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Showing posts with label information act. Show all posts
Showing posts with label information act. Show all posts

Monday, December 17, 2012

All the attributable defaults of a Central or State Public Information Officer have to be without any reasonable cause and persistently. In other words, besides finding that any of the stated defaults have been committed by such officer, the Commission has to further record its opinion that such default in relation to receiving of an application or not furnishing the information within the specified time was committed persistently and without a reasonable cause. =the appellant had shown that the default, if any on his part, was not without reasonable cause or result of a persistent default on his part. On the contrary, he had taken steps within his power and authority to provide information to respondent No.2. It was for the department concerned to react and provide the information asked for. In the present case, some default itself is attributable to respondent No.2 who did not even care to respond to the letter of the department dated 11th April, 2007. The cumulative effect of the above discussion is that we are unable to sustain the order passed by the State Information Commission dated 26th February, 2008 and the judgment of the High Court under appeal. Both the judgments are e set aside and the appeal is allowed. We further direct that the disciplinary action, if any, initiated by the department against the appellant shall be withdrawn forthwith.


                                                                  REPORTABLE
                        IN THE SUPREME COURT OF INDIA
                        CIVIL APPELLATE JURISDICTION

                   CIVIL APPEAL NO.  9095          OF 2012
                   (Arising out of SLP(C) No.7529 of 2009)

Manohar     s/o Manikrao Anchule             ... Appellant
                                   Versus
State of Maharashtra & Anr.                  ... Respondents




                               J U D G M E N T

Swatanter Kumar, J.


1.    Leave granted.
2.    The present  appeal  is  directed  against  the  judgment  dated  18th
December, 2008 of the High Court of Bombay  at  Aurangabad  vide  which  the
High Court declined to interfere with the order dated  26th  February,  2008
passed by the State Information Commissioner under  the  provisions  of  the
Right to Information Act, 2005 (for short ‘the Act’).
3.    We may notice the facts in brief giving rise to  the  present  appeal.
One Shri Ram Narayan, respondent No.2, a political person belonging  to  the
Nationalist Congress Party, Nanded filed  an  application  on  3rd  January,
2007, before the appellant who was a nominated authority under Section 5  of
the Act and was responsible for providing  the  information  sought  by  the
applicants. This application was moved under Section 6(1) of the Act.
4.    In the application, the said  respondent  No.2  sought  the  following
information:

           “a.   The persons those who  are  appointed/selected  through  a
                  reservation  category,  their  names,   when   they   have
                  appointed on the said post.

           b.    When they have joined the said post.

           c.    The report of the  Caste  Verification  Committee  of  the
                  persons those who  are/were  selected  from  the  reserved
                  category.

           d.    The persons whose caste certificate is/was  forwarded  for
                  the verification to the caste verification committee after
                  due date.  Whether  any  action  is  taken  against  those
                  persons?  If  any  action  is  taken,  then   the   detail
                  information should be given within 30 days.”



5.    The appellant, at the relevant time, was working as Superintendent  in
the State Excise Department and was designated  as  the  Public  Information
Officer.  Thus,  he  was  discharging  the  functions  required  under   the
provisions of the Act.  After  receiving  the  application  from  Respondent
No.2, the appellant forwarded the application to  the  concerned  Department
for collecting the information. Vide letter dated 19th  January,  2007,  the
appellant had informed respondent No.2 that action on  his  application  has
been taken and the information asked for has been called from the  concerned
department and as and when the  information  is  received,  the  application
could be answered accordingly.  As  respondent  No.2  did  not  receive  the
information in furtherance to his application dated 3rd  January,  2007,  he
filed an appeal within the prescribed period before  the  Collector,  Nanded
on 1st March,  2007,  under  Section  19(1)  of  the  Act.  In  the  appeal,
respondent No.2 sought the  information  for  which  he  had  submitted  the
application. This appeal was forwarded to the office of the appellant  along
with the application given by respondent No.2.  No hearing was conducted  by
the office of the Collector at Nanded. Vide letter dated 11th  April,  2007,
the then Superintendent, State Excise, Nanded,  also  designated  as  Public
Information Officer, further wrote to respondent No.2 that since he had  not
mentioned the period for  which  the  information  is  sought,  it  was  not
possible to supply the information and requested him to furnish  the  period
for which such information was required.  The letter dated 11th April,  2007
reads as under :
           “... you have not mentioned the period of the information  which
           is sought by you. Therefore, it is not possible  to  supply  the
           information.  Therefore,  you  should  mention  the  period   of
           information in your application so that it will be convenient to
           supply the information.”


6.    As already noticed there was no hearing before the Collector  and  the
appeal before the Collector had not been decided.  It is  the  case  of  the
appellant that the communication  from  the  Collector's  office  dated  4th
March, 2007 had not been received in the office of  the  appellant.  Despite
issuance of the letter dated 11th April, 2007, no information  was  received
from respondent No.2 and, thus, the information could not  be  furnished  by
the appellant. On 4th  April,  2007,  the  appellant  was  transferred  from
Nanded to Akola District and thus was not  responsible  for  performance  of
the functions of the post that he was earlier holding at Nanded and so  also
the functions of Designated Public Information Officer.
7.    Respondent No.2, without awaiting the decision of the First  Appellate
Authority (the Collector), filed an  appeal  before  the  State  Information
Commission at Aurangabad regarding non-providing of  the  information  asked
for.  The  said  appeal  came  up  for  hearing  before  the  Commission  at
Aurangabad who directed issuance of the notice to the office  of  the  State
Excise at Nanded. The Nanded office informed the  appellant  of  the  notice
and that the hearing was kept for  26th  February,  2008  before  the  State
Information Commission at Aurangabad.  This was informed  to  the  appellant
vide  letter  dated  12th  February,  2008.  On  25th  February,  2008,  the
applicant forwarded an application through fax to the office  of  the  State
Information Commissioner bringing to their notice that for official  reasons
he was unable to appear before the Commissioner on that date  and  requested
for grant of extension of time  for  that  purpose.  Relevant  part  of  the
letter dated 25th February 2008 reads as under:
           “...hearing is fixed before the Hon'ble Minister,  State  Excise
           M.S.Mumbai in respect of licence of  CL-3  of  Shivani  Tq.  and
           Dist.  Akola.  For  that  purpose  it  is  necessary   for   the
           Superintendent,  State  Excise,  Akola  for  the  said  hearing.
           Therefore, it is not possible for  him  to  remain  present  for
           hearing on 26.2.2008  before  the  Hon'ble  Commissioner,  State
           Information Commission, Aurangabad. Therefore, it  is  requested
           that next date be given for the said hearing.”


8.    The State Information Commission, without considering the  application
and even the request made by the Officer who was present  before  the  State
Information Commission at the time of hearing, allowed the appeal  vide  its
order dated 26th  February,  2008,  directing  the  Commissioner  for  State
Excise to initiate action against the appellant as  per  the  Service  Rules
and that the action should be taken within two months and the same would  be
reported within one month thereafter to the  State  Information  Commission.
It will be useful to reproduce the relevant part of  the  order  dated  26th
February, 2008, passed by the State Information Commissioner:
           “The applicant has prefer First appeal before the  Collector  on
           1.3.2007, the said application was received to the State  Excise
           Office on 4.3.2007 and on  11.4.2007  it  was  informed  to  the
           applicant,  that  he  has  not  mentioned  the  specific  period
           regarding the information. The Public Information Officer, ought
           to have been informed to the applicant after receiving his first
           application regarding the specific period  of  information  but,
           here the public information officer has not consider positively,
           the application of the applicant and not taken any decision.  On
           the application given by the applicant, the  public  information
           officer ought to have been  informed  to  the  applicant  on  or
           before 28.1.2007 and as per the said Act, 2005 there is delay 73
           days for informing the applicant and this shows that, the Public
           Information Officer has not perform his  duty  which  is  casted
           upon him and he is negligent it reveals after going through  the
           documents by the State Commission. Therefore, it is order  that,
           while  considering  above  said  matter,  the  concerned  Public
           Information Officer, has made delay of 73 days for informing  to
           the applicant and therefore he has shown  the  negligence  while
           performing  his  duty.  Therefore,  it   is   ordered   to   the
           Commissioner  of  State  Excise  Maharashtra   State   to   take
           appropriate action as  per  the  Service  Rules  and  Regulation
           against the concerned Public Information Officer within the  two
           months from this order and  thereafter,  the  compliance  report
           will be submitted within  one  month  in  the  office  of  State
           Commission. As the applicant  has  not  mentioned  the  specific
           period  for  information  in  his   original   application   and
           therefore, the Public Information Officer was unable  to  supply
           him information. There is no order  to  the  Public  Information
           Officer  to  give  information  to  the  applicant  as  per  his
           application. It is necessary for all  the  applicant  those  who
           want the information under the said Act, he should fill  up  the
           form properly and it is confirmed that,  whether  he  has  given
           detail information while submitting the application as  per  the
           proforma and this would be confirm while making the application,
           otherwise the Public Information Officer will not in position to
           give expected information to  the  applicant.  At  the  time  of
           filing the application, it is necessary for  the  applicant,  to
           fill-up the form properly and it  was  the  prime  duty  of  the
           applicant.
           As per the above mentioned,  the  second  appeal  filed  by  the
           applicant is hereby decided as follows:
                                  O R D E R
           1.    The appeal is decided.

           2.    As the concern Public Information Officer  has  shown  his
                 negligence  while  performing  his  duty,  therefore,   the
                 Commissioner of State Excise, State of Maharashtra  has  to
                 take appropriate action as per the service rules within two
                 months from the date of order and  thereafter,  within  one
                 month they should submit their  compliance  report  to  the
                 State Commission.”



9.    The legality and correctness of the above order was challenged by  the
appellant before the High Court by filing the writ  petition  under  Article
226 of the Constitution of India. The appellant had  taken  various  grounds
challenging the correctness of this order. However,  the  High  Court,  vide
its order dated 18th December, 2008, dismissed the writ  petition  observing
that the appellant ought to  have  passed  the  appropriate  orders  in  the
matter rather than keeping respondent No.2 waiting.   It  also  noticed  the
contention that the application was so general and vague in nature that  the
information sought for could not be provided.  However, it  did  not  accept
the same.
10.   It is contended on behalf of the  appellant  that  the  order  of  the
State  Information  Commission,  as  affirmed  by  the  High  Court,  is  in
violation of the principles of natural justice and is contrary to  the  very
basic provisions of Section 20 of the Act. The order does  not  satisfy  any
of the ingredients spelt out in the provisions of Section 20(2) of the  Act.
The State  Information  Commission  did  not  decide  the  appeal,  it  only
directed action to be taken against  the  appellant  though  the  appeal  as
recorded in the order had been decided. It can, therefore, be inferred  that
there is apparent non-application of mind.
11.   The impugned orders do not take the  basic  facts  of  the  case  into
consideration that after a short  duration  the  appellant  was  transferred
from the post in  question  and  had  acted  upon  the  application  seeking
information within the prescribed  time.  Thus,  no  default,  much  less  a
negligence, was attributable to the appellant.
12.   Despite service, nobody appeared on behalf of  the  State  Information
Commission. The State filed no counter affidavit.
13.   Since  the  primary  controversy  in  the  case  revolves  around  the
interpretation of the provisions of Section  20  of  the  Act,  it  will  be
necessary for us to refer to the provisions of Section  20  of  the  Act  at
this stage itself. Section 20 reads as under:
           “Section  20:  Penalties:-(1)  Where  the  Central   Information
           Commission or the State Information Commission, as the case  may
           be, at the time of deciding any complaint or appeal  is  of  the
           opinion that the Central Public Information Officer or the State
           Public Information Officer, as the case may be, has, without any
           reasonable  cause,  refused  to  receive  an   application   for
           information or has not furnished  information  within  the  time
           specified under sub-section  (1)  of  section  7  or  malafidely
           denied the request for information or knowingly given incorrect,
           incomplete or misleading information  or  destroyed  information
           which was the subject of the request or obstructed in any manner
           in furnishing the information, it shall impose a penalty of  two
           hundred and fifty rupees each day till application  is  received
           or information is furnished, so however,  the  total  amount  of
           such penalty shall not exceed twenty-five thousand rupees:
           Provided that the Central  Public  Information  Officer  or  the
           State Public Information Officer, as the case may be,  shall  be
           given a reasonable opportunity of being heard before any penalty
           is imposed on him:
           Provided further that  the  burden  of  proving  that  he  acted
           reasonably  and  diligently  shall  be  on  the  Central  Public
           Information Officer or the State Public Information Officer,  as
           the case may be.
           (2) Where  the  Central  Information  Commission  or  the  State
           Information Commission, as the case  may  be,  at  the  time  of
           deciding any complaint or appeal is  of  the  opinion  that  the
           Central  Public  Information  Officer  or   the   State   Public
           Information Officer,  as  the  case  may  be,  has  without  any
           reasonable  cause  and  persistently,  failed  to   receive   an
           application for information or  has  not  furnished  information
           within the time specified under sub-section (1) of Section 7  or
           malafidely denied the request for information or knowingly given
           incorrect, incomplete or  misleading  information  or  destroyed
           information which was the subject of the request  or  obstructed
           in any manner in, furnishing the information, it shall recommend
           for disciplinary action against the Central  Public  Information
           Officer or the State Public Information Officer, as the case may
           be, under the service rules applicable to him.”


14.   State Information Commissions exercise very wide and  certainly  quasi
judicial powers. In fact their functioning is akin to  the  judicial  system
rather than the executive decision making process.
15.   It is a settled principle of law and does not require  us  to  discuss
this principle with any elaboration that  adherence  to  the  principles  of
natural justice is mandatory for such Tribunal or  bodies  discharging  such
functions.
16.   The State Information Commission has  been  vested  with  wide  powers
including imposition of penalty or taking  of  disciplinary  action  against
the employees. Exercise of such power is bound to adversely affect or  bring
civil consequences to the  delinquent.  Thus,  the  provisions  relating  to
penalty or to penal consequences have to be construed strictly. It will  not
be open to the Court to give them such liberal construction  that  it  would
be beyond the specific language of the statute or would be in  violation  to
the principles of natural justice.

