconstruction projects funded with the assistance of the Norwegian
Financial Mechanism. However, national action plans in this field could
not be implemented due to budgetary restrictions in times of economic
crisis. Thus, additional measures and improvements were still necessary,
in particular concerning overcrowding in prisons for men. The Committee
of Ministers encouraged the authorities to develop further the use
of alternative measures to imprisonment and preliminary detention
and to establish an updated global strategy to address prison overcrowding.
It also invited the authorities to give the highest priority to
seeking solutions which would allow them to improve the conditions
of detention, explore all possibilities of European co-operation
and take due account of the relevant recommendations of the CPT.
As regards the issue of setting up an effective remedy, the Committee
of Ministers invited the Bulgarian authorities to draw full benefit
from project No. 18 of the Human Rights Trust Fund.
226. On 8 December 2014, Bulgarian authorities submitted a revised
action plan which is currently under assessment.
In December 2013 and 2014, respectively
meetings and a seminar were organised in Sofia in the framework
of the HRTF project No. 18.
227. On 27 January 2015, the European Court delivered a pilot judgment
in the case of
Neshkov and Others, instructing the
authorities to make available, within eighteen months from the date
on which this judgment would become final, a combination of effective
domestic remedies in respect of conditions of detention that would
have both preventive and compensatory effects.
228. It should be pointed out that in the above-mentioned public
statement of 26 March 2015, the CPT deplored once again the overcrowding
in the Bulgarian prisons. According to the CPT, the material conditions alone
in the three prisons it visited (Sofia, Burgas and Varna) could
be seen as amounting to inhuman and degrading treatment. Moreover,
the vast majority of inmates did not have access to organised outdoor
activities and the quality of medical care had even worsened.
Thus,
the CPT was of opinion that “the approach to the whole issue of
deprivation of liberty in Bulgaria should radically change”.
During its meeting on 21
April 2015, the Sub-Committee on Human Rights of our committee took
note of this statement and proposed to the plenary committee to
invite the head of the Bulgarian delegation to the Parliamentary
Assembly to an exchange of views on this subject at a future meeting.
9.5 Other outstanding issues
229. The Committee of Ministers
is also examining a number of other outstanding issues related to
the implementation of judgments of the European Court of Human Rights
under its enhanced supervision procedure. These are: insufficient
guarantees against arbitrary use of the powers accorded by the law
on special surveillance means (group of cases
Association
for European Integration and Human Rights and Ekimdzhiev v. Bulgaria), placement in a social
care home for people with mental disorders (
Stanev
v. Bulgaria), unjustified
refusals to register an association aiming at achieving “the recognition
of the Macedonian minority in Bulgaria” (
UMO
Illinden and Others and
UMO Illinden and Others No. 2)
and eviction of
persons of Roma origin (
Yordanova and
Others).
10. United Kingdom
230. One specific unresolved issue
mentioned in the report by Mr Pourgourides was the need for the
United Kingdom to comply with its obligation to execute certain
Court judgments in a timely and diligent manner. Whilst the human
rights problems in the United Kingdom are in many ways not as serious
as those affecting other States listed above, the Pourgourides report
highlighted certain “significant implementation problems” that persist,
such as prisoner voting rights and the retention of DNA and biometric
data.
231. In the case of
Hirst v. the United
Kingdom (No. 2) and
the pilot judgment of
Greens and M.T.
v. the United Kingdom,
the
Court found violations of the Convention as a result of the United
Kingdom’s blanket ban on voting for prisoners (violation of Article
3 of Protocol No. 1).
232. Following an exchange of letters between the British delegation
and the Registry of the Court in the summer of 2011, the European
Court of Human Rights agreed to extend the deadline for the implementation of
these cases, originally set to be 11 October 2011, to six months
after the date of the Grand Chamber judgment in
Scoppola v. Italy (No. 3).
Since the Grand
Chamber delivered the latter judgment on 22 May 2012, the United
Kingdom authorities had until 23 November 2012 to comply with the
pilot judgment.
233. On 23 November 2012, the British authorities submitted an
action plan to the Committee of Ministers which outlined legislative
proposals introduced to Parliament to amend the electoral law. These
proposed amendments include a range of options for a Parliamentary
Committee to consider.
At its 1157th (DH) meeting (December
2012), the Committee of Ministers noted this initiative with great
interest. It also welcomed the announcement made by the Lord Chancellor
and Secretary of State for Justice when presenting it to parliament
that “the Government is under an international legal obligation
to implement the Court’s judgment” and “the accepted practice is
that the United Kingdom observes its international obligations”.
