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Research Paper No. 12 2001-2002
Terrorism and the Law in Australia: Legislation, Commentary and Constraints
Nathan Hancock
Law and Bills Digest Group
19 March 2002
Contents
Major Issues
Introduction
Part 1 Current and Proposed Measures
1.1 Actions
1.2 Proposals
1.3 Legislation in Other Countries
1.4 Legislative Framework in Australia
1.5 General Legislation in Australia
Part 2 Evaluation Commentary and Issues
2.1 The Pressure to Act
2.2 The Framework for Action
2.3 Applying the Framework
Part 3 Powers, Limits and Relationships
3.1 Legislative Powers
3.2 Limits on Legislative Power
3.3 Relationships between the Judiciary, Parliament
and Executive
3.4 Relationships between the Commonwealth and the
States/Territories
Endnotes
To most of us 'terrorism' is a foreign phenomenon which
has rarely, if ever, been practised in Australia. However, following the
events of September 11 2001 the Australian Parliament and the Australian
community have been drawn into a discussion about the nature and extent
of the terrorist threat in Australia and the Australian response. The
discussion has been prompted by events and circumstances which have included
new techniques of violence, a larger scale of damage and casualties and
a higher standard of planning and coordination than has previously been
the case. It has been informed by the threats and responses in the United
States and the United Kingdom. It has been held in the context of our
growing awareness of terrorist networks and the latent anger that has
prompted and sustained terrorist causes.
Australia's first real exposure to international terrorism
was probably the bombing of the Sydney Hilton Hotel in March 1978. The
bombing and the subsequent 'Siege of Bowral' highlighted our relative
unpreparedness, in an administrative and legislative sense, for terrorist
events and the range of terrorist responses that may be required. Just
one aspect of the response, the call out of the armed forces during the
siege, raised legal issues which remained largely unresolved for two decades,
despite various reports examining the need for legislation dealing with
terrorism and military aid to the civil power. The necessary legislation
was broadly envisaged as early as 1979. Indeed, it was drafted and periodically
reviewed between 1980 and 2000. But it was only introduced some twenty
years later, because of the need to address security concerns for the
Sydney Olympics.
Australia has had experiences with related issues such
as politically motivated violence, organised crime and national security.
But we have had few real experiences widely accepted as terrorism
per se. Similarly, we have enacted laws dealing with foreign incursions,
serious offences, defence aid to the civil power, intelligence services
and implementation of international law. But, with limited exception,
there is no specific anti-terrorism legislation in Australia. Australia's
only domestic model is a regime tucked away in the Northern Territory
Criminal Code. It was modelled on the United Kingdom Prevention
of Terrorism (Temporary Provisions) Act 1974-1976. But it was enacted
without any real justification based on real or potential threats to the
Northern Territory.
Now, following September 11 2001, Australia will be making
its first serious attempts at developing a comprehensive anti-terrorism
legislative package. No doubt there have already been significant military
and diplomatic responses. Invariably, anti-terrorist laws deal with issues
such as control over terrorist organisations, specific terrorist offences
and enhanced law enforcement powers. But these must be viewed against
a broader canvas of existing laws dealing with intelligence gathering,
preventative measures, crisis management and investigative and enforcement
powers. It could be argued that this broader canvas is largely complete
in Australia. However, we have a limited understanding of what constitutes
'terrorism' and what constitutes 'the terrorist threat' in Australia.
We have limited knowledge of how the legislation will affect these issues
or how it will affect the broader landscape of laws, civil liberties and
human rights.
If Parliament is satisfied that legislation is the way
to go (or an appropriate part of the response), the next logical question
is one of proportionality, specifically proportionality between the proposed
measure and the perceived threat to Australian society. This requires
a critical assessment of the specific suspected or perceived threat, using
means appropriate to Parliament's central role in our constitutional system
while paying due regard to considerations of secrecy and national security.
It then requires a careful balance between the possible responses to that
threat and their potential impact upon civil liberties. Parliament is
entitled to ask whether the gains to security from enacting new laws that
enhance the state's coercive powers outweigh the costs to civil liberties.
The major issue for Parliament is that it would be enacting
strong laws largely in response to overseas events. Any possible threat
to Australia is largely unknown and the responses are unfamiliar. While
overseas measures may offer some suggested approaches, they must be placed
in context. The United Kingdom may have a range of counter-terrorist laws,
but it should be kept in mind that those laws have a very specific context:
the enduring conflict in Northern Ireland during which threats to civilian
targets became a sometimes daily experience. Likewise, the United States
has recently enacted new counter-terrorist measures, but has done so in
the aftermath of September 11. Comparative approaches to counter-terrorism
are a relevant part of the debate in Australia, but so too is a measured
appreciation of the specific threat to Australia posed by terrorism.
Arguably, Parliament will need to approach 'terrorism'
as if there were no precedents. It will need to assess for itself whether
the proposed measures are necessary, sufficient and proportionate in relation
to the actual or potential terrorist threat in Australia. It will need
to define clearly the subject matter of the laws (what distinguishes terrorism
from other offences or national security concerns?), and the standards
against which they will be measured in terms of intended effects (will
the laws guarantee security?) and incidental effects (to what extent will
they infringe civil liberties and human rights?).
The issue of definition may be critical. Few Australians
would dispute that hijacking commercial aircraft and flying them into
a city skyscraper, killing thousands of civilians, is an act of terrorism.
But any national, let alone international, consensus over what is or is
not terrorism rapidly evaporates as one moves away from the shocking immediacy
of the events of September 11. Are Chechens engaged in armed conflict
with Russia 'terrorists'? Is India engaged in a war on 'terrorism' in
Kashmir? Did Australians who, before 1991, donated money to the African
National Congress (an organisation committed to the overthrow of the apartheid
regime in South Africa) help to finance a terrorist organisation?
As this paper demonstrates, a number of Commonwealth
agencies already have a significant array of powers to deal with criminal
conduct and a number of offences already apply in relation to terrorist-style
activities. Before agreeing to augment those powers or offences, it is
legitimate for Parliament to ask whether such laws are a necessary or
appropriate part of the response to the events of 11 September 2001. The
core issue here is proportionality and the appropriate balance between
safety and liberty:
Journalist: Is it realistic that a government
can stop a terrorist who is prepared to take his own life...? Prime
Minister: [T]hat's a very hard question for me to answer. It is
realistic that a Government do everything that is consistent with
our way of life to minimise to the maximum extent possible the risk
of what we're talking about occurring. No person, no Prime Minister,
no government can give absolute guarantees in an area like this. Nobody
can. What I can promise you and promise the Australian public is that
we will do everything we fairly and reasonably and practically can
to minimise the risk consistent with not trampling on what are valuable
rights of the Australian people. We don't believe anything that we've
decided so far does that.
The Hon. John Howard, MP Transcript
of Press Conference, October 2001
Given the chance [in 1951] to vote on the proposal
to change the Constitution, the people of Australia, fifty years ago,
refused. When the issues were explained, they rejected the enlargement
of federal power. History accepts the wisdom of our response in Australia
and the error of the over-reaction of the United States. Keeping proportion.
Adhering to the ways of democracies. Upholding constitutionalism and
the rule of law. Defending, even under assault, the legal rights of
suspects. These are the way to maintain the love and confidence of
the people over the long haul. We should never forget these lessons.
... Every erosion of liberty must be thoroughly justified. Sometimes
it is wise to pause. Always it is wise to keep our sense of proportion
and to remember our civic traditions as the High Court Justices did
in the Communist Party case of 1951.
Justice Michael Kirby, 'Australian
law, after September 11, 2001', October 2001.
This project, Terrorism and the Law in Australia,
arose in response to the proposals put forward in following September
11 2001. It was prompted by a need to draw together threads which form
the core of a discussion on Australia's legislative preparedness for terrorism.
Australia has had little exposure to international terrorism and little
experience of enduring anti-terrorist responses. Unlike other countries,
particularly the United States, Australia has a poorly developed body
of (public) literature on the topic of legislative preparedness. Perhaps
the threat or potential threat of international terrorism is too remote
to sustain this level of discussion. Perhaps the level of community awareness
or interest is too slight to justify bringing this discussion from the
private to the public domain. Either way when the project began it seemed
clear that there was a gap in the Australia literature.
The first step in the project was to identify specific
anti-terrorism laws in Australia. Having found little material on this
topic, the next step was to develop a schema to identify other laws that
may serve the same or similar purposes. In blunt terms, by default or
design, there are no specific anti-terrorism laws in Australia. However,
there is a wide and almost comprehensive range of laws that may be applicable
in the anticipation of and response to an act of international terrorism
that directly or indirectly affects Australia.
The second step was to identify an evaluation framework
to assess the new proposals. The initial research highlighted the legal
situation in the United Kingdom and United States. It also highlighted
the growing body of legal commentary on the competition between safety
and liberty in relation to anti-terrorism laws. The commentary seemed
to have emerged slowly despite the long history of some of these laws.
But it seemed to have reached a critical mass with the introduction and
passage of laws in response to September 11.
In the process a number of issues and themes arose as
possible points for discussion. An obvious example was the impact of proposed
anti-terrorism laws on civil liberties and human rights. Other examples
included the difficulty with attempting to define terrorism and the competing
characterisation of terrorism as crime and terrorism as warfare. Less
obvious examples involved the scope and limits of legislative power and
relationships between the Parliament and the Judiciary and the Commonwealth
and the States.
The project has been produced and presented in two parts.
The first part, Legislation, Commentary and Constraints, describes
proposals announced in anticipation of legislation introduced in 2002
in context of existing arrangements. It also a framework and criteria
for evaluation of those laws and some more detailed analysis for parliamentary
consideration. The second part, Supporting Materials, comprises
a series of documents on specific issues related to legislative and administrative
arrangements.
The purpose of the present paper is to provide information
and commentary in the context of a parliamentary debate over anti-terrorist
legislation. It assumes that the basic concern prompted by terrorism is
the security of individuals and institutions in Australia. Governments
have a range of options for responding to that fear and insecurity, and
to the events which generated them. They may take military action directed
at the suspected aggressors. They may join multilateral campaigns to curb
or discourage such activity. They may pursue foreign policies designed
to undermine support for extremist activities and/or address grievances.
Domestically, they may take administrative steps such as tightening airport
security and putting defence and other personnel on a higher level of
alert. They may also enact laws that attempt to dismantle terrorist networks
and to enhance the coercive powers of the state to investigate, prosecute
and punish various conduct.
The Commonwealth Government has already taken administrative
steps, and has introduced a suite of significant legislative amendments,
in order to reinforce domestic legal responses to the perceived threat
of terrorism and the possible existence of terrorist cells in Australia.
This paper, along with its companion piece Supporting Materials,
reviews existing statutory arrangements at the national level, including
specific anti-terrorist measures related to investigation and law enforcement,
and more general measures relevant to other prevention and response activities
by various agencies. It briefly reviews comparative proposals in the United
States and United Kingdom, focusing on the historical development of those
laws in response to terrorist threats over time. In the process, the paper
examines what is meant by the term 'terrorism' and it briefly considers
some legal and policy issues and problems in the legislative treatment
of the concept.
Part 1 of this paper surveys the broad range of laws
relevant to 'terrorism' in Australia under the key headings of intelligence,
prevention, crisis management and investigation. It will be of interest
to readers looking for basic materials on the legislative framework for
dealing with terrorism and the broad context for specific anti-terrorist
laws in Australia.
Part 2 briefly describes and applies an evaluation framework
to these laws and to the government's proposals announced in anticipation
of legislation introduced in 2002. It will be of interest to readers looking
for a basic assessment of whether specific measures are necessary, sufficient
and proportionate in relation to the terrorist threat in Australia.
Part 3 broadens the focus to consider legislative powers
and limits and the relationships that Parliament may have to deal with
in enacting and implementing these laws. It will be of interest to readers
seeking a basic institutional critique of anti-terrorism law in light
of the underlying constitutional, judicial and federal features of the
Australian legal system.
This paper has consciously sought to avoid conclusions
or projections. If there is a thesis it is that there are dangers in underestimating
our legislative and administrative preparedness and that there are difficulties
in striking an appropriate balance between safety and liberty. While precedents
are useful, we will need our own views regarding the terrorist threat
in Australia and whether the measures in question are necessary, sufficient
and proportionate.
Part
1 Current and Proposed Measures
The following discussion briefly examines the actions
taken and legislative measures proposed by the Government in the aftermath
of September 11 2001. The dominant focus, which has been refined over
time, has been on controls over terrorist financing. But, there have also
been a suite of other proposals which form the basis of the discussion
in Part 2.
Most of the discussion in this part deals with the broader
legislative environment viewed through the lens of a schema borrowed from
the United Kingdom and United States. The discussion is predominantly
descriptive and does not lend itself to particular conclusions. Some issues
and themes arising from this discussion are pursued in Part 2 and Part
3.
On 3 October 2001 the Reserve Bank of Australia (RBA)
announced that the Government had directed it to take steps under the
Banking (Foreign Exchange) Regulations to block accounts which might be
held by persons or organisations identified by the United Nations and
United States. The list of prohibited accounts was based on the listed
contained in the Terrorist Financing Executive
Order 13224 issued by President George W. Bush that was updated
on 9 November 2001. It included 27 people and groups associated with Osama
bin Laden or the Al-Qa'ida network. These regulations have been
deployed against the Taliban and Taliban-associated entities since December
1999.(1)
On 8 October the Government made regulations pursuant
to the Charter of the United Nations Act 1945 (Cth) and United
Nations Security Council Resolutions 1267
and 1373.
The regulations would 'prevent Australian[s] or people in Australia from
dealing with the financial and other assets of people or entities that
engage in or support terrorism'.(2) The Charter of the United
Nations (Anti-terrorism Measures) Regulations 2001 prevent Australian
citizens or persons in Australia from dealing with financial assets of
persons or entities that engage in or support terrorism, or are under
the direct or indirect control of such persons or entities. The Charter
of the United Nations (Sanctions-Afghanistan) Regulations 2001 prohibit
a person in Australia or a citizen of Australia from doing anything that
assists, or results in provision of military equipment or services or
drug related chemicals from being sold, supplied or transferred to a person
in Taliban territory.
On 28 September 2001 the Government announced measures
relating to financial support for terrorist networks. The measures also
included strengthening Australia's ability to combat the use of false
identities in the conduct of financial transactions, enhancing the extraterritorial
application of Australian laws and improving information sharing.(3)
On 2 October the Government announced proposed amendments
to legislation to:
- permit, under warrant, the formal questioning by ASIO of people 'who
may have information that may be relevant to ASIO's investigations into
politically motivated violence' and the arrest by State or Federal police
of people 'in order to protect the public from politically motivated
violence';
- introduce new general offences based on the Terrorist Act 1994 (UK)
covering 'violent attacks and threats of violent attacks intended to
advance a political, religious or ideological cause which are directed
against or endanger Commonwealth interests'; and
- increase AFP powers 'to search for and seize property of any kind
that is used or intended to be used for terrorism or is the proceeds
of terrorism'.(4)
During the General Election, on 16 October the Government
announced that, if re-elected, it would introduce a retrospective criminal
hoax offence 'to specifically target those who seek to terrorise others
by exploiting their fear of terrorism'.(5) On 13 February 2002,
the Criminal Code Amendment (Anti-hoax and Other Measures) Bill 2002 was
introduced.
On 28 October the Prime Minister recommended a summit
of State and Territory leaders 'to develop a new framework under which
transnational crime and terrorism can be dealt with by law enforcement
at a Commonwealth level'. One objective of the summit would be '[a] reference
of constitutional power to the Commonwealth to support an effective national
response to the threats of transnational crime and terrorism'.(6)
The summit would also consider the reformation, abolition or replacement
of the National Crime Authority.
After the election, on 19 November the Government announced
that it would introduce air marshals 'selectively on flights provided
by Australian air carriers'. The Air Security Officer Programme would
be implemented by the Australian Protective Service.(7)
On 16 December the Government restated its commitment
to introduce 'a specific offence of terrorism and a related offence of
preparing or planning, terrorist acts' and to amend the Proceeds of
Crimes Act 1987 'so that terrorist property can be frozen and seized'.(8)
On 18 December Cabinet agreed to a range of anti-terrorist measures including
the new terrorist and terrorist financing offences and expanded powers
of arrest and detention for the Australian Security Intelligence Organisation.
On 18 December the Government also announced that the
first group of Air Security Officers (Air Marshals) would complete their
training to help ensure aviation safety.(9) It also restated
its commitment to the various legislative changes previously foreshadowed.(10)
On 21 December 2001 the Government listed in the Australian
Government Gazette the names of terrorists and terrorist organisations
whose assets must be frozen by the holder of those assets under the Charter
of the United Nations (Anti-terrorism Measures) Regulations 2001. It also
announced a review of the performance and cost-effectiveness of the NCA
by the former AFP Commissioner, Mick Palmer and the former Secretary of
the Attorney-General's Department, Tony Blunn.(11) The review
was completed in early 2002.
In 1996 Lord Lloyd of Berwick conducted a major British
inquiry into anti-terrorist laws. Among other things the Inquiry into
Legislation Against Terrorism surveyed terrorism legislation in twenty-four
jurisdictions. Of those, less than half made specific provision for terrorist
crime in their criminal laws, although a wide range of provisions had
some application to terrorism. One quarter dealt with proscription of
terrorist organisations. Most commonly, legislation dealt with special
law enforcement or criminal procedures.(12) Similarly, a recent
study of four decades of counter-terrorist measures in the United States
suggested that the relevant laws fell into four main areas: 'alterations
in surveillance measures, pursuit of suspected terrorists through the
judicial system, increased penalties associated with terrorist activity,
and the introduction of weapons-specific initiatives'.(13)
In terms of specific anti-terrorist legislation, if there
is a typical model it is probably reflected in the following description.
Terrorist laws, it has been said, generally contain:
A power for the [relevant Minister, etc.] to proscribe
terrorist organisations, backed up by a series of offences connected
with such organisations (membership, fundraising etc); other specific
offences connected with terrorism (such as fund-raising for terrorist
purposes, training in the use of firearms for terrorist purposes,
etc); and a range of police powers (powers of investigation, arrest,
stop and search, detention, etc).(14)
1.4.1 Legislative Power
The Commonwealth Parliament has no general power to legislate
with respect to crime. Therefore, offences must either fall within, or
be incidental to the exercise of, a head of constitutional power. 'In
short, and generally speaking,' it is said, 'Commonwealth criminal law
is ancillary to the performance of the responsibility of the Commonwealth
to protect itself, its Constitution, its institutions and services and
to enforce its own laws.'(15)
In particular, legislative power to deal with terrorism
may be derived from a mosaic of various direct and indirect sources. Section
51 of the Constitution provides that the Commonwealth may make
laws with respect to 'defence of the Commonwealth ... and the control
of forces to execute and maintain the laws of the Commonwealth', 'external
affairs' or 'matters incidental to the execution of any power vested by
this Constitution in Parliament'. It also gives power over corporations,
banking, aliens and interstate and overseas trade and commerce. Section
122 gives it plenary power to legislate for the government of the Territories.
The Commonwealth may also be able to derive relevant legislative power
from its 'inherent right of self-protection' and/or its 'character and
status of the Commonwealth as a national government'. On the other hand
Commonwealth legislative power is hemmed in by express and implied limits
which operate to protect individual liberties. Further information on
these issues can be found in Part 3. Powers, Limits and Relationships
under Section 3.1. Legislative Powers.
1.4.2 Specific Laws and Concepts
With the Northern Territory exception, there is no specific
anti-terrorist law in Australia. Even the word 'terrorism' is seldom used
to describe terrorist acts or activities. However, there are laws dealing
with approximate topics such as 'politically motivated violence', 'treason',
'treachery', 'foreign incursions', 'national security', and 'organised
crime'.
The expression 'terrorism' appears in a very limited
number of Commonwealth statutes. For example, it is included in the text
of incorporated international instruments.(16) It is also used
in the context of crisis planning agreements between defence authorities
and carriers or carriage service providers under the Telecommunications
Act 1997 and in the context of a ministerial power to declare a state
of emergency in relation to safety of life, vessels or installations under
the Petroleum (Submerged Lands) Act 1967.(17) In addition,
it appears in the Crimes Regulations 1990 to define a 'serious Commonwealth
offence' for the purposes of controlled operations under the Crimes
Act 1914 and the Air Navigation Regulations 1947 to define qualification
requirements for security force personnel.(18)
In State and Territory legislation, 'terrorism' is also
seldom used. It appears in the context of a defence against prosecution
and recovery of costs arising from maritime pollution, and emergency use
of surveillance devices.(19) But it forms a specific division
of 'offences against public order' under the Criminal Code in the
Northern Territory which was modelled on the Prevention of Terrorism (Temporary
Provisions) Act 1974-76 (UK).
- Politically Motivated Violence
Significantly, 'terrorism' once appeared in the Australian
Security Intelligence Organisation Act 1979. It was included in a
list of matters incorporated by the definition of 'security' (see below).
It was defined to mean 'acts of violence for the purpose of achieving
a political objective in Australia or in a foreign country'; 'training,
planning, preparations or other activities for the purposes of [such acts
or] violent subversion in a foreign country' and offences related to internationally
protected persons or aviation.(20)
In 1986, following the Second Hope Royal Commission,(21)
'terrorism' was deleted from the legislation, and merged with 'subversion',
to form a wider expression 'politically motivated violence'. The definition
was not intended to exclude any matters originally covered. It would cover
'terrorism and related activities of the kind covered by the present definition'
including 'threats of or acts causing unlawful harm to achieve a political
end'.(22) Thus, 'politically motivated violence' is defined
to mean acts that include or may include acts or threats of violence or
harm for the purpose of influencing domestic or foreign governments or
overthrowing or destroying a domestic government or constitutional system.
It also includes offences related to foreign incursions, hostages, ships
and fixed platforms and aviation and offences related to internationally
protected persons.(23)
Following the Honan and Thompson review in 1993,(24)
the broader expression was incorporated into the National Anti Terrorist
Plan (NATP) alongside the older, narrower expression 'in recognition
that many of the preventative measures applicable to countering terrorism
are also appropriate against other forms of politically motivated violence'.(25)
So, 'terrorism' is defined in the NATP as 'an extreme form of politically
motivated violence'.(26)
- Treason, Treachery and Foreign Incursions
Allied to 'politically motivated violence' are offences
such as 'treason', 'treachery' and 'foreign incursions'. 'Treason' covers
levying war against the Commonwealth, assisting an identified enemy at
war with the Commonwealth or instigating a foreigner to invade the Commonwealth.