17.   The State Information Commission is performing adjudicatory  functions
where  two  parties  raise  their  respective  issues  to  which  the  State
Information Commission is expected to apply  its  mind  and  pass  an  order
directing disclosure of the information asked for  or  declining  the  same.
Either way, it affects the rights of  the  parties  who  have  raised  rival
contentions before the Commission.  If there were no rival contentions,  the
matter would rest at the level of the designated Public Information  Officer
or immediately thereafter.  It comes to  the  State  Information  Commission
only  at  the  appellate  stage  when   rights   and   contentions   require
adjudication.  The adjudicatory process essentially has to be in  consonance
with the principles of natural  justice,  including  the  doctrine  of  audi
alteram partem.  Hearing the parties, application of mind and  recording  of
reasoned decision are the basic elements of  natural  justice.   It  is  not
expected of the Commission to breach any of these  principles,  particularly
when its orders are open to judicial review.   Much  less  to  Tribunals  or
such Commissions, the Courts have even made compliance to the  principle  of
rule of natural justice obligatory in the class  of  administrative  matters
as well. In the case of A.K. Kraipak  &  Ors.  v.  Union  of  India  &  Ors.
[(1969) 2 SCC 262], the Court held as under :


           “17.  … It is not necessary to examine those decisions as  there
           is a great deal of fresh thinking on the subject. The horizon of
           natural justice is constantly expanding…


           The aim of the rules of natural justice is to secure justice  or
           to put it negatively to prevent miscarriage  of  justice.  These
           rules can operate only in areas not covered by any  law  validly
           made. In other words they do not supplant the law  of  the  land
           but supplement it…. The concept of natural justice has undergone
           a great deal of change in recent  years.  In  the  past  it  was
           thought that it included just two rules namely: (1) no one shall
           be a judge in his own case (Nemo debet esse judex propria causa)
           and (2) no decision shall  be  given  against  a  party  without
           affording him a reasonable hearing (audi alteram  partem).  Very
           soon thereafter a third rule was  envisaged  and  that  is  that
           quasi-judicial enquiries must be held  in  good  faith,  without
           bias and not arbitrarily or unreasonably. But in the  course  of
           years many more subsidiary rules came to be added to  the  rules
           of natural justice. Till very recently it was the opinion of the
           courts that unless the authority concerned was required  by  the
           law under which it functioned to act  judicially  there  was  no
           room for the application of the rules of  natural  justice.  The
           validity of that limitation is now questioned. If the purpose of
           the rules of  natural  justice  is  to  prevent  miscarriage  of
           justice one  fails  to  see  why  those  rules  should  be  made
           inapplicable to administrative enquiries. Often times it is  not
           easy to draw the line that demarcates  administrative  enquiries
           from quasi-judicial enquiries. Enquiries which  were  considered
           administrative at one time are now being  considered  as  quasi-
           judicial in character. Arriving at a just decision is the aim of
           both  quasi-judicial  enquiries  as   well   as   administrative
           enquiries. An unjust decision in an administrative  enquiry  may
           have more far reaching  effect  than  a  decision  in  a  quasi-
           judicial enquiry. As observed by  this  Court  in  Suresh  Koshy
           George v. University of Kerala the rules of natural justice  are
           not embodied rules. What  particular  rule  of  natural  justice
           should apply to a given case must depend to a  great  extent  on
           the facts and circumstances of that case, the framework  of  the
           law under which the enquiry is held and the constitution of  the
           Tribunal or body of persons appointed for that purpose. Whenever
           a complaint is made  before  a  court  that  some  principle  of
           natural justice had been contravened the  court  has  to  decide
           whether the observance of that rule was  necessary  for  a  just
           decision on the facts of that case.


18.   In the case of Kranti Associates (P) Ltd. & Ors. v. Masood Ahmed  Khan
& Ors. [(2010) 9 SCC 496], the Court dealt with the question of  demarcation
between  the  administrative  orders  and  quasi-judicial  orders  and   the
requirement of adherence to natural justice.  The Court held as under :

           “47. Summarising the above discussion, this Court holds:

           (a)   In India the judicial trend  has  always  been  to  record
                 reasons,  even  in  administrative   decisions,   if   such
                 decisions affect anyone prejudicially.

           (b)   A quasi-judicial authority must record reasons in  support
                 of its conclusions.

           (c)   Insistence on recording of reasons is meant to  serve  the
                 wider principle of justice that justice must  not  only  be
                 done it must also appear to be done as well.

           (d)   Recording of reasons also operates as a valid restraint on
                 any possible arbitrary  exercise  of  judicial  and  quasi-
                 judicial or even administrative power.

           (e)   Reasons reassure that discretion has been exercised by the
                 decision-maker on  relevant  grounds  and  by  disregarding
                 extraneous considerations.

           (f)   Reasons have virtually become as indispensable a component
                 of a decision-making process  as  observing  principles  of
                 natural justice by judicial,  quasi-judicial  and  even  by
                 administrative bodies.

           (g)   Reasons facilitate  the  process  of  judicial  review  by
                 superior courts.

           (h)   The ongoing judicial trend in all countries  committed  to
                 rule of law and constitutional governance is in  favour  of
                 reasoned  decisions  based  on  relevant  facts.  This   is
                 virtually  the  lifeblood   of   judicial   decision-making
                 justifying  the  principle  that  reason  is  the  soul  of
                 justice.

           (i)   Judicial or even quasi-judicial opinions these days can be
                 as different as the  judges  and  authorities  who  deliver
                 them. All these decisions serve one common purpose which is
                 to demonstrate by reason that  the  relevant  factors  have
                 been  objectively  considered.  This   is   important   for
                 sustaining the litigants' faith  in  the  justice  delivery
                 system.

           (j)   Insistence on reason is a requirement  for  both  judicial
                 accountability and transparency.

           (k)   If a judge or a quasi-judicial  authority  is  not  candid
                 enough about his/her decision-making  process  then  it  is
                 impossible to know whether the person deciding is  faithful
                 to  the  doctrine  of  precedent  or   to   principles   of
                 incrementalism.

           (l)   Reasons in support of decisions must be cogent, clear  and
                 succinct. A pretence of reasons or  “rubber-stamp  reasons”
                 is not to be equated with a valid decision-making process.

           (m)   It cannot be doubted that transparency is the sine qua non
                 of restraint on abuse of judicial powers.  Transparency  in
                 decision-making not only makes  the  judges  and  decision-
                 makers less prone to errors but also makes them subject  to
                 broader scrutiny. (See David Shapiro in Defence of Judicial
                 Candor.)

           (n)   Since the requirement to record reasons emanates from  the
                 broad doctrine of fairness  in  decision-making,  the  said
                 requirement is now virtually a component  of  human  rights
                 and was considered part of  Strasbourg  Jurisprudence.  See
                 Ruiz Torija v. Spain EHRR, at  562  para  29  and  Anya  v.
                 University of Oxford, wherein the Court referred to Article
                 6  of  the  European  Convention  of  Human  Rights   which
                 requires,

                 “adequate  and  intelligent  reasons  must  be  given   for
                 judicial decisions”.

           (o)   In all common law jurisdictions  judgments  play  a  vital
                 role in setting up precedents for  the  future.  Therefore,
                 for development of law, requirement of giving  reasons  for
                 the decision is of the essence and is virtually a  part  of
                 ‘due process’.”



19.   The Court has also taken the view that even  if  cancellation  of  the
poll were an administrative act that per se does not repel  the  application
of  the  principles  of  natural  justice.   The  Court  further  said  that
classification of functions as judicial or administrative is  a  stultifying
shibboleth discarded in India as in England.  Today, in  our  jurisprudence,
the advances made by the natural justice far exceed  old  frontiers  and  if
judicial creativity blights penumbral areas, it is also  for  improving  the
quality of Government in injecting fair play into its wheels.  Reference  in
this  regard  can  be  made  to  Mohinder  Singh  Gill  v.  Chief   Election
Commissioner [(1978) 1 SCC 405].

20.   Referring to the requirement of adherence  to  principles  of  natural
justice in adjudicatory process, this Court in the case of Namit  Sharma  v.
Union of India [2012 (8) SCALE 593], held as under:

           “97.  It is not only appropriate but is a solemn duty  of  every
           adjudicatory body, including the tribunals, to state the reasons
           in support of  its  decisions.   Reasoning  is  the  soul  of  a
           judgment and embodies one of the three pillars on which the very
           foundation  of  natural  justice  jurisprudence  rests.   It  is
           informative to the claimant of the basis for  rejection  of  his
           claim, as well as provides the grounds for challenging the order
           before the higher authority/constitutional court.  The  reasons,
           therefore, enable the  authorities,  before  whom  an  order  is
           challenged, to test the veracity and correctness of the impugned
           order.  In the present times, since the fine line of distinction
           between the functioning of the administrative and quasi-judicial
           bodies is gradually  becoming  faint,  even  the  administrative
           bodies are required to pass reasoned orders.   In  this  regard,
           reference can be made to the judgments  of  this  Court  in  the
           cases of Siemens Engineering & Manufacturing Co. of  India  Ltd.
           v. Union of India & Anr.  [(1976)  2  SCC  981];  and  Assistant
           Commissioner,  Commrcial  Tax  Department  Works  Contract   and
           Leasing, Kota v. Shukla & Brothers [(2010) 4 SCC 785].”




21.   We may notice that proviso to Section 20(1) specifically  contemplates
that before imposing the  penalty  contemplated  under  Section  20(1),  the
Commission shall give  a  reasonable  opportunity  of  being  heard  to  the
concerned  officer.   However,  there  is  no  such  specific  provision  in
relation  to  the  matters  covered  under  Section  20(2).   Section  20(2)
empowers the Central or the State Information Commission, as  the  case  may
be, at the time of deciding a complaint or appeal for the reasons stated  in
that section, to recommend for disciplinary action to be taken  against  the
Central Public Information Officer or the State Public Information  Officer,
as the case may be, under the relevant service rules.   Power  to  recommend
disciplinary  action  is  a  power  exercise  of  which  may  impose   penal
consequences.  When such a  recommendation  is  received,  the  disciplinary
authority would conduct the disciplinary proceedings in accordance with  law
and  subject  to  satisfaction  of  the  requirements  of  law.   It  is   a
‘recommendation’   and   not   a   ‘mandate’   to   conduct   an    enquiry.
‘Recommendation’  must  be  seen  in  contradistinction  to  ‘direction’  or
‘mandate’.   But  recommendation  itself   vests   the   delinquent   Public
Information Officer or State Public Information  Officer  with  consequences
which are of serious nature and can ultimately produce  prejudicial  results
including misconduct within the relevant  service  rules  and  invite  minor
and/or major penalty.

22.   Thus, the principles of natural justice  have  to  be  read  into  the
provisions of Section 20(2).  It is a settled canon of  civil  jurisprudence
including  service  jurisprudence  that  no  person  be  condemned  unheard.
Directing disciplinary action is an order  in  the  form  of  recommendation
which has far reaching civil consequences.  It will not  be  permissible  to
take the view that compliance with principles of natural justice  is  not  a
condition precedent to passing of a recommendation under Section 20(2).   In
the case of Udit Narain Singh  Malpharia  v.  Additional  Member,  Board  of
Revenue, Bihar [AIR 1963 SC 786], the Court stressed  upon  compliance  with
the  principles  of  natural   justice   in   judicial   or   quasi-judicial
proceedings.  Absence of such  specific  requirement  would  invalidate  the
order.  The Court, reiterating the principles stated in the English  Law  in
the case of King v. Electricity Commissioner, held as under :

           “The following classic test laid down by Lord Justice Atkin,  as
           he then was, in King v. Electricity Commissioners  and  followed
           by this Court in more than one decision clearly brings  out  the
           meaning of the concept of judicial act:

                 “Wherever anybody of  persons  having  legal  authority  to
                 determine questions affecting the rights of  subjects,  and
                 having the duty to act judicially, act in excess  of  their
                 legal  authority  they  are  subject  to  the   controlling
                 jurisdiction of the  King's  Bench  Division  exercised  in
                 these writs.”

           Lord Justice Slesser in King v. London County Council  dissected
           the concept of judicial act laid down by Atkin, L.J.,  into  the
           following heads in his judgment: “Wherever any body  of  persons
           (1) having legal authority (2) to determine questions  affecting
           rights of subjects and (3) having the duty to act judicially (4)
           act in excess of their legal authority — a  writ  of  certiorari
           may issue.” It will be seen from the ingredients of judicial act
           that there must  be  a  duty  to  act  judicially.  A  tribunal,
           therefore, exercising a judicial or  quasi-judicial  act  cannot
           decide against the rights  of  a  party  without  giving  him  a
           hearing or an opportunity to represent his case  in  the  manner
           known to law. If the provisions of a particular statute or rules
           made thereunder do not provide for  it,  principles  of  natural
           justice demand it. Any  such  order  made  without  hearing  the
           affected parties would be void. As a writ of certiorari will  be
           granted to remove the  record  of  proceedings  of  an  inferior
           tribunal or  authority  exercising  judicial  or  quasi-judicial
           acts, ex hypothhesi it follows that the High Court in exercising
           its jurisdiction shall also act judicially in disposing  of  the
           proceedings before it.”







23.   Thus, the principle is clear and settled that right of  hearing,  even
if not provided under a specific statute, the principles of natural  justice
shall so demand, unless by specific law, it is  excluded.   It  is  more  so
when exercise of authority is likely to vest the  person  with  consequences
of civil nature.

24.   In light of the above principles, now we will  examine  whether  there
is any violation of principles of natural justice in the present case.

25.   Vide letter dated 12th February, 2008, the appellant was  informed  by
the Excise Department, Nanded, when he was posted at Akola that hearing  was
fixed for 25th February, 2008.   He  submitted  a  request  for  adjournment
which, admittedly, was received and placed before the office  of  the  State
Information  Commission.   In  addition  thereto,  another  officer  of  the
Department had appeared, intimated  the  State  Information  Commission  and
requested for adjournment,  which  was  declined.    It  was  not  that  the
appellant  had  been  avoiding  appearance  before  the  State   Information
Commission.  It was the first date of hearing and in the letter  dated  25th
February, 2008, he had given a reasonable cause for his absence  before  the
Commission on 25th February, 2008.  However, on  26th  February,  2008,  the
impugned order was passed.  The appellant was entitled to a  hearing  before
an order could be passed against him under the provisions of  Section  20(2)
of the Act.   He  was  granted  no  such  hearing.   The  State  Information
Commission not only recommended  but  directed  initiation  of  departmental
proceedings against the appellant and even asked for the compliance  report.
 If such a harsh order was to be passed against  the  appellant,  the  least
that was expected of the Commission was to grant  him  a  hearing/reasonable
opportunity to put forward his case. We are of the considered view that  the
State Information Commission should have granted an  adjournment  and  heard
the appellant before passing an order Section under 20(2) of  the  Act.   On
that ground itself, the impugned order is liable to be set  aside.   It  may
be usefully noticed at this stage that the appellant had a genuine  case  to
explain before the State Information Commission and to  establish  that  his
case did not call for any action within the  provisions  of  Section  20(2).
Now, we would deal with the other contention  on  behalf  of  the  appellant
that the order itself does not satisfy the  requirements  of  Section  20(2)
and, thus, is unsustainable in law.  For this purpose, it is  necessary  for
the Court to analyse the requirement and scope of Section 20(2) of the  Act.
 Section 20(2) empowers  a  Central  Information  Commission  or  the  State
Information Commission :

(a)   at the time of deciding any complaint or appeal;

(b)   if it is of the opinion that the Central  Public  Information  Officer
      or the State Public Information Officer,  as  the  case  may  be,  has
      without any reasonable cause and persistently, failed  to  receive  an
      application for information or has not  furnished  information  within
      the time specified under sub-section (1) of Section 7 (i.e. 30 days);

(c)   malafidely denied the request for information or  intentionally  given
      incorrect, incomplete or misleading information; or

(d)   destroyed  information  which  was  the  subject  of  the  request  or
      obstructed in any manner in furnishing the information;

(e)   then it shall recommend for disciplinary  action  against  the  stated
      persons under the relevant servicerules.

