House of Lords: Regina v. Shayler (Appellant) (On Appeal From The Court of Appeal (Criminal Division) )
House of Lords: Regina v. Shayler (Appellant) (On Appeal From The Court of Appeal (Criminal Division) )
House of Lords: Regina v. Shayler (Appellant) (On Appeal From The Court of Appeal (Criminal Division) )
Lord Bingham of Cornhill Lord Hope of Craighead Lord Hutton Lord Hobhouse of
Wood-borough Lord Scott of Foscote
IN THE CAUSE
REGINA
v.
SHAYLER
(APPELLANT)
ON 21 MARCH 2002
[2002] UKHL 11
My Lords,
The facts
2. The appellant faces trial on indictment and his right to a fair trial must of
course be protected. No evidence has yet been called and no facts proved. In
summarising the facts giving rise to the appeal it is appropriate to rely very
heavily on the statement of facts agreed between the parties.
3. The appellant was a member of the Security Service ("the service") from
November 1991 to October 1996. At the outset of his service he signed an Official
Secrets Act 1989 ("OSA") declaration acknowledging the confidential nature of
documents and other information relating to security or intelligence, defence or
international relations that might come into his possession as a result of his
position; he also signed an acknowledgement that he was under a contractual
obligation not to disclose, without authority, any information that came into his
possession by virtue of his employment. On leaving the service he signed a further
OSA declaration acknowledging that the provisions of the Act continued to apply to
him notwithstanding the termination of his appointment, and that the same
requirements of confidentiality continued to apply to any information, documents
or other articles relating to security or intelligence, defence or international
relations which might have come into his possession as a result of his previous
employment. He made a written declaration that he had surrendered any and all
information in material form (whether classified or not) made or acquired by him
owing to his official position, save such as he had the written authority of the
service to retain.
6. Just before the articles were published, the appellant left the country and a
subsequent attempt to extradite him from France failed. He returned on 21 August
2000 and was arrested on his arrival at Dover. He was cautioned and made no
reply. He was not interviewed at any stage, but was taken to London and charged
at Charing Cross Police Station that same afternoon. In reply to the charge he
said:
"I have been living in Paris for three years and I have decided voluntarily to return to Britain
to face charges under the Official Secrets Act. I have done this to clear my name and to allow
a jury of 12 of my fellow citizens to judge me. I have also returned to challenge the cover-ups
and complacency that have followed my disclosures. I admit that as an officer of the Security
Service, I was a Crown Servant from November 1991 to October 1996. However, I do not
admit making any disclosures which were contrary to the criminal law. Any disclosures made
by me were in the public and national interests. In my defence I will rely on my right of
freedom of expression as guaranteed by the common law, the Human Rights Act and Article
10 of the European Convention on Human Rights."
7. The first count in the indictment against the appellant alleges that, on or
before 24 August 1997, being a person who had been a member of the security
and intelligence services, he disclosed documents relating to security or
intelligence without lawful authority contrary to section 1(1) of the OSA 1989. The
second count alleges that, on or before 24 August 1997, being a person who had
been a crown servant, he without lawful authority disclosed information obtained
by reason of warrants issued under the Interception of Communications Act 1985,
contrary to section 4(1) of the OSA 1989. The third count alleges that on 24
August 1997, being a person who had been a member of the security and
intelligence services, he without lawful authority disclosed information relating to
security or intelligence, contrary to section 1(1) of the OSA 1989. The appellant
has pleaded not guilty to these charges.
8. At the preparatory hearing before the judge the first issue was whether, in
law, the appellant would be entitled to be acquitted of the charges against him if
(as he asserted on his arrest) his disclosures had (or, one should add, might have)
been made in the public and national interest. In his judgment Moses J referred to
the assertion made by the appellant on his arrest and quoted the written
submission made on the appellant's behalf:
"Any disclosures made by him were intended to draw attention to the illegal, unlawful and
inefficient workings of the security and intelligence services, which, on occasion risked, and
continued to risk, life and limb."
The judge, at para 4, recorded the appellant as seeking
"to contend that his disclosures were necessary to expose serious illegality by the security and
intelligence services, and, in particular such disclosure was necessary to avert threat to life or
limb or serious damage to property."
The judge's conclusion expressed at the end of his judgment, was unequivocal:
"Section 1(1) and section 4 of the Official Secrets Act 1989 do not permit a defendant to raise
a defence that his disclosure was necessary in the public interest to avert damage to life or
limb or serious damage to property."