'Treachery' covers attempts to overthrow the Constitution, attempts by
force or violence to overthrow an established government in Australia
or abroad, and acts of treason directed against certain proclaimed countries.
'Foreign incursions' covers attempts to overthrow a government by force
or violence, armed hostilities in a foreign state, acts which place a
foreign public in fear or damage foreign public property. All of these
offences are covered in discrete criminal laws which are dealt with in
Section 1.5.7.
While 'terrorism' is rarely used in federal statutes,
'national security' is fairly common.
The expression is used in a wider variety of statutory
contexts. It is used to describe the purposes for which assistance must
be provided by telecommunications carriers or carriage service providers;
limits on functions of intelligence agencies; limits on access by the
Inspector General of Intelligence and Security to documents; control over
various space activities; a range of exempt documents for the purposes
of freedom of information legislation; limits on disclosure of information
in economic and fiscal reports, annual reports of selected agencies, and
suppression orders relating to pre-trial proceedings; circumstances empowering
a call out of the Reserves; definition of 'serious Commonwealth offences';
conditions for refusal or cancellation of visas; exceptions to the application
of environment protection laws and measures to the Commonwealth; exemptions
from various copyright restrictions; and other matters.
However, while the expression 'national security' may
be often used, it is seldom defined. The Australian Security Intelligence
Organisation Act 1979 defines 'security' as 'the protection of, and
of the people of, the Commonwealth and the several States and Territories
from espionage, sabotage, politically motivated violence, promotion of
communal violence, attacks on Australia's defence system, or acts of foreign
interference whether directed from, or committed within, Australia or
not'. It includes 'the carrying out of Australia's responsibilities to
any foreign country' in these matters.(27) This definition
is incorporated, where relevant, into the Intelligence Services Act
2001 which defines and regulates the activities of Australia's foreign
intelligence agencies.(28)
Equally, while the courts have often been called upon
to consider the impact of national security on the exercise of legislative,
executive and judicial power, they have seldom sought to define the concept.
From what little has been said it seems clear that 'national security'
is not limited to external threats but encompasses internal threats as
well. It also 'looks to matters affecting the country in general rather
than individual persons'.(29)
Academically, at least, 'national security' would seem
to have a double meaning. In a narrow sense it is generally used to mean
intelligence and related law enforcement activity. In a wider sense it
is 'capable of referring to political, social, economic, financial or
military security'.(30) Thus, it may encompass 'all that is
associated with the preservation of vital national interests' including
'important policy aspects of defence, foreign relations, trade, science
and technology, and relevant aspects of general economic policy'.(31)
In this context, the references to 'national security' above probably
relate to physical security.
The concept of organised crime is relevant to terrorism
in at least two ways. First, the criminal acts that constitute terrorism
may involve a number of offenders and networks. Second, the participants
may be involved in a diverse and integrated range of criminal activities.
Thus, terrorist organisations have reportedly been using drug trafficking
to raise funds and 'money laundering methodologies' to conceal and preserve
the proceeds of these crimes.(32) Similarly, suggestions were
recently made that Al-Qa'ida drew substantial profits from 'short
selling' of aircraft and insurance stock prior to September 11. Some links
between terrorism and money laundering are explored in Supporting Materials
'Document 13: Money Laundering'.
Like 'terrorism', 'organised crime' has been difficult
to define. The reality does not necessarily conform to stereotypical notions
of hierarchical familial or cultural networks. Nor is it static, instead
'it is characterised by opportunistic, entrepreneurial and fluid affiliations
of criminals where syndicates form and dissolve for particular activities'.(33)
However, it is generally thought to involve sophisticated, systematic
or integrated criminal networks that are formed for the purpose of satisfying
a collective motive such as profit.
As with 'terrorism', few Australian statutes deal expressly
with 'organised crime'.
The National Crime Authority Act 1984 deals with
the subject by defining a 'relevant offence' for the purposes of activities
by the National Crime Authority. A 'relevant offence' is defined as an
offence under Commonwealth, State or Territory law involving two or more
persons in substantial planning and organisation using sophisticated techniques.
Further, it must involve an offence such as theft, fraud, tax evasion
or illegal drug dealing which is punishable by imprisonment for at least
three years (s. 4). The NCA's working definition of organised crime is
'a systematic conspiracy to commit serious offences'.(34)
Despite the limited use of terms such as 'terrorism'
and 'politically motivated violence', and while few statutes deal specifically
with 'national security', various Acts deal with issues relevant to terrorism.
They may be grouped by subject matter, for example: intelligence, surveillance,
migration and quarantine control, nuclear, chemical and biological weapons,
aviation safety, and criminal laws. They may also be grouped according
to purpose. The Protective Security Review suggested four categories:
intelligence 'including threat assessments relating to terrorism
and domestic violence'; prevention 'to deny potential terrorists
the means and opportunity to achieve their purpose and to defend the likely
targets of their attacks'; crisis management '[involving] law enforcement
and other executive action in the event of a terrorist incident'; and
investigation or, in more explicit terms, 'criminal investigation,
detection, apprehension and prosecution'.(35)
1.5.1 Intelligence
The Protective Security Review stated that '[i]ntelligence
is the first line of defence against terrorism'.(36) Similarly,
the 1993 Honan and Thompson review asserted that '[a] sound intelligence
process, with highly trained analysts, is fundamental to crisis management'(37)
and the 1996 British Inquiry into Legislation against Terrorism
commented that intelligence was 'the single most important weapon in fighting
terrorism'.(38) While these statements are perhaps obvious,
the Protective Security Review statement was made along with a
warning that 'this truism will be taken so much for granted that it will
be merely paid lip service and more attention given to secondary and more
visible lines of defence'.(39)
- The Australian Intelligence Community
The Australian Intelligence Community comprises: the
Australian Security Intelligence Organisation (ASIO), Australian Secret
Intelligence Service (ASIS), Defence Signals Directorate (DSD), Office
of National Assessments (ONA), Defence Intelligence Organisation (DIO),
and the Defence Imagery and Geospatial Organisation (DIGO).
Broadly, ASIO, ASIS and DSD collect intelligence which
is analysed by ONA, DIO and DIGO. ASIS collects intelligence outside Australia
whereas ASIO collects intelligence inside Australia. ASIS collects human
intelligence while DSD collects signals or communications intelligence.
While ASIS collects and analyses intelligence, ASIO may also advise government(s)
regarding security threats and take action to address those threats. DSD
also advises government(s) regarding security of electronic information.
ONA exists under the auspices of the Department of the Prime Minister
and Cabinet, ASIO under the Attorney-General's Portfolio, ASIS under the
Department of Foreign Affairs and Trade Portfolio whereas DSD, DIO and
DIGO come under the control of the Department of Defence (DoD). Generally,
the activities of these agencies are subject to scrutiny by the Inspector-General
of Intelligence and Security (IGIS).
Until recently, the Australian Intelligence Community
was largely ignored by statute. Thus, for seven years after its foundation
in 1949, ASIO existed as a purely executive organisation until it was
placed on a statutory footing in 1956.(40) Similarly, for nearly
fifty years after it was established in 1952, ASIS existed pursuant to
an executive order until it was given statutory clothing by the Intelligence
Services Act 2001.(41)
For further information on the Australian Intelligence
Community see the Supporting Materials paper, 'Document 6: Intelligence
Agencies'.
1.5.2 Prevention
The Protective Security Review viewed prevention
as the 'second line of defence', covering 'controls on entry to Australia,
denial of means and protection of potential terrorist targets'.(42)
Similarly, the SAC-PAV Review saw 'prevention' as incorporating
'both the machinery to prevent entry to Australia of suspected terrorists
and activities within Australia aimed at reducing the incidence of politically
motivated violence'.(43) The Protective Security Review
expressed the view that preventative measures needed to 'go beyond
the capabilities of terrorists' in order to serve an effective protective
function. But, they could also serve a deterrent function 'even if falling
short of that standard'.(44)
Historically, immigration control has been a significant
aspect of preventive measures. For example, the first attempts at an international
response to terrorism emphasised extra-territorial jurisdiction, extradition
and immigration control.(45) The Protective Security Review
of 1979 did canvass the issue of entry controls, emphasising border protection
alongside control over breaches of temporary entry conditions, but the
bulk of its discussion was excised from the main report in a classified
appendix.(46)
Generally visa applicants must meet various public interest
criteria. These include that the applicant passes the character test,
that he or she is not assessed (by ASIO, etc.) to be directly or indirectly
a risk to national security, and that his or her presence in Australia
will not (according to the Foreign Minister) prejudice international relations
or be directly or indirectly associated with the proliferation of weapons
of mass destruction.(47) An applicant will fail the character
test if, among other things, he or she has a substantial criminal record;
if, having regard to his or her past or present general or criminal conduct,
he or she is of bad character; or if he or she poses a significant risk
in relation to inciting discord in or representing a danger to the community
or a segment thereof.(48) In considering an applicant's past
or present general conduct a decision maker may take into account any
'activities indicating contempt, or disregard, for the law or for human
rights', including his or her involvement in activities such as 'terrorism
[or] political extremism'.(49)
The statutory natural justice procedures apply unless
the decision is made personally by the Minister. The provisions permit
the Minister on the grounds of national interest to set aside favourable
decisions made by his or her delegate and to issue 'conclusive certificates',
effectively preventing merits review of these decisions.(50)
The character test provisions were essentially introduced with the Migration
Legislation Amendment (Strengthening of Provisions relating to Character
and Conduct) Act 1999.
The Minister may refuse or cancel a visa where
the person fails the character test. The Minister may also cancel
a visa if he or she is satisfied that the visa holder's presence in Australia
'is, or would be, a risk to the health, safety or good order of the community'.(51)
He or she must cancel a visa if various prescribed grounds exist,
including, that the visa holder has been assessed as posing a direct or
indirect threat to national security, or that his or her presence in Australia
would be prejudicial to international relations or may be directly or
indirectly associated with the proliferation of weapons of mass destruction.(52)
It is worth noting that the Government may, in accordance
with international law, amend the Migration Regulations 1994 to exclude
government officials from a particular country based on that country's
complicity in acts of terrorism. For example, under regulations made in
1996, Sudanese government and armed forces members and officials are not
eligible for any visa unless the Minister is satisfied that there
are compelling reasons.(53)
The Minister may order the deportation of non-citizens
in various circumstances. These include that the non-citizen has been
a permanent resident for less than 10 years and has been sentenced to
imprisonment for at least a year, that he or she has been the subject
of an adverse security assessment by ASIO and his or her conduct, whether
inside or outside Australia, constitutes a security threat to the Commonwealth,
a State or Territory, or that he or she has been convicted of a specified
or prescribed serious offence.(54) Under the Department of
Immigration and Multicultural and Indigenous Affairs Migration Series
Instructions, these 'serious offences' include (undefined) 'terrorist
activity'.(55)
In considering whether to allow a person who has failed
the character test to enter or remain in Australia, any 'terrorist activity'
is considered to be a 'very serious offence'.(56) Similarly,
in considering whether to deport a person, 'terrorist activity' may also
constitute a 'serious offence'.(57) Perhaps significantly,
'terrorist activity' is included in these lists without any requirement
that the activity involve any criminal charges or convictions.
Australia has had a long history of proscription, beginning
in the context of World War I and expanding significantly in the aftermath
of the Russian Revolution of 1916. Under the Unlawful Associations
Act 1916 any organisation which 'by its constitution or propaganda,
advocates or encourages ... the taking or endangering of human life, or
the destruction of property' was an unlawful association. The Unlawful
Associations Act 1917 expanded these measures by empowering the Governor-General
to declare unlawful associations, creating offences relating to membership
and contributions and dealing with forfeiture.
The current unlawful associations provisions, which focus
on revolutionary and seditious conduct, were introduced primarily by the
Crimes Act 1926. During the 1925 General Election, the incumbent
Bruce Government had asserted that 'the paramount issue in this campaign
is the maintenance of law and order, and the supremacy of constitutional
government'.(58) The provisions, which were introduced alongside
provisions dealing with powers of arrest without warrant and offences
related to serious industrial disputes, were considered to reflect a 'clear
and definite mandate'(59) to 'defeat the nefarious designs
of the extremists in our midst'.(60) They were 'aimed chiefly
at the rising Communist Party'.(61)
The Communist Party Dissolution Act 1950 sought
largely to continue this tradition, but with a specific focus on the Australian
Communist Party. The Act attempted to dissolve this organisation and provided
means to declare related associations unlawful. As noted in Section 3.1.3
it was held to be constitutionally invalid in the Communist Party case.(62)
Part IIA of the Crimes Act 1914 declares unlawful
any association which directly or indirectly 'by its constitution or propaganda
or otherwise advocates or encourages the overthrow of the Constitution
... by revolution or sabotage' or the overthrow by force or violence of
the established government of the Commonwealth or of a State'. The Federal
Court, on the motion of the Attorney-General and after providing a hearing,
may declare an association to be unlawful. It is an offence to be a member
of, or to represent, an unlawful association. Similarly, it is an offence
to publish, sell or distribute material produced by an unlawful association,
or to let premises to such an association.(63)
- Contributions, Financial Assistance and Forfeiture
As with proscription, there is no Commonwealth Act which
deals explicitly with contributions or assistance to terrorist organisations
or forfeiture of terrorist property. However, under the unlawful associations
provisions in the Crimes Act 1914 it is an offence to 'give or
contribute money or goods' or 'receive or solicit subscriptions or contributions
of money or goods' for an unlawful association (s. 30D) and any property
held by or for the benefit of an unlawful association is forfeited to
the Commonwealth (s. 30G). The Commonwealth Government has also taken
non-legislative steps in relation to controlling financial assistance
to terrorist organisations. On 21 October 2001 it signed the Convention
for the Suppression of the Financing of Terrorism of 1999.(64)
The Convention states that countries will take action against people or
countries that provide or collect funds for terrorist purposes. Essentially
the Convention aims to starve terrorists of assets.
Under the Proceeds of Crime Act 1987 authorities
have the power to confiscate assets or money used in, or acquired as a
result of, serious offences against Commonwealth or Territory laws. Assets
may be frozen to prevent them being dissipated or removed from the jurisdiction.
Authorities also have extra powers of search and seizure to trace and
identify the proceeds, benefits or property of crime. Property that remains
confiscated or restrained six months after conviction is forfeited automatically
to the Commonwealth.
- Asset Freezing and Transaction Blocking
One of the first responses in the United States to the
September 11 attacks was to freeze the assets of organisations associated
with Al-Qa'ida. On September 23 President Bush issued the Terrorist
Financing Executive
Order 13224 which imposed financial sanctions on a list
of proscribed organisations. The President described these measures as
'a major thrust of our war on terrorism'(65) and as 'the first
strike in the war against terror'.(66) On November 7 the President
announced that the United States had blocked assets of a further 62 organisations
and individuals under the authority of Executive Order 13224. Executive
Order 13224 was issued pursuant to various statutory authorities dealing
with national security and foreign relations,(67) particularly
in light of United Nations Security Council Resolutions (see Supporting
Materials, 'Document 4: Terrorism and the United Nations').
While there is no Commonwealth Act expressly permitting
asset-freezing or transaction-blocking in respect of terrorism and terrorist
activities, the Commonwealth has also been able to take measures to implement
various international resolutions. As indicated above, the Government
has made regulations designed to implement aspects of the United Nations
Security Council Resolutions 1267
and 1333
under the Charter of the United Nations (Anti-Terrorism Measures) Regulations
2001. Under the Charter of the United Nations Act 1945 the Government
has power to give effect to resolutions of the United Nations in domestic
law. The Governor-General may make regulations giving effect to binding
decisions that the Security Council has made under Chapter VII of the
Charter of the United
Nations in so far as those decisions require Australia to apply measures
not involving the use of armed force (s. 6).
The Charter of the United Nations (Anti-terrorism Measures)
Regulations 2001 allow the Minister (currently the Foreign Minister) to
'proscribe' a person or entity involved in terrorist acts. The Minister
may also list assets or classes of assets that are owned or controlled
by such persons. The regulations provide that a legal person (for example
a bank) who holds assets that are owned or controlled by a proscribed
person or entity must not use or deal with or allow an asset to be used
or dealt with. A fine of up to $5500 applies for a breach. It is also
an offence if a person makes an asset available to a proscribed person
and is reckless to whether or not the person or entity is proscribed.
The provision requires institutions such as banks to thoroughly examine
their accounts to ensure that they do not hold assets belonging to a proscribed
person. Use or dealings can be authorised to allow humanitarian activities
to take place.
The Charter of the United Nations (Sanctions-Afghanistan)
Regulations 2001 prohibit a person in Australia or a citizen of Australia
from doing anything that assists, or results in:
- arms or related materiel being sold, supplied or transferred to Taliban
territory; or
- technical advice, training and other assistance in relation to the
military activities of the armed personnel of the Taliban being sold,
supplied or transferred to the Taliban;
- acetic anhydride, a chemical used in the cultivation of opium poppy,
being sold, supplied or transferred to a person in Taliban territory,
or to a person for the purpose of an activity carried on in, or operated
from, Taliban territory.
The regulations also prohibit the use of Australian aircraft
or ships in relation to points 1 or 2 above and prohibit a person in Australia,
or a citizen of Australia, from dealing with financial assets of the Taliban
or Osama bin Laden, or individuals associated with them. A fine of up
to $5500 applies for a breach of the regulations.
1.5.3 Crisis Management
- Aid to the Civil Power / Aid to the Civil Community
From the Commonwealth's perspective, one of the most
important forms of response to a terrorist incident is the use of the
Australian Defence Forces and Reserves. Generally, the Australian Defence
Force may provide either Defence Assistance to the Civil Community (DACC)
or Defence Aid to the Civil Power (DACP). The essential difference is
that the former involves non-controversial assistance to civilian authorities
whereas the latter involves assistance to law enforcement agencies that
expressly contemplates the use of force. In common parlance, defence aid
to the civil power is 'calling out the troops'.(68)
Further details on DACC and DACP can be found in Supporting
Materials, 'Document 8: Role of the Defence Force'.
Various State and Territory Acts deal with disaster management.(69)
However, disaster management is primarily an administrative issue and
little if any nexus with legislation. A brief overview of the issues and
structures can be found in Supporting Materials, 'Document 9: Crisis
Management Issues and Structure'.
1.5.4 Investigation
Clearly, to the extent that terrorism is characterised
as a criminal issue, 'investigation' will be a significant part of the
pre-emptive and responsive counter-terrorist machinery. As noted above,
where jurisdictions have enacted specific anti-terrorist laws, those laws
have most commonly dealt with special law enforcement or criminal procedures.
Specifically, it seems that most specific measures in this area have focused
on 'alterations in surveillance measures, pursuit of suspected terrorists
through the judicial system, increased penalties associated with terrorist
activity, and the introduction of weapons-specific initiatives'.(70)
The following discussion examines the framework of Australian
'investigation' laws. For present purposes the key categories are law
enforcement agencies and law enforcement methods, offences
and cooperation with foreign countries.
1.5.5 Law Enforcement Agencies
Various law enforcement agencies have a potential counter-terrorist
role, including the Australian Federal Police (AFP), the National Crime
Authority (NCA) and the Australian Protective Service (APS). Mention should
also be made of the Australian Bureau of Criminal Intelligence (ABCI)
and the Office of Strategic Crime Assessments (OSCA).
While the AFP currently has a more significant role in
relation to counter-terrorism, arguably, the NCA has the most significant
functions and powers. It has two types of functions which may be of particular
relevance to terrorist investigations.
Its general functions are to 'investigate and combat
serious organised crime on a national basis and to analyse and disseminate
relevant criminal information and intelligence' to law enforcement agencies
and public inquiries to which it is relevant.(71) These functions
can be exercised on its own initiative.(72) They include collecting,
analysing and disseminating criminal information and intelligence, investigating
matters of its own choosing, making arrangements for the establishment
of task forces and co-ordinating their work. The NCA's coercive powers
cannot be exercised in relation to its general functions.
Its special functions are to investigate matters referred
to it, which relate to 'a federally relevant criminal activity'.(73)
A 'federally relevant criminal activity' includes any 'relevant offence'
against Commonwealth law or State or Territory law which has 'a federal
aspect'.(74) A State or Territory offence will have a 'federal
aspect' if its physical elements or the circumstances in which it was
committed fall within federal legislative power.(75)
As indicated above, the Government has recommended that
a summit of State and Territory leaders consider improving law enforcement
networks to deal with transnational crime and terrorism, including the
reformation, abolition or replacement of the NCA. One commentator has
suggested that '[t]he Government is likely to seek to expand its national
role, but place it under the management of the Australian Federal Police'.(76)
Further details on the law enforcement agencies can be
found in Supporting Materials, 'Document 7: Law Enforcement Agencies'.
1.5.6 Law Enforcement Methods
- Telecommunications Interception
Under the Telecommunications Act 1997 carriers
and carriage service providers are required to give officers and authorities
of the Commonwealth 'such help as is reasonably necessary' to enforce
criminal laws and to safeguard national security such help includes the
provision of interception services including services covered by interception
warrants under the Telecommunications (Interception) Act 1979.
Generally, assistance is given in accordance with an agreement between
the carrier or carriage service provider and the relevant authority and
is to be given on a cost-neutral basis.(77)
Under the Telecommunications (Interception) Act 1979
warrants can be obtained for two purposes. The first is national security.
The second is law enforcement. The Attorney-General may issue warrants
for the interception of telecommunications where the subject of the warrant
is reasonably suspected of engaging in activities prejudicial to national
security. An application is made to the Attorney-General by ASIO's Director-General.
In certain circumstances, the Director-General may issue a warrant for
a limited period if waiting for the Attorney-General's response would
seriously prejudice national security.