The Committee of Ministers stressed, therefore, that the final version
of the legislation should be in line with these obligations and
that the third option, included in the draft bill and aimed at retaining
the blanket restriction on prisoners’ vote, would not be compatible
with the Convention.
234. On 18 December 2013, the British Parliament’s Joint Committee
on the Draft Voting Eligibility (Prisoners) Bill published its
report, in which it recommended,
inter
alia, that all prisoners serving sentences of 12 months or
less should be entitled to vote and that the government introduce
a bill to parliament at the start of its 2014-2015 session. The
Joint Committee did not recommend re-enacting the existing blanket
ban. This report was welcomed at the 1193rd (DH) meeting of the
Committee of Ministers in March 2014, at which the Committee of
Ministers urged the British authorities to implement the recommendations
of the Joint Committee.
235. However, despite the upcoming general election in May 2015,
no progress was achieved. At its 1208th meeting in September 2014,
the Committee of Ministers “recalled the number of years that have
passed since the judgments
Hirst No.
2 and
Greens and M.T.
became final, and the repeated calls of the Committee of Ministers
to execute them” and “noted with profound concern and disappointment”
that the government had not introduced a bill to parliament, as
recommended by the Joint Committee. Thus, the Committee of Ministers urged
the authorities to do so as quickly as possible.
236. On 12 March 2013, the Court decided to adjourn examination
of the over 2 300 applications pending before it on the same issue
until, at the latest, 30 September 2013.
However, on 24 September 2013, it decided
not to further adjourn proceedings in these cases.
In
two judgments which became final in December 2014 and February 2015,
the Court examined those applications and found violations of Article
3 of Protocol No. 1 because the impugned legislation remained unamended
(see
Firth and others and
McHugh and Others).
237. As concerns the implementation of the judgment
S. and Marper v. the United Kingdom,
where
the Court found violations of the right to private life as a result
of the retention of DNA profiles, fingerprints, and cellular samples
of persons accused but not convicted of criminal offences (violation
of Article 8), there has been significant progress and the case
is now being examined by the Committee of Ministers under the standard
supervision procedure. Legislative changes for England and Wales,
based on the Scottish model (which was praised by the European Court
of Human Rights), were introduced by the Protection of Freedoms Act
adopted on 1 May 2012.
This new legislation had been
welcomed by the Committee of Ministers at its 1115th (DH) meeting
(June 2011)
An update is still awaited concerning
the position in Northern Ireland, where certain provisions of the
Criminal Justice (Northern Ireland) Act should be amended similarly
to the Protection of Freedoms Act by summer 2015.
238. Mr Pourgourides’ report also mentioned some landmark cases
against the United Kingdom, such as
Al Saadoon
and Mufdhi v. the United Kingdom concerning the applicants’
transfer in Iraq by the British Armed Forces to Iraqi custody which
exposed them to the risk of the death penalty (violations of Articles
3, 13 and 34),
Gillan and Quinton v.
the United Kingdom (Article
8) and
A. and Others v. the United Kingdom concerning the
use of anti-terrorism measures
. The
examination of all these cases was closed by the Committee of Ministers
following the individual and general measures taken by the United
Kingdom.
239. Since the Pourgourides report, the Court has delivered judgments
in two cases,
McCaughey and Others and
Collette and Michael Hemsworth concerning
excessive length of investigations into deaths caused by the actions
of security forces in Northern Ireland in the 1990s (violations
of Article 2). These relate to a group of older cases still pending
before the Committee of Ministers, the
McKerr group,
where the majority
of the general measures had already been adopted but the individual
measures remained outstanding. The new judgments indicate that delays
in inquest proceedings in legacy cases remain a serious and extensive
problem in Northern Ireland.
This
was also demonstrated by the ongoing delay in the conclusion of
the investigations in the individual cases in the
McKerr group.
240. The United Kingdom authorities have since submitted a number
of action plans
outlining proposals to
improve the efficiency of inquest proceedings and investigations
into deaths which took place during the “Troubles”.
At
its 1201st (DH) meeting (June 2014), the Committee of Ministers,
inter alia, expressed serious concern
that the individual investigations were still outstanding and strongly
urged the authorities to ensure their conclusion as soon as possible.
At
its 1222nd (DH) meeting (March 2015), the Committee of Ministers noted,
with interest, the December 2014 Stormont House Agreement and welcomed
both the announcement to establish an independent single investigative
body (the Historical Investigations Unit) and the fact that appropriate
steps would be taken to improve the way legacy inquests function.
The Committee of Ministers urged the authorities to use all necessary
means to ensure that the implementation of these announcements proceeded
according to a clear timetable.