26.   From the above dissected language of the provision, it is  clear  that
first of all an opinion has to be formed by the  Commission.   This  opinion
is to be formed at the time  of  deciding  any  complaint  or  appeal  after
hearing the person concerned.  The opinion  formed  has  to  have  basis  or
reasons and must be relatable to any of the defaults of the  provision.   It
is a penal provision as it vests the delinquent with civil  consequences  of
initiation of and/or  even  punishment  in  disciplinary  proceedings.   The
grounds stated in  the  Section  are  exhaustive  and  it  is  not  for  the
Commission to add other grounds which are not  specifically  stated  in  the
language  of  Section  20(2).   The  section  deals   with   two   different
proceedings.  Firstly, the appeal or complaint filed before  the  Commission
is to be decided and, secondly, if the Commission  forms  such  opinion,  as
contemplated under the provisions, then it can recommend  that  disciplinary
proceedings be taken against the said delinquent Central Public  Information
Officer  or  State  Public  Information  Officer.   The   purpose   of   the
legislation in requiring both these proceedings  to  be  taken  together  is
obvious not only from the language of the section but even by  applying  the
mischief rule wherein the provision is examined from the  very  purpose  for
which the provision has been enacted.  While deciding the complaint  or  the
appeal, if the Commission finds that the appeal  is  without  merit  or  the
complaint is without substance, the information need not  be  furnished  for
reasons  to  be  recorded.   If  such  be  the  decision,  the  question  of
recommending disciplinary action under Section 20(2) may not arise.   Still,
there may be another situation that upon perusing the records of the  appeal
or the complaint, the Commission may be of the  opinion  that  none  of  the
defaults contemplated under Section 20(2) is satisfied  and,  therefore,  no
action is  called  for.   To  put  it  simply,  the  Central  or  the  State
Commission have no jurisdiction to add to the exhaustive grounds of  default
mentioned in the provisions of Section 20(2).   The  case  of  default  must
strictly fall within the specified grounds  of  the  provisions  of  Section
20(2).  This provision has to be construed and applied strictly.  Its  ambit
cannot be permitted to be enlarged at the whims of the Commission.

27.   Now, let us examine if any one or more of  the  stated  grounds  under
Section 20(2) were satisfied in the present case  which  would  justify  the
recommendation by the Commission of taking disciplinary action  against  the
appellant.  The appellant had received the application from respondent  No.2
requiring the information sought for on 3rd January, 2007.    He  had,  much
within the  period  of  30  days  (specified  under  Section  7),  sent  the
application to the  concerned  department  requiring  them  to  furnish  the
requisite information.  The information  had  not  been  received.   May  be
after the expiry of the prescribed period, another  letter  was  written  by
the department to  respondent  No.2  to  state  the  period  for  which  the
information was asked for.  This letter was written  on  11th  April,  2007.
To this letter, respondent No.2 did not respond at all.  In  fact,  he  made
no further query to the office of the designated Public Information  Officer
as to the fate of his application and instead  preferred  an  appeal  before
the  Collector  and  thereafter  appeal   before   the   State   Information
Commission.  In the meanwhile, the appellant had  been  transferred  in  the
Excise Department from Nanded to Akola.  At this stage, we may  recapitulate
the relevant dates.  The application was filed on 3rd  January,  2007,  upon
which the appellant had acted and vide his letter dated 19th  January,  2007
had forwarded the application for requisite  information  to  the  concerned
department.  The appeal was filed by respondent no.2 under Section 19(1)  of
the Act before the Collector, Nanded on 1st  March,  2007.   On  4th  March,
2007, the appeal was forwarded to the office of the Excise  Department.   On
4th April, 2007, the appellant had been transferred from  Nanded  to  Akola.
On 11th April, 2007, other officer from the Department had asked  respondent
no.2 to specify the period for which the information was required.   If  the
appellant was given an opportunity and had appeared before  the  Commission,
he might have been able to explain that there was reasonable  cause  and  he
had taken  all  reasonable  steps  within  his  power  to  comply  with  the
provisions.  The Commission is expected to formulate an  opinion  that  must
specifically record the finding as to which part of Section 20(2)  the  case
falls in.  For instance, in relation to failure to  receive  an  application
for information or failure to furnish  the  information  within  the  period
specified in Section 7(1),  it  should  also  record  the  opinion  if  such
default was persistent and without reasonable cause.

28.   It appears that the facts have not been correctly noticed and, in  any
case, not in their entirety by the State  Information  Commission.   It  had
formed an opinion that the appellant was negligent  and  had  not  performed
the duty cast upon him.  The Commission  noticed  that  there  was  73  days
delay in informing the applicant  and,  thus,  there  was  negligence  while
performing duties.  If one examines  the  provisions  of  Section  20(2)  in
their entirety then it becomes obvious that every default  on  the  part  of
the concerned officer may not result in issuance  of  a  recommendation  for
disciplinary action.  The case must fall in any of  the  specified  defaults
and reasoned finding has to be recorded by the Commission while making  such
recommendations.  ‘Negligence’ per se  is not a ground on which  proceedings
under Section 20(2) of the Act can be invoked.  The Commission  must  return
a finding that such negligence, delay or default is persistent  and  without
reasonable cause.  In our considered view, the Commission,  in  the  present
case, has erred in not  recording  such  definite  finding.   The  appellant
herein had not failed to receive any application,  had  not  failed  to  act
within the period of 30 days  (as  he  had  written  a  letter  calling  for
information), had not malafidely denied the  request  for  information,  had
not furnished any incorrect or misleading  information,  had  not  destroyed
any information and had not obstructed the furnishing  of  the  information.
On the  contrary,  he  had  taken  steps  to  facilitate  the  providing  of
information by writing the stated letters.  May be  the  letter  dated  11th
April, 2007  was  not  written  within  the  period  of  30  days  requiring
respondent No.2 to furnish details of the period for which such  information
was required but  the  fact  remained  that  such  letter  was  written  and
respondent No.2 did not even bother to respond  to  the  said  enquiry.   He
just kept on filing appeal after appeal.  After  April  4,  2007,  the  date
when the appellant was transferred to Akola, he was not responsible for  the
acts of omissions and/or commission of the office at Nanded.

29.   Another aspect of this case which needs to be examined  by  the  Court
is that the appeal itself has  not  been  decided  though  it  has  so  been
recorded in the impugned order.  The entire impugned order does  not  direct
furnishing of the information asked for by respondent  No.1.   It  does  not
say whether such information was required to be furnished or not or  whether
in the facts of the case, it was required of respondent No.2 to  respond  to
the letter dated 11th April, 2007 written by the  Department  to  him.   All
these matters were requiring decision of  the  Commission  before  it  could
recommend the disciplinary action against the  appellant,  particularly,  in
the facts of the present case.

30.    All  the  attributable  defaults  of  a  Central  or   State   Public
Information  Officer  have  to  be  without   any   reasonable   cause   and
persistently.  In other words,  besides  finding  that  any  of  the  stated
defaults have been committed by such officer, the Commission has to  further
record its opinion  that  such  default  in  relation  to  receiving  of  an
application or not furnishing the information within the specified time  was
committed  persistently  and  without  a  reasonable  cause.   Use  of  such
language by the  Legislature  clearly  shows  that  the  expression  ‘shall’
appearing before ‘recommend’ has to be read and construed as  ‘may’.   There
could be cases where there is reasonable cause  shown  and  the  officer  is
able to demonstrate that there was no persistent default on his part  either
in receiving the application or furnishing the  requested  information.   In
such  circumstances,  the  law   does   not   require   recommendation   for
disciplinary proceedings to be made.  It  is  not  the  legislative  mandate
that irrespective of the facts and circumstances of a  given  case,  whether
reasonable  cause  is  shown  or  not,   the   Commission   must   recommend
disciplinary action merely because the  application  was  not  responded  to
within 30 days.  Every case has to be examined on its own facts.   We  would
hasten to add here that wherever  reasonable  cause  is  not  shown  to  the
satisfaction of the Commission and the Commission is  of  the  opinion  that
there is default in terms of the Section it  must  send  the  recommendation
for disciplinary action in accordance with law to the  concerned  authority.
In such circumstances, it will have no choice  but  to  send  recommendatory
report.  The burden of forming an opinion in accordance with the  provisions
of  Section  20(2)  and  principles  of  natural  justice  lies   upon   the
Commission.

31.   We are of the considered opinion that the  appellant  had  shown  that
the default, if any on his part, was not without reasonable cause or  result
of a persistent default on his part.  On the contrary, he  had  taken  steps
within his power and authority to provide information  to  respondent  No.2.
It was for the department concerned to react  and  provide  the  information
asked for.  In the present case, some  default  itself  is  attributable  to
respondent No.2 who did not even care  to  respond  to  the  letter  of  the
department dated 11th April, 2007.   The  cumulative  effect  of  the  above
discussion is that we are unable to sustain the order passed  by  the  State
Information Commission dated 26th February, 2008 and  the  judgment  of  the
High Court under appeal. Both the judgments are e  set aside and the  appeal
is allowed.  We  further  direct  that  the  disciplinary  action,  if  any,
initiated by  the  department  against  the  appellant  shall  be  withdrawn
forthwith.

32.   Further, we direct the State  Information  Commission  to  decide  the
appeal filed by respondent No.2 before it on merits and in  accordance  with
law.  It will also be open to the Commission to hear the appellant and  pass
any orders as contemplated  under  Section  20(2),  in  furtherance  to  the
notice issued to the appellant.  However, in the facts and circumstances  of
the case, there shall be no orders as to costs.

                                                             …………………………….,J.
                                                           [Swatanter Kumar]




                                                             …………………………….,J.
                                                            [Madan B. Lokur]
New Delhi;
December 13, 2012

Tuesday, February 21, 2012

United Kingdom Supreme Court=LORD WILSON A: INTRODUCTION Although the British Broadcasting Corporation ("the BBC") is listed as a public authority in the Freedom of Information Act 2000, the Act, as I will call it, applies to the BBC only to a limited extent. The words of limitation are found in Part VI of Schedule 1 to the Act: they provide that the Act applies only "in respect of information held for purposes other than those of journalism, art or literature". I will describe these words of limitation as the designation. This appeal requires the court to consider the meaning of the designation. The focus of the debate is on the word "journalism" rather than on the words "art" or "literature". How widely – or narrowly – should the phrase "purposes other than those of journalism" be construed? The answer of course lies in the narrowness – or width – of the concept of the "purposes ... of journalism" in the context of the Act. But the appeal also presents a more particular conundrum. It proceeds, albeit not on foundations as solid as one might wish, upon the premise that the information in issue was held by the BBC partly for purposes of journalism and partly for purposes other than those of journalism (or, for that matter, of art or literature). In a situation in which information is held for such dual and opposite purposes, does the information fall within the designation and thus within the scope of the Act? The primary contention made on behalf of the BBC is that, where it is held by the BBC even only partly for purposes of journalism, information is beyond the scope of the Act; and thus that, provided that the purposes of journalism are significant (i.e. more than minimal), they leave the information beyond the scope of the Act even though it is also held – perhaps even predominantly held – for purposes other than those of journalism. I will describe this as the BBC's polarised construction; and it was approved by the Court of Appeal (Lord Neuberger MR, Moses and Munby LJJ) on 23 June 2010, [2010] EWCA Civ 715, [2010] 1 WLR 2278, when making the order against which this appeal is brought. The Court of Appeal, however, approved the construction only on the basis that the phrase "purposes ... of journalism" should be construed "in a relatively narrow...way": see para 55, per Lord Neuberger. Sadly the appellant, Mr Steven Sugar, is deceased. His death occurred in January 2011, after he had filed Notice of Appeal to this court; and, by consent, the court appointed Ms Fiona Paveley to represent his estate in the appeal. The contention made on behalf of Mr Sugar is precisely the opposite of the primary contention made on behalf of the BBC. It is that, where it is held by the BBC even only partly for purposes other than those of journalism, information is within the scope of the Act; and thus that, provided that the purposes other than those of journalism are significant (i.e. more than minimal), they draw the information within the scope of the Act even though it is also held – perhaps even predominantly held – for purposes of journalism. I will describe this as Mr Sugar's polarised construction. But the very expression of these polarities foreshadows a middle way, which represents the secondary contention made on behalf of the BBC. It is that, in circumstances in which it holds information partly for purposes of journalism and partly for purposes other than those of journalism, the designation should be so construed as to draw the information within the scope of the Act only if the purposes other than those of journalism are the dominant purposes for which it is held. I will describe this as the dominant purpose construction.