Where a law enforcement agency wishes to obtain an interception
warrant, an application must be made to an 'eligible judge' or a nominated
member of the Administrative Appeals Tribunal. Interception warrants can
only be issued in relation to the investigation of what are called class
1 and class 2 offences. Class 1 offences include murder, kidnapping and
narcotics offences. Class 2 offences include offences punishable by imprisonment
for life or a period of at least seven years and offences where the offender's
conduct involves serious personal injury, drug trafficking or serious
fraud.
The Act also enables warrants to be issued in respect
of telecommunications services and named persons (ie in relation to any
telecommunications service that a named person uses or is likely to use).
Before the Parliament was prorogued for the 2001 General
Election, the Telecommunications Interception Legislation Amendment Bill
2001 was introduced to enable telecommunications interception warrants
to be issued for the purposes of investigating serious arson and child
pornography where the relevant offence attracts a penalty of at least
seven years imprisonment. The Bill lapsed when the election was called.
Three Commonwealth laws govern the issuing and use of
listening device warrants. They are the Customs Act 1901, the Australian
Federal Police Act 1979 and the Australian Security and Intelligence
Organisation Act 1979. Under the Customs Act, listening device warrants
can be obtained for the investigation of narcotics offences. Under the
Australian Federal Police Act, listening device warrants can be obtained
for the investigation of non-narcotics offences categorised as either
class 1 general offences or class 2 general offences. Class 1 offences
include murder and kidnapping. Class 2 offences include offences carrying
a penalty of 7 years or more imprisonment which involve a risk of loss
of life, serious personal injury or serious damage to property and drug
trafficking.
Under the Australian Federal Police Act 1979,
a judge or, following amendments to the Act in 1997, certain nominated
members of the Administrative Appeals Tribunal may issue listening device
warrants.(78) They may relate to a particular person, particular
premises, or, following amendments in 2001, a particular item.(79)
Under the Australian Security and Intelligence Organisation Act 1979
the Minister may issue listening device warrants.(80) The Act
provides expressly for warrants in relation to a particular person or
a particular premises, but is silent as to whether devices can be used
for particular items. It is possible that such warrants could not be issued
by the Minister under the Act.(81)
The Australian Security and Intelligence Organisation
Act 1979 provides for warrants which allow ASIO to use devices to
track persons or objects where the Attorney-General is satisfied there
is a reasonable suspicion of activities prejudicial to security and a
likelihood that the device will assist ASIO in gathering intelligence.(82)
The Australian Security and Intelligence Organisation
Act 1979 provides for search warrants which allow ASIO to use computers
to access data relevant to security, to print copies to take away from
the premises, to make electronic copies and to alter, add to or delete
data. It also provides for 'computer access warrants' which permit the
use of electronic means to access data relevant to security which is stored
in a target computer.(83) This includes the ability to add,
delete or alter data in the target computer, copy data, do anything necessary
to conceal activities under the warrant and do anything else reasonably
incidental. A note in the legislation makes clear that acting under a
warrant will exempt an ASIO operative from criminal liability which would
otherwise apply.
It is often thought that convictions cannot be obtained
by 'entrapment'. In Ridgeway v. Queen the High Court clarified
this misconception, rejecting the suggestion that there was a substantive
defence of 'entrapment' in the common law,(84) but confirming
that evidence obtained by criminal inducement could be ruled inadmissible
as a matter of public policy.(85) As a result most jurisdictions
passed statutory 'controlled operations' regimes.(86)
Under the Crimes Act 1914 law enforcement officers
are protected from civil and criminal liability arising from conduct undertaken
in a 'controlled operation' for the prosecution of a 'serious Commonwealth
offence'. To be protected, the officer must act in accordance with a controlled
operations certificate and must not intentionally induce a person to commit
an offence that they would not otherwise have intended to commit. An authorised
officer may issue a 'controlled operation' certificate if he or she is
satisfied, among other things, that the controlled operation is justified
and there are limits or controls on the extent of unlawful activity, possession
of illicit goods or harm to others.(87) Controlled operations
are subject to some ministerial and parliamentary scrutiny.(88)
'Serious Commonwealth offences' include crimes subject
to 3 or more years imprisonment that involve money laundering, armament
dealings, espionage, sabotage, threats to national security, misuse of
computer or electronic communications and importation of prohibited imports
or exportation of prohibited exports. They also include offences subject
to 3 or more years imprisonment that involve 'violence' or 'terrorism'.(89)
The Measures to Combat Serious and Organised Crime
Act 2001 enables intelligence officers and law enforcement officers(90)
to use a statutory regime for assumed (false) identities. The Minister's
Second Reading Speech explained the assumed identities provisions in the
following way: 'Assumed identities are false identities adopted to facilitate
intelligence and investigative functions, or infiltration of a criminal,
hostile or insure environment with a view to collecting information and
investigating offences'.(91)
The National Crime Authority Act 1984 empowers
the NCA to exercise special powers when carrying out its special functions.
These include 'hearings, including compulsory appearances and production
of documents, imposition of penalties and warrants for search and seizure,
for arrest and for interception of communications'.(92) In
the hearings context, a member of the NCA may require a person to appear
before him or her and produce a specified document or thing that is relevant
to a special investigation. Failure to comply is an indictable offence
subject to a maximum fine of $20 000 or 5 years' imprisonment.(93)
As indicated, there is no Commonwealth offence of 'terrorism',
but it is worth considering the law in the Northern Territory. Under the
Criminal Code (NT) it is an offence to commit a terrorist act,
which is liable to imprisonment for life. A terrorist act involves 'the
use or threatened use of violence to procure or attempt to procure the
alteration, cessation or doing of any matter or thing established by a
law of ... a legally constituted government or other political body'.
It is an offence to obtain or procure goods or services for the purposes
of a terrorist act and a court may order that such property be forfeited.
It is also an offence to knowingly belong to, be involved in, or assist,
support an unlawful organisation. It is even an offence to address a meeting
of an unlawful organisation. An 'unlawful organisation' is one that, in
the opinion of the court, 'uses, threatens to use or advocates the use
of unlawful violence in the Territory to achieve its ends'.(94)
According to the Northern Territory Government the provisions
were enacted in response to various domestic and international concerns:
'Darwin was only 320 kilometres from Indonesia; there had been considerable
terrorist action around the world by Moluccan guerillas; and there had
been an aeroplane hijacking incident in Alice Springs in 1972'.(95)
According to its drafters, the terrorism provisions were drafted so as
to take into account 'the Territory's isolation and its geographical position
as a gateway to Australia'.(96) While it is difficult to measure
the significance of these arguments or incidents in retrospect,(97)
it seems clear that any of these concerns could have been dealt with under
Commonwealth law. Some two years later, in correspondence with the Prime
Minister, the Chief Minister suggested 'there are acts that are not and
cannot be the subject of Commonwealth law', citing a hypothetical example
'where a person threatened to set off explosions in public places unless
a demand-such as the release of a prisoner-was complied with'.(98)
At the time the Northern Territory Opposition Leader, acknowledging that
the Commonwealth might have 'constitutional limitations', recommended
that it assume jurisdiction through a referral of powers by the States
under section 51(xxxiii) of the Constitution.(99)
- Treason, Treachery, Sabotage and Sedition.
The Crimes Act 1914 deals with a number of offences
against the government including treason, treachery, sabotage and sedition.
These offences were largely codified from the common law in a wholesale
reform of the Crimes Act 1914 by the Crimes Act 1960. The
reform implicitly acknowledged the threat of 'non-conventional' or 'asymmetric'
warfare and the need to address external threats to the Constitution,
government or defence of Australia and internal threats to the government
or defence of foreign countries. 'Treason' covers levying war against
the Commonwealth, assisting an identified enemy at war with the Commonwealth
or instigating a foreigner to invade the Commonwealth. 'Treachery' includes
any act done with the intent to overthrow the Constitution by revolution
or sabotage. It includes 'the overthrow by force or violence of the established
government of the Commonwealth, of a State or of a proclaimed country'
and acts of treason committed within the Commonwealth directed against
a proclaimed country. (These are similar acts to those covered in 'politically
motivated violence' and unlawful associations provisions.) 'Sabotage'
includes destroying or damaging weapons or articles used by the ADF with
the intention of prejudicing the safety or defence of the Commonwealth
(s. 24AB).
The Crimes Act 1914 also contains offences of
unlawful drilling, espionage, official secrets, being in a prohibited
place, harbouring spies, and taking unlawful soundings.(100)
Before Parliament was dissolved for the 2001 General Election, the Government
introduced a Criminal Code Amendment (Espionage and Related Offences)
Bill 2001 which would have reformed the law relating to espionage and
similar activities, introduced some increased penalties and repealed some
existing offences (eg harbouring spies and unlawful drilling). The Minister's
Second Reading Speech stated that the Government sought 'to ensure that
the offences in the Bill establish an effective legal framework that both
deters, and punishes, people who intend to betray Australia's security
interests':
As part of our review we have considered such things
as technological advances in information management and communication
as well as international standards and experience. As a result, the proposed
offences are consistent with equivalent provisions in the United States,
the United Kingdom, New Zealand and Canada.(101)
The Bill lapsed when Parliament was dissolved.
The Crimes (Foreign Incursions and Recruitment) Act
1978 makes it an offence to recruit people, or to train and organise
in Australia, for armed incursions or operations on foreign soil. It is
an offence to 'engage in hostile activity in a foreign state' or to 'enter
a foreign state with intent to [do so]'. It is also an offence to do preparatory
things for the same purposes. And it is an offence to 'give money or goods
to, or perform services for, any other person or any body or association
of persons for the purpose of supporting or promoting [these activities]'.
'Hostile activities' include any acts done for the purpose of overthrowing
a government by force or violence, engaging in armed hostilities in a
foreign state, placing a foreign public in fear and causing damage to
foreign public property. They exclude activities undertaken in the service
of a foreign power's armed forces.(102)
In essence this corresponds to the offence of treason
committed against a foreign power.
The offender must be an Australian citizen, ordinarily
resident in Australia or resident in Australia for at least a year for
purposes connected to these acts. Proceedings may not commence unless
the Attorney-General has given his or her consent. Pending this consent,
a person may lawfully be arrested, charged or remanded in custody or on
bail.(103)
Aside from these specific offences there are a wide range
of other general offences which may apply to a particular terrorist incident.
These include offences relating to (federal) property, computers, postal
and telecommunications services, hostage taking, heads of state and other
internationally protected persons, aviation, shipping, biological, chemical
and nuclear weapons and weapons of mass destruction.
Further information on these general offences can be
found in Supporting Materials, 'Document 10: General Commonwealth
Offences'.
1.5.8 Cooperation with Foreign Countries
It is a paradox that our laws are largely domestic but
the threat is largely international. In the Protective Security Review,
Justice Hope suggested that the threat of international terrorism in Australia
was more significant than the threat of civil unrest: 'the greatest risk
appears to be the possibility of international terrorist activity originating
from abroad'.(104)
A wide range issues may arise in relation to criminal
procedure where foreign countries are drawn into the picture. Particular
issues may arise in relation to extraterritorial application of Australian
laws, extradition, mutual assistance with other countries in criminal
matters, prisoner exchange arrangements and other practical considerations.
The issue of extraterritoriality is discussed further
in Supporting Materials, 'Document 11: Extraterritorial Application
of Australian Laws' and further information on issues related to extradition,
mutual assistance, etc. is in 'Document 12: International Cooperation'.
The following discussion seeks to draw out the key issues
and themes arising from the descriptive survey of legislation provided
in Part 1. The focus of attention is largely on the proposals announced
by the government prior to the introduction of legislation in 2002. It
leaves open some of the broader institutional issues which are considered
in Part 3.
One of the key difficulties for the Parliament when considering
anti-terrorist legislation is how the terrorist threat to Australia can
be measured independently of the threat to other countries which may be
considered by virtue of the apparent precedent value of their laws. Having
identified a real or feared threat to Australia, and having decided that
a response is necessary, Parliament must then determine its nature and
extent, taking into account the difficulties in defining and dealing with
terrorist behaviour and the need to balance the protection of collective
public safety with the protection of individual civil liberties.
Australia is under pressure from two sides to take measures
to address terrorism both locally and globally. On one side is an open-ended
requirement from the United Nations Security Council requiring States
to take comprehensive measures to combat terrorism. On the other side
are strong precedents set by the United Kingdom and United States which
far exceed these requirements, particularly in the context of law enforcement
powers.
2.1.1 United Nations
In Resolution 1373
the Security Council consolidated its previous comments on the need for
stronger and more cooperative measures among States. It 'decided' that
'all States shall ... prevent and suppress the financing of terrorist
acts [and shall] [c]riminalize the wilful provision or collection ...
of [terrorist] funds by their nationals or in their territories'. It also
required States to ensure that terrorists, their accomplices and supporters
are brought to justice, and that 'terrorist acts are established as serious
criminal offences in domestic laws ... and that the punishment duly reflects
the seriousness of such terrorist acts'.(105) On 17 November
2001, the International Monetary Fund backed this move by expressing grave
concern at the use of the international financial system to finance terrorists
acts and to launder the proceeds of illegal activities. It called on all
member countries to ratify and implement fully the UN instruments to counter
terrorism, particularly Resolution 1373.
Resolution 1373
was not the first exhortation in relation to anti-terrorism measures.
The General Assembly has made repeated calls over three decades for States
to enact anti-terrorist laws which deal with criminalising terrorist acts,
state sponsorship of terrorism and the links between terrorism and organised
crime. The Security Council has made calls over recent years dealing specifically
with Afghanistan, the Taliban and Osama bin Laden. For further information
see Supporting Materials, 'Document 4: Terrorism and the United
Nations'.
At the same time, other United Nations bodies have recently
urged caution. For example The United Nations Committee Against Torture
recently reminded states in considering anti-terrorist laws of the 'non-derogable
nature of most of the obligations undertaken by them in ratifying the
Convention [against Torture and Other Cruel, Inhuman or Degrading Treatment
or Punishment]'.(106) The High Commissioner for Human Rights
also urged states enacting such laws 'to refrain from any excessive steps,
which would violate fundamental freedoms and undermine legitimate dissent'(107)
and expressed concern over the detention of prisoners at the United States
Naval Base at Guantanamo Bay, Cuba.(108)
2.1.2 United Kingdom and United States
Recently the United Kingdom and United States have enacted
laws to further strengthen their suite of anti-terrorism laws in the aftermath
of the September 11 Attacks. The Anti-Terrorism,
Crime and Security Act 2001 (UK) amended the Terrorism Act
2000 to increase powers over terrorist financing, immigration, terrorist
weapons, aviation safety, criminal investigation and law enforcement.
The Uniting
and Strengthening America by Providing Appropriate Tools Required to Intercept
and Obstruct Terrorism Act of 2001 (US) amended and extended
a range of existing laws to strengthen treatment of terrorist financing,
immigration, organised crime, criminal investigation and intelligence
gathering.
As with the resolutions above, these measures have a
considerable historical context. For example, the United Kingdom legislation
is based in large part on legislation that was first introduced over six
decades ago in response to attacks by the Irish Republican Army. Between
1974 and 2000 a series of Prevention of Terrorism (Temporary Provisions)
Acts were passed to address the changing situation and concomitant threat
in Northern Ireland. Similarly, the United States legislation supplements
measures that were first taken at least two decades ago in response to
a long cycle of terrorist acts against the United States. The measures
were amended and extended in response to various incidents, including
the Oklahoma City bombing in April 1995. Both the United Kingdom and United
States laws can be characterised as the result of a piecemeal increase
in anti-terrorist powers in response to particular terrorist incidents
or patterns over time that correspond to a gradual decrease in civil liberties
protection by incremental amendment and extension.
For further information on these jurisdictions see Supporting
Materials, 'Document 2: Legislation in the United Kingdom' and 'Document
3: Legislation in the United States'.
2.1.3 The Obligation to Act
While there may seem to be strong pressure on Australia
to enact tough anti-terrorist laws, realistically the obligations are
far less exacting. Substantively, all that Resolution 1373 requires is
that Australia ensure that its laws criminalise terrorist activities,
that those laws deal with terrorist financing and material support for
terrorist organisations and that they be applied or enforced in conformity
or conjunction with other foreign jurisdictions. Arguably, anything more,
for example along the lines of the United Kingdom and United States approaches,
exceeds our obligations to the international community. Following these
precedents may be dangerous for Australia. First, overseas experiences
may provide little guidance as to the particular threat facing Australia.
Second, overseas reactions may provide little certainty regarding
the extent to which safety can be guaranteed. Third, overseas critiques
may provide ample evidence of the impact on civil liberties.
2.2.1 The Evaluation Framework
In the report, Inquiry into Legislation Against Terrorism,
Lord Lloyd of Berwick observed that '[i]t is an illusion to believe that
the fanaticism and determination of well established terrorist organizations
can be defeated by laws alone, even of the most severe and punitive kind'.(109)
He concluded that 'there is no legislative "fix" or panacea against terrorism'.
Various commentators have put forward general principles
that should govern legislation dealing with terrorism and counter-terrorism.
In the United Kingdom one set of commentators suggested three principles:
'equality of treatment before the law; fairness in application of the
law and respect for certain basic principles of human dignity'.(110)
The inquiry by Lord Lloyd of Berwick, which preceded the enactment of
the Terrorism Act 2000 (UK), expanded upon these categories, emphasising
proportionality:
- legislation should approximate as closely as possible to the ordinary
criminal law and procedure;
- additional statutory offences and powers may be justified, but only
if they are necessary to meet the anticipated threat. They must then
strike the right balance between the needs of security and the rights
and liberties of the individual;
- the need for additional safeguards should be considered alongside
any additional powers; [and]
- the law should comply with [the nation's] obligations in international
law.(111)
The inquiry also put forward three principles regarding
administration of these laws:
- all aspects of the anti-terrorist policy and its implementation should
be under the overall control of the civil authorities and, hence, democratically
accountable;
- the government and security forces must conduct all antiterrorist
operations within the law;
- special powers, which may become necessary to deal with a terrorist
emergency, should be approved by the legislature only for a fixed and
limited period.(112)
2.2.2 Balancing Safety with Liberty
One of the strongest themes in terrorism and antiterrorism
discourse is the difficulty of balancing safety with liberty. In theory,
it is possible to achieve security objectives without threatening individual
liberty and the protection of the rule of law. However, in the 'heat of
the moment' there may be a strong tendency toward conflict and compromise.
So, 'as the dynamics have taken over America's response to terrorism ...
a battle between civil liberties, on the one hand, and vulnerability to
terrorism, on the other, has emerged'.(113)
The judiciary has expressed caution against potential
excess. Member of the judiciary in the United States,(114)
the United Kingdom(115) and Australia(116) have
urged caution against potential excess. Other arms of government have
found it more difficult to be so adamant. The standard line in the United
States, the United Kingdom and Australia has been simply to acknowledge
if not resolve the complex competing interests of safety and liberty.(117)
More recently the Prime Minister expressed the standard line in the following
way:
On the one hand we don't want to move away from the
relatively easy carefree approach that Australians traditionally have
adopted in relation to both domestic and overseas travel. ... On the
other hand we do need to take measures to upgrade security ... [I]n
a sense a government is damned if it does and it damned if it doesn't.
If we don't respond and an incident occurs people are entitled to
criticise us. And there's always the haunting worry of course that
whatever response is taken an incident might still occur.(118)
These observations emphasise the need for proportionality
not only in relation to each individual measure and its effect on terrorism,
but across the broad range of legislative and executive measures in existence
at any given time, and across the various amendments and alterations that
appear in response to or anticipation of particular terrorist incidents.(119)
The above discussion suggests the key questions for Parliament
are whether the existing laws are necessary, sufficient or proportionate
in relation to the particular threat facing Australia. Comparative approaches
to counter-terrorism are a relevant part of the debate in Australia as
is a measured appreciation of the specific terrorist threat in Australia.
In order to deal with the issues comprehensively, a clear
appreciation is needed of:
- the subject matter of the laws (terrorism v other offences or national
security issues?)
- the actual or possible terrorist threat facing Australia (domestic
v global?)
- our present level of preparedness (are present arrangements sufficient?)
and
- the standards against which they will be measured in terms of:
- intended effects (to what extent will the laws guarantee security?)
and
- incidental effects (to what extent will they infringe civil liberties?)
2.3.1 The Subject Matter
One of the most difficult issues in anti-terrorism discourse
is the problem of definition. There has been a longstanding debate on
the causes and consequences of terrorism, but the debate on the threshold
question of definition has been even more enduring. As one commentator
has noted '109 different definitions of the term were advanced between
1936 and 1981, and more have appeared since'.(120) Another
commentator likened discussion on terrorism to the Bermuda Triangle -
'much goes in, but not much comes out'.(121)
Clearly, a large number of definitions have been proposed
domestically and internationally to describe terrorism but no comprehensive
working definition has emerged. On the one hand, they may reflect differences
in precision, emphasis or perspective. On the other hand, they may reflect
differences in the underlying phenomena. Assuming that the definitions
deal with a common phenomenon, the following may be representative:
[T]he use, or threat of use, of violence by an individual
or a group, whether acting for or in opposition to established authority,
when such action is designed to create extreme anxiety and/or fear-inducing
effects in a target group larger than the immediate victims with the
purpose of coercing that group into acceding to ... political [etc.]
demands.(122)
Thus, across the various definitions in current use,
there appear to be a few core elements: acts or threats of violence or
criminality that are significant in seriousness or magnitude which are
motivated by political, social or ideological objectives and/or intended
to influence a government or intimidate or coerce the public or a section
of the public.
The issue for present purposes is not that there is a
degree of consensus on definitions. The issue is that the consensus is
event driven and that it waxes and wanes over time and place. In reality,
'terrorism' is multi-faceted. It is difficult to conceptualise or operationalise.
While the elements of criminality, seriousness, motivation and intention
may be identifiable, a terrorist act does not fall neatly into legislative
categories such as war powers, criminal laws or rules of personal liberty,
or disaster management laws.
Moreover, 'terrorism' is subjective. It is a label which
is 'both political and perjorative'. The classic statement is that '[w]hat
might appear as an evil act of terrorism to people in an affluent Western
society may seem like a reasonable and legitimate political action to
a liberation or rebel movement operating in the poverty-stricken and desperate
conditions in the Third World'.(123) 'One person's terrorist
is another person's freedom fighter'.