The judge developed at some length his reasons for holding that the sections as so
construed were not incompatible with article 10 and at paragraph 82 of his
judgment, under the heading "Extending the common law", said:
"Were I to have concluded that the absence of any public interest offence is incompatible with
the Convention, Mr Fitzgerald QC's argument that the common law principle of necessity
should be developed in the light of Article 10 seems to me to afford a more fruitful basis for
the courts to permit such a defence."
He then went on to consider the common law defences of necessity and duress of
circumstances. He was prepared to accept that a conventional defence of duress
was in theory open to a former member of the service, but could not accept that a
defence of necessity or duress of circumstances was open. The Court of Appeal
took a different legal view on this latter issue, to which much of its judgment was
directed, but it was of the opinion that there was no material before the court to
suggest that a defence of necessity or duress of circumstances was open to the
appellant on the facts.
The Official Secrets Act 1989
9. Section 2 of the Official Secrets Act 1911, enacted in great haste, was the
subject of sustained criticism over many years. Its excessive scope had proved an
obstacle to its effective enforcement. For this reason, and in fulfilment of a pledge
to get rid of unnecessary secrecy, a departmental committee under the
distinguished chairmanship of Lord Franks was established in 1971 to consider and
recommend an effective and enforceable alternative. The committee reported in
1972 (Cmnd 5104). The committee recognised in paragraph 1
"the concern of democratic governments to see that information is widely diffused, for this
enables citizens to play a part in controlling their common affairs. There is an inevitable
tension between the democratic requirement of openness, and the continuing need to keep
some matters secret."
The committee went on to observe on pp 47-48, paras 122-123:
"It is generally accepted that secrecy is an important element in the effectiveness of defence
measures and equipment, and that a breach of secrecy could seriously damage the nation . . .
Defence is traditionally thought of in terms of troops, weapons and equipment, and plans.
Intelligence is also an important aspect of defence, and comprises both our own intelligence
operations and measures taken against the intelligence operations of others. All defence
matters must be treated in terms not just of this country, but of the United Kingdom and her
allies taken together. The Government are under an obligation to protect the defence
information of our allies in the same way as our own. For the purposes of our broad
categories, we regard defence as including home defence and internal security."
After observing (p 49, para 127) that in the field of international relations secrecy
is mutual, since one country cannot breach secrecy unilaterally without damaging
its relations with others, the committee said on p 50, para 130:
11. This white paper was the immediate precursor of the OSA 1989 and its
recommendations bear directly on the interpretation of the Act. The following
paragraphs are particularly relevant:
"25. The most obvious areas in which the public interest needs to be protected are those
where the protection of the nation from attack from outside or from within is involved. Clearly
new legislation must protect information relating to defence (including civil preparedness) and
information relating to security and intelligence.
30. There is a particular sensitivity about the interception of telephone calls, mail and other
forms of communication. It is an exceptional but vital instrument which is used, for the
protection of society, when other means are not available. Successive Governments have
recognised that properly controlled interception for limited purposes, such as national security
or the prevention and detection of crime, is not only justified but essential in the public
interest. The effectiveness of interception would be much reduced if details of the practice
were readily available. But it is not only the means by which interception is practised which
need to be protected. The information gathered by its use, even where it is not covered by
one of the other categories already mentioned, ought not to be publicly available. Interception
inevitably involves interference, without their knowledge, with the privacy of those whose
communications are intercepted. Such interference is acceptable in the public interest only if
those responsible for interception maintain the privacy of the information obtained.
38. . . . [The Government] proposes instead that legislation should make a distinction between
disclosures by members and former members of the security and intelligence services and
disclosures by other persons; and that, in the latter case, the prosecution should have to show
that the disclosure was likely to damage the operation of the security or intelligence services.
39. Because of the exceptional sensitivity of this area of information, however, there is a
particular difficulty in bringing prosecutions in some cases which would be exacerbated by the
need to show that the proposed test of harm had been met. In order to prove the truth of the
information at present, and in order to satisfy the test of harm if the Government's proposal is
adopted, evidence may need to be adduced which involves a disclosure which is as harmful as
or more harmful than the disclosure which is the subject of the prosecution. Because of this
danger it is not always possible to bring a prosecution at all. The Government considers that it
is not in the public interest that those who wish to disclose information which damages the
operation of the security or intelligence services (for example by revealing details of their
operations or identifying personnel) should be able to do so with impunity, simply by reason of
the sensitivity of the subject matter.
41. While the Government believes that this proposed test of harm is in general adequate to
safeguard the interests both of the defendant and of the security and intelligence services, it
considers that different arguments apply to the unauthorised disclosure of information by
members or former members of those services. It takes the view that all such disclosures are
harmful to the public interest and ought to be criminal. They are harmful because they carry a
credibility which the disclosure of the same information by any other person does not, and
because they reduce public confidence in the services' ability and willingness to carry out their
essentially secret duties effectively and loyally. They ought to be criminal because those who
become members of the services know that membership carries with it a special and
inescapable duty of secrecy about their work. Unauthorised disclosures betray that duty and
the trust placed in the members concerned, both by the State and by people who give
information to the services.