Hilary Term [2012] UKSC 4 On appeal from: [2010] EWCA Civ 715 JUDGMENT Sugar (Deceased) (Represented by Fiona Paveley) (Appellant) v British Broadcasting Corporation and another (Respondents) before Lord Phillips, President Lord Walker Lord Brown Lord Mance Lord Wilson JUDGMENT GIVEN ON 15 February 2012 Heard on 23 and 24 November 2011 Appellant Respondent Tim Eicke QC Monica Carss-Frisk QC David Craig Kate Gallafent (Instructed by Forsters) (Instructed by BBC Litigation Department) Page 2 LORD WILSON A: INTRODUCTION 1. Although the British Broadcasting Corporation (“the BBC”) is listed as a public authority in the Freedom of Information Act 2000, the Act, as I will call it, applies to the BBC only to a limited extent. The words of limitation are found in Part VI of Schedule 1 to the Act: they provide that the Act applies only “in respect of information held for purposes other than those of journalism, art or literature”. I will describe these words of limitation as the designation. This appeal requires the court to consider the meaning of the designation. The focus of the debate is on the word “journalism” rather than on the words “art” or “literature”. How widely – or narrowly – should the phrase “purposes other than those of journalism” be construed? The answer of course lies in the narrowness – or width – of the concept of the “purposes ... of journalism” in the context of the Act. 2. But the appeal also presents a more particular conundrum. It proceeds, albeit not on foundations as solid as one might wish, upon the premise that the information in issue was held by the BBC partly for purposes of journalism and partly for purposes other than those of journalism (or, for that matter, of art or literature). In a situation in which information is held for such dual and opposite purposes, does the information fall within the designation and thus within the scope of the Act? 3. The primary contention made on behalf of the BBC is that, where it is held by the BBC even only partly for purposes of journalism, information is beyond the scope of the Act; and thus that, provided that the purposes of journalism are significant (i.e. more than minimal), they leave the information beyond the scope of the Act even though it is also held – perhaps even predominantly held – for purposes other than those of journalism. I will describe this as the BBC’s polarised construction; and it was approved by the Court of Appeal (Lord Neuberger MR, Moses and Munby LJJ) on 23 June 2010, [2010] EWCA Civ 715, [2010] 1 WLR 2278, when making the order against which this appeal is brought. The Court of Appeal, however, approved the construction only on the basis that the phrase “purposes ... of journalism” should be construed “in a relatively narrow...way”: see para 55, per Lord Neuberger. 4. Sadly the appellant, Mr Steven Sugar, is deceased. His death occurred in January 2011, after he had filed Notice of Appeal to this court; and, by consent, the court appointed Ms Fiona Paveley to represent his estate in the appeal. The Page 3 contention made on behalf of Mr Sugar is precisely the opposite of the primary contention made on behalf of the BBC. It is that, where it is held by the BBC even only partly for purposes other than those of journalism, information is within the scope of the Act; and thus that, provided that the purposes other than those of journalism are significant (i.e. more than minimal), they draw the information within the scope of the Act even though it is also held – perhaps even predominantly held – for purposes of journalism. I will describe this as Mr Sugar’s polarised construction. 5. But the very expression of these polarities foreshadows a middle way, which represents the secondary contention made on behalf of the BBC. It is that, in circumstances in which it holds information partly for purposes of journalism and partly for purposes other than those of journalism, the designation should be so construed as to draw the information within the scope of the Act only if the purposes other than those of journalism are the dominant purposes for which it is held. I will describe this as the dominant purpose construction. B: THE FACTS 6. By October 2003 the BBC’s coverage of the Israeli-Palestinian conflict had come under close scrutiny from pressure groups both pro-Israeli and pro-Arab. There were complaints, particularly from pro-Israeli groups, that its coverage was not impartial. Mr Richard Sambrook, then the BBC’s Director of News, decided to commission a senior journalist to analyse the BBC’s domestic Middle Eastern coverage, to survey the views and analyse the complaints of the pressure groups and to suggest whether and if so how it might be improved. Following discussion with Mr Mark Byford, then the Director of the BBC’s World Service, Mr Sambrook caused Mr Malcolm Balen to be appointed to conduct the exercise. Mr Balen had at one time been editor of the BBC’s Nine O’Clock News but, by 2003, he had ceased to be employed by the BBC and was working as Head of News for a commercial television channel. So Mr Sambrook caused Mr Balen to rejoin the BBC under a one-year contract, which took effect on 1 November 2003. It was unusual to bring someone into the BBC from outside to make a report for internal use. The contract described Mr Balen as a “Middle Eastern Consultant in News” but he and Mr Sambrook regarded his position more as that of a senior editorial adviser. The contract did not specify his duties; but what was clear was that he was to have no line-management responsibilities. 7. For the first three months Mr Balen discussed the BBC’s Middle Eastern coverage with journalists and editors, considered some of the complaints about it and gave regular oral reports to Mr Sambrook. Then in about February 2004, in response to a request by Mr Sambrook, he began to compose a full, written, report. It was to be a broad survey both of the quality (including the impartiality) of the Page 4 BBC’s coverage of Middle Eastern affairs in recent years and of the validity or otherwise of the complaints about it, taken as a whole; and it was to include practical suggestions, perhaps only tentative, for improvement of the quality of its coverage including of its impartiality. In July 2004 Mr Balen sent the final version of the report to Mr Sambrook and Mr Byford. The Balen report, as I will describe it, was an internal briefing document for the use of the BBC’s top management and reflected only Mr Balen’s personal views. 8. Meanwhile, in the wake of the publication in January 2004 of Lord Hutton’s “Report of the Inquiry into the Circumstances Surrounding the Death of Dr David Kelly CMG” HC 247, there had been several changes in the top management of the BBC. Mr Byford had become Deputy Director-General. In August 2004 Mr Sambrook became Director of the Global News division and Ms Helen Boaden took his place as Director of News. Mr Mark Thompson, the new Director-General, set up three new boards, including a Journalism Board (“the Board”), of which Mr Byford was the chair and Mr Sambrook, Ms Boaden and other senior managers were members. The Board was to be responsible for setting the strategy which would direct, and for defining the values which would inform, journalism across all areas of the BBC’s output. 9. At its meeting on 9 November 2004 the Board considered the Balen report. It considered it as part of its review of strategy in relation to its coverage of conflict in the Middle East. In response to the report the Board commissioned a paper, to be entitled “Taking Forward BBC Coverage of the Middle East”, which was intended to ensure that the BBC both met the highest standards of impartiality and honesty in its journalism and implemented recommendations in relation to training, editorial control and the handling of complaints, and which could be placed before even more senior bodies at the BBC. The Taking Forward paper, which in effect took forward the Balen report, was first presented to the Board in February 2005. 10. Perhaps in part as a result of the consideration afforded to it in the Taking Forward paper, the Balen report had a number of practical consequences. The most obvious – to the ordinary viewer of BBC television – was the establishment in 2005 of the post of Middle East Editor, to which Mr Jeremy Bowen was soon appointed. There were also internal changes in the BBC in relation to its analysis of capability, its compilation of a Key Facts Guide, its audit of the use on air of Middle Eastern experts and its development of training. 11. In 2005 the Board of Governors of the BBC appointed Sir Quentin Thomas to chair a panel which was charged with undertaking an external, independent, review of the impartiality of the BBC’s reporting of the Israeli- Palestinian conflict. In his report, published in May 2006, Sir Quentin recorded Page 5 that his panel had been supplied with the Balen report albeit on a confidential basis in that it had been only an unpublished report prepared internally for BBC management; that the report had been helpful; and that a number of its recommendations had already been implemented. C: THE FORENSIC HISTORY 12. Mr Sugar was a respected solicitor and a supporter of the State of Israel; he considered that the BBC’s coverage of Israel’s conflict with the Palestinians had been seriously biased against it. By letter dated 8 January 2005 he made a request to the BBC for disclosure to him of a copy of the Balen report pursuant to the Act. The BBC refused the request on the basis that it held the report – or, more strictly, the information in the report – for purposes of journalism and thus that it lay beyond the scope of the Act. 13. In March 2005 Mr Sugar applied to the Information Commissioner (“the Commissioner”) pursuant to section 50 (1) of the Act for a decision whether the BBC had determined his request in accordance with the requirements of the Act. By letters to Mr Sugar dated 24 October and 2 December 2005 the Commissioner, who had privately read the Balen report, communicated his decision, which was to the effect that the BBC had lawfully rejected his request. The Commissioner observed that: (a) the purpose of the designation was “to protect journalistic, artistic and literary integrity by carving out a creative and journalistic space for programme-makers to produce programmes free from the interference and scrutiny of the public”; (b) information held by the BBC fell beyond the scope of the Act only if there was a direct and creative journalistic relationship between it and programme content; (c) there was such a relationship between the Balen report and programme content; (d) in this regard it was relevant that those mainly likely to be affected by the report were journalists and editors rather than managers and business advisers; Page 6 (e) if, which he did not accept, the report was held for any non-journalistic purpose, it continued to lie beyond the scope of the Act because the journalistic purpose was manifestly dominant; and (f) had it been impossible to discern which of two such opposite purposes was dominant, he would have applied a rebuttable presumption that the information lay within the scope of the Act. 14. Had the Commissioner’s observations stopped at that point, the issue about the disclosure of the Balen report to Mr Sugar would have been resolved long ago. But, by a postscript, the Commissioner proceeded to set a hare running and, although he soon repented of what he had done and sought to recapture it, the hare remained at large and was chased all the way up to the Appellate Committee of the House of Lords. It was to prove a most unfortunate distraction. 15. With respect to certain eminent judges with whom it was later to find favour, the postscript which the Commissioner appended to his decision was entirely misconceived. It was that, because the Balen report was outside the designation and thus beyond the scope of the Act, the BBC was not “a public authority” for the purposes of the Act in relation to Mr Sugar’s request. The consequence was, according to the Commissioner, that Mr Sugar had no right of appeal against his decision to the Information Tribunal (“the Tribunal”) under section 57 of the Act. This consequence was said to flow from the conjunction of section 57 itself, which provided that an appeal to the Tribunal lay from the Commissioner’s “decision notice”, and of section 50, which provided that a “decision notice” related to a decision whether a request for information had been lawfully determined by “a public authority”. At first, therefore, the Commissioner took the view that his letters to Mr Sugar could not represent a “decision notice”; and he advised Mr Sugar that, if he wished to challenge his decision, he should seek a judicial review of it rather than appeal to the Tribunal. 16. On 30 December 2005, undeterred, Mr Sugar appealed to the Tribunal under section 57 of the Act. The Commissioner and the BBC entered a preliminary objection that the Tribunal lacked jurisdiction for the reasons set out above. By the time when, in June 2006, the Tribunal heard argument about the preliminary objection, the Commissioner had changed his mind and was supporting Mr Sugar’s rebuttal of it. But the BBC energetically pursued the objection. The Tribunal overruled it (the “jurisdiction decision”) and proceeded to consider the merits of Mr Sugar’s appeal. Its decision dated 29 August 2006, by which it upheld Mr Sugar’s contention that the Balen report was within the scope of the Act (the “journalism decision”), will require study. But it is convenient first to chart the development of the argument on jurisdiction to its quietus. Page 7 17. The BBC appealed on points of law to the High Court under section 59 of the Act against the Tribunal’s jurisdiction decision as well as against its journalism decision. Mr Sugar and the Commissioner opposed the appeal. The BBC also issued an application for judicial review of the Tribunal’s jurisdiction decision, to which, in that no order was to be made on it, there is no need again to refer. In order to protect himself against the risk that the High Court would set aside the Tribunal’s jurisdiction decision, Mr Sugar issued an application for judicial review of the Commissioner’s decision. 18. These proceedings came before Davis J. By a judgment delivered on 27 April 2007, [2007] EWHC 905 (Admin), [2007] 1 WLR 2583, he: (a) allowed the BBC’s appeal against the Tribunal’s jurisdiction decision; (b) accordingly set aside its journalism decision; and (c) dismissed Mr Sugar’s protective application for judicial review on the ground that the Commissioner’s decision had been rational and therefore lawful. 19. Supported by the Commissioner, Mr Sugar appealed to the Court of Appeal against the decision of Davis J to allow the BBC’s appeal against the Tribunal’s jurisdiction decision. At this stage he ceased to appear in person and began to enjoy the benefit of representation by Mr Tim Eicke QC pro bono. By order dated 25 January 2008, [2008] EWCA Civ 191, [2008] 1 WLR 2289, the Court of Appeal (Buxton and Lloyd LJJ and Sir Paul Kennedy) dismissed the appeal. 20. Mr Sugar appealed to the House of Lords against the dismissal of his appeal by the Court of Appeal. By order dated 11 February 2009, [2009] UKHL 9, [2009] 1 WLR 430, the House (Lord Phillips, Lord Hope and Lord Neuberger, Lord Hoffmann and Baroness Hale dissenting) allowed the appeal. Thus, at last, the effect of the BBC’s inclusion in the Act became clear. Even in relation to a request to the BBC for information which lay outside the designation and thus beyond the scope of the Act, the BBC remained a public authority for the purposes of the Act: see, in particular, paras 26 to 36 per Lord Phillips and para 54 per Lord Hope. A decision by the Commissioner that a request was of such a character should therefore be, and in this case had been, set in a decision notice under section 50 of the Act and the proper avenue of challenge to it was by appeal to the Tribunal under section 57: see paras 37 and 38, per Lord Phillips. The House therefore remitted to the High Court the BBC’s appeal against the Tribunal’s journalism decision, which Davis J had Page 8 found it unnecessary to consider. For, from his further conclusion that the Commissioner’s decision had been lawful, it in no way followed that the BBC’s appeal against the Tribunal’s journalism decision was entitled to succeed: see para 38, per Lord Phillips. 21. In reaching its journalism decision the Tribunal, which had privately read the Balen report, had addressed the application of the designation to a situation in which the requested information was held for dual and opposite purposes. It had noted the polarised constructions advanced by Mr Sugar and by the BBC to which I have referred but had preferred the BBC’s secondary contention, which accorded with the Commissioner’s approach, that in such a situation the Act required reference to the dominant purpose for which the information was held. The Tribunal found that the BBC had originally held the Balen report predominantly for purposes of journalism; that, however, once the report had been placed before the Journalism Board on 9 November 2004, the BBC had begun to hold it predominantly for purposes other than those of journalism, namely for purposes of strategic policy and resource allocation; and thus that, at the date of its receipt of Mr Sugar’s request in January 2005, the information was within the scope of the Act. The Tribunal did not find – and Mr Sugar does not appear to have asked it to find – that, at the date of its receipt of his request, the BBC held the report solely for purposes other than those of journalism. 22. The BBC’s remitted appeal against the Tribunal’s journalism decision came to be determined by Irwin J. By order dated 2 October 2009, [2009] EWHC 2349 (Admin), [2010] 1 WLR 2278, he allowed the appeal. Although Mr Sugar reserved the right to advance his polarised construction in the event of a further appeal, all three parties – i.e. including the Commissioner, who in the further appeals has ceased to play an active part in the proceedings – accepted before Irwin J that the Tribunal had been correct to adopt the dominant purpose construction; the issue between them related to its application of that test to the facts. But at this point the litigation took another unexpected turn. Concerned that he was being invited to determine the appeal on a false legal basis, the judge invited the parties to address him on the polarised constructions which the Tribunal had rejected. In the event he adopted the BBC’s polarised construction. “My conclusion is” said the judge, at para 65, “that the words in the Schedule mean the BBC has no obligation to disclose information which they hold to any significant extent for the purposes of journalism, art or literature, whether or not the information is also held for other purposes.” Not even Mr Sugar was disputing that, at the date of its receipt of his request, the BBC was continuing to hold the report to some (other than minimal) extent for purposes of journalism; so it followed that the appeal should be allowed. The judge added that, had it been appropriate to determine the appeal by reference to the dominant purpose for which, at the date of its receipt of Mr Sugar’s request (or, rather, which the judge considered would be less arbitrary, “in the period during which the request was Page 9 made”), the BBC held the report, he would, again, have allowed the appeal: for he considered that the Tribunal had erred – in law, presumably – in finding that, once it had been placed before the Journalism Board, the purposes for which the BBC held the report had become predominantly other than those of journalism. 