These tensions are particularly evident in the competition
between the criminal and military characterisation of terrorist acts.
One side views terrorism as a form of 'asymmetric' warfare in which one
participant to a conflict simply avoids the conventional military strengths
of the other and focuses on its civilian weaknesses. The other side views
it as a crime, distinguishable perhaps by its seriousness, motivation
or intention.
These observations have equal relevance in relation to
Australia. Having canvassed some of the issues above, an official report
noted in 1993 that: '[w]e suspect that the nature of terrorism and its
relationship to politically motivated violence probably means that no
one 'definition' would be satisfactory, or widely accepted in the Australian
community'.(124) For this reason perhaps, 'defining the term
itself creates more problems than it solves'.(125)
For further information on definitional issues see Supporting
Materials, 'Document 1: What is Terrorism?'
2.3.2 The Threat in Australia
Clearly, Australia has not had the same exposure to terrorism
or experience with anti-terrorism laws as the United Kingdom or United
States. And there does not seem to be any public awareness of the threat,
or possible threat, of international terrorism in Australia.
Possibly our first and only exposure to international
terrorism was the bombing of the Sydney Hilton Hotel in March 1978. Since
then we have been exposed to possible terrorist threats particularly in
the context of the Commonwealth Games in 1982, the Sydney Olympics in
2000 and the Commonwealth Heads of Government Meeting in 2002.
Total International Terrorist Attacks (1981-2000)
US Department of State, Patterns of Global Terrorism
2000, April 30 2000, Appendix
C
International Terrorist Attacks x Deaths (1993-2000)
US Department of State, Patterns of Global Terrorism
2000, April 30 2000
2.3.3 Legislative and Administrative Preparedness
At an international level there is a wealth of literature
on the issue of 'preparedness'. In the United States there are public
and private institutes dedicated solely to the examination of legislative
and administrative preparedness in the event of a mainland terrorist incident.
However, that level of discussion, at least in the public arena, is absent
from Australia.
There may be strong arguments in favour of our administrative
preparedness. One of the obligations flowing from Resolution 1373
is a requirement that States submit implementation reports to the Counter-Terrorism
Committee of the UNSC. In its report Australia stated that it had 'a highly
coordinated domestic counter-terrorism response strategy incorporating
law enforcement, security and defence agencies'. The report stated that
Australia 'already had in place extensive measures to prevent in Australia
the financing of, preparations for and basing from Australia of terrorist
attacks on other countries' and that it had 'an extensive network of ...
law enforcement liaison officers and bilateral treaties on extradition
and mutual legal assistance ... to facilitate cooperation with other countries
in the prevention, investigation and prosecution of terrorist acts'.(126)
Moreover, there is a wealth of evidence to argue in favour
of our legislative preparedness. Assuming that terrorism is a crime, distinguishable
perhaps by its seriousness, motivation or intention, there are a wide
range of laws which address the four core elements above. We have laws
dealing with intelligence, prevention, crisis management and investigation.
In terms of investigation, we have laws which deal in some detail with
law enforcement agencies and law enforcement methods, offences and cooperation
with foreign countries.
At the same time, there is some acceptance of the limitations
in that preparedness. In its report, Australia acknowledged that there
were gaps in its 'systemic and legislative preparedness to prevent or
to respond to [terrorist attacks] and to freeze [terrorist assets].(127)
In theory, these gaps could relate to a range of issues including the
extraterritorial reach of our laws, the absence of specific terrorist
offences or terrorist financing provisions or, simply, the disjunction
between the terrorist phenomena and the various existing laws. This disjunction
may raise no more than drafting concerns, acknowledging the limits that
any laws may have in dealing with the breadth of human behaviour. Questions
of coverage in terms of extraterritorial operation, specific offences
and terrorist financing raise more significant concerns requiring close
examination.
2.3.4 Gaps in Legislative Preparedness
It was noted that terrorism does not fit neatly into
existing legislative categories such as war powers, rules of personal
liberty or disaster management. To the extent that 'terrorism' is seen
as distinct from other heinous crimes, this observation is true in Australia.
So, while a range of Commonwealth legislation may be relevant to 'terrorism',
it may not fit neatly into present conceptions of 'politically motivated
violence' and the like.
For example, under the Australian Security Intelligence
Organisation Act 1979 ASIO may gather intelligence and make assessments
on matters relevant to 'security'. But a terrorist act may not meet the
criteria for a relevant matter of security concern. The matters covered
are espionage, sabotage, politically motivated violence, communal violence,
attacks on defence systems, or foreign interference. In particular, while
ASIO may focus its attention on 'politically motivated violence' it could
be argued that it may be forbidden from focusing its resources on non-violent
political crimes, on violence which has a social or ideological motivation,
or on violent political crimes that are directed not at 'influencing or
overthrowing or destroying' a government but at intimidating the public,
for example.
Perhaps of equal concern, while the Federal Court may
declare an association to be unlawful, a terrorist organisation may not
fit within the existing legislative definitions. In particular, the Court
may not be empowered to declare an association to be unlawful if it advocates
violence which is directed not at the overthrow but the impairment, extortion
or punishment of a government or if it advocates the destruction of property
that is owned by a State government or is not involved in interstate or
international trade and commerce. (The Banking (Foreign Exchange) Regulations
and the recent Charter of the United Nations (Anti-terrorism Measures)
Regulations 2001 indicate that, at least in financial terms, it is possible
to achieve results without using the unlawful association provisions by
relying on the external affairs power and associated domestic implementation
legislation.)
Conversely the AFP may conduct a controlled operation
over a wide range of terrorist activities precisely because 'terrorism'
is not defined for the purposes of the Crimes Act 1914. Similarly,
the Minister for Industry Tourism and Resources may declare a state of
emergency in relation to various offshore acts because 'terrorist activities'
are not defined in the Petroleum (Submerged Lands) Act 1967 other
than to include 'extortion'.
Similarly, under the Crimes (Foreign Incursions and
Recruitment) Act 1978 a person may be charged with an offence if they
seek to conduct hostilities at home or abroad. But a state sponsored terrorist
act may not meet the criteria for a relevant aspect of the offence. The
offence of foreign incursion covers acts done for the purpose of overthrowing
a government by force or violence, engaging in armed hostilities in a
foreign state, placing a foreign public in fear and causing damage to
foreign public property. But it does not cover activities undertaken in
the service of a foreign power's armed forces. Thus, while David Hicks,
the Australian volunteer in Afghanistan currently detained by the United
States, has allegedly been engaged in armed hostilities or acts which
place a foreign public in fear, he may also have been in the service of
the Taliban and therefore beyond the Act.
2.3.5 A Specific Terrorist Offence?
|
The proposals announced on 2 October 2001 would
establish new offences covering 'violent attacks and threats of
violent attacks intended to advance a political, religious or ideological
cause which are directed against or endanger Commonwealth interests'.(128)
|
In the Protective Security Review, Justice Hope
acknowledged bluntly that '[v]irtually all terrorist acts involve what
might be called ordinary crimes - murder, kidnapping, assault, malicious
damage, and so on - albeit for political motives'. On this basis there
was little apparent need to enact specific offences to target terrorists
and their associates. 'The appropriate objective for a government,' he
commented, 'is to bring them to justice'.(129)
Clearly, most, if not all, definitions recognise that
terrorist acts are criminal acts. However, as one commentator has suggested,
'if ... an act of terrorism is simply "a heinous crime", much of the modern
rhetoric surrounding efforts to define terrorism as a separable phenomenon
appears insignificant'. Moreover, 'if the inherent political nature of
terrorism is ignored, terrorist acts can be identified more easily for
the purposes of prosecution'.(130) Labelling an act as 'terrorism'
may not assist investigation or prosecution and may in fact harm these
processes, especially in the context of exercising extraterritorial jurisdiction,
or negotiating extradition arrangements and mutual assistance.
Similarly, other 'core elements' such as seriousness
or motivation do not necessarily assist. A single incident involving multiple
deaths may cause alarm because it is indiscriminate or newsworthy but
these factors exist in other well established offences. Moreover, as one
Australian commentator noted, '[t]he circumstances that the criminal activities
of a terrorist group are designed to achieve', namely some political or
ideological ends rather than some individual or collective financial benefit,
'does not seem ... to make the existence or the operations of the group
less pernicious, nor to create any less difficulty for law enforcement
agencies in the discharge of their duties.(131) On the other
hand, as Lord Lloyd of Berwick commented, '[t]he reason for making explicit
the terrorist element where it exists is, quite simply, that this is how
it is seen by the public. Murder in the course of a terrorist activity
is thought of as a more serious offence than 'ordinary' murder'.(132)
To the government and the wider community it would seem 'terrorist crime
is seen as an attack on society as a whole, and our democratic institutions.
It is akin to an act of war'.(133)
Arguably, much of the pressure for creating a separate
or separate terrorist offence is the need to acknowledge a community affront
at a perceived attack on society. Nowhere has this been more evident than
in the United Kingdom which has the oldest specific anti-terrorist statute.
As one commentator has put it, passage of the Prevention of Terrorism
(Temporary Provisions) Act 1974 (UK) was 'influenced by two conflicting
considerations':
On the one hand, there was the unavoidable truth
that terrorism could not be abolished by legislative fiat and that
much could already be achieved by the fullest application of the regular
criminal law. On the other hand, there was a strong desire to respond
to what was perceived as 'the greatest threat since the end of the
Second World War'. In short, as one Member observed 'The House wants
blood'.(134)
Lord Lloyd of Berwick canvassed the issue of a specific
terrorist offence in his 1996 report. He offered two arguments in favour
of a specific offence: 'that terrorism presents an exceptionally serious
threat to society' and 'that terrorists have proved particularly difficult
to catch and convict without special offences and additional police powers'.
He also noted five characteristics which distinguished terrorism from
ordinary crime: it is directed at the public, it frequently involves lethal
force, it creates fear, it has a political or ideological purpose and
it is frequently perpetrated by overseas professionals.(135)
In Australia, arguments in favour of a separate terrorist
offence would seem also to include the need to establish clear links between
terrorism and other preventative or investigative powers such as intelligence
gathering, surveillance, proscription and deportation. Overseas experience
demonstrates that many anti-terrorist measures rely or ought to rely on
the existence of an offence of terrorism with clear and workable physical
and mental elements. Australian experience demonstrates a similar, albeit
more limited, trend. For example, ASIO intelligence gathering powers are
conditioned on the threat of politically motivated violence, the Federal
Court's proscription power is dependent on a similar threat of revolutionary
and seditious conduct, AFP powers in relation to controlled operations
are conditioned on the threat of serious offences involving potential
imprisonment for 3 years.
In this context, it is difficult to weigh arguments arising
from our international obligations. As we have seen, there is a requirement
arising out of Resolution 1373
that Australia ensure that 'terrorist acts are established as serious
criminal offences in domestic laws ... and that the punishment duly reflects
the seriousness of such terrorist acts'.(136) However, it is
unclear whether this translates as a requirement to create separate terrorist
offences, or a requirement to provide statutory guidance in relation to
sentencing decisions. Assuming that it is not possible or practicable
to establish a complete set of terrorist offences, it may be possible
to develop sentencing guidelines which focus attention on factors such
as political motivation or intention to influence government or coerce
the public. At the same time, it may be necessary to consider whether
this would unduly interfere with judicial discretion and with the domestic
and international jurisprudence on sentencing theory. It may also need
to consider whether sentencing guidelines interfere with the requirement
for separation of powers between the Judiciary and Parliament. The general
sentencing jurisprudence is discussed in more detail in the context of
arbitrary detention at 2.3.13.
If the Commonwealth was to enact a separate terrorist
offence it would need to address issues of definition, constitutional
limitations and the potential effectiveness of prosecutions. Using a collage
of the points raised above, and noting the above discussion of the difficulty
and politics in defining 'terrorism', such an offence might target offences
subject to 3 or more years imprisonment, or acts or threats of violence,
of national concern involving individuals or sophisticated, systematic
or integrated criminal networks that are motivated by political, social
or ideological objectives and/or intended to influence the government
or intimidate or coerce the public or a section of the public.
2.3.6 Terrorist Financing
|
The Government's proposals include strengthening
Australia's ability to combat the use of false identities in the
conduct of financial transactions and amendments to the Proceeds
of Crimes Act 1987 'so that terrorist property can be frozen
and seized'.(137)
|
The need for measures to combat terrorist financing will
arise because it is expected that terrorists will take the precaution
of covering their identities and resort to using a complex network of
companies, trusts and partnerships. Further, the underground or black
economies of all jurisdictions offer scope for concealed transfers of
funds.
At least one commentator has suggested that implementing
Security Council Resolution 1373 might be immensely difficult, particularly
given the close relationships between financial institutions and business
leaders that have sympathies with the Taliban or Al-Qa'ida.(138)
A study for the United Nations Office for Drug Control and Crime Prevention
in 1998 took a more critical approach. It stated that jurisdictions which
offer high levels of secrecy and a variety of financial mechanisms, and
institutions providing anonymity for the beneficial owners, are highly
attractive to criminals for a wide variety of reasons. These include the
potential cover and protection they offer for money laundering and various
exercises in financial fraud. It found that jurisdictions which provide
offshore banking and secrecy protections were highly congenial for those
trying to launder and hide the proceeds of crime as well as those who
typically exploit loopholes and variations in tax and other laws. This
highlights the difficulty of identifying the legitimate from the illegitimate
users of offshore banking and tracing funds intended for terrorist activities.(139)
The existence of tax havens in the global financial system
is also a major obstacle. In November 2000 the Organisation for Economic
Co-operation and Development (OECD) identified certain jurisdictions engaged
in harmful tax practices in the sense that they are either tax havens
or have potentially harmful preferential tax regimes.(140)
The OECD has fixed 28 February 2002 for 35 tax havens to agree to comply
with its drive to eliminate harmful tax competition. Sanctions could be
applied as early as April 2003 although there are indications that it
could be extended to 31 December 2005.
The existence of trusts, partnerships and nominee companies
may create similar problems. Resolution 1373
applies the asset freezing and transaction blocking requirements not only
to terrorists, accomplices and supporters, but to 'entities owned or controlled
directly or indirectly by such persons', and 'entities acting on behalf
of, or at the direction of such persons and entities' and the property
owned or controlled directly or indirectly by them.(141) While
there is a list of 'proscribed organisations' associated with Resolution
1373 there
is no guarantee that it is complete. Moreover, there may be difficulties
in any attempts to complete such lists. There is no requirement at present
for trusts and partnerships to be registered with a public authority as
companies are obliged to do with the Australian Securities and Investments
Commission (ASIC) under the Corporations Act 2001.(142)
|
The Government's proposals on 28 September 2001
would seek to enhance the extraterritorial application of Australian
anti-terrorist laws.(143)
|
It is unclear at this stage whether the extension of
anti-terrorist laws would be designed to capture Australians who commit
terrorist or terrorist financing offences overseas or to establish more
in the nature of a universal jurisdiction to try terrorists of all nationalities.
Generally, offences are presumed to be local and territorial.(144)
Australian statutes are presumed to extend only to the territorial limits
of Australia, unless a contrary intention is expressed.(145)
Specifically, they are presumed not to extend to cases governed by foreign
law.(146) Neither are they presumed to extend to actions of
foreigners overseas.(147) The presumption can be rebutted,
but only by express intention or by necessary implication from the nature,
purpose and policy of the legislation.(148) Thus, while the
Crimes Act 1914 is generally expressed to operate 'beyond the Commonwealth
and the Territories' (s. 3A) there are few offences that are expressly
intended to capture foreign offenders overseas.(149)
As a matter of constitutional law, the Commonwealth Parliament
has a plenary power to legislate extraterritorially that is not limited
in respect of any nexus with the 'peace, order and good government' of
the Commonwealth.(150) Indeed, it is said that extraterritorial
criminal laws are supportable whenever a valid basis exists for enacting
a criminal law.(151) The authority to legislate extraterritorially
can be derived from the external affairs power because it relates to matters
that are 'physically external' to Australia.(152) But it may
also be derived from the other legislative powers of the Commonwealth
either directly or indirectly, using the incidental power in section 51(xxviii)
of the Constitution. Significantly, Parliament, when not exercising
the external affairs power, is not confined to enacting laws that are
consistent with the requirements of international law.(153)
Arguably, there is a policy tension between prescriptive
and enforcement jurisdictions. Clearly, the Commonwealth has the power
to enact extraterritorial laws. Similarly it has a power to enforce those
laws at least in terms of a physical or personal jurisdiction.(154)
But, while there is a growing jurisprudence regarding the capacity to
legislate extraterritorially, there is a lack of clear understanding regarding
the desirability of doing so. In civil cases, 'choice of law' rules determine
the law to be applied to the particular action. In criminal cases, these
rules are largely unknown, but there may be some development of these
rules. Accordingly, courts may come to place emphasis on notions of 'international
comity'. This principle, originally proposed as a theory of criminal jurisdiction,
would seem to have relevance here: 'each sovereign state should refrain
from punishing persons for their conduct within the territory of another
sovereign states where that conduct has no harmful consequences within
the territory of the state which imposes the punishment'.(155)
One commentator has put forward a range of similar policy considerations
or guidelines that include: there should be no legal vacuum; penalties
should not exceed those under the most appropriate law; defences under
the most appropriate law should be available wherever the defendant is
tried; and international sensitivities should be respected.(156)
For further information see Supporting Materials,
'Document 11: Extraterritorial Application of Australian Laws'.
2.3.8 Detention Issues
The conflict between safety and civil liberties has been
clearly visible in the context of the United Kingdom where the maintenance
of certain anti-terrorist measures required a formal derogation from international
human rights standards. A key provision in the Prevention of Terrorism
legislation was the power to arrest and detain, etc. persons suspected
of being 'concerned in the commission, preparation or instigation of acts
of terrorism'.(157) It was remarkable because the act in question,
namely being 'concerned in the commission ... of acts of terrorism', was
not an offence. The fact that significant law enforcement powers
may be exercised without warrant or reasonable grounds for suspecting
that a specific offence has been committed has given rise to arguments
that the provision breaches the European Convention on Human Rights.(158)
Yet, it seems clear that this was always the intention. As Lord Lloyd
noted, 'the very utility of [the provision] consists in the ability to
arrest a potential terrorist when the police do not have grounds to suspect
that he has committed or is about to commit a specific offence'.(159)
A related provision was the power to stop and search persons at ports
or borders. The fact that it could be exercised in the absence of a reasonable
suspicion also raised concern.(160) Another key provision was
the Secretary of State's power to extend detention. The fact that detention
was not authorised or monitored by a judicial authority gave rise to a
successful argument that the provision also breached the European Convention
on Human Rights. In Brogan v United Kingdom,(161) the
European Court of Human Rights held that the provision breached a convention
requirement that detainees be brought before a judge and tried within
a reasonable period of time.(162) Subsequently, the United
Kingdom entered a derogation from that requirement based on the 'public
emergency' in Northern Ireland. The derogation was held to be effective
in Brannigan and McBride v United Kingdom.(163)
The detention issue has also been of concern to other
international bodies. As we have seen the United Nations Committee Against
Torture has warned States to be careful that anti-terrorist laws do not
breach binding obligations under the Convention against Torture and Other
Cruel, Inhuman or Degrading Treatment or Punishment. Similar concerns
have been expressed by the High Commissioner for Human Rights particularly
in relation to the the detention of prisoners at the United States Naval
Base in Guantanamo Bay, Cuba.
It has been suggested that in all of these arguments,
the key issue is whether the provisions, or, given the width of the provisions,
their application in a given case, comply with a test of proportionality
or reasonableness in the context of a clear terrorist threat.(164)
2.3.9 Proscription Issues
The Inquiry into Legislation Against Terrorism,
argued that the 'terrorist organisation' is a 'key concept ... in terms
of permanent counter terrorist legislation'. It suggested that
proscription had a twofold purpose. 'First it will furnish a conclusive
presumption that an organisation which is for the time being proscribed
is a terrorist organisation. This will facilitate the burden of proof
in terrorist cases'. Second, it argued, 'proscription will be the starting
point for the creation of a number of fundraising and other offences,
especially fundraising for terrorism overseas'. However, it was acknowledged
that proscription could make intelligence gathering and law enforcement
tasks more difficult,(165) at least in part because it tends
to put distance between law enforcement agencies and informants.(166)
Indeed, it was conceded that the primary purpose of proscription was 'to
give legislative expression to public revulsion and reassurance that severe
measures were being taken'.(167) Thus it has been viewed by
some as 'essentially a cosmetic part' of anti-terrorist laws. The long-standing
proscription provisions in the United Kingdom have been criticised by
various commentators. One commentator has argued that 'judicial review
of [proscription] orders ... is likely to be minimal. No procedural safeguards
will be implied, and the relevant substantive checks will prohibit only
the most flagrant abuses'.(168)
An obvious concern in the proscription debate is the
process for proscribing organisations. The unlawful association provisions
in the Crimes Act 1914 presume judicial scrutiny. The process for
'proscription' involves a hearing before the Federal Court in which an
officer or member of a relevant association must show cause as to why
it should not be proscribed. Appeals may be lodged to the Full Court and,
presumably, the High Court of Australia.(169) The proscription
regime achieved by the Banking (Foreign Exchange) Regulations, Charter
of the United Nations (Anti-terrorism Measures) Regulations 2001 do not
seem to presume any scrutiny at all. For example the latter regulations
provide for mandatory proscription of persons or entities on the basis
that they are mentioned in Resolution 1373. There is no avenue for appeal
in the Charter of the United Nations (Anti-terrorism Measures) Regulations
2001 or the Charter of the United Nations Act 1945.
2.3.10 Procedural Fairness
Given the effect of proscription, it is not surprising
that it raises issues at the intersection between the Judiciary, the Parliament
and the Executive. At one extreme are constitutional considerations regarding
the power of Parliament to unilaterally apply criminal sanctions in order
to ensure the defence of national security or the institutions of government.
At another extreme are administrative considerations arising out of the
obligation to afford procedural fairness to persons affected by decisions
made by the Executive. Clearly, there are a number of concerns which are
discussed in Part 3. Powers, Limits and Relationships. The present concern
is with the relationship between proscription and procedural fairness.
The obligation to accord procedural fairness, or 'natural
justice' or 'due process', is described as 'a common law duty to act fairly...
in the making of administrative decisions that affect rights, interests
and legitimate expectations'.(170) As a principle of fairness,
the content of the obligation must be flexible to take account of what
is fair in the circumstances,(171) but it often obliges the
decision maker to provide a hearing(172) and an opportunity
to deal with adverse information that is 'credible, relevant and significant
to the decision to be made'.(173) Above all, there is a duty
to disclose information regarding matters personal to the individual
whose interests are affected by the decision.(174) So, it has
been said that the right to a hearing and the right to cross examine others
arise where there are grave allegations(175) or where the decision
rests on personal characteristics.(176) Without doubt, national
security considerations may affect the content of procedural fairness.
However, they must be placed among other considerations in determining
these issues.
Simply put, while Australia may seek to expand its measures
to combat terrorist financing, it may need to exercise caution in relation
to processes such as proscription. A member or associate of a proscribed
organisation may have a legitimate expectation that they will not be subject
to restrictions in relation to banking and trade on the basis of a ministerial
decision or an international resolution without the opportunity to challenge.
It is worth noting that the Northern Territory provisions
originally applied to 'proscribed organisations'. These were identified
by the Administrator, acting on the advice of the Executive Council, with
a simple parliamentary tabling requirement.(177) Early drafts
of these provisions 'contained no criteria or procedures relating to such
proscription'.(178) As enacted, they simply required, in the
opinion of the Administrator, the organisation 'has as its object or one
of its objects the use of violence to achieve its end' or that the members
have 'demonstrated a propensity to use violence to achieve the organisation's
ends'. The power to 'proscribe organisations' was strongly criticised
on the basis that it had 'potential implications for interference with
a number of civil rights'(179) and, on that basis, should be
'the subject of impartial judicial consideration'.(180) The
response at the time was that an appeal to the courts would take a sensitive
issue out of the legislature. It would be 'an extraordinary, novel and
dangerous precedent'(181) and would 'politicise the judiciary'.(182)
But, within a year the issue was reviewed and, pursuant to an agreement
between the Commonwealth and the Northern Territory,(183) control
was surrendered to the courts.(184) The effective proscription
of the Communist Party of Australia in 1950 ran into constitutional problems
as will be seen in Part 3. Powers, Limits and Relationships.
2.3.11 Entry Search and Seizure
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The proposals announced on 2 October 2001 increase
AFP powers of search and seizure. They would permit the AFP to 'search
for and seize property of any kind that is used or intended to be
used for terrorism or is the proceeds of terrorism'.(185)
|
Traditionally, the common law has sought to limit powers
of entry, search and seizure. Originally, search warrants were permitted
for stolen goods, had to be issued by judges and had to describe what
was to be searched and seized and/or the related offence. Recognising
the need to balance individual privacy with public interest in law and
order, these powers have been extended to allow police officers to seize
other property they discover by chance which they reasonably believe reveal
other offences.(186) Otherwise the common law 'was, and remains,
hostile to any greater degree of generality'.(187)
These powers have been extended by statute. First, there
have been piecemeal extensions to cover particular classes of offences.
Second, there have been extensions which largely codify the common law
rules relating to search warrants. Third, there have been measures which
provide for 'general warrants'(188) which may be unlimited
as to place, time or the offences to which they relate or, while partially
limited, may be issued not by a judicial officer but by an administrative
officer, for example, a commissioner of police. Fourth, there have been
measures which grant these powers beyond the traditional law enforcement
domain to other officials.(189)
The general position at law is that search warrants require
concrete information.(190) Moreover in issuing a search warrant
a judge must balance, at arms length, the competing interests in light
of this information. He or she must 'stand between the police and the
citizen' and give 'real attention to the question whether the information
proffered by the police does justify the intrusion they desire to make
into the privacy of the citizen'.(191)
2.3.12 Compelling Disclosure
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The proposals announced on 2 October 2001 increase
ASIO and AFP powers in relation to 'politically motivated violence'.
The measures would empower ASIO to seek warrants from a Federal
Magistrate or certain members of the Administrative Appeals Tribunal
to require non-suspects to appear and answer questions before a
prescribed authority in relation to an investigation into 'politically
motivated violence'. (192)
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A key provision in the United Kingdom anti-terrorist
legislation is the duty to give information regarding terrorism. Lord
Lloyd of Berwick identified two criticisms. First, while citizens have
a moral obligation to assist the police, he argued that 'the state should
be reluctant to transform this into a legal duty'. Second, while the duty
is expressed generally he observed 'prosecutions are most often used against
members of the families of suspected terrorists, putting them in an impossible
position of conflicting loyalties'.(193) A Home Office Circular
apparently defended the duty on the basis that it is seldom used.(194)
In his report Lord Lloyd of Berwick commented: 'I do not regard it as
satisfactory to create a wider-ranging offence, and then circumscribe
it by a Home Office Circular'.(195)
In Australia, there appear to be few if any examples
of a mandatory duty to inform. Under the Crimes Act 1914 it
is an offence for a person who knows that another person intends to commit
treason not to provide information to a constable or take preventative
measures (s. 24(2)(b)). The only other parallel may be the various statutory
powers to issue production notices. Production notices are administrative
orders for the production of documents, information, etc. While there
are many examples in the judicial sphere there are fewer examples in the
executive domain. Examples exist in customs, taxation, civil aviation
safety, consumer protection, companies and securities regulation, therapeutic
goods, social security, workplace relations, immigration, and national
security. Under the National Crime Authority Act 1984 an officer
may, in the context of a hearing, order a person to produce a document
or thing specified in the notice, being a document or thing that is relevant
to a special investigation.(196) Under the Crimes Act 1914
the Attorney-General may require a person to answer questions, furnish
information or allow documents to be inspected if he or she believes that
the person has any information or documents relating to the money, property,
payments or transactions of an unlawful association (s. 30AB).
|
The proposals announced on 2 October 2001 would
empower the AFP (or State Police) on the advice of ASIO to arrest
suspects and bring them before a prescribed authority for various
purposes including to 'protect the public from politically motivated
violence'.(197)
|
In principle, domestic and international law are antagonistic
to arbitrary detention or the detention of persons without legal authority,
without charge or without review.
Traditionally, '[t]o make imprisonment lawful, it must
either be by process from the courts of judicature, or by warrant from
some legal officer having authority to commit to prison'.(198)
In either case, detention would be subject to the supervisory jurisdiction
of the courts, a fact which is implicit in the constitutional separation
of powers requirement. So, it has been said that, with limited exception,
'the citizens of this country enjoy, at least in times of peace,
a constitutional immunity from being imprisoned ... except pursuant to
an order by a court in the exercise of the judicial power of the Commonwealth'.(199)
In the absence of judicial power, the Constitution
only permits administrative detention which is connected with a head
of legislative power and which is reasonably necessary for the purpose
of its exercise. Thus the mandatory detention of asylum seekers has been
held to be a valid exercise of the aliens power provided it is not punitive
or is 'limited to what is reasonably capable of being seen as necessary
for the purposes of deportation or necessary to enable an application
for an entry permit to be made and considered'.(200) The caveat
in italics above raises the question as to whether the detention of persons
in times of hostilities or threats to national security may be a valid
exercise of the defence power.
In the exercise of judicial power, the common law would
strive to ensure that detention appropriately serves objectives of rehabilitation,
deterrence, retribution and incapacitation. The common law does not sanction
arbitrary detention. It requires proportionality between the period of
detention and the gravity of the crime.(201) Nor does it sanction
preventative detention. It does not accept excessive periods of detention
for the sole purpose of protecting the community from repeat offenders.(202)
Indeed, imprisonment is generally considered as a last resort and a court
will generally strive to impose the minimum sentence necessary to protect
the community. Moreover, while community protection is a primary consideration
in sentencing,(203) it will be weighed against the personal
characteristics and circumstances of the offence and the offender.(204)
These principles are underscored by various international
instruments. For example, the International Covenant on Civil and Political
Rights(205) prohibits arbitrary detention (Art. 9(1)).
Moreover, international law recognises that detention may be arbitrary
notwithstanding that it is lawful as the concept of arbitrary detention
includes 'elements of inappropriateness, injustice and lack of predictability'.
The Human Rights Committee has stated that detention 'must not only be
lawful but reasonable in all the circumstances' and, in addition,
'must be necessary in all the circumstances, for example, to prevent
flight, interference with evidence, or the recurrence of crime.(206)
The following discussion confronts some of the
broader institutional issues associated with the legislative survey in
Part 1 and the evaluation commentary in Part 2.
Beyond the coalface of anti-terrorism laws, a
wider set of issues may arise for Parliament. Does the Commonwealth have
the constitutional power to take action on terrorism? This question has
two aspects, in that it deals with powers and limits on powers. First,
do the constitutional powers exist which could support Commonwealth counter-terrorist
measures? Second, even if they do, will such measures run foul of limits
on constitutional power, such as express and implied freedoms enjoyed
by individual Australians?
Moreover, how will the exercise of these powers by the
Commonwealth be affected by other parties? Conceivably, there are at least
two sets of significant relationships. First, there is set of the relationships
between the Parliament, Executive and Judiciary. Second, there are the
existing and potential relationships among the Commonwealth and the States.
We have seen that terrorism is either partly or entirely
about crime, albeit that the criminal acts may be distinguishable by their
seriousness, motivation or intention. We have also seen that terrorism
does not necessarily fall neatly into legislative categories. And we have
seen that some prefer to characterise counter-terrorism in terms of warfare
and as a 'war on terrorism'. This gives rise to three issues. First, what
is the scope of legislative power with respect to crime? Second, what
are the heads of legislative power that may be used to support anti-terrorist
laws? Third, does the specific power dealing with 'naval and military
defence' provide any constitutional authority to enact counter-terrorist
measures?
The question as to the extent of the power over 'naval
and military defence' has arisen in a slightly different context before.
In the early 1950s the Menzies Government pointed to a tense international
situation highlighted by the Korean War and general Cold War hostilities
between communist and Western nations, and enacted legislation to suppress
communist activity in Australia in reliance on the defence power. By a
6:1 margin the High Court found the Communist Party Dissolution Act
1950 constitutionally invalid.
The High Court decision in the Communist Party case
points to limits on the use of the defence power, most specifically in
intermediate situations, short of total war but characterised by
international instability and perceived threats to national security.
For that reason it is included in the discussion below in both the context
of legislative powers and limits and the relationship between the
Parliament, Executive and Judiciary.
3.1.1 Power with respect to Crime
The Constitution does not grant the Commonwealth power
over 'criminal activity' as such. But there is no doubt that within limits
the Parliament can validly make laws which create criminal offences, and
provide for their investigation, prosecution and punishment. Generally,
offences must either fall within, or be incidental to the exercise of,
a head of constitutional power. 'In short, and generally speaking, Commonwealth
criminal law is ancillary to the performance of the responsibility of
the Commonwealth to protect itself, its Constitution, its institutions
and services and to enforce its own laws.'(207) In effect,
the Commonwealth may rely on a mosaic of various constitutional powers,
express and implied, and their relevance to counter-terrorism is discussed
below.
3.1.2 External Affairs Power
As a general proposition the external affairs power will
support a law regulating persons, places and matters which are physically
external to Australia. Moreover, it will support a law which implements
an international treaty or convention. When a law purports to give domestic
effect to an international instrument, the primary question to be asked
is whether it has selected means that are 'reasonably capable of being
considered appropriate and adapted to implementing the treaty'.(208)
However, the power is not confined to the implementation of treaties or
treaty obligations. It will support measures that address matters of international
concern, at least where that concern is reasonably concrete.(209)
It probably extends also to measures that implement recommendations of
international agencies and may extend to measures that pursue agreed international
objectives.(210)
Nor is the external affairs power confined to the implementation
of a treaty in full. A law is valid even if it only partially implements
a treaty,(211) provided the deficiency is not so substantial
as to deny the law the character of a measure implementing the treaty.(212)
This provides considerable leeway for domestic implementation of selected
parts of a treaty.
This head of power is likely to be a primary basis for
anti-terrorism measures in Australia. Over the past decade, various international
bodies have made statements regarding action recommended to address terrorism
and its root causes (see Supporting Materials, 'Document 4: Terrorism
and the United Nations). Some of the statements have been of a more formally
binding nature. For example, UN Security Council Resolution 1373,
and some of the earlier resolutions, include provisions which may be construed
as 'decisions' under Chapter VII of the Charter of the United Nations
which are formally binding on Australia. Key provisions for present
purposes include 'decisions' that 'all States shall ... prevent and suppress
the financing of terrorist acts [and] [c]riminalize the wilful provision
or collection ... of funds by their nationals or in their territories
with the intention that the funds should be used ... in order to carry
out terrorist acts' and that all States:
Ensure that any person who participates in the financing,
planning, preparation or perpetration of terrorist acts or in supporting
terrorist acts is brought to justice and ensure that, in addition
to any other measures against them, such terrorist acts are established
as serious criminal offences in domestic laws and regulations and
that the punishment duly reflects the seriousness of such terrorist
acts.(213)
This sort of language may not only support the enactment
of anti-terrorist measures such as the ones proposed, it may impose a
positive obligation on Australia to do so.
Section 51(vi) of the Constitution permits the Commonwealth
to make laws for 'the naval and military defence of the Commonwealth and
of the several States and the control of the forces to execute and maintain
the laws of the Commonwealth'. It is a purposive power that supports laws
that are 'reasonably capable of being regarded as being appropriate and
adapted' to 'the defence of the Commonwealth [etc.]'. There are three
important things to note about the Commonwealth Parliament's power over
'naval and military' defence.
First, the scope of the defence power is elastic: it
expands to a quite formidable extent at times of total war and contracts
to very modest proportions in times of peace.
Second, it is concerned with external threats
to Australia, from beyond its borders. It is not a power for dealing with
domestic threats unrelated to the international situation.
Third, it has what is called a primary and a secondary
aspect. The primary aspect deals with the essence of military defence,
that is, raising armed forces, maintaining and reinforcing them and so
on. The secondary aspect is less directly concerned with these issues
and more with measures conducive to the successful defence of Australia
from external threat. In the Second World War the secondary aspect of
the defence power enabled the Commonwealth to reach areas deep inside
civilian life, for example regulating rents, conditions of industrial
employment and the price of various agricultural commodities, because
such measures were treated as part of the overall defence effort. The
primary aspect obviously operates during wartime but it also persists
as a source of power in times of peace. For example, Australia maintains
a standing army, navy and airforce which calls for ongoing legislative
and executive regulation. Whether the secondary (and more extensive) aspect
also operates at times of peace and/or in intermediate situations of heightened
international tension is constitutionally less certain.
It is this constitutional grey area which clouds the
question of how far, in its desire to counter and prevent terrorism, the
Commonwealth today could use the defence power to regulate domestic areas
and activities beyond the strictly military. To a large extent this depends
on whether the current international situation amounts to an external
threat to Australia's defence. However, it needs to be appreciated that
Parliament's judgement on that issue will not be conclusive, nor will
the Government's. The High Court will have the final say on whether a
measure is for the purpose of national defence. The Court will defer to
Parliament's judgment to a reasonable extent and becomes more deferential
the closer the country goes to total war. But the final say on whether
anti-terrorist measures can validly rely on the defence power rests with
the Court. That much is clear from the Communist Party case, which
is discussed below.
The other relevant point to emerge from the Communist
Party case is that in trying to enliven the secondary aspect of the
defence power outside situations of total war, the Commonwealth normally
cannot resort to bringing copious amounts of evidence in front of the
Court to substantiate a claim regarding the existence of an external threat
or national emergency. The Court's assessment will be based on what is
called 'judicial notice', which means the information within the ordinary
knowledge of judges sitting on the case.
In short the Commonwealth is not necessarily precluded
from resort to the defence power when it seeks to counter terrorism with
measures reaching into ordinary social, economic and political life of
a nation not actually at war. But it would certainly move into the same
uncertain constitutional territory, where 50 years ago it suffered a very
conspicuous defeat.
The second part of section 51(vi) may also come into
calculations. It has been argued that the 'execution and maintenance of
the laws of the Commonwealth' may extend 'to the preservation of general
law and order so far as such order may be disturbed by general disobedience
to the laws of the Commonwealth'.(214) Conversely, it has been
argued that these words are directed to 'the general control of the armed
forces, including internal discipline, and the relationship among the
members of the forces, between those members and outside persons [etc.]'.(215)
The former view would regard section 51(vi) as adding to the Commonwealth's
array of powers to prevent, investigate and punish terrorism while the
latter view would deny this. There has been little judicial support for
the former view.
3.1.4 Territories
Section 122 of the Constitution gives the Commonwealth
the power to 'make laws for the government of any territory'. This power
has often been described as being full, complete, unqualified or 'plenary'.(216)
That is, legislation enacted in reliance on section 122 does not need
to fall within any other head of constitutional power.
The main limitation in this sense is a geographical one-that
the law in question has a connection to a Territory. There seems little
doubt that Parliament could enact valid legislation dealing with a wide
range of counter-terrorist measures in the Territories.
The controversial question is to what extent the express
and implied limits on Commonwealth legislative power contained in the
Constitution (some of which are discussed below) apply to laws passed
under section 122. The question is controversial because the Territories
have an uncertain place in a Constitution designed primarily to effect
a federal division of power between the States and the Commonwealth.
It appears that the application of specific limits such as the requirement
of just terms compensation for acquisitions of property, the guarantee
of trial by jury and the separation of powers between the Executive and
the Judiciary will continue to be worked out on an incremental basis.(217)
3.1.5 Inherent right of Self-Protection
It has been said that the Commonwealth has an 'inherent
right of self-protection',(218) a right to prevent 'intentional
excitement of disaffection against the Sovereign and Government'(219)
and a legislative power to preserve its institutions which was seen to
'follow almost necessarily from their existence'.(220) Accordingly,
the Commonwealth 'has the power to protect its own existence and the unhindered
play of its legitimate activities'(221) which might be found
in sections 51(vi), the defence power, 51(xxxix), the incidental power,
section 61, executive power, and section 68, the vesting of command in
chief of naval and military forces in the Governor-General.(222)
It might also be found in 'an essential and inescapable implication which
must be involved in the legal constitution of any polity'.(223)
While it may expand and contract to meet the exigencies
of domestic emergency in an analogous way to the defence power, the Executive
probably does not enjoy the same degree of deference from the Judiciary
in its exercise. To rely on this power, Parliament would virtually need
an unarguable case that the matters dealt with in the law are connected
to the survival of the Commonwealth.(224)
In 1951, the High Court found that the 'inherent right
of self protection' if it did exist certainly did not support the Communist
Party Dissolution Act 1950.
3.1.6 Implied Nationhood Power
The implied nationhood power is largely unexplored. It
has been characterised as being incidental to the operation of the Commonwealth's
executive power under section 61. It has also been characterised as an
implied power that is deduced from the 'character and status of the Commonwealth
as a national government'.(225) Broadly, it permits the Commonwealth
to 'engage in enterprises and activities peculiarly adapted to the government
of a nation and which cannot otherwise be carried on for the benefit of
the nation'.(226) But its application in areas such as counter-terrorism
remains uncertain and has not been reviewed by the High Court for more
than ten years. It may be that 'the predilections of the individual judges
will be dominant in any decision' on the issue.(227)
In a recent text on national security and the law in
Australia Sir Anthony Mason noted that '[t]he tension between civil liberty
and national security is very considerable'. 'Indeed', he wrote, 'the
tension is more marked than it has ever been, granted the emphasis now
given to freedom of information and freedom of expression as indispensable
elements of effective representative democracy and government'.(228)
The Commonwealth Constitution contains a small number
of express rights and guarantees for individual citizens which put limits
on how far the Parliament can go under the above legislative powers. Some
additional freedoms arise by implication from the text and structure
of the Constitution. If Parliament decides to enact counter-terrorist
legislation such laws may well be tested against the constitutional criteria
spelt out in these express and implied limits. Some of the more relevant
limits are dealt with briefly below.
3.2.1 Trial by Jury
Many proposed counter-terrorist measures involve use
of Commonwealth criminal law. One might expect that section 80 of the
Constitution would therefore play a prominent role. It says that the 'trial
on indictment of any offence against any law of the Commonwealth shall
be by jury'. However:
The High Court has interpreted these words to allow
the federal Parliament to itself determine whether a trial is to be
on indictment, and thus whether there need be a jury trial. This interpretation
has transformed s. 80 into a provision that provides no meaningful
guarantee or restriction on Commonwealth power.(229)
If section 80 has done little to date to ensure a jury
trial except where Parliament decides to require one, it provides strong
protection once that precondition is satisfied. For example, in 1993 the
High Court insisted that trial by jury mandates a unanimous verdict and
that majority verdicts of 10 or 11 jurors did not satisfy the terms of
section 80.(230) If Parliament decides on trial on indictment
for terrorist offences, it should be aware that section 80 may offer defendants
this and other procedural protection yet to be elucidated.
3.2.2 Freedom of Religion
Parliament is perhaps unlikely to single out religious
groups for proscriptive legislation. A more realistic possibility is that
perhaps someone challenges counter-terrorist legislation of general application
on the basis that in its practical operation it interferes with
the free practice of their religion.
The Constitution contains an express guarantee of freedom
of religion in section 116 which, like trial by jury, has been given a
narrow interpretation by the High Court. A law of general application
is unlikely to fall foul of the guarantee in section 116 because, as presently
interpreted, it appears to proscribe only those laws which specifically
target the practice of religion. Section 116 is not likely to pose problems
for Parliament in enacting counter-terrorist legislation unless it singles
out particular religious groups or the High Court shifts ground and applies
the requirement for free exercise of religion to laws which make no reference
to religion on their face.
3.2.3 Just Terms Compensation
The Commonwealth Parliament cannot make laws about the
acquisition of property without providing compensation on just terms.
The rule in section 51(xxxi) seems clear but its application has proved
troublesome for the High Court.