23. It is against the dismissal by the Court of Appeal of Mr Sugar’s appeal against the order of Irwin J that the present appeal is brought. In that court, and in the light of Irwin J’s judgment, the BBC reverted to casting its polarised construction as its primary contention; and the dominant purpose construction once more became only its secondary contention. In delivering the leading judgment, with which both Moses LJ (who delivered a concurring judgment) and Munby LJ agreed, Lord Neuberger rejected the dominant purpose construction and, although he described each of the polarised constructions as arguable, he agreed with Irwin J that that put forward by the BBC was preferable. Since on any view the purposes for which the BBC held the report at the date of its receipt of Mr Sugar’s request to some extent included those of journalism, his appeal therefore failed. 24. But a question arises whether the Court of Appeal approached the case on the basis that the purposes for which the BBC held the report at the relevant date were solely those of journalism. Observations which tend in that direction are to be found in the judgments both of Lord Neuberger at para 65 and of Moses LJ at para 83. Nevertheless, had such been its conclusion, it would have been unnecessary for the Court of Appeal to address at length the application of the designation to a situation in which information is held for purposes partly of journalism and partly otherwise. In considering it necessary to address the same point Irwin J must have held that, as the expert fact-finder, the Tribunal had been entitled at any rate to find that the purposes for which the BBC held the report had been to some extent for purposes other than those of journalism; and the Court of Appeal did not dissent from Irwin J’s analysis in any way. At all events the BBC positively invites this court to proceed on the premise that it held the report for purposes partly of journalism and partly otherwise: it seeks a definitive ruling on the application of the designation to such a situation. D: THE SCHEME OF THE ACT 25. The purpose of the Act is stated at its outset to be “to make provision for the disclosure of information held by public authorities or by persons providing services for them...” Section 1, described in the side-note as providing a “General right of access to information held by public authorities”, provides by subsection (1) that, subject to other specified provisions, any person making a request for information to a public authority is entitled (a) to be informed by the authority whether it holds information of the description specified in the request (described as “the duty to confirm or deny”) and (b), if so, to have the information Page 10 communicated to him. Subsection (4) provides that, for the purposes of the section, the information is that “held at the time when the request is received”. 26. Section 2 (2) is important for present purposes. It provides: “In respect of any information which is exempt information by virtue of any provision of Part II, section 1 (1) (b) does not apply if or to the extent that – (a) the information is exempt information by virtue of a provision conferring absolute exemption, or (b) in all the circumstances of the case, the public interest in maintaining the exemption outweighs the public interest in disclosing the information.” As the subsection foreshadows, Part II of the Act provides for the exemption of certain categories of information from disclosure. Section 2(3) confers absolute exemption upon various of the categories. The other categories enjoy only qualified exemption: information in such categories is not required to be disclosed only if the test in subsection (2)(b) is satisfied; and the bias of the Act in favour of disclosure is visible in the requirement that the public interest in maintaining the exemption should “outweigh” the public interest in disclosing the information. 27. Among the categories upon which the Act confers absolute exemption is information which relates in specified respects to national security (section 23), to court proceedings (section 32) or to personal data of which the applicant is the subject (section 40(1)), or the disclosure of which would constitute an actionable breach of confidence (section 41) or be unlawful in other specified respects (section 44). 28. Among the categories upon which the Act confers qualified exemption is information the disclosure of which would be likely to prejudice the defence of the British Islands and colonies (section 26) or the UK’s international relations (section 27) or its economy (section 29) or law enforcement (section 31) or which relates to the formulation of government policy (section 35). 29. But, in the context of the present appeal, it is worth noting, in particular, two further categories of information upon which the Act confers qualified exemption. The first is information the disclosure of which would be likely to prejudice the commercial interests of the public authority (section 43(2)). The second is information the disclosure of which, in the reasonable opinion of a qualified person (which in the case of the BBC is the corporation itself, acting by Page 11 its governors) “would, or would be likely to, inhibit – (i) the free and frank provision of advice, or (ii) the free and frank exchange of views for the purposes of deliberation” (section 36(2)(b)). One might have expected that, in the event that the Balen report were to be held to fall within the scope of the Act, the BBC would wish to seek exemption from its disclosure under section 36(2)(b). By letter to Mr Sugar dated 10 June 2009, however, the BBC confirmed that, in that event, it would not claim any exemption under the Act. Perhaps its stance was tactical, designed to sharpen the edge of the current issue. 30. Section 3 of the Act defines a public authority as any body, person or office-holder listed in Schedule 1 (or designated by future order of the Secretary of State) and any publicly-owned company, as defined. Schedule 1 contains a long list of bodies, persons and office-holders, some defined generically and others specifically. The schedule is divided into seven parts, namely I “General”, II “Local Government”, III “The National Health Service”, IV “Maintained Schools and Other Educational Institutions”, V “Police”, VI “Other Public Bodies and Offices: General” and VII “Other Public Bodies and Offices: Northern Ireland” The BBC (together with the designation) is placed into Part VI. In para 56 of his judgment on the jurisdiction issue Lord Hope explained that the length of the list in Schedule 1 was testament to Parliament’s wish to obviate dispute about the identity of the public authorities who were subject to the Act. 31. Section 7(1) of the Act provides: “Where a public authority is listed in Schedule 1 only in relation to information of a specified description, nothing in Parts 1 to V of this Act applies to any other information held by the authority.” 32. Four public authorities are listed in Schedule 1 in terms of the designation, i.e. “in respect of information held for purposes other than those of journalism, art or literature”; they are the BBC, the Channel Four Television Corporation, the Gaelic Media Service and Sianel Pedwar Cymru (being the Welsh television channel known as S4C). Other authorities are listed only in relation to information of other specified descriptions. For example the House of Commons, the House of Lords and the National Assembly for Wales are listed in respect of information other than of a specified sort which might serve to identify the residential addresses of their members (Part I, paras 2, 3 and 5, as amended by article 2 of the Freedom of Information (Parliament and National Assembly for Wales) Order 2008 (SI 2008/1967)). The Sub-Treasurer of the Inner Temple and the Under- Treasurer of the Middle Temple are listed in respect of information held in their capacities as a local authority (Part II, para 10). Those providing medical, dental and ophthalmic services are listed in respect of information relating to their provision of services under the NHS (Part III, paras 43A, 44 and 51). Six bodies – Page 12 for example the Pharmaceutical Society of Northern Ireland – are listed in respect of information held by them otherwise than as a tribunal (Parts VI and VII, as amended by articles 3 and 5 of, and Schedules 2 and 4 to, the Freedom of Information (Additional Public Authorities) Order 2005 (SI 2005/3593)). And the Bank of England is listed “in respect of information held for purposes other than those of its functions with respect to – (a) monetary policy, (b) financial operations intended to support financial institutions for the purposes of maintaining stability, and (c) the provision of private banking services and related services.” E: “PURPOSES ... OF JOURNALISM, ART OR LITERATURE” 33. Although they also to some extent reflect the terms of section 12(4) of the Human Rights Act 1998 (to which I will refer in para 58), the words of the designation are essentially derived from the Data Protection Act 1998 (“the DPA”). 34. The DPA was passed pursuant to Directive 95/46/EC of the European Parliament and of the Council, dated 24 October 1995, “on the protection of individuals with regard to the processing of personal data and on the free movement of such data”. Article 1(1) of the Directive declared its object to be the protection of a natural person’s fundamental right to privacy with respect to the processing of personal data. By recital 37, however, the European Parliament and the Council recognised that the processing of personal data “for purposes of journalism or for purposes of literary or artistic expression” also engaged “the right to receive and impart information, as guaranteed in particular in article 10 of the European Convention for the Protection of Human Rights and Fundamental Freedoms” 1950 (“the ECHR”) and should therefore be exempt from the Directive’s requirements to the extent necessary for the reconciliation of such conflicting rights. Article 9 of the Directive therefore mandated exemption “for the processing of personal data carried out solely for journalistic purposes or the purpose of artistic or literary expression only if they are necessary to reconcile the right to privacy with the rules governing freedom of expression”. 35. The UK’s response to article 9 lies in sections 3 and 32 of the DPA. The former defines the purposes of journalism and artistic and literary purposes as “the special purposes”. The latter provides that personal data processed “only for the Page 13 special purposes” are exempt from most of the provisions of the Act, in particular the individual’s central right of access under section 7 to data of which he is the subject, if the processing is undertaken with a view to the publication of any journalistic, literary or artistic material and if the data controller reasonably believes both that, having regard in particular to the special importance of the public interest in freedom of expression, publication would be in the public interest and that compliance with the relevant provision would be incompatible with the special purposes. 36. The government had initially entertained doubts about the inclusion of the BBC in the Freedom of Information Bill. In a published paper setting out background material relevant to the publication on 11 December 1997 of its White Paper entitled “Your Right to Know” (Cm 3818) about the proposed Bill, the government wrote, at para 23: “the BBC, Channel 4 and S4C are public corporations that operate to a defined remit specified in the Royal Charter (BBC) and legislation (Channel 4 and S4C). All three operate independently of Government editorially and to the greatest extent possible in economic and regulatory terms. It might be regarded as anomalous for them to be within the scope of the FOI legislation when the private media (Channels 3 and 5, cable and satellite channels, the Internet, the press and freelances of all sorts) would not.” 37. In the event the public service broadcasters were included in the Bill. But, in the course of the passage of the Bill through Parliament and following representations to the Home Office both by the BBC and by Channel 4, their inclusion was made subject to the designation. The designation had two, linked, purposes. Its general purpose, reflective of the genesis of its three specified concepts in the EU Directive dated 24 October 1995 in relation to access to personal data, was to protect the right of the public service broadcasters to freedom of expression, in particular under article 10 of the ECHR. Its particular purpose, foreshadowed in the background material quoted above, was (as confirmed in a letter dated 13 January 2000 from an officer in the Home Office, which had responsibility for the Bill, to an officer in another department) that the public service broadcasters should not be placed at a disadvantage in relation to their commercial rivals. 38. Before I turn to “purposes”, let me reflect on the meaning, in the context of the Act, of the words “journalism”, “art” and “literature”. I suggest that the key to it lies in the omnibus word “output”. Article 5 of the BBC’s Royal Charter (Cm 6925), presented to Parliament in October 2006, provides, at para (1), that the BBC’s main activities should be the promotion of its six Public Purposes, specified Page 14 in article 4, “through the provision of output which consists of information, education and entertainment” supplied by means of television, radio, online and similar services; and the Charter provides, at article 5(2), that the BBC may carry out other activities, subordinate to its main activities, provided that they promote the Public Purposes. In his letter to Mr Sugar dated 24 October 2005 the Commissioner, echoing the word in the Charter, wrote that he interpreted the three words in the designation broadly so as to include all types of the BBC’s “output”. In this respect I discern no dissent from his view in any of the three subsequent decisions in these proceedings; and in my opinion he was right. I would be surprised if any later set of facts was to yield a conclusion that something which the BBC put out, or considered putting out, to the public or to a section of the public did not fall within the rubric either of journalism or of art or of literature. So, although one might have an interesting debate whether nowadays the word “journalism” encompasses more than news and current affairs, the debate is likely in this context to be sterile. For any output which did not obviously qualify as journalism would be likely to qualify either as literature or – in particular, in that its meaning has a striking elasticity – as art. 39. On any view the subject of this appeal leads us to forsake art and literature – and even output itself – and to revert to journalism. In what circumstances will the BBC hold information for the purposes of journalism? The Tribunal attempted to answer that abstract question; and the substantial criticism of its decision has been directed not at its analysis but at its application of its analysis to the circumstances in which the BBC held the Balen report. Within the word “journalism” in the designation (which it described as “functional journalism” – a puzzling qualification in that, without elaboration, it implied the existence of other areas of journalism) the Tribunal identified three types of activity: first, the collecting, writing and verifying of material for publication; second, the editing of the material, including its selection and arrangement, the provision of context for it and the determination of when and how it should be broadcast; and third, the maintenance and enhancement of the standards of the output by reviews of its quality, in terms in particular of accuracy, balance and completeness, and the supervision and training of journalists. In relation to this third type, the Tribunal added, at para 116: “Self-critical review and analysis of output is a necessary part of safeguarding and enhancing quality. The necessary frankness of such internal analysis would be damaged if it were to be written in an anodyne fashion, as would be likely to be the case if it were potentially disclosable to a rival broadcaster.” 40. The Tribunal contrasted the three suggested types of journalistic activity with the direction of policy, strategy and resources which provides the framework within which a public service broadcaster conducts its operations. Page 15 41. In the Court of Appeal Lord Neuberger said, at para 53, that, at any rate in the present context, he could not improve upon the Tribunal’s general analysis. 42. Apart from pointing out that its tripartite classification does not readily encompass the actual exercise of broadcasting or publishing the material, the BBC does not quarrel with the Tribunal’s analysis of what falls within and without the concept of journalism for the purposes of the Act. In my view, and subject to that point, this court should endorse the Tribunal’s analysis but should decline the BBC’s invitation to clothe it with greater specificity. It is important to note, however, that not all financial information will be held by the BBC for purposes other than those of journalism. If financial information is directly related to the making of a particular programme, or group of programmes, it is likely to be held for purposes of journalism. On the same day, namely 2 October 2009, as that on which he handed down his judgment in the present proceedings, Irwin J handed down his judgment in BBC v The Information Commissioner [2009] EWHC 2348 (Admin), [2010] EMLR 121. He held that information about (among other things) costs referable to its broadcast of “EastEnders”, about its annual budget for “Newsnight” and about the price paid for its right to cover the winter Olympics in Turin in 2005/06, was held at an operational level in order to assist in the making of editorial and creative choices and so was held partly (and, if relevant, predominantly) for purposes of journalism. 