It is possible that national security measures could
involve confiscation of property-it has happened in the past. To establish
that these and other losses amount to constitutional acquisitions of property
attracting just terms, a plaintiff would need to overcome a series of
legal hurdles, some of them higher than others. Even if they were able
to show what they lost was 'property' (which has a broad meaning under
the Constitution) and that what they suffered constituted an 'acquisition'
(which requires a demonstration that the Commonwealth or someone else
had obtained an identifiable benefit from their loss) they might still
fail on the unpredictable question of characterisation (in that a law
may be categorised as one dealing with something other than the acquisition
of property).
Nonetheless the High Court has shown an increasing interest
in section 51(xxxi) as a limit on Commonwealth power, in a number of sometimes
quite unexpected contexts. Because it can have substantial consequences
which rebound either financially or legally (in terms of invalidating
a law and a whole series of actions relying on that law), Parliament should
be mindful of its potential effect when considering counter-terrorist
measures.
3.2.4 Separation of Powers
The Constitution effects a partial separation of powers
between the Legislature, Executive and Judiciary. The separation of powers
principle gives rise to implications which operate to protect individual
freedoms and limit the laws which Parliament can pass. To take a potentially
relevant example, in general Parliament cannot authorise involuntary detention
of Australian citizens in custody. This is because imprisonment is a punishment
which, under our system, follows from adjudication of criminal guilt and
that is an exclusively judicial function. Some exceptions apply and the
High Court has left open whether the defence power would authorise detention
orders in times of war.(231)
It is possible that Chapter III of the Constitution (which
effects the separation of powers in respect of the Judiciary) also entrenches
constitutional requirements for a criminal trial,(232) but,
as with many areas of Chapter III jurisprudence, the detail continues
to be explored.
3.2.5 Freedom of Political Communication
There is a constitutionally guaranteed freedom of political
communication implied from the text and structure of the Commonwealth
Constitution. The High Court agreed unanimously in Lange v Australian
Broadcasting Corporation on the test to be applied to laws or actions
which are alleged to infringe this constitutional guarantee.(233)
The test in Lange requires 2 questions to be asked:
- does the law effectively burden freedom of communication about government
or political matters either in its terms, operation or effect?
- if it does, is the law reasonably appropriate and adapted to serve
a legitimate end the fulfilment of which is compatible with the maintenance
of representative and responsible government as set out in the Constitution?
A law will only be unconstitutional on this ground if
the answers are 'Yes' and 'No' respectively.
It is conceivable that counter-terrorist measures could
impose a prima facie burden on political communication, especially when
one notes that communication includes conduct as well as speech and the
term 'political' seems to have a broad meaning. This being the case, such
laws would project the High Court into the centre of controversy as it
engaged in the difficult and somewhat subjective process of assessing
whether they imposed a permissible burden on political communication.
3.2.6 Other Implied Freedoms
The freedom of political communication is said to derive
by implication from the text and structure of the Constitution, particularly
in the way it provides for elements of representative government. The
same reasoning could well give rise to other implied freedoms. Gaudron
J, for example, said in 1992:
The notion of a free society governed in accordance
with the principles of representative parliamentary democracy may
entail freedom of movement, freedom of association and, perhaps, freedom
of speech generally.(234)
An implied freedom of association, for example, could
be an important consideration in the public debate over counter-terrorist
measures:
A law that, for example, prevented persons from forming
a political party or banned members of certain political organisations
from standing for the federal Parliament would, in the absence of
meeting the requirements of a test like that in Lange, be unconstitutional.(235)
In the United Kingdom it was once said that 'those who
are responsible for the national security must be the sole judges of what
the national security requires'.(236) In Australia it was said,
in the same era, that this proposition was 'unquestionable law'.(237)
However, it seems clear that this proposition 'would nowadays be regarded
as too absolute'.(238) Thus, it has been said '[t]here is no
rule of common law that whenever questions of national security are being
considered by any court for any purposes, it is what the Crown thinks
to be necessary or expedient that counts, and not what is necessary or
expedient in fact'.(239)
In Australia the courts are occasionally called upon
to resolve dilemmas raised by national security considerations, by reference
to constitutional, statutory or common law issues.
3.3.1 Scope of Legislative and Executive Power
A constitutional challenge to measures against terrorism
in the name of national security may spring from a variety of sources,
notably an absence of legislative power or breach of express or implied
limits on federal legislative power. We have seen how legislation enacted
against the Communist Party in the Cold War era illustrated how constitutional
considerations can bring the courts into the middle of disputes over national
security.
One of the most basic tenets in constitutional law is
that the courts determine whether the exercise of legislative and executive
powers is constitutionally permissible. Thus it is said that the Commonwealth
may not 'recite itself into a field previously closed to it'.(240)
This principle, often referred to as the 'stream and source' doctrine
or the doctrine in the Communist Party case, has particular application
in relation to the defence power.
As indicated above, the defence power is elastic and
will support a law which reaches areas deep inside civilian life at least
where there the existence, character or threat of hostilities suggests
a war or war-like emergency and where the law itself is 'reasonably capable
of being regarded as being appropriate and adapted' to addressing that
situation. Both these questions are to be answered by the Judiciary not
the Parliament or Executive
[T]he validity of a law or of an administrative act
done under a law cannot be made to depend on the opinion of the law-maker
or the person who is to do the act that the law or the consequence
of the act is within the constitutional power upon which the law in
question itself depends for its validity. A power to make laws with
respect to lighthouses does not authorize the making of a law with
respect to anything which is, in the opinion of the law-maker, a lighthouse.
A power to make a proclamation ... with respect to a lighthouse is
one thing: a power to make a similar proclamation with respect to
anything which in the opinion of the Governor-General is a lighthouse
is another thing.(241)
[T]the Court will not substitute an opinion of its
own for an opinion of [the Executive] but it will form an opinion
as to whether the reasons for the [executive action] can reasonably
be regarded as connected with defence preparations.(242)
So, once it is satisfied that a law can reasonably be
regarded as connected with defence 'the Court will not substitute an opinion
of its own for an opinion of [the Executive or Legislature]'.(243)
Moreover, once it is prepared to acknowledge the existence of a war or
national emergency the Judiciary gives the Legislature or Executive considerable
leeway to determine whether particular measures are necessary. In these
circumstances, it is said, judicial deference becomes almost absolute:
rights and liabilities may be made 'to depend on any event or matter the
legislature may choose including administrative opinion'.(244)
Generally, its seems that these principles apply equally
to the powers arising out of the 'inherent right of self-protection'.
However, there may be less scope for judicial deference:
There has never yet been occasion to examine closely
the scope of this power. It may be that it is elastic in the same
sense in which the defence power is elastic. But ... while it may
be found to expand very considerably in time of domestic emergency,
I think that it is so far of a different nature from the defence power
that a law cannot be made under it imposing legal consequences on
a legislative or executive opinion which itself supplies the only
link between the power and the legal consequences of the opinion.(245)
Overall, the impact of the 'stream and source' doctrine
or the extent of deference may be affected by the extent to which judicial
review remedies provide an alternative safety net. In broad terms, the
'stream and source' doctrine can be characterised as a judicial remedy
to uphold the Constitution. This 'judicial remedy' is a brutal one in
the sense that a law may hang or fall on a fairly delicate issue of whether
a legislature or decision maker has been empowered to determine a fact
which goes to constitutional validity of the law:
- does an organisation pose a threat to national security for the purposes
of section 51(vi)?
- has a prohibited good in fact been imported for the purposes of section
51(i)?
- is a particular strike an industrial dispute for the purposes of section
51(xxxv)?
To a large extent a similar function may be served by
other judicial review remedies. The development of administrative law,
under the common law and statute, since the 1970s has enhanced the ability
of courts to scrutinise particular exercises of a coercive power
authorised by statute. Courts today may feel less compelled to take the
all or nothing approach to constitutional validity which the High Court
majority did in the Communist Party case, confident that excesses
of power will be picked up in individual cases.
On the other hand the development of a greater 'rights
consciousness' in the High Court over the last decade-a recognition that
beyond federalism the Constitution may also have significant things to
say about the relationship between individual and state-points to new
and powerful reasons why legislation similar to the Communist Party
Dissolution Act 1950 could suffer the same constitutional fate it
did 50 years ago.
3.3.2 Judicial Review of Executive Action
Assuming the constitutionality of the law in question
the courts may become involved at a second level: when individual actions
taken under that law are subject to judicial review. A fundamental principle
in administrative law is that executive action must have constitutional
or legislative authority. The principle is intimately related to the 'stream
and source' doctrine and the rule of the law. So, it is said '[t]he duty
and jurisdiction of the court to review administrative action do not go
beyond the declaration and enforcing of the law which determines the limits
and governs the exercise of the repository's power'.(246)
As with questions of constitutionality, judicial review
invariably involves some form of deference. Indeed, it has been said that
executive power 'is almost unlimited where national security is concerned'.(247)
Thus, while national security agencies may be subject to judicial review,(248)
where an opinion is based on national security considerations, the scope
of judicial review may be confined to allegations of bad faith or unreasonableness.(249)
It may be insufficient to demonstrate that the decision maker failed
to take into account relevant considerations, took into account irrelevant
considerations or applied policy inflexibly.(250) Opinions
based on national security involve wide policy considerations and '[w]hen
such a breadth of considerations is involved only something amounting
to lack of bona fides could justify curial [judicial] intervention
in decisions made in the exercise of the power'.(251)
Of course the measure of deference will be affected by
the terms of legislation. One of the key functions of a judicial review
court is to ensure the compliance of an agency with its statute. Thus,
in Church of Scientology v. Woodward the High Court was prepared
to examine the actions of ASIO for their consistency with the ASIO Act.
The Act prohibits ASIO from obtaining, correlating, evaluating or communicating
intelligence unless it is 'relevant to security'. While a minority held
that the question of relevance was not justiciable,(252) the
majority held that it was, although a plaintiff might be handicapped:
It is one thing to say that security intelligence
is not readily susceptible of judicial evaluation and assessment.
It is another thing to say that the courts cannot determine whether
intelligence is "relevant to security" and whether a communication
of intelligence is "for purposes relevant to security". Courts constantly
determine issues of relevance and questions of relevance ... Intelligence
is relevant to security if it can reasonably be considered to have
a real connexion with that topic, judged in the light of what is known
to ASIO at the relevant time. This is a test which the courts are
quite capable of applying. It is a test which presents a formidable
hurdle to a plaintiff and not only because a successful claim for
[public interest immunity] may exclude from consideration the very
material on which the plaintiff hopes to base his argument - that
there is no real connexion between the intelligence sought and the
topic.(253)
Thus, while official actions based on national interest
or national security considerations may be subject to judicial review,
it may be difficult for a plaintiff to succeed unless there is some tangible
evidence of bad faith or some basis for concluding that the relevant conduct,
decision or opinion was 'manifestly unreasonable' or 'so devoid of any
plausible justification' that no reasonable person could have come to
it in the circumstances.(254)
3.3.3 Administration of Justice
The court may become involved at a third level: determining
the admissibility of sensitive evidence in civil or criminal litigation.
A basic principle of evidence is that courts answer questions of admissibility
and weight. Thus it is said that in relation to confidential information
'no obligation of confidence, of itself, entitles the person who owes
the duty to refuse to answer a question or to produce a document in the
course of legal proceedings'.(255) However, courts will consider
claims based on a range of privileges and immunities which are themselves
based on public interest considerations.
As with the issues canvassed above, questions of privilege
and immunity often involve some form of deference by courts to the other
arms of government. Thus, while the courts reserve the right to determine
claims of public interest immunity, where national security considerations
arise 'very considerable weight must attach to the view of what national
security requires as is expressed by the responsible Minister'. This is
not to say that the opinion of the executive will always be conclusive.
Thus, while it is said that issues of national interest 'will seldom be
wholly within the competence of a court to evaluate'(256) and
that the public interest in national security will seldom yield to the
public interest in the administration of justice,(257) it is
clear that a court will determine whether national security is threatened
and will not be bound by any other opinion 'as to what constitutes security
or what is relevant to it'.(258)
3.4 Relationships between
the Commonwealth and the States/Territories
As we have seen, questions may arise regarding Commonwealth
legislative power with respect to crime. In announcing the proposed new
measures Prime Minister Howard noted that '[o]ne difficulty the Commonwealth
has in effectively fighting transnational crime and terrorism is that
these crimes may not be strictly federal offences'.(259) Moreover
he noted potential constitutional limitations: 'it's not absolutely certain
that the Commonwealth has the necessary power, complete constitutional
power, as I'm advised, to deal in the way that it might think appropriate
for a terrorist attack on a particular part of Australia'.(260)
3.4.1 Coordination Problems
A number of domestic reviews (discussed in Supporting
Materials, 'Document 5: History of Australian Reviews') have canvassed
topics such as protective security, intelligence services and counter-terrorism.
A number of these reviews made comments about the legal and practical
problems of the federal structure. Sir Robert Mark noted potential coordination
problems between the Commonwealth and the States and emphasised the need
for 'a willingness to recognise the difficulties which could arise from
the shared political responsibility at the Crisis Policy Centre'.(261)
On the one hand Justice Hope noted that '[a]s the only government in Australia
with a responsibility for the whole country and with an international
personality and international objectives, the Commonwealth ... should
play an initiating and coordinating role in counter-terrorism'. On the
other hand, he recognised that responsibility rested with the States and
Territories:
Basic law enforcement ... is the responsibility of
State and Territory police forces. The general rule must be that in
any battle against terror, the local law enforcement authorities using
the normal processes of the criminal law must be in the vanguard'.
He recommended that the Commonwealth coordinate 'primarily
by seeking co-operation between the Commonwealth and State Governments,
departments and authorities'.(262)
The Senate Standing Committee on Legal and Constitutional
Affairs had this to say:
[P]erpetrators [of organised crime] pursue their
schemes without regard to territorial (national or state) boundaries.
Yet, every royal commissioner who has reported on aspects of organised
crime since Mr Justice Moffit in 1974, has remarked upon various difficulties
caused by the fragmentation of power and responsibility for law enforcement
inherent in the Australian federal system. Compounding these problems
is the fact that responsibility for law enforcement is divided among
the various agencies.(263)
Similarly, Michael Codd recognised the fact that terrorism
and politically motivated violence could reach across a range of intergovernmental
agencies. He concluded that 'the arrangements in Australia seemed to be
fundamentally as well based as they could be in light of our particular
circumstances (such as our federal system) and our experience'.(264)
Around the same time, however, concern was expressed in at least one representation
to Honan and Thompson that there could be severe dangers if coordination
is overlooked:
Priorities have to be based on a national perspective
of a terrorist threat to Australia. If jurisdictions are allowed to
set their own priorities in an uncoordinated manner, it would lead
to a diverse range of precautionary, response and investigative capabilities
across jurisdictions. This would severely impair our/their ability
to deal with a terrorist threat.(265)
3.4.2 The Northern Territory Exception
It was noted above that while there are few references
to 'terrorism' or 'politically motivated crime' in State and Territory
law, the Northern Territory Criminal Code contains a specific division
dealing with this topic. The existence of such a specific offence in the
Northern Territory, compared with its absence in other jurisdictions,
may be a legislative aberration. This possibility is reflected in the
fact that the Commonwealth Attorney-General and Prime Minister expressed
concern both publicly and privately at the time the offence was introduced
in the Criminal Code Act 1983 (NT).(266)
In 1983 the Prime Minister wrote to the Chief Minister
of the Northern Territory expressing concern that '[w]hilst ... terrorist
acts can amount to offences against State or Territory laws ... the laws
of the Commonwealth already cover areas included in the Code'. Moreover,
'[c]learly any act against overseas and interstate aircraft, internationally
protected persons and foreign governments should, in the eyes of the international
community, be within the domain of Commonwealth law'. Similar considerations
were said to apply to terrorism aimed at the Commonwealth or Commonwealth
interests.(267)
In reply the Chief Minister conceded that 'if there is
a Commonwealth law to deal with an act of terrorism that is the end of
it'. But, he argued, 'there are acts that are not and cannot be the subject
of Commonwealth law. An example would be if a person threatened to set
off explosions in public places unless a demand, such as the release of
a prisoner, was complied with'. He also stated that the relevant provisions
had been considered by a committee acting on behalf of the Law Council
of Australia: '[w]e know of no other State which has legislation covering
a similar area. In principle, these provisions do not seem inappropriate
and it may well be this area is deserving of consideration by other States'.(268)
3.4.3 The Referral Process
|
In October the Government recommended a summit
of State and Territory leaders 'to develop a new framework under
which transnational crime and terrorism can be dealt with by law
enforcement at a Commonwealth level'. One objective of the summit
would be '[a] reference of constitutional power to the Commonwealth
to support an effective national response to the threats of transnational
crime and terrorism'.(269)
|
Section 51(xxxvii) of the Constitution provides that
the Commonwealth Parliament may make laws with respect to: 'Matters referred
to the Parliament of the Commonwealth by the Parliament or Parliaments
of any State or States, but so that the law shall extend only to States
by whose Parliaments the matter is referred, or which afterwards adopt
the law'.
The clause was held up by delegates to the Constitutional
Conventions of the late 1890s as a mechanism to bring some flexibility
to the Constitution.(270) It provides that State Parliaments
can refer 'matters' to the Commonwealth Parliament and gives the Commonwealth
power to pass laws about them. At least in theory, it makes the division
of powers between the Commonwealth and the States quite flexible, by enabling
them to change it by agreement between themselves. It is not necessary
for all States to refer a matter to the Commonwealth. If only some States
make a reference, the Commonwealth law can apply only in those States.
Once the law is passed, it may be 'adopted' by the Parliaments of other
States and so come into effect there as well.(271)
Over the course of last century, relatively little use
has been made of the power. The States have collectively passed 44 referral
acts of which only 24 remain in force. A complete list of referral legislation
is contained in the notes to the Australian Constitution.
There is, however, some doubt as to the clause's usefulness.
The Constitutional Commission of the 1980s concluded that uncertainty
about the scope of the power had contributed to the unwillingness of the
States to refer matters to the Commonwealth. Three key issues were identified
namely: whether a State retains power to legislate on a matter which it
has referred to the Commonwealth;(272) whether a reference
may be made subject to conditions regarding its exercise or duration,
and whether the referral can be revoked. While the Commission concluded
that 'judicial decisions seem fairly clearly to indicate that the answer
to each of these questions is in the affirmative'(273) it supported
a proposal to amend the Constitution to put the question beyond doubt.(274)
- The Reserve Bank has since written to institutions seeking details
of accounts held by any of the nominated institutions. According to
published reports no persons associated with Osama bin Laden or al-Qa'ida
have accounts in Australia.
- The Hon. Alexander Downer, MP, 'Government Implements New Anti-Terrorism
Regulations', Media Release, 15 October 2001.
- The Hon. John Howard, MP, 'Australian Financial Controls on Terrorists
and their Sponsors', Media Release, 28 November 2001.
- The Hon. Daryl Williams, MP, 'New Counter-Terrorism Measures', Media
Release, 2 October 2001.
- The Hon. John Howard, MP, 'New Anti-Hoax Legislation', Media Release,
16 October 2001. The amendment would 'make it a federal criminal offence
to cause an article to be carried by post, courier service, or prescribed
method of delivery with the intention of inducing a false belief or
fear that the article consists of, encloses or contains an explosive
or a dangerous or chemical, biological or radiological substance; or
that an explosive, or a dangerous or chemical, biological or radiological
substance, is or will be left in any place'. The maximum penalty would
be 10 years imprisonment.
- The Hon. John Howard, MP, 'A
Safer More Secure Australia', Media Release, 30 October 2001.
- Senator The Hon. Chris Ellison, 'Air
Security Officers', Media Release, 19 November 2001.
- The Hon. Daryl Williams, MP, 'Airport
Security Claims Not Justified', Media Release, 16 December
2001.
- The Hon. Daryl Williams, MP, 'Air
Security Officers', Media Release, 18 December 2001.
- The Hon. Daryl Williams, MP, 'Upgrading
Australia's counter-terrorism capabilities', Media Release,
18 December 2001.
- The Hon. Daryl Williams, MP; Senator The Hon. Chris Ellison, 'Review
of National Crime Authority', Media Release, 21 December
2001.
- Lord Lloyd of Berwick, Inquiry into Legislation Against Terrorism,
Cm 3420, October 1996, Vol. 1, p. 18. The jurisdictions covered were
Argentina, Australia, Austria, Belgium, Brazil, Denmark, Finland, Greece,
India, Ireland, Italy, Japan, Netherlands, Norway, Pakistan, Portugal,
Russia, Spain, Sweden and Turkey.
- Laura Donohue, 'In the Name of National Security: U.S. Counterterrorist
Measures, 1960-2000', ESDP
Discussion Paper ESDP-2001-04, John F. Kennedy School of Government,
Harvard University, August 2001, p. 29.
- HMSO, Explanatory
Notes to the Terrorism Act 2000, 15 August 2000.
- Sir Garfield Barwick, Crimes Bill 1960, Second Reading Speech, House
of Representatives, Debates, 8 September 1960, pp. 1020-1021.
- Petroleum (Timor Gap Zone of Cooperation) Act 1990, Schedule
1 (Timor Gap Treaty, Article 8(1)(ii) relating to terrorist acts
in Area A of the Zone of Cooperation); Crimes (Ships and Fixed Platforms)
Act 1992, Schedule 1 (Convention for the Suppression of Unlawful
Acts Against the Safety of Maritime Navigation, Preamble); International
War Crimes Tribunals Act 1995, Schedule 4 (Statute of the Rwanda
Tribunal, Article 4(d) relating to the jurisdiction of the tribunal
over violations of the Geneva Conventions); Geneva Conventions Act
1957, Schedule 4 (Geneva Convention, Article 33, relating to terrorism
against protected persons) and Schedule 5 (Protocol I to the Geneva
Conventions, Article 51, relating to protection of the civilian
population); Crimes (Hostages) Act 1989 Schedule (International
Convention Against the Taking of Hostages, Preamble).
- Telecommunications Act 1997, section 336(b) and Petroleum
(Submerged Lands) Act 1967, section 140B. 'Terrorist activities'
are defined to include 'activities involving extortion': subsection
140B(6).
- Crimes Regulations 1990, reg 4A, inserted by the Crimes Amendment
Regulations 2001 (No. 4) and Air Navigation Regulations 1947, reg 71.
- Protection of Marine Waters (Prevention of Pollution From Ships)
Act 1987 (SA), sections 26 and 29; and Police Powers and Responsibilities
Act 2000 (Qld), section 132.