43. The application of Ireland’s Freedom of Information Act 1997 to its public service broadcasters is worthy of note. By regulations made in 2000, SI No 115 of 2000, Radio Telefis Éireann and other broadcasters were made subject to the Irish Act in relation only to their functions of management, administration, finance, commerce, communications and entry into contracts of service; but the regulations provide that such functions are to be deemed not to include the gathering and recording of material for journalistic purposes, the consideration of programme content, the editing and storing of such material, the making of editorial decisions about programmes and the process of post-transmission internal review. There is a close parallel between the effect of the express provisions made in Ireland and the meaning to be attributed to the bare words of the designation in our Act. There was also an interesting application of the Irish Act in the decision of the Irish High Court in Radio Telefis Éireann v The Information Commissioner [2004] IEHC 113. RTE is under a statutory obligation to ensure that its broadcasts of current affairs are impartial. To that end it collected data as to the amount of broadcast time which it had afforded to each political party during the general election campaign in 2002. Ó Caoimh J held that the data related to editorial decisions and to post-transmission internal review and so did not fall to be disclosed under the Irish Act. 44. The BBC has an obligation to seek to ensure that its broadcasting of news is impartial as well as accurate: see clause 6(1) of the Framework Agreement Page 16 between the Secretary of State for Culture, Media and Sport and the BBC made on 30 June 2006 (Cm 6872) for the purposes of the BBC’s Charter. Inevitably the Tribunal found that, when it first came into existence, the Balen report into the impartiality or otherwise of the BBC’s coverage of the Israeli/Palestinian conflict was held (or, as it preferred to say, was predominantly held) for purposes of journalism. Its error, as correctly identified by Irwin J and the Court of Appeal, was to conclude that, once the report had been placed before the Journalism Board, it came predominantly to be held for purposes other than those of journalism, namely for those of strategic policy and resource allocation. Irrespective of the level at which, within the BBC, it was appraised, the purpose for which the report was held remained the same: it was to enable the BBC to monitor its coverage of the conflict with a view to its making any and all such changes as might further secure its impartiality. At all material times the BBC held the report – at least predominantly – for purposes of journalism. But, since the appeal proceeds upon the premise that, at the date of its receipt of Mr Sugar’s request, the BBC also held the report for purposes other than journalism, I turn finally to address the application of the designation to a situation in which the information is held for such dual and opposite purposes. F: THE POLARITIES 45. Had I considered that the court was required to choose between the two polarised constructions of the designation in its application to a situation of dual and opposite purposes, I would on balance have chosen that advanced on behalf of Mr Sugar. First, his contention should probably prevail at a purely literal level: if the purposes for which the BBC holds information comprise even only to a minor extent purposes other than those of journalism, then, so I would conclude, the BBC holds it “for purposes other than those of journalism...”; and in my view there is probably no scope for altering the conclusion by reference to the fact that it also holds the information for purposes of journalism. But, were one to rearrange the terminology of the designation only marginally, so that it became “in respect of information otherwise than held for purposes of journalism...”, then the literal construction would probably yield the opposite conclusion. These semantic reflections – with which others might reasonably disagree in any event – represent far too slender a thread upon which to hang any overall conclusion. Second, however, and more importantly, the designation falls to be construed in the context of the Act as a whole, and thus, in particular of Part II. The beauty (says Mr Eicke) of construing the situation of dual purposes as falling within the scope of the Act is that the focussed exemptions in Part II then become available so as to winnow the information which should not be disclosed from that which should be disclosed; by contrast, were such a situation to be drawn, as if on a blanket, beyond the scope of the Act, the focussed exercise would have no place. Third, there is the bias of the Act in favour of disclosure and, in the resolution of any issue of construction, it would be permissible, as a last resort, to have regard to it. The BBC strongly Page 17 argues that the designation defines the extent to which its information is included within the scope of the Act, as opposed to the extent to which it is excluded from it. But the distinction, though theoretically valid, is practically elusive: in reality the designation defines an exception, albeit very important, from the subjection of the BBC to the Act and should be construed accordingly. 46. In the Court of Appeal Lord Neuberger suggested, at para 55, that the question whether information is “held for purposes... of journalism” should be considered in a relatively narrow way. With respect, his suggested departure from the natural construction of the word “purposes” raises in my mind a question-mark against his overall conclusion about the Act’s application to a situation of dual and opposite purposes. No doubt his suggestion flowed from his concern, expressed at para 48, that the effect of his overall conclusion would be that relatively little information held by the BBC fell within the scope of the Act; for a relatively narrow construction of the word “purposes” would mitigate such an effect. There is – in my respectful view – a loose analogy here with the driver who, in proceeding down a straight road, nevertheless steers to the left and then has to rectify his position by steering to the right: he would have done better to keep straight. 47. So is it necessary to choose between the two polarised constructions? G: THE DOMINANT PURPOSE 48. Sometimes Parliament specifically refers to “the .... principal purpose” (section 678 (2)(a) Companies Act 2006) or to “the reason (or, if more than one, the principal reason)” (section 103A Employment Rights Act 1996, as inserted by section 5 of the Public Interest Disclosure Act 1998). Does Parliament’s failure to make such a reference in the designation betoken its rejection of an approach that the purposes to which it there refers should be the dominant (or principal) purposes? We may confidently answer that question in the negative. Everything points to a conclusion that Parliament failed to consider the application of the designation to a situation in which the BBC holds the information for purposes partly of journalism and partly otherwise. Had it considered such a situation, it would have spelt out – in one way or another – how the designation should then operate. 49. Bennion on Statutory Interpretation, 5th ed (2008) states at p 1268: “Similarly, an enactment may lay down a qualifying condition in terms of the purpose of some person in doing an act as if it were the Page 18 only purpose possible, whereas it may in the instant case, be in fact, one of several purposes. Here the court will construe the enactment as requiring the main or dominant purpose to be the one specified.” It has to be acknowledged that the two authorities cited in support of the statement represent a slender foundation for the bold and unequivocal terms in which it is couched. 50. The first authority is Chohan v Saggar [1992] BCC 306. There the High Court held that the power under section 423 of the Insolvency Act 1986 to set aside a transaction entered into by a person at an undervalue “for the purpose” of putting assets beyond the reach of his creditor was exercisable if such was his dominant, even if not his sole, purpose. As it happens, the decision was overruled by the Court of Appeal in Commissioners of Inland Revenue v Hashmi [2002] EWCA Civ 981, [2002] BCC 943, on the basis that, in the context of the 1986 Act, it sufficed that the statutory purpose should have been a substantial, even if not the dominant, purpose. Laws LJ observed, at para 32, that to qualify the word “purpose” by the word “dominant” was not required in order to make sense of that Act or to give it pragmatic efficacy. 51. The second authority is Peach v Commissioner of Police of the Metropolis [1986] QB 1064. There the Court of Appeal held that statements made to the police about the death of Mr Blair Peach should be disclosed to his mother in her action against the police because, although they were made partly for the purpose of a complaint against the police and so would to that extent, in principle, attract public interest immunity from disclosure, they were made predominantly for the purpose of the investigation by the police of a violent death, to which no such immunity attached. The court applied the decision in Waugh v British Railways Board [1980] AC 521. There the House of Lords held that a report into a fatal accident made for two purposes – namely for the purpose of the operation and safety of the railway (in which respect it would fall to be disclosed) and for the purpose of obtaining legal advice (in which respect it would fall, in principle, not to be disclosed) – should be disclosed because the former was the dominant purpose. The decisions in Waugh and Peach thus both relate to the resolution of conflict between two principles of law which require the existence of different purposes and both of which are engaged by the facts of the case. No doubt the decisions demonstrate in general terms the common sense which may lie behind resort to the dominant purpose but neither represents authority upon statutory construction. 52. But while therefore the statement in Bennion, set out above, is in my view expressed too strongly, I consider that, as it suggests, it may well be appropriate for the court to construe a statutory requirement of a specified purpose as Page 19 mandating, in the case of dual purposes, examination of whether the specified purpose is dominant. All will depend upon the objective meaning of the words in the statute when appraised in its context as a whole, including by reference to the purpose of the particular provision: see R v Secretary of State for the Environment, Transport and the Regions, Ex p Spath Holme Ltd [2001] 2 AC 349, 396 G-H, per Lord Nicholls. In ordinary conversation we frequently – no doubt unconsciously – refine our reference to purpose to a reference to dominant purpose. You ask me why I went out last night. I tell you that I went out in order to visit a friend in hospital. I do not add that I did so in order also to catch the post, to buy sausages and to fill my petrol tank – significant though those subsidiary purposes may have been for me. 53. In the Court of Appeal Lord Neuberger identified three objections to adoption of the dominant purpose test when applying the designation to a situation in which information is held for dual and opposite purposes. 54. First, he said, at para 40, that the test defied the natural meaning of the words of the designation and that Parliament had not spoken, yet could have spoken, of “information predominantly held for purposes other than those of journalism....” Yet the Court of Appeal’s preferred solution also fails that test for its reading is of “information solely held for purposes other than those of journalism...”. 55. Second, Lord Neuberger said, at para 41, that identification of the dominant purpose would be a subjective and often speculative exercise. I respectfully disagree. In the case of Waugh, in the course of explaining why they favoured a test of dominant purpose in the different context to which I have referred, both Lord Simon, at p 537G, and Lord Russell, at p 545E, observed that the test would not be difficult to apply. In BBC v The Information Commissioner, cited above, Irwin J appears to have had no difficulty in concluding that the dominant purpose for which the BBC held the financial information was that of journalism. Indeed in my opinion it is easier for the Commissioner and the Tribunal to identify the dominant purpose than to conduct an inquiry into the existence of any purpose of journalism in accordance with the various pieces of guidance given first by Lord Neuberger at para 55 (namely to consider it “in a relatively narrow rather than a relatively wide way”), then by Lord Phillips at para 67 below (namely to ask whether “an immediate object of holding the information is to use it” for that purpose) and finally by Lord Walker at para 83 below (namely “to have some regard to the directness of the purpose”). 56. And, third, Lord Neuberger drew attention, at para 42, to the fact that, if the word “purposes” in the designation referable to the BBC was, in the case of dual purposes, to be construed as a reference to the dominant purpose, the same word in Page 20 the designations referable to the Bank of England and to the Competition Commission would need to be construed in the same way. Lord Neuberger suggested that Parliament was unlikely to have intended that, to take the case of the Bank of England, information which it held for dual purposes would be within the scope of the Act unless the purposes of its functions with respect to monetary policy etc were dominant. But Lord Neuberger’s point fails to take account of the exemptions in Part II of the Act which might in that event be available, particularly exemptions from disclosure likely to prejudice either the economic interests of the UK (section 29) or the effective conduct of public affairs (section 36(2) (b) and/or (c)). 57. So I find myself unable to subscribe to Lord Neuberger’s concerns about the dominant purpose test. I am convinced that, had Parliament actively considered the situation of information held by the BBC for purposes partly of journalism and partly otherwise, it would expressly have provided that the information was within the scope of the Act if it was held predominantly for the other purposes; that, however, the words which in the event Parliament favoured, namely the words of the designation, are in themselves apt to permit such a construction; and that, since in my view it is more consonant with the Act as a whole than either of the polarities, this court should therefore proceed to endorse it. 58. The further submission on behalf of Mr Sugar is that his request for disclosure of the Balen report engaged his right to receive information under para 1 of article 10 of the ECHR and that such restrictions on the exercise of his right as are permitted by para 2 of the article extend no further than is reflected by the designation (when read in accordance with his polarised construction), together with the exemptions in Part II of the Act. To this submission Lord Brown devotes paras 86 to 102 of his judgment below; with the essence of them I respectfully agree. In short article 10 carries Mr Sugar’s case no further. Even if (being a possibility which I would countenance somewhat more readily than does Lord Brown) the refusal to disclose the report did interfere with the freedom of Mr Sugar to receive information under the article, the words of the designation, when given the balanced interpretation which I favour, represent a restriction upon it which is legitimate under para 2 of the article in that it is necessary in a democratic society for the protection of the freedom to impart information enjoyed by the BBC under the same article. This conclusion becomes all the stronger when the court obeys the injunction cast upon it by section 12(4) of the Human Rights Act 1998 to have particular regard to the importance of freedom of expression and, in particular, to the extent to which it would be in the public interest for “journalistic, literary or artistic material...to be published”. 59. In urging this court not to take an extravagant view of any rights of Mr Sugar under article 10 Miss Monica Carss-Frisk QC on behalf of the BBC cites the decision of the House of Lords in R (Al-Skeini) v Secretary of State for Defence Page 21 [2007] UKHL 26, [2008] AC 153 and, by reference, its earlier decision in R (Ullah) v Special Adjudicator [2004] UKHL 26, [2004] 2 AC 323. It was in Ullah that, in para 20, Lord Bingham suggested that it was the duty of the House to keep pace with the evolving jurisprudence of the European Court of Human Rights (“the ECtHR”) “no more, but certainly no less”. It was in Al Skeini that, in para 106, Lord Brown suggested that its duty was to keep pace with it “no less, but certainly no more”. I would welcome an appeal, unlike the present, in which it was appropriate for this court to consider whether, of course without acting extravagantly, it might now usefully do more than to shadow the ECtHR in the manner hitherto suggested – no doubt sometimes in aid of the further development of human rights and sometimes in aid of their containment within proper bounds. 60. It is, therefore, my view – a solitary view – that, after six years, the case returns, in a full circle, to where it began; and that it was the Commissioner who both adopted the correct test and properly applied it. The Balen report was held for purposes of journalism. On the premise that it was also held for purposes other than those of journalism, it was not predominantly so held. That is why I consider that the report lay beyond the scope of the Act; and why I agree that the appeal should be dismissed. LORD PHILLIPS 61. The effect of the relevant provision of Part VI of Schedule 1, when read with section 7, to the Freedom of Information Act 2000 (“the Act”), is that Parts I to V of the Act apply in the case of the BBC only to “information held for purposes other than those of journalism, art or literature” (the “definition”). I agree with the other members of the Court on the following matters that are sufficient to resolve this appeal in favour of the BBC: i) At all material times the Balen report was held by the BBC predominantly for the purposes of journalism; ii) On the true construction of Part VI of Schedule 1 to the Act information held predominantly for the purposes of journalism does not fall within the definition, even if the information is held for other purposes as well. It follows that the BBC is under no duty to disclose the Balen report and that this appeal must be dismissed. The judgments of Lord Wilson and Lord Walker have, however, disclosed an issue that is academic but is none the less of importance. Does the definition mean “information held solely for purposes other than Page 22 journalism, art or literature” or “information held predominantly for purposes other than journalism, art or literature”? 62. A similar issue arises in relation to the Bank of England, where the relevant definition is “information held for purposes other than those of its functions with respect to- (a) monetary policy, (b) financial operations intended to support financial institutions for the purposes of maintaining stability, and (c) the provision of private banking services and related services.” 63. I am not able to find an answer to the issue in the language of the definition itself. It is capable of bearing either meaning. The answer to the issue must lie in adopting a purposive approach to the definition. 64. We are concerned with a provision that provides protection against the disclosure obligations that are the object of the Act. What is the purpose of that protection? It is not, as is the protection against disclosure of documents protected by legal professional privilege, designed to remove inhibition on the free exchange of information. Were that the case the protection would focus on the purpose for which the information was obtained. The protection is designed to prevent interference with the performance of the functions of the BBC in broadcasting journalism, art and literature. That is why it focuses on the purpose for which the information is held. The same is true of the information provided to the Bank of England. The object of the protection is to prevent interference with the performance of the specified functions of the Bank. 65. A purposive construction of the definition will prevent disclosure of information when this would risk interference with the broadcasting function of the BBC. This will not depend upon the predominant purpose of holding the information. It will depend upon the likelihood that if the information is disclosed the broadcasting function will be affected. The same is true in the case of the Bank of England. For this reason I do not agree with the approach of Lord Wilson to this issue. Page 23 66. Lord Neuberger of Abbotsbury MR at para 53 remarked that “today’s journalism is tomorrow’s archive” and at para 58 “In the case of journalism, above all news journalism, information ‘held for purposes … of journalism’ may soon stop being held for that purpose and be held, instead, for historical or archival purposes”. I imagine that the Bank of England also archives information initially used for the purposes of carrying out its functions. No doubt the BBC has recourse to its archives for journalistic purposes from time to time and, if “held for purposes of journalism” is given a broad meaning it could be said in relation to the BBC that one of the purposes of holding archived material is journalism, albeit a relatively remote purpose. 