- That is, offences under the Crimes (Internationally Protected Persons)
Act 1976, Crimes (Hijacking of Aircraft) Act 1972 or Crimes
(Protection of Aircraft) Act 1973.
- On 17 May 1983 the Hawke Government reappointed Justice Hope to conduct
a second Royal Commission into intelligence services. The inquiry was
to examine progress in implementing the recommendations from Justice
Hope's previous Royal Commission in 1979; arrangements for developing
policies, assessing priorities and coordinating activities among the
organisations; ministerial and parliamentary accountability; complaints
procedures; financial oversight and the agencies' compliance with the
law. As with the first Hope Royal Commission, the reports on ASIS and
DSD, which included draft legislation on ASIS, were not made public.
- Lionel Bowen, MP, Australian Security Intelligence Organisation Amendment
Bill, Second Reading Speech, House of Representatives, Debates,
22 May 1986, p. 3707.
- Australian Security Intelligence Organisation Act 1979, section
4, definition of 'politically motivated violence', paragraphs (a), (b),
(c) and (d). Some of these are covered in Crimes (Foreign Incursions
and Recruitment) Act 1978, the Crimes (Hostages) Act 1989,
Division 1 of Part 2, or Part 3, of the Crimes (Ships and Fixed Platforms)
Act 1992 and Division 1 or 4 of Part 2 of the Crimes (Aviation)
Act 1991.
- Frank Honan and Alan Thompson, Report of the 1993 SAC-PAV Review,
Canberra, 1994.
- Lindsay Hansch, 'Australia's National Anti-Terrorist Plan-Crisis and
Response Arrangements', in Alan Thompson (ed.), Terrorism and the
2000 Olympics, Australian Defence Studies Centre, Canberra, 1996,
p. 97.
- Protective Security Coordination Centre, National
Anti-Terrorist Plan (NATP) - Key Points.
- Australian Security Intelligence Organisation Act 1979, section
4, definition of 'security', paragraphs (a) and (b). 'Promotion of communal
violence' means 'activities that are directed to promoting violence
between different groups of persons in the Australian community so as
to endanger the peace, order or good government of the Commonwealth'.
- Intelligence Services Act 2001, section 11(1B), relating to
limits on ministerial authorisation of specified acts or classes of
acts in relation to Australians.
- Irving v. Minister for Immigration, Local Government and Ethnic
Affairs (1996) 139 ALR 84 per Davies J at p. 90.
- Australian Communist Party v. Commonwealth (1951) 83 CLR 1
per McTiernan J at p. 210.
- Gary Brown, Australia's Security: Issues for the New Century,
Australian Defence Studies Centre, Canberra, 1994, pp. 161-162.
- National Crime Authority, NCA
Commentary 2001, p. 46.
- Marshall Irwin, 'Policing
Organised Crime', Paper delivered to New Crimes or New Responses:
4th National Outlook Symposium on Crime in Australia,
convened by the Australian Institute of Criminology and held in Canberra
21-22 June 2001.
- Australian Law Reform Commission, Integrity: but not by trust alone.
AFP & NCA complaints and disciplinary systems, Report No. 82,
AGPS, Canberra, 1996.
- Protective Security Review, Report (Unclassified Version),
AGPS, Canberra, 1979, p. 3 and pp. 33-34.
- ibid., p. 63.
- Honan and Thompson, op. cit., p. 26.
- Lord Lloyd of Berwick, op. cit., Vol. 1, p. 8.
- Protective Security Review, loc. cit., p. 69.
- Sean Brennan, 'Australian Security Intelligence Organisation Legislation
Amendment Bill 1999', Bills
Digest No. 172 1998-99.
- Nathan Hancock, 'Intelligence Services Bill 2001', Bills
Digest No. 11 2001-2001.
- Protective Security Review, loc. cit., p. 87.
- Honan and Thompson, op. cit., p.iv.
- Protective Security Review, loc. cit., p. 88.
- Elizabeth Chadwick, 'Terrorism and the law: Historical contexts, contemporary
dilemmas, and the end(s) of democracy', Crime, Law and Social Change,
Vol. 26(4), 1996/97, pp. 329-350, p. 332.
- Protective Security Review, loc. cit., pp. 88-89.
- Migration Regulations 1994, regs 2.02, 2.03(1). 2.03(2), Schedule
4, Public interest criteria 4001; 4002; and 4003.
- Migration Act 1958, paragraph 501(6)(a). A 'substantial criminal
record' is one that includes, for example, a sentence of imprisonment
of 12 months or more: Migration Act 1958, subsection 501(7).
This may be disregarded in relation to the character test if the person
has been pardoned or the conviction nullified (subsection 501(10));
paragraph 501(6)(c); and items 501(6)(d)(iv) and (v).
- The Hon. Philip Ruddock, MP, 'Direction - Visa Refusal and Cancellation
under section 501 - No.17', directions issued pursuant to section 499
of the Migration Act 1958, para 1.9(a).
- Migration Act 1958, sections 501A and 339.
- Migration Act 1958, section 501 and paragraph 116(1)(e).
- Migration Act 1958, section 116(1)(e); sections 116(1)(g),
116(3); Migration Regulations 1994, reg. 2.43(2); reg. 2.43(1)(a)(i);
and reg. 2.43(1)(a)(ii).
- Migration
(Republic of Sudan - United Nations Security Council Resolution No.
1054) Regulations 1996.
- Migration Act 1958, section 201 (it is worth noting that any
person who, at any time, falls into the class of 'unlawful non-citizens'
(ie a non-citizen in the migration zone without a visa) can never
qualify as a permanent resident for the purposes of section 201: subsection
202(d)); section 202 and section 203.
- Department of Immigration and Multicultural Affairs, Msi-06: Removal
of Spouses And Dependants who are Lawful Non-Citizens, Attachment
1, para 12.
- ibid., para 2.6(g).
- Department of Immigration and Multicultural Affairs, Msi-06: Removal
of Spouses And Dependants who are Lawful Non-Citizens, Attachment
1, para 12.
- Mr Bruce, Policy Speech, Dandenong, Victoria, 5 October 1925.
- Mr Latham, 'Crimes Bill', Second Reading Speech, House of Representatives,
Debates, 18 January 1926, p. 457.
- Mr Bruce, op. cit.
- Geoffrey Sawer, Australian Federal Politics and Law 1901-1929,
Melbourne University Press, 1956, p. 268.
- Australian Communist Party v. Commonwealth (1951) 83 CLR 1.
- Crimes Act 1914, section 30A; 30AA; 30B; 30D; and 30FC.
- The Hon. Alexander Downer, MP, and the Hon. Daryl Williams, MP, 'Australia
signs terrorist financing convention', Media Release, 21 October
2001.
- George W. Bush, 'President
Freezes Terrorists' Assets', Media Release, 24 September
2001.
- George W. Bush, 'President
Announces Crackdown on Terrorist Financial Network', Media Release,
07 November 2001.
- International Emergency Economic Powers Act (50 U.S.C. 1701 et seq.)(IEEPA),
the National Emergencies Act (50 U.S.C. 1601 et seq.), section 5 of
the United Nations Participation Act of 1945, as amended (22 U.S.C.
287c) (UNPA), and section 301 of title 3.
- DACC is 'the provision of Defence Force personnel, equipment, facilities
or capabilities to perform emergency tasks which are primarily the responsibility
of civil authorities or organisations, and for which the civilian community
lacks the necessary equipment or resources': New South Wales State Emergency
Management Committee, 'Index to [New South Wales State Disaster Plan]
Displan Part 4 b: Roles and Responsibilities' at http://www.oes.nsw.gov.au/PART4B.HTM
[7/7/00]. DACP is 'the provision of Defence Force aid to civil law authorities
in the performance of law enforcement tasks': New South Wales State
Emergency Management Committee, 'Index to [New South Wales State Disaster
Plan] Displan Part 4 b: Roles and Responsibilities' at http://www.oes.nsw.gov.au/PART4B.HTM
[7/7/00]. The expression 'call out' traditionally refers to the use
of 'reserves, militia and other auxiliary forces' for certain contingencies.
In Eighteenth Century England, where regular troops were to be used
they were said to be 'called in'. However, in time, the practice was
to 'call out' troops in readiness to be 'called in': 'Opinion of Sir
Victor Windeyer, KBE, CB, DSO on certain questions concerning the position
of members of the Defence Force when called out to aid the civil power',
Protective Security Review, op. cit., Appendix 9, p. 282.
- State Counter Disaster Organisation Act 1975 (Qld); Emergency
Services Act 1976 (Tas); State Emergency Services and Civil Defence
Act 1972 (NSW); Disasters Ordinance (NT).
- Donohue, op. cit., p. 29.
- Gary Crooke, QC, (NCA Chairman), 'The
Future Directions of the NCA', May 2000.
- National Crime Authority Act 1984, subsection 11(1)
- National Crime Authority Act 1984, section 14.
- The term, 'relevant offence' is defined as an offence involving two
or more persons in substantial planning and organisation using sophisticated
techniques. Further, it must involve an offence such as theft, fraud,
tax evasion or illegal drug dealing which is punishable by imprisonment
for at least three years: National Crime Authority Act 1984,
sections 4 and 4A.
- National Crime Authority Act 1984, section 4A.
- Peter Clack, 'National Crime Authority subject of major review', The
Canberra Times, 23 December 2001.
- Telecommunications Act 1997, paragraphs 313(3)(d) and
(e); subsection 313(7) and section 314.
- Telecommunications (Interception) And Listening Device Amendment
Act 1997, Schedule 2.
- Australian Federal Police Act 1979, subsection 12G(2); 12G(4);
and 12G(5A). Subsection 12G(5A) was inserted by the Measures to Combat
Serious and Organised Crime Act 2001.
- Australian Security and Intelligence Organisation Act 1979,
section 26.
- ibid., subsection 26(3); subsection 26(4). In R v. Nicholas
(2000) 1 VR 356 the Victorian Court of Appeal concluded that a warrant
issued in relation to a 'particular person, namely a person who obtains
or seeks to obtain possession of a [particular] bag' could not be supported
by the 'particular person' provisions of the Customs Act 1901.
The court noted that the warrant did not identify any individual and
that it could have included, during its 28 day period of operation,
innocent possessors of the bag such as porters and taxi drivers. It
re-iterated the common law principle that the legal system does not
recognise general warrants in the absence of specific statutory authorisation.
General warrants have long been regarded as invasive and unsusceptible
to proper controls. However, the Court did not agree that the evidence
obtained from the warrant should be excluded. It rejected any suggestion
that the officers obtaining the warrant acted dishonestly and drew attention
to the fact that a Federal Court judge had issued the warrant.
- ibid., subsection 26A.
- ibid., subsection 25(5) and section 25A.
- That is, 'a person who voluntarily and with the necessary intent commits
all the objective elements of a criminal offence is guilty of that offence
regardless of whether he or she was induced to act by another, whether
private citizen or law enforcement officer': Ridgeway v. Queen
(1995) 184 CLR 1 per Mason CJ and Deane and Dawson JJ at p. 28.
- The majority concluded that in the circumstances 'grave and calculated
police criminality; the creation of an actual element of the charged
offence; selective prosecution; absence of any real indication of official
disapproval or retribution; the achievement of an objective of the criminal
conduct if evidence be admitted-combine to make the case an extreme
one in which the considerations favouring rejection of evidence on public
policy grounds are extremely strong': ibid., at pp. 42-43.
- Criminal Law (Undercover Operations) Act 1995 (SA); Law
Enforcement (Controlled Operations) Act 1997 (NSW); Police Powers
and Responsibilities Act 2000 (Qld); Crimes Amendment (Controlled
Operations) Act 1996 (Cth).
- Crimes Act 1914, sections 15IA; 15I; 15IB; and 15M.
- ibid., sections 15R. 15S and 15T.
- ibid., section 15HB; Crimes Regulations 1990, reg 4A, inserted by
the Crimes Amendment Regulations 2001 (No. 4).
- Including officers of the AFP, Customs, ASIO, ASIS, DSD and DIO. Officers
of foreign law enforcement, intelligence or security agencies may also
be 'approved officers' under the Act.
- Dr Sharman Stone, MP, Measures to Combat Serious and Organised Crime
Act 2001, Second
Reading Speech, House of Representatives, Debates, 20 September
2001, p, 31198.
- Alan Leaver, Investigating Crime. A Guide to the Powers of Agencies
Involved in the Investigation of Crime, LBC Information Services,
Sydney, 1997, p. 350.
- National Crime Authority Act 1984, subsection 29(1) and 29(3A).
- riminal Code (NT), sections 54; 55; and 51; paragraph 51(1)(c);
and section 50.
- Greg Wilesmith, 'Protest signs may mean jail in NT', Sydney Morning
Herald, 6 August 1981.
- Denise Kitchen, 'World Search for New Criminal Code', Territory
Digest, Vol. 4(1) 1982, pp. 18-20.
- Although, it may be significant that the only domestic issue, the
highjacking in Alice Springs, does not appear on the list of 'significant
incidents of politically motivated violence in Australia' in Honan and
Thompson, op. cit., Annex C.
- Letter from the Chief Minister of the Northern Territory to the Prime
Minister, 15/12/83, tabled by Senator Bernie Kilgariff in Adjournment,
'Northern
Territory Criminal Code-Presentation of Petitions', Senate, Debates,
15 December 1983, p. 3932.
- Mr Bob Collins, MLA, Legislative Assembly of the Northern Territory,
Parliamentary Record, 17 August 1982, p. 2587.
- Crimes Act 1914, sections 27; 78; 79; 80; 81; and 83.
- The Hon. Daryl Williams, MP, Criminal Code Amendment (Espionage and
Related Offences) Bill 2001, Second
Reading Speech, House of Representatives, Debates, 27 September
2001, p. 31631.
- Crimes (Foreign Incursions and Recruitment) Act 1978, subsection
6(1); section 7; paragraph 7(1)(e); subsection 6(3); and subsection
6(4).
- ibid., subsections 6(2) and 7(2); and section 10.
- Protective Security Review, op. cit., p. xv.
- esolution 1373, para 1(a), 1(b) and 2(e).
- Statement of the Committee against Torture, CAT/C/XXVII/Misc.7.,
22 November 2001.
- Joint
statement by Mary Robinson, UN High Commissioner for Human Rights, Walter
Schwimmer, Secretary General of the Council of Europe, and Ambassador
Gérard Stoudmann, Director of the OSCE Office for Democratic
Institutions and Human Rights, 29 November 2001.
- Statement
of High Commissioner for Human Rights on Detention of Taliban and Al
Qaida Prisoners at US Base in Guantanamo Bay, Cuba, 16 January 2002.
- Lord Lloyd of Berwick, op. cit., Vol. 2, p. 58.
- Conor Gearty and John Kimbell, Terrorism and the Rule of Law: a
report on the laws relating to political violence in Great Britain and
Northern Ireland, King's College London School of Law, Civil Liberties
Research Unit, London, 1995, p. 14.
- Lord Lloyd of Berwick, op. cit., Vol. 1, p. 9.
- ibid., p. 60.
- Donohue, op. cit., p. 42.
- 'Precisely because the need for action against the . . . scourge is
manifest, the need for vigilance against . . . excess is great. History
teaches that grave threats to liberty often come in times of urgency,
when . . . rights seem too extravagant to endure . . . [W]hen we allow
fundamental freedoms to be sacrificed in the name of real or perceived
exigency, we invariably come to regret it . . . . [T]he first, and worst,
casualty . . . will be the precious liberties of our citizens.': Skinner
v. Railway Labor Executives' Association (1989) 489 U.S. 602 per
Marshall J., dissenting at pp. 635-36.
- When times are normal and fear is not stalking the land, English law
sturdily protects the freedom of the individual and respects human personality.
But when times are abnormally alive with fear and prejudice, the common
law is at a disadvantage: it cannot resist the will, however frightened
and prejudiced it may be, of Parliament': Leslie Scarman, English
Law - The New Dimension, The Hamlyn Lectures, 26th Series,
Law Book Company, Melbourne, 1974, at p. 15; 'It must be a cardinal
principle of a liberal democracy in dealing with problems of terrorism,
however serious these may be, never to be tempted into using methods
which are incompatible with the liberal values of humanity, liberty
and justice. It is a dangerous illusion to believe one can 'protect'
liberal democracy by suspending liberal rights and forms of government':
Lord Lloyd of Berwick, op. cit., Vol. 2, p. 59.
- 'Given the chance to vote on the proposal to change the Constitution,
the people of Australia, fifty years ago, refused. When the issues were
explained, they rejected the enlargement of federal power. History accepts
the wisdom of our response in Australia and the error of the over-reaction
of the United States. Keeping proportion. Adhering to the ways of democracies.
Upholding constitutionalism and the rule of law. Defending, even under
assault, the legal rights of suspects. These are the way to maintain
the love and confidence of the people over the long haul. We should
never forget these lessons. ... Every erosion of liberty must be thoroughly
justified. Sometimes it is wise to pause. Always it is wise to keep
our sense of proportion and to remember our civic traditions as the
High Court Justices did in the Communist Party case of 1951':
Justice Michael Kirby, 'Australian
law, after September 11, 2001', Speech to the Law Council of Australia,
32nd Australian Legal Convention, Canberra, 11 October 2001.
The Law Council also commented it 'recognises the Government needs to
protect Australia's security interests, but in doing so, it must remain
mindful of the rights of individual Australians to fair treatment by
police and security agencies': Law Council of Australia, 'Hicks Reaction
a Warning on Counter-Terrorism Laws', Media Release 14 December
2001.
- For example, in the United States, the Government has said that it
will 'act in a strong manner against terrorists without surrendering
basic freedoms or endangering democratic principles': Public Report
of the Vice President's Task Force on Combating Terrorism, Washington,
D.C., 1986.
- The Hon. John Howard, MP, Transcript of Press Conference, Sydney,
2 October 2001.
- In the wake of the demand for ever more stringent counterterrorist
measures, not just one but many areas of the government respond to each
event. And so the legislature legislates, the White House negotiates
international agreements and the military introduces new counterterrorist
strike teams. The result is an unwieldy and ever-expansive compilation
of counterterrorist measures that confuses efforts to evaluate America's
total terrorist response.': Donohue, op. cit., p. 41.
- J. Murphy, 'The Need for International Co-operation in Combating Terrorism',
Terrorism: An International Journal, Vol. 13, p. 381.
- Grant Wardlaw, 'The Nature and Purpose of Terrorism and Politically
Motivated Violence', in Alan Thompson (Ed.), Terrorism and the 2000
Olympics, Australian Defence Studies Centre, Canberra, 1996, p.
14.
- Grant Wardlaw, Political Terrorism: Theory, Tactics and Counter-Measures,
Cambridge University Press, Cambridge, 1982, p. 16.
- Brian Martin, 'International Terrorism: Recent Developments and Implications
for Australia', Legislative Research Service, Current Issues Brief
No. 5 1985-86, p. 4.
- Honan and Thompson, op. cit., p. 4.
- Alan Thompson, 'Management of Australia's Counter-Terrorism Program',
Australian Defence Studies Centre, Working Paper No. 28, Canberra,
September 1994.
- Report
of Australia to the Counter-Terrorism Committee of the United Nations
Security Council pursuant to paragraph 6 of Security Council Resolution
1373 (2001) of 28 September 2001.
- ibid.
- The Hon. Daryl Williams, MP, 'New Counter-Terrorism Measures', Media
Release, 2 October 2001.
- Protective Security Review, op. cit., p. 42.
- Chadwick, op. cit., pp. 329-350, p. 336.
- Doug Meagher, Organised Crime, AGPS, Canberra, 1983, p. 22.
- Lord Lloyd of Berwick, op. cit., Vol. 1, p. 28.
- bid., p. xi.
- Clive Walker, The Prevention of Terrorism in British Law, Manchester
University Press, Manchester, 1986, p. 22.
- Lord Lloyd of Berwick, op. cit., Vol. 1, p. 23.
- Resolution 1373, para 2(e).
- The Hon. Daryl Williams, MP, 'Airport
Security Claims Not Justified', Media Release, 16 December
2001.
- Michael Levi, 'Tighter
rules to cut off supply of terror funds', Australian Financial
Review, 03 November 2001.
- United Nations Office for Drug Control and Crime Prevention, Global
Programme Against Money Laundering, Financial
Havens, Banking Secrecy and Money Laundering, December 1998.
- Organisation for Economic Cooperation and Development, Towards
Global Tax Co-operation: Progress in Identifying and Eliminating Harmful
Tax Practices, April 1998.
- United Nations. Security Council. Resolution 1373 (2001), S/RES/1373
(2001), paragraph 1(c).
- The magnitude of the problem of identifying beneficiaries of trusts
for taxation purposes was highlighted by the Australian National Audit
Office (ANAO) in its report, Managing Tax File Numbers, April
1999. It states that 45 percent of the 430,572 trust tax returns for
1997 did not include the tax file numbers (TFNs) of the beneficiaries
of trust distributions. Further, TFNs were not provided for 370,764
beneficiaries of trusts in 1997.
- The Hon. John Howard, MP, 'Australian Financial Controls on Terrorists
and their Sponsors', 28 September 2001. Media Release.
- MacLeod v. Attorney-General (NSW) [1891] AC 455 per Halsbury
LC, at p. 458-459; Thompson v. The Queen (1989) 169 CLR 1 per
Deane J at p. 33; R v. Keyn (1876) 2 Ex D 63, at pp. 68, 117,
152, 160-161, 239; Huntingdon v. Attrill [1893] AC 150 per Watson
LJ at p. 155-156.
- Jumbunna Coal Mine NL v. Victorian Coal Miners' Association (1907)
6 CLR 309 at p. 363 and Morgan v. White (1912) 15 CLR 1 at pp.
3-9.
- Wanganui-Ragitikei Electric Power Board v. Australian Mutual Provident
Society (1934) 50 CLR 581 at 601. See also Air India v. Wiggins
[1980] 2 All ER 593 per Scarman LJ at p. 597.
- Meyer Heine Pty Ltd v. The China Navigation Co Ltd (1966) 115
CLR 10 at p. 23.