67. However, Lord Neuberger accepted that archived material would not, as such, fall within the protection afforded by the definition. I consider that he was right to do so. Disclosure of material that is held only in the archives will not be likely to interfere with or inhibit the BBC’s broadcasting functions. It ought to be susceptible to disclosure under the Act. If possible “information held for purposes other than those of journalism, art or literature” should be given an interpretation that brings archived material within that phrase. Can this be achieved? I believe that Lord Walker has the answer. He has concluded, as have I, that the protection is aimed at “work in progress” and “BBC’s broadcasting output”. He suggests that the Tribunal should have regard to the directness of the purpose of holding the information and the BBC’s journalistic activities. I agree. Information should only be found to be held for purposes of journalism, art or literature if an immediate object of holding the information is to use it for one of those purposes. If that test is satisfied the information will fall outside the definition, even if there is also some other purpose for holding the information and even if that is the predominant purpose. If it is not, the information will fall within the definition and be subject to disclosure in accordance with the provisions of Parts I to V of the Act. LORD WALKER 68. This appeal requires the Supreme Court to focus closely on the language and legislative purpose of the provisions of the Freedom of Information Act 2000 (“FOIA”) dealing with public authorities to which that statute has limited application. Without that focus, a long trawl through the Strasbourg jurisprudence on article 10 of the European Convention on Human Rights is of little assistance. 69. The relevant provisions are in section 7 of and Schedule 1 to FOIA. Section 7(1) provides that where a public authority is listed in Schedule 1 only in relation to information of a specified description, nothing in Parts I to V of the Act is to apply to any other information held by the authority. Schedule 1, Part VI lists the British Broadcasting Corporation (“BBC”) “in respect of information held for Page 24 purposes other than those of journalism, art or literature.” A similar form of words appears (in adjectival form) in section 3 of the Data Protection Act 1998, which defines “the special purposes” as meaning “any one or more of the following – (a) the purposes of journalism, (b) artistic purposes, and (c) literary purposes.” Section 32 of the Data Protection Act gives a limited exemption where personal data is processed “with a view to the publication by any person of any journalistic, literary or artistic material”, and the data controller reasonably believes “that, having regard in particular to the special importance of the public interest in freedom of expression, publication would be in the public interest”, and that compliance with some specified provisions of the Data Protection Act would be incompatible with the special purposes. 70. Both sets of statutory provisions are evidently aimed at promoting freedom of expression, the value embodied in article 10 of the European Convention on Human Rights. There is no relevant definition of journalism, art or literature in either statute. The three words are abstract nouns which can be used to describe either an activity or the product of that activity. “Journalism” is a word introduced into the English language from French in the 19th century. The Oxford English Dictionary gives its primary meaning (by reference to “journalist”) as the occupation of editing or writing for a public journal. In a loose sense it can cover the production of just about anything published in a newspaper (or, today, broadcast on sound radio or television). But in the context of FOIA, its collocation with art and literature suggests that “journalism” is used to refer primarily to output on news and current affairs (no doubt including sport, an important part of the BBC’s output); and the composite expression “journalism, art or literature” seems to be intended to cover the whole of the BBC’s output in its mission (under article 5 of its Royal Charter) to inform, educate and entertain the public. On that comprehensive approach the purposes of journalism, art or literature would be, quite simply, the purposes of the BBC’s entire output to the public. Mr Jeremy Clarkson must, it seems, have moved from the pigeonhole of journalism to that of literature when, as Irwin J recorded in British Broadcasting Corporation v Information Commissioner [2009] EWHC 2348 (Admin), [2010] EMLR 121, para 36, “it was decided for editorial reasons to change the format of ‘Top Gear’ so that it became primarily an entertainment programme rather than a consumer programme, [which] increased the production costs to an important degree.” 71. British Broadcasting Corporation v Information Commissioner [2009] EWHC 2348 (Admin) (“the financial information case”) was heard by Irwin J immediately after he heard the case [2009] EWHC 2349 (Admin) in which this appeal is brought, and he handed down his judgment in the two cases on the same day, 2 October 2009. Important parts of the two judgments are, as Irwin J noted in Page 25 the first paragraph of each judgment, expressed in identical or very similar terms. There is also one other first-instance judgment calling for mention, that is the judgment of Davis J in the first round of Mr Sugar’s litigation, British Broadcasting Corporation v Sugar [2007] EWHC 905 (Admin), [2007] 1 WLR 2583. The judgment of Davis J contains a valuable discussion of the relevant provisions of FOIA but proceeds on the footing that the Information Tribunal (“the Tribunal”) had no jurisdiction, in the circumstances, to hear an appeal from the Information Commissioner (“the Commissioner”). That premise was later shown by the decision of a bare majority of the House of Lords to be erroneous: [2009] UKHL 9, [2009] 1 WLR 430. 72. One of the most important issues of law considered by Irwin J in his twin judgments is whether, as a matter of construction, the word “predominantly” should in effect be inserted in Schedule 1, Part VI before the phrase “for purposes other than those of journalism, art or literature”). Irwin J described this (in para 3 of each judgment) as a concession made by the BBC before the Tribunal, but that description depends on the spectator’s viewpoint. The Court of Appeal (Lord Neuberger MR, para 36) described it as a successful argument. So it is worth looking at how this point developed. 73. Apart from any de minimis principle, which the Court of Appeal (Lord Neuberger MR, para 59) rightly regarded as unhelpful in this context, there are four possible categories of information held by the BBC that need to be considered: (1) information held exclusively for non-journalistic purposes; (2) information held predominantly, but not exclusively, for non-journalistic purposes (the other purposes being those of journalism); (3) information held predominantly, but not exclusively, for journalistic purposes (the other purposes being non-journalistic); and (4) information held exclusively for journalistic purposes. Before the Tribunal Mr Sugar argued that the BBC’s immunity under Schedule 1 Part VI (as opposed to its possible exemption under other particular provisions of FOIA) was limited to information in category (4). In other words he was insisting on disclosure (apart from particular exemptions) of categories (1), (2) and (3). The BBC did not oppose categories (1) and (2) (so that category (2) could be termed a concession) but opposed disclosure of category (3), and was successful in that argument. 74. Irwin J felt unable to accept the concession, either in the Sugar appeal or in the appeal in the financial information case. He held that category (1) was the only category of information that the BBC had to disclose (again, subject to particular exemptions). His reasons are at paras 44 to 66 of his judgment in the Sugar case and at paras 53 to 73 of his judgment in the financial information case, which are in almost identical terms. The Court of Appeal agreed with his reasoning and conclusions (Lord Neuberger MR, paras 39 to 52). Page 26 75. I respectfully agree. In my judgment the correct view is that (as Lord Neuberger MR put it at para 44): “once it is established that the information sought is held by the BBC for the purposes of journalism, it is effectively exempt from production under the Act, even if the information is also held by the BBC for other purposes.” So in effect there are only two categories: one is information held for purposes that are in no way those of journalism, and the other is information held for the purposes of journalism, even if it is also held for other (possibly more important) purposes. 76. That conclusion follows both from FOIA’s legislative purpose and from its language. First, legislative purpose. It is common ground that FOIA was enacted in order to promote an important public interest in access to information about public bodies. There are (as Schedule 1 to FOIA reveals) thousands of public authorities, large and small, which are paid for out of public funds, and whose actions or omissions may have a profound effect on citizens and residents of the United Kingdom. There is a strong public interest in the press and the general public having the right, subject to appropriate safeguards, to require public authorities to provide information about their activities. It adds to parliamentary scrutiny a further and more direct route to a measure of public accountability. 77. There is therefore force, in relation to FOIA as well as in relation to the Freedom of Information (Scotland) Act 2002, in the proposition “that, as the whole purpose of the 2002 Act is the release of information, it should be construed in as liberal a manner as possible.” That is how it was put by Lord Marnoch in Common Services Agency v Scottish Information Commissioner [2006] CSIH 58, 2007 SC 231, para 32, approved by Lord Hope in the House of Lords [2008] UKHL 47, [2008] 1 WLR 1550, para 4. But Lord Hope continued: “But that proposition must not be applied too widely, without regard to the way the Act was designed to operate in conjunction with the [Data Protection Act 1998]. It is obvious that not all government can be completely open, and special consideration also had to be given to the release of personal information relating to individuals. So while the entitlement to information is expressed initially in the broadest terms that are imaginable, it is qualified in respects that are equally significant and to which appropriate weight must also be given. The scope and nature of the various exemptions plays a key role within the Act’s complex analytical framework.” Page 27 (The Commons Services Agency case serves to explain the position on freedom of information in Scotland, which is not immediately apparent from FOIA itself. FOIA extends to Scotland and so applies to operations in Scotland of public authorities which operate throughout the United Kingdom; but Scotland also has its own statute applying to Scottish public authorities.) 78. In this case, there is a powerful public interest pulling in the opposite direction. It is that public service broadcasters, no less than the commercial media, should be free to gather, edit and publish news and comment on current affairs without the inhibition of an obligation to make public disclosure of or about their work in progress. They should also be free of inhibition in monitoring and reviewing their output in order to maintain standards and rectify lapses. A measure of protection might have been available under some of the qualified exemptions in Part II of FOIA, in particular those in sections 36 (Prejudice to effective conduct of public affairs), 41 (Information provided in confidence) and 43 (Commercial interests). But Parliament evidently decided that the BBC’s important right to freedom of expression warranted a more general and unqualified protection for information held for the purposes of the BBC’s journalistic, artistic and literary output. That being the purpose of the immunity, section 7 and Schedule 1 Part VI, as they apply to the BBC, would have failed to achieve their purpose if the coexistence of other non-journalistic purposes resulted in the loss of immunity. 79. That is confirmed by the language of these statutory provisions. The disclosable material is defined in terms (“held for purposes other than those of journalism, art or literature”) which are positive in form but negative in substance. The real emphasis is on what is not disclosable – that is material held for the purposes of the BBC’s broadcasting output. It is the most natural construction, which does not depend on reading in any words. That was the view formed both by Irwin J (see especially paras 55 to 58 and 63 to 65 of his Sugar judgment) and by Lord Neuberger MR (see especially paras 40 to 42, 44 to 46, and 49 of his judgment). Mr Eicke QC was critical of para 49, submitting that it assumed the very answer that the Court of Appeal was seeking to justify. I consider that criticism to be unjustified, though the reasoning was perhaps rather compressed. The unspoken premise is that Parliament must have intended to lay down a workable test, and both an “exclusively” and a “predominantly” test would raise almost insoluble problems in their practical application. 80. That is not to say that the test approved by Irwin J and the Court of Appeal is without its difficulties. Parliament has, in trying to provide machinery for determining where the stronger public interest lies, placed a heavy burden on the Tribunal as an expert decision-maker. Davis J cited the well-known speech of Lord Mustill in R v Monopolies and Mergers Commission, Ex p South Yorkshire Transport Ltd [1993] 1 WLR 23, 32-33 (where the relevant statute referred to “a substantial part of the United Kingdom”): Page 28 “But this clear-cut approach cannot be applied to every case, for the criterion so established may itself be so imprecise that different decision-makers, each acting rationally, might reach differing conclusions when applying it to the facts of a given case. In such a case the court is entitled to substitute its own opinion for that of the person to whom the decision has been entrusted only if the decision is so aberrant that it cannot be classed as rational: Edwards v Bairstow [1956] AC 14. The present is such a case. Even after eliminating inappropriate senses of ‘substantial’ one is still left with a meaning broad enough to call for the exercise of judgment rather than an exact quantitative measurement.” I consider that Davis J was right to regard the present case as falling within that category. He was however mistaken in supposing that the Tribunal had no jurisdiction to hear an appeal, and so he should have treated the Tribunal, and not the Commissioner, as the crucial decision-maker. 81. Irwin J concluded (para 66 of his Sugar judgment) that the Tribunal had erred in law in applying the predominant purpose test. So did Lord Neuberger MR (para 62). So did Moses LJ (para 73), though I have some difficulty with the way his reasoning is expressed on this point, as it seems to come close to conflicting with the reasoning of the majority of the House of Lords in the first round of litigation, [2009] 1 WLR 430. Munby LJ agreed with both judgments. 82. I would therefore dismiss this appeal, but for reasons different from those set out in the judgment of Lord Wilson. I would add that I am conscious that this interpretation of the limitation may be seen as conferring on the BBC an immunity so wide as to make the particular statutory redemptions redundant, and leave the BBC almost free of obligations under FOIA. As the Tribunal observed (paras 96 and 102): “On a broad definition, it could be argued that all of the activities of the BBC are for the purposes of journalism, art and literature, as these are broad descriptions of a substantial part of its broadcast output . . . However, if a very broad definition was intended, there would be little point in including the BBC in Schedule 1, Part VI of FOIA. The BBC could have been omitted altogether from the scope of the Act.” The same point was made by Davis J [2007] 1 WLR 2583, para 55. Page 29 83. In my view the correct approach is for the Tribunal, while eschewing the predominance of purpose as a test, to have some regard to the directness of the purpose. That is not a distinction without a difference. It is not weighing one purpose against another, but considering the proximity between the subject-matter of the request and the BBC’s journalistic activities and end-product. As Irwin J observed in the financial information case, para 87, in the context of a critique of what was “operational”: “The cost of cleaning the BBC Boardroom is only remotely linked to the product of the BBC.” 84. I respectfully agree with the measured comments of Lord Neuberger MR (para 55): “In my view, whatever meaning is given to ‘journalism’ I would not be sympathetic to the notion that information about, for instance, advertising revenue, property ownership or outgoings, financial debt, and the like would normally be ‘held for purposes . . . of journalism’. No doubt there can be said to be a link between such information and journalism: the more that is spent on wages, rent or interest payments, the less there is for programmes. However, on that basis, literally every piece of information held by the BBC could be said to be held for the purposes of journalism. In my view, save on particular facts, such information, although it may well affect journalism-related issues and decisions, would not normally be ‘held for purposes . . . of journalism’. The question whether information is held for the purposes of journalism should thus be considered in a relatively narrow rather than a relatively wide way.” That is the best way forward in order to strike the difficult balance of competing interests for which Parliament must be taken to have been aiming. But it will still leave some difficult decisions for the Commissioner and, on appeal, the Tribunal. There cannot be (in the words of Davis J, para 57) any “unequivocal, bright-line” test. LORD BROWN 85. All of us agree that on any conventional approach to the construction of the Freedom of Information Act 2000 (the Act) and in particular the expression “information held for purposes . . . of journalism” within the meaning of Schedule Page 30 1 to the Act, it clearly encompasses the Balen Report (the Report) throughout the whole period that the BBC has held it. 86. It is the appellant’s contention, however, that this approach to the construction of the Act and the consequent non-disclosure of the Report would violate article 10 of the European Convention on Human Rights and that the Court is accordingly bound, consistently with section 3 of the Human Rights Act 1998, to read and give effect to the Act so as to require the Report’s disclosure. It is this contention that I am here principally concerned to address. Given, however, that a disagreement exists within the Court as to whether information held for the purposes of journalism but held also for other purposes must be subjected to a test as to which purpose is predominant and disclosed if the predominant purpose is non-journalistic, I shall in conclusion briefly address this issue too, irrelevant though it is to the outcome of this particular appeal. 87. The appellant’s article 10 contention is not one that appears to have been advanced before Irwin J at first instance (certainly there is no mention of article 10 in his judgment). Article 10 was, however, invoked in the Court of Appeal, indeed by both sides. The BBC submitted that disclosure of the Report (and any other information held for the purposes of journalism) would have a chilling effect upon their right to freedom of expression; the appellant submitted that, subject only to narrow exceptions (none being applicable here), article 10 gives him a right of access to all such information. The Court of Appeal, however, derived no assistance from article 10 either way, Moses LJ (at para 77) finding it impossible to identify within the jurisprudence “any pointer for or against the rival contentions”. 88. Before this Court Mr Eicke QC has vigorously returned to article 10 and advances what is essentially a two stage argument. First, he contends, in reliance principally upon a trilogy of Strasbourg decisions – Matky v Czech Republic (Application No 19101/03) (unreported) 10 July 2006, (Matky), Tarsasag A Szabadsagjogokert v Hungary (2009) 53 EHRR 130 (14 April 2009) (Tarsasag), and Kenedi v Hungary (Application No 31475/05) (unreported) 26 August 2009 (Kenedi) – that the ECtHR has recently moved towards the recognition of a right of access to information and that in the particular circumstances of the present case an interpretation of the Act which withholds from disclosure a document such as the Report interferes with the right of access to information protected by article 10(1). Secondly he submits that such interference is not necessary in a democratic society so as to be justified under article 10(2). He not only disputes that the release of the Report would have a chilling effect on freedom of expression but submits that only the need to protect journalistic sources – or perhaps, indeed, more narrowly still, the need to protect sources who might otherwise be deterred from assisting journalists – would constitute an overriding requirement of the Page 31 public interest sufficient to justify this interference with the citizen’s article 10(1) right of access to information. 89. Before turning to the trilogy of decisions upon which the appellant mainly relies it is helpful first to note the well-established body of Strasbourg jurisprudence which is recognised to define, generally speaking, the nature and extent of the right under article 10(1) “to receive . . . information and ideas without interference by public authority”. It is sufficient for present purposes to cite a short passage from the unanimous Grand Chamber decision in Roche v United Kingdom (2005) 42 EHRR 599 at para 172: “The Court reiterates its conclusion in Leander v Sweden (1987) 9 EHRR 433 and in Gaskin v United Kingdom (1989) 12 EHRR 36 and, more recently, confirmed in Guerra v Italy (1998) 26 EHRR 357, that the freedom to receive information ‘prohibits a Government from restricting a person from receiving information that others wish or may be willing to impart to him’ and that that freedom ‘cannot be construed as imposing on a State, in circumstances such as those of the present case, positive obligations to . . . disseminate information of its own motion’.” It is right to observe, before moving on, that the circumstances of those particular cases were that the applicants were attempting to obtain information respectively about their being regarded as a security risk (Leander), about their childhood (Gaskin), about a chemical factory (Guerra) and about long-past Porton Down tests in which they had participated (Roche). 90. I come then to the first of the trilogy of cases on which the appellant so strongly relies: Matky. The complainant there was seeking, against the background of a general right to information under the Czech legal system, access to documentation concerning the construction of a new nuclear power station and in particular was challenging a requirement of the domestic legislation (article 133 of the Building Act) that a request for information had to be justified. The Court accepted that the rejection of his request constituted an interference with the complainant’s right to receive information. But it held that the decision could not be considered arbitrary, recognised that “Contracting States enjoy a certain margin of appreciation in this area” and unanimously rejected the complaint as manifestly ill-founded. 91. Matky seems accordingly an unpromising foundation upon which to build any significant departure from what may be called the Roche approach to the freedom to receive information protected by article 10. Page 32 92. Nevertheless, in Tarsasag (the second in the appellant’s trilogy of cases) it was to Matky that the Second Section of the Court referred as (the sole) authority for the proposition that, the Leander line of authority notwithstanding, “the Court has recently advanced towards a broader interpretation of the notion of ‘freedom to receive information’ and thereby towards the recognition of a right of access to information”. In Tarsasag the court upheld a complaint by the Hungarian Civil Liberties Union that a refusal by the Constitutional Court to grant them access to an MP’s pending complaint as to the constitutionality of certain proposed amendments to the Criminal Code breached its article 10 right to receive information. The Government having accepted that there had been an interference with the applicant’s article 10 rights, Mr Eicke relies in particular upon the following passage in the Court’s judgment: “[The Court] considers that the present case essentially concerns an interference – by virtue of the censorial power of an information monopoly – with the exercise of the functions of a social watchdog, like the press, rather than a denial of a general right of access to official documents. . . . Moreover, the state’s obligations in matters of freedom of the press include the elimination of barriers to the exercise of press functions where, in issues of public interest, such barriers exist solely because of an information monopoly held by the authorities.” (para 36) 93. Kenedi, the third in the trilogy of cases, was decided just four months after Tarsasag, also by the Second Section of the Court (including six of the same seven judges who had decided Tarsasag). The applicant there was a historian specialising in the functioning of the secret services of dictatorships. Although a succession of domestic court judgments had held him to be entitled to access to various documents for research purposes, the Ministry had refused to disclose them. Once again, hardly surprisingly in this case, the government conceded that there had been an interference with the applicant’s article 10 rights. The Court had no difficulty in finding in the result a violation of article 10: “the Court cannot but conclude that the obstinate reluctance of the respondent State’s authorities to comply with the execution orders was in defiance of domestic law and tantamount to arbitrariness.” 94. In my judgment these three cases fall far short of establishing that an individual’s article 10(1) freedom to receive information is interfered with whenever, as in the present case, a public authority, acting consistently with the domestic legislation governing the nature and extent of its obligations to disclose information, refuses access to documents. Of course, every public authority has in one sense “the censorial power of an information monopoly” in respect of its own Page 33 internal documents. But that consideration alone cannot give rise to a prima facie interference with article 10 rights whenever the disclosure of such documents is refused. Such a view would conflict squarely with the Roche approach. The appellant’s difficulty here is not that Mr Sugar was not exercising “the functions of a social watchdog, like the press.” (Perhaps he was.) The Jewish Chronicle would be in no different or better position. The appellant’s difficulty to my mind is rather that article 10 creates no general right to freedom of information and where, as here, the legislation expressly limits such right to information held otherwise than for the purposes of journalism, it is not interfered with when access is refused to documents which are held for journalistic purposes. 95. True it is, as Lord Judge CJ noted when giving the judgment of the Court in Independent News and Media Ltd v A [2010] 1 WLR 2262 (para 42), that the Venice Commission has described Tarsasag as “a landmark decision on the relation between freedom of information and the . . . Convention”. Whatever else might be said about Mr Eicke’s trilogy of cases, however, they cannot to my mind be said to support his first proposition having regard to the particular relationship between the parties in this case. 96. I should perhaps add for the sake of completeness that there is absolutely nothing in Independent News and Media Ltd v A, still less in R (Mohamed) v Secretary of State for Foreign Affairs (No 2) [2011] QB 218, to support Mr Eicke’s reliance on article 10 in the present context. 97. It follows that for my part I would hold that the appellant’s article 10 case fails at the first stage. There was no interference here with Mr Sugar’s freedom to receive information. The Act not having conferred upon him any relevant right of access to information, he had no such freedom. 98. Even were that not so, however, I would reject the second stage of Mr Eicke’s argument too. Even were one to start with the supposition that any refusal by a public authority to disclose information involves a prima facie interference with a person’s freedom to receive that information, it seems to me open to the State to legislate, as here, a blanket exclusion of any requirement to disclose information held (whether predominantly or not) for the purposes of journalism. 99. The appellant’s contrary argument fixes in particular upon a line of Strasbourg cases concerned essentially with journalistic sources: Goodwin v United Kingdom (1996) 22 EHRR 123, Nordisk Film and TV A/S v Denmark (Application No 40485/02) (8 December 2005) and Sanoma Uitgevers BV v The Netherlands (Application No 38224/03) (14 September 2010). What must be recognised, however, is that in each of these cases it was the journalists who were Page 34 the complainants, that what they were complaining about were domestic court orders requiring disclosure of their sources or research material, and that the starting point for the Strasbourg Court’s consideration of these complaints was, as the Grand Chamber noted at paragraph 59 of its judgment in Sanoma: “In its earlier case-law the Court has found various acts of the authorities compelling journalists to give up their privilege and provide information on their sources or to obtain access to journalistic information to constitute interferences with journalistic freedom of expression.” The applicant in Goodwin succeeded on the basis that he had been ordered to reveal the identity of a person who had provided him with information on an unattributable basis. The applicant in Nordisk failed because on the particular facts of that case (which it is not here necessary to rehearse) the applicant was not being ordered to disclose its journalistic source of information but rather part of its research material and that, even though the latter “may have a chilling effect on the exercise of journalistic freedom of expression”, there it was justified by an overriding requirement in the public interest: assisting in the prosecution of paedophiles. 100. The applicant company in Sanoma succeeded because there was an order for the compulsory surrender of journalistic material containing information capable of identifying journalistic sources, an interference with its article 10 rights which the Court there held was not “prescribed by law”: “the quality of the law was deficient in that there was no procedure attended by adequate legal safeguards for the applicant company in order to enable an independent assessment as to whether the interest of the criminal investigation overrode the public interest in the protection of journalistic sources.” (para 100) 101. Helpful though these cases may be, however, in explaining the limitations placed upon a journalist’s prima facie right to protect both his sources and his research material from compulsory court orders for their disclosure, they say little if anything about what other interests and concerns may properly be invoked by journalists in resisting the disclosure to others (whether or not themselves journalists) of other information held for journalistic purposes (ie information apart from that necessary to protect confidential sources and research material, including for example the Balen Report). 102. To my mind it stands to reason that the disclosure of a document such as the Report would be likely to affect the candour of any similar future report. As the Information Tribunal itself found in the present case (at para 116): Page 35 “Self-critical review and analysis of output is a necessary part of safeguarding and enhancing quality. The necessary frankness of such internal analysis would be damaged if it were to be written in an anodyne fashion, as would be likely to be the case if it were potentially disclosable to a rival broadcaster.” (Or, one may add, to anyone else.) In short I would reject also the second stage of the appellant’s argument: the contention that section 3 of the Human Rights Act should be invoked here to limit the information stipulated by the Act to be undisclosable through being held for the purposes of journalism merely to that held for the purpose of safeguarding the BBC’s confidential sources. 103. I turn then briefly to the question whether, in a case where information is held partly for journalistic and partly for non-journalistic purposes, it is necessary to ask which purpose is predominant and to disclose any information held predominantly for non-journalistic purposes. I conclude, in common with Lord Phillips and Lord Walker (and, indeed, with the Court of Appeal), but in respectful disagreement with Lord Wilson, that the answer is no. My reasons being essentially the same as those given by both Lord Phillips and Lord Walker (although perhaps more particularly those of Lord Walker), I can explain my concurrence very shortly indeed. 104. Really it comes to this. With regard both to the BBC (together with the three other listed broadcasters) and the Bank of England, Parliament, for differing but in each case compelling reasons of national interest, was concerned not to subject these institutions to the operation of the Act – including, for example, the need to resort to Part II of the Act to justify any reluctance to withhold some particular information from disclosure – save only in strictly limited circumstances. In the case of the BBC and other broadcasters it is only in respect of “information held for purposes other than those of journalism, art or literature”. In the event that information is held to any significant degree (and we are all agreed that the de minimis principle would otherwise apply) for the purposes of journalism, then to my mind it would seem artificial and impermissible to construe the Act as applying to that information. Quite simply, it remains information held for the purposes of journalism and therefore constitutes (within the meaning of section 7) “other information” than “information held for purposes other than those of journalism”. The mere fact that it may be held (even perhaps to a predominant extent) also for purposes other than those of journalism cannot sensibly serve to enlarge the basic category of information in respect of which the BBC is listed and with regard to which, therefore, the Act is not disapplied by section 7. Page 36 105. In short, like Lord Walker, I find that the natural construction of the Act, and Parliament’s evident concern to ensure that the interests of free expression trump without more those of freedom of information, supports the BBC’s case on this issue. 106. As for the point at which information will cease to be held to any significant degree for the purposes of journalism and become held instead, say, solely for archival purposes, that necessarily will depend on the facts of any particular case and involve a question of judgment. I too agree with Lord Walker that the central question to be asked in such a context will be, not which purpose is predominant, but rather whether there remains any sufficiently direct link between the BBC’s continuing holding of the information and the achievement of its journalistic purposes. 107. I too would dismiss this appeal. LORD MANCE 108. The question on this appeal is whether the Balen Report commissioned by the BBC in relation to its Middle Eastern coverage and completed in July 2004 constituted “information held for purposes other than those of journalism, art or literature” (within Part VI of Schedule 1 to the Freedom of Information Act 2000). The appeal falls to be approached on the basis that the Report was at the material time held predominantly for journalistic but partly also for other purposes. The material time was in 2005, when Mr Sugar first requested disclosure of the Report. 109. I agree with the other members of the Court that this appeal should be dismissed. However, there is a difference in the basis upon which different members of the Court would dismiss it. Lord Wilson would only dismiss it on the basis that the critical test is whether the BBC held the Report predominantly for the purposes of journalism. Were this not the test, he would have regarded the existence of other not insignificant purposes as sufficient to mean that the Report was held for purposes other than those of journalism, art or literature, and so disclosable. The other members of the Court take an opposite view: once it is established that the BBC held the Report for purposes of journalism, art or literature, the Report was exempt from disclosure, and would have been even had these not been the predominant purposes for which it was held. 110. The rival arguments on this point are finely balanced, and its resolution in the present appeal on the basis of sparse facts causes me a certain concern. However, after some hesitation, I have come to the conclusion that the test applied Page 37 by Lords Phillips, Walker and Brown is to be preferred. The Freedom of Information Act 2000 reflects the value to be attached to transparency and openness in the workings of public authorities in modern society, and its provisions should be construed “in as liberal a manner as possible”: Common Services Agency v Scottish Information Commissioner [2008] UKHL 47, [2008] 1 WLR 1550, para 4 per Lord Hope. But, as Lord Walker notes (para 77), Lord Hope went on to add that “that proposition must not be applied too widely”, and “special considerations” may lead to restrictions. 111. In the present case, the special consideration to which the legislator gave effect was the freedom of the BBC as a public service broadcaster in relation to its journalistic, artistic and literary output. Information held for any such purposes of journalism, art or literature was absolutely exempt from disclosure. The legislator was not content with the more qualified protection from disclosure, often depending on a balancing exercise or evaluation, which would anyway have been available under section 2, read with sections 28, 29, 36, 41 and 43. To read into the words “information held for purposes other than those of journalism, art or literature” a need to evaluate whether such purposes were dominant seems to me unjustified. I share Lord Walker’s view (para 79) that the real emphasis of the words is on what is not disclosable, so that the exemption applies, without more, if the information is held for any journalistic, artistic or literary purpose. That conclusion is to my mind also fortified by consideration of the exemption relating to certain functions of the Bank of England. 112. Lord Phillips discusses the position regarding archived material. We were not given any clear picture when or on what basis archiving might occur. I assume that the reference is to material not envisaged as having any current purpose, but stored for historical purposes or against the possibility of some unforeseen need to revisit, or produce evidence of, past events. A library maintained for current reference would in contrast contain material held for the purposes of journalism, art or literature. 113. I agree with Lord Brown’s analysis of the current state of Strasbourg authority, and also with Lord Wilson’s comment in para 59 on the decisions (or dicta) in Ullah and Al-Skeini. Nothing in the Strasbourg jurisprudence calls us to do anything but give effect in this case to what we consider to be the proper construction of the 2000 Act under ordinary domestic principles. It is unnecessary to say more, or to add to recent debate about the nature of the Convention rights in the United Kingdom or the domestic courts’ role in interpreting and applying them taking into account any relevant Strasbourg case-law.