- This is discussed in Dennis Pearce and Robert Geddes Statutory
Interpretation in Australia (3rd Ed), Butterworths, Sydney,
pp. 97-99.
- A similar jurisdiction has been asserted in Australia, but only in
relation to war crimes, hostages and torture: War Crimes Amendment
Act 1988, Crimes Act 1914, Part IIIA (ss 50AA-50GA), Crimes
(Torture) Act 1988, s 7; Crimes (Hostages) Act 1989, s 7.
- Polyukhovich v. Commonwealth (War Crimes Act case) (1991) 172
CLR 501.
- The basis for this proposition would probably be the fact that the
extraterritorial limitations on the States do not apply to the Commonwealth.
The power of the States to legislate extraterritorially depends on a
demonstrated nexus between the subject matter of the law and the 'peace,
welfare and good government' of the State (Port MacDonnell Professional
Fishermen's Association Inc v. South Australia (1989) 168 CLR 340,
at pp. 372-373). However, '[s]o far as the Commonwealth is concerned,
it is now for the Parliament alone to judge whether a measure in respect
of any topic on which it has power to legislate is in fact for the peace
order and good government of the Commonwealth' (R v. Foster; Ex p.
Eastern & Australian Steamship Co Ltd (1959) 103 CLR 256 per
Windeyer J at p. 308).
- War Crimes Act case, loc. cit. per Mason CJ at pp. 530-531.
- Polities v. The Commonwealth (1945) 70 CLR 60; Fishwick
v. Cleland (1960) 106 CLR 186; and Horta v. The Commonwealth
(1994) 181 CLR 183 at 195.
- That is, it may enforce laws in relation to any persons in Australia
and it may enforce laws in relation to any Australians overseas.
- Treacy [1971] AC 537 per Diplock LJ at p. 564.
- Lanham, Cross-Border Criminal Law (1997) at p. 16 quoted in
Model Criminal Code Officers Committee of the Standing Committee of
Attorneys-General, Chapter 4: Damage and Computer Offences
and Amendments to Chapter 2: Jurisdiction - Discussion Paper, January
2000, p. 169 at http://law.gov.au/publications/Model_Criminal_Code/damage.pdf
[1/9/00].
- Prevention of Terrorism (Temporary Provisions) Act 1989, paragraph
14(1)(b).
- Article 5(1) provides that 'Everyone has the right to liberty and
security of person. No one shall be deprived of his liberty save in
the following cases and in accordance with a procedure prescribed by
law: ... (c) the lawful arrest or detention of a person effected for
the purpose of bringing him before the competent legal authority on
reasonable suspicion of having committed an offence.' Lord Lloyd
considered that it was 'at least doubtful' that the paragraph 14(1)(b)
'would be upheld if challenged under Article 5': Lord Lloyd of Berwick,
op. cit., Vol. 1, p. 14.
- Lord Lloyd of Berwick, op. cit., Vol. 1, p. 14.
- J J Rowe, 'The Terrorism Act 2000, Criminal Law Review, July
2001, pp. 527-542, at pp. 534-535.
- (1989) 11 EHRR 117.
- Article 5(3) provides that 'Everyone arrested or detained in accordance
with the provisions of paragraph 1(c) of this article shall be brought
promptly before a judge or other officer authorised by law to exercise
judicial power and shall be entitled to trial within a reasonable time
or to release pending trial. Release may be conditioned by guarantees
to appear for trial'.
- (1994) 17 EHRR 539.
- Rowe, loc. cit., at pp. 534-535.
- Lord Lloyd of Berwick, op. cit., Vol. 1, p. 29 (emphasis added) and
p. 30 and Vol. 2, p. 57.
- Walker, op. cit., p. 50.
- Lord Lloyd of Berwick, op. cit., Vol. 2, p. 57.
- Walker, op. cit., p. 36.
- Crimes Act 1914, section 30AA.
- Kioa v West (1985) 159 CLR 550 per Mason J at 584.
- Mobil Oil Australia Pty Ltd v. Federal Commissioner of Taxation
(1963) 113 CLR 475 per Kitto J at p. 504; Salemi v. Minister
for Immigration and Ethnic Affairs (1977) 14 ALR 1 at p. 19;
Kioa v. West, loc. cit. per Mason J at p. 585; Haoucher
v. Minister for Immigration and Ethnic Affairs (1990) 169 CLR 648
per Deane J at p. 652.
- F.A.I. Insurances Ltd v Winneke (1982-83) 151 CLR 342 per Mason
J at 363.
- Kioa v. West, loc. cit. per Brennan J at 629; See Cooper
v. Wandsworth Board of Works (1863) 143 ER 414; Commissioner
of Police v. Tanos (1958) 98 CLR 383 per Dixon CJ and Webb J at
p395; T. A. Miller Ltd v. Minister of Housing and Local Government
[1968] 1 WLR per Denning MR, at 995; Twist v. Randwick Municipal
Council (1976) 136 CLR 106.
- F.A.I. Insurances Ltd. v. Winneke per Mason J at 370-71; cf
State of South Australia v. O'Shea (1987) 73 ALR 1 per Mason
J at 6 and Brennan J at 20.
- Roderick v. AOTC (1992) 111 ALR 83.
- Excell v. Harris (1983) 51 ALR 137.
- Criminal Code Act 1983 (NT), section 51 (amended).
- David Weisbrot, 'Criminal Law: NT Prepares for War', Legal Service
Bulletin, Vol. 7(4), August 1982, p. 184.
- 'Concerns have been expressed that this section [original section
51] has potential implications for interference with a number of civil
rights, which Australia has international obligations to protect including
the right to freedom of expression, the right to freedom of association
and the right to peaceful assembly': Letter from the Prime Minister
to the Chief Minister of the Northern Territory, 17 November 1983 reproduced
in Senator Gareth Evans, 'Northern
Territory Criminal Code', Senate, Debates, 18 November 1983,
Answer to Question on Notice, p. 2856.
- 'The proscribing of organisations under the terrorism provision in
the code is in the hands of the executive and is thus a political decision.
In our view it is inappropriate that this be so. Such decisions should
be the subject of impartial judicial consideration': Mr Bob Collins,
MLA, Legislative Assembly of the Northern Territory, Parliamentary
Record, 31 August 1983, p. 981.
- Letter from the Chief Minister of the Northern Territory to the Prime
Minister tabled by Senator Bernie Kilgariff in Adjournment, 'Northern
Territory Criminal Code-Presentation of Petitions', Senate, Debates,
15 December 1983, p. 3932.
- Robertson, MLA, Legislative Assembly of the Northern Territory, Parliamentary
Record, 31 August 1983, p. 981.
- Senator Gareth Evans, 'Northern
Territory Criminal Code', Senate, Debates, 29 March 1984,
Answer to Question Without Notice, p. 877.
- The provisions on 'proscribed organisations' were replaced with the
current provisions on 'unlawful organisations' by section 5 of the Criminal
Code Amendment Act 1984.
- The Hon. Daryl Williams, MP, 'New Counter-Terrorism Measures', Media
Release, 2 October 2001.
- hic Fashions v. Jones [1968] 1 All ER 229; Ghani v. Jones
[1970] 1 QB 693; Reynolds v. Commissioner of Police of the Metropolis
[1985] 2 WLR 93. In Australia see generally Parker v. Churchill
(1985) 63 ALR 326.
- Australian Law Reform Commission, Criminal Investigation: An interim
report, AGPS, Canberra, 1975, Chapter 7, Keith Tronc, Cliff Crawford
and Doug Smith, Search and Seizure in Australia and New Zealand,
Law Book Company, Sydney, 1996, Chapter 1.
- 'General warrants' have been widely criticised on the basis that they
lack certainty (ALRC, op. cit., para 191-192; Tronc et al, op. cit.,
pp. 58-62) and suffer from a lack of independent scrutiny: 'There is
no requirement...that before the powers are exercised an independent
judicial mind should consider the circumstances of the particular
case, weighing the public interest as against that of the individual...Nor
is there any effective way in which any of the powers once exercised
can be the subject of ex post facto judicial review': ALRC, op.
cit., para 192.
- For example the Australian Customs Service; the Australian Defence
Force (Defence Legislation Amendment (Aid to Civilian Authorities)
Act 2000); authorised employees of the Department of Immigration
and Multicultural Affairs (eg Border Protection Legislation Amendment
Act 1999); and authorised employees of the Department of Employment,
Training and Youth Affairs (Education Services For Overseas Students
Act 2000).
- For example, a search warrant may be issued if a Justice of the Peace
'is satisfied by information' (Crimes Act 1914, old s 10), 'satisfied
by information upon oath' (Crimes Act 1958 (Vic), s 465) or if
it appears 'on a complaint made on oath' (Criminal Code 1913 (WA),
section 711) that there is reasonable ground for suspecting the existence
of property connected with an offence, etc.
- arker v. Churchill (1985) 9 FCR 316 per Burchett J at p. 322,
quoted with approval by the High Court in George v. Rockett (1990)
93 ALR 483.
- The Hon. Daryl Williams, MP, 'New Counter-Terrorism Measures', Media
Release, 2 October 2001.
- Lord Lloyd of Berwick, op. cit., Vol. 1, p. 94.
- The Home Office Circular states that its use 'can only be justified
in extreme cases where the withholding of information might lead to
death, serious injury or the escape of a terrorist offender': Sally
Broadbridge, 'The
Anti-Terrorism, Crime and Security Bill: Parts I, II, VIII, IX &
XIII Property, Security & Crime', Research Paper No. 01/99,
p. 56.
- Lord Lloyd of Berwick, op. cit., Vol. 1, p. 94.
- As the NCA acknowledges, these coercive powers 'set the NCA apart
from traditional police services, and are essential if the community
is to be protected from the impact of complex national organised crime':
National Crime Authority, 'Why
are hearings so important?'.
- The Hon. Daryl Williams, MP, 'New Counter-Terrorism Measures', Media
Release, 2 October 2001.
- Blackstone, quoted by Brennan, Deane and Dawson JJ in Chu Kheng
Lim v. The Minister for Immigration, Local Government and Ethnic Affairs
(1992) 176 CLR 1 at p. 28.
- Chu Keong Lim v. The Minister for Immigration, Local Government
and Ethnic Affairs (1992) 176 CLR 1 per Brennan, Deane and Dawson
JJ at pp. 28-29 (emphasis added).
- ibid., at p. 33.
- een v. R (1979) 143 CLR 458; Veen v. R (No 2) (1988)
164 CLR 465; Hoare v. R (1989) 167 CLR 348.
- Veen v. R per Mason J at p. 468 per Jacobs J at pp. 482-3;
Veen v. R (No 2) at 473; Chester v. R (1988) 165 CLR 611,
at 618.
- See generally Halsbury's Laws of Australia, 'Title 130 - Criminal
Law' [130-17000].
- Lowe v. R (1984) 154 CLR 606 at 612. See generally Halsbury's
Laws of Australia, 'Title 130 - Criminal Law' [130-17025].
- The ICCPR was adopted by the UN General Assembly in 1966 and came
into operation in 1976. Australia signed it on 18 December 1972 and
ratified it on 13 August 1980. Australia signed the First Optional Protocol
on 25 September 1991 with effect on 1 December 1991.
- Alphen v. The Netherlands (1990) Communication No. 305/1988,
Human Rights Committee Report 1990, Volume II: UN Doc. A/45/40, paragraph
5.8 (emphasis added).
- Sir Garfield Barwick, Crimes Bill 1960, Second Reading Speech, House
of Representatives, Debates, 8 September 1960, pp. 1020-1021.
- Victoria v. Commonwealth (1996) 187 CLR 416 per Brennan CJ,
Toohey, Gaudron, McHugh and Gummow JJ at p. 487. See also at p. 488.
- Koowarta v. Bjelke-Petersen (1982) 153 CLR 168 per Murphy J
at p. 242; Polyukovich v. Commonwealth (1991) 172 CLR 501 per
Brennan J at pp. 560-562 and Toohey J at pp. 657-658.
- See generally, R v. Burgess, Ex Parte Henry (1936) 55 CLR 608
per McTiernan J at p. 687; Commonwealth v. Tasmania (1983) 158
CLR 1 per Deane J at pp. 258-259 and Murphy J at pp. 171-172.
- Victoria v. The Commonwealth (1996) 187 CLR 416 per Brennan
CJ and Toohey, Gaudron, McHugh and Gummow JJ at pp. 488-489; The
Commonwealth v. Tasmania (1983) 158 CLR 1 per Deane J at pp. 233-234,
268; Chu Kheng Lim v. Minister for Immigration (1992) 176 CLR
1 at 75 (cf R v. Burgess; Ex parte Henry (1936) 55 CLR 608 per
Evatt and McTiernan JJ, p. 688).
- Victoria v. The Commonwealth (1996) 187 CLR 416 per Brennan
CJ and Toohey, Gaudron, McHugh and Gummow JJ at p. 489.
- esolution 1373, para 1(a) and 1(b) and para 2(e).
- 'Current Topics: Legal and constitutional problems of protective security
arrangements in Australia', Australian Law Journal, Vol. 52,
1978, p. 298.
- Peter Hanks, Constitutional Law in Australia, Butterworths,
Sydney, 1991 pp. 325-326, citing comments by Gaudron J and Brennan and
Toohey JJ in Re Tracey; Ex parte Ryan (1989) 166 CLR 518.
- Lamshed v. Lake (1958) 99 CLR 132 per Kitto J at p. 153; Spratt
v. Hermes (1965) 114 CLR 226 per Barwick CJ at p. 242; Teori
Tau v. Commonwealth (1969) 119 CLR 564 at p. 570 (unanimous High
Court); Berwick Ltd v. Gray (1976) 133 CLR 603 per Mason J at
p 607; Northern Land Council v. Commonwealth (1986) 161 CLR 1
at p. 6 (unanimous High Court).
- Christopher Horan, 'Section
122 of the Constitution: A "disparate and non-federal power"?' Federal
Law Review, 25(1), 2000, pp. 97-126
- R v. Kidman (1915) 20 CLR 425 per Isaacs J at p. 440.
- Burns v. Ransley (1949) 79 CLR 101 per Latham CJ at p. 110.
- ibid per Dixon J at p. 116
- Australian Communist Party v. Commonwealth (1951) 83 CLR 1
per Dixon J at p. 188.
- The precise constitutional bases of the 'inherent right of self-protection'
are discussed in Elizabeth Ward, 'Call Out the Troops: an examination
of the legal basis for Australian Defence Force involvement in 'non-defence'
matters', Research Paper No. 8 1997-98, at http://www.aph.gov.au/library/pubs/rp/1997-98/98rp08.htm
[5/7/00]
- Australian Communist Party v. Commonwealth (1951) 83 CLR 1
per Fullagar J at p. 260.
- ibid at p. 261 and pp. 266-267.
- Victoria v. The Commonwealth and Hayden (1975) 134 CLR 338
per Mason J at p. 379.
- Davis v. The Commonwealth (1988) 166 CLR 79 per Mason CJ, Deane
and Gaudron JJ at p. 111. See generally Dr Max Spry, 'The Executive
Power of the Commonwealth: its scope and limits', Research Paper
No. 28 1995-96, at http://www.aph.gov.au/library/pubs/rp/1995-96/96rp28.htm
[5/7/00].
- Leslie Zines, The High Court and the Constitution, 4th
ed, Butterworths 1997, at p. 303.
- Lee, Hanks and Morabito, In the Name of National Security: The
legal dimensions, Law Book Company, North Ryde, 1995 foreword by
The Hon Sir Anthony Mason, AC, KBE, p. vii.
- George Williams, Human Rights under the Australian Constitution,
Oxford University Press, Melbourne, 1999, pp. 103-104.
- Cheatle v The Queen (1993) 177 CLR 541.
- Chu Kheng Lim v Minister for Immigration, Local Government and
Ethnic Affairs (1992) 176 CLR 1 at p. 28.
- George Williams, loc. cit., pp. 214-225.
- (1997) 189 CLR 520.
- Australian Capital Television Ltd v Commonwealth (1992) 177
CLR 106 at p. 212. See also McHugh J at p. 227.
- George Williams, loc. cit., pp. 194.
- The Zamora (1916) 2 AC 77 at p. 107.
- In Commonwealth v. Colonial Combing, Spinning and Weaving Co. Ltd.
(1922) 31 CLR 421 per Isaacs J at p. 442.
- A v. Hayden (1984) 156 CLR 532 per Gibbs CJ at p. 548.
- Chandler v. Director of Public Prosecutions (1964) AC 763 per
Devlin LJ at p. 811 (emphasis added).
- Australian Communist Party v. Commonwealth (1951) 83 CLR 1
per Fullagar J at p. 264.
- ibid., at p. 258.
- Marcus Clark and Co Ltd v. Commonwealth (1952) 87 CLR 177 per
Fullagar J at p. 256.
- ibid.
- Australian Communist Party v. Commonwealth (1951) 83 CLR 1
per Dixon J at p. 189.
- ibid., at p. 261.
- Attorney-General (NSW) v. Quin (1990) 170 CLR 1 per Brennan
J at pp. 35-36.
- Professor Tony Blackshield, 'The Siege of Bowral - The legal issues',
Pacific Defence Reporter, March 1978, p. 7.
- This judicial review would be an action taken under section 39B of
the Judiciary Act 1901 and section 75 of the Constitution rather
than the Administrative Decisions (Judicial Review) Act 1977.
This is because ASIO is exempt from AD(JR) actions: Administrative
Decisions (Judicial Review) Act 1977, Schedule 1, paragraph (d).
- In Leisure and Entertainment Pty Ltd v. Willis No. QG 204 of
1995 FED No. 1/96, Spender J commented, in relation to an opinion by
the Treasurer based on national interest considerations, that an applicant
must demonstrate 'that the opinion were not genuinely entertained or
that the opinion was wholly unreasonable'
- Administrative Decisions (Judicial Review) Act 1977, paragraphs
5(1)(e) & s.5(2)(a), 5(2)(b), and 5(2)(f).
- Murphyores Incorporated Pty. Ltd. v. The Commonwealth (1976) 136
CLR 1 per Stephen J at 14.
- Two judges said that, in the absence of bad faith or infringement
of personal rights, such a question was not justiciable. They said that
the issue of relevance either could not be assessed in isolation from
other information that was or could become available to ASIO
or was beyond the expertise of judges. They also said that scrutiny
of ASIO operations was dealt with exclusively in the ASIO Act and, in
any event, judicial proceedings would be frustrated by claims of secrecy
or public interest immunity.
- Church of Scientology v. Woodward (1982) 154 CLR 25 at pp.
59-61.
- Associated Provincial Picture Houses v. Wednesbury Corporation
(1948) 1 KB 223 see also Prasad v. Minister for Immigration and
Ethnic Affairs (1984-1985) 6 FCR 155 per Wilcox J at p. 169.
- Baker v. Campbell (1983) 153 CLR 52, citing D. v. N.S.P.C.C.
(1978) AC 171, at pp. 218, 230, 237-239, 242; Smorgon v. Australia
and New Zealand Banking Group Ltd. (1976) 134 CLR 475, at pp. 487-489;
Federal Commissioner of Taxation v. Australia and New Zealand Banking
Group Ltd. (1979) 143 CLR 499, at p. 521.
- Alister and Others v. The Queen (1984) 154 CLR 404 per Wilson
and Dawson JJ at p. 435.
- Reg. v. Lewes Justices; Ex parte Home Secretary (1973) AC 388,
at p. 407, cited by Brennan J in Church of Scientology v. Woodward
(1983) 154 CLR 25 at p. 75.
- Church of Scientology v. Woodward, ibid.
- The Hon. John Howard, MP, 'A Safer More Secure Australia', Media
Release, 30 October 2001.
- The Hon. John Howard, MP, Transcript of Doorstop Interview, Brisbane,
30 October 2001.
- Report to the Minister for Administrative Services on the Organisation
of Police Resources in the Commonwealth Area and Related Matters,
AGPS, Canberra, 1978, p. 25.
- Protective Security Review, op. cit., pp. xvi and 43.
- The National Crime Authority Bill 1983, AGPS, Canberra, 1984,
p. 3.
- Michael Codd AC, Review of Plans and arrangements in relation to
Counter-Terrorism, AGPS, 25 May 1992, tabled 24 March 1994, Parliamentary
Paper No. 151/1994, p. 15.
- Concern expressed by 'one police force' to the 1993 SAC-PAV Review:
Honan and Thompson, op. cit., p. 9.
- See generally Senator Gareth Evans, Answer to Question on Notice,
'Northern
Territory Criminal Code', Senate, Debates, 18 November 1983,
p. 2856.
- Letter from the Prime Minister to the Chief Minister of the Northern
Territory, 17/11/83 tabled by Senator Gareth Evans in an Answer to Question
on Notice, loc. cit.
- Letter from the Chief Minister of the Northern Territory to the Prime
Minister, 15/12/83, tabled by Senator Bernie Kilgariff in Adjournment,
'Northern
Territory Criminal Code-Presentation of Petitions', Senate, Debates,
15 December 1983, p. 3932.
- The Hon. John Howard, MP, 'A Safer More Secure Australia', Media
Release, 30 October 2001.
- Sir John Downer in commenting on the necessity of the clause remarked
'This, of course is to be an inelastic constitution, which can only
be amended after great thought and with much trouble.' Official Record
of the Debates of the Australasian Federal Convention, 3rd Session,
Melbourne, 1898, Vol IV, p. 220.
- Western Australia chose this course of action in relation to mutual
recognition legislation.
- During the Constitutional Convention Debates Alfred Deakin expressed
the view that the referred power could not be reclaimed: 'having appealed
to Caesar, it (the State) must be bound by the judgement of Caesar,
and that it would not be possible for it afterwards to revoke its reference.'
Official Record of the Debates of the Australasian Federal Convention,
3rd Session, Melbourne,1898, Vol IV, p.217.
- Constitutional Commission, 'Interchange of Powers between the Commonwealth
and the States', Background Paper No.5, 1986, p. 5.
- The Constitution Alteration (Interchange of Powers) Bill 1984 sought
to clarify the basis on which States may refer legislative powers to
the Commonwealth. The proposal was defeated at the referendum in 1984,
securing only a 47 per cent Yes vote and failing to achieve a majority
in any state.

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