42. The Government accordingly proposes that it should not be necessary for the prosecution
to adduce evidence of the likely damage to the operation of the security or intelligence
services when information relating to security or intelligence has been disclosed by a member
or former member of one of those services.
43. The difficulties described in para 39, arising from the fact that a trial may lead to the
disclosure of information more sensitive than has already been disclosed, need particularly to
be overcome where the defendant is a member or former member of the security or
intelligence services. It is clearly not in the public interest that a person who is entrusted with
the protection of the security of the country, and who betrays that trust, should be able to
escape prosecution because of the very sensitivity of the information with which he has been
entrusted. Furthermore, as a general policy, Governments do not comment on assertions
about security or intelligence: true statements will generally go unconfirmed, and false
statements will normally go undenied. As a result, and because of the particular credibility
attaching to statements about security or intelligence by members of the services concerned,
the circulation of misinformation by a member of the services may, in a different way, be as
harmful as his disclosure of genuine information.
44. The Government proposes to meet these problems by making it an offence for a member
or former member of the security or intelligence services to make any disclosure which is
either of information relating to security or intelligence or which purports to be of such
information or which is intended to be taken as such.
53. Finally, paragraph 30 sets out the reasons why the disclosure of information relating to
the process of interception or obtained by that means is harmful. It seems to the Government
that no information relating to this process can be disclosed without the possibility of
damaging this essential weapon against terrorism and crime and vital safeguard of national
security. Similarly no information obtained by means of interception can be disclosed without
assisting terrorism or crime, damaging national security or seriously breaching the privacy of
private citizens. The Government does not therefore consider that a specific test of harm can
be formulated or, indeed, is necessary or appropriate for this category of information."
Under the heading "A Public Interest Defence", the white paper continued:
"58. Suggestions have been made that the law should provide a general defence that
disclosure was in the public interest. The object would be to enable the courts to consider the
benefit of the unauthorised disclosure of particular information, and the motives of the person
disclosing it, as well as the harm which it was likely to cause. It is suggested, in particular,
that such a defence is necessary in order to enable suggestions of misconduct or malpractice
to be properly investigated or brought to public attention.
59. The Government recognises that some people who make unauthorised disclosures do so
for what they themselves see as altruistic reasons and without desire for personal gain. But
that is equally true of some people who commit other criminal offences. The general principle
which the law follows is that the criminality of what people do ought not to depend on their
ultimate motives - though these may be a factor to be taken into account in sentencing - but
on the nature and degree of the harm which their acts may cause.
60. In the Government's view, there are good grounds for not departing from the general
model in this context; and two features of the present proposals particularly reinforce this
conclusion. First, a central objective of reform is to achieve maximum clarity in the law and in
its application. A general public interest defence would make it impossible to achieve such
clarity. Secondly, the proposals in this White Paper are designed to concentrate the protection
of the criminal law on information which demonstrably requires its protection in the public
interest. It cannot be acceptable that a person can lawfully disclose information which he
knows may, for example, lead to loss of life simply because he conceives that he has a general
reason of a public character for doing so.
61. So far as the criminal law relating to the protection of official information is concerned,
therefore, the Government is of the mind that there should be no general public interest
defence and that any argument as to the effect of disclosure on the public interest should take
place within the context of the proposed damage tests where applicable."
What became the OSA 1989 was debated in both Houses during its passage
through Parliament. An amendment designed to introduce a public interest
defence was rejected. The Act as passed gives general effect to the proposals in
the white paper.
(1) The Act distinguishes between different classes of discloser. Thus, in section
1, members and former members of the intelligence and security services and
persons notified that they are subject to the subsection are covered by subsection
(1), whereas past and present Crown servants and government contractors are
covered by sub-section (3).
(3) The Act provides specific defences on which reliance may be placed in
different circumstances: thus, in addition to the defence expressly provided in
section 1(5) quoted below, further defences are provided in sections 2(3), 3(4),
4(4) and (5), 5(3) and (4), 6(3), 7(4) and 8(2).
(4) The requirement to prove damage differs according to the nature of the
disclosure and the information disclosed. Thus the provisions in section 1(3) and
(4) are to be contrasted with the lack of any express requirement of damage in
section 1(1), and are in line with similar provisions in sections 2(1) and (2), 3(1),
(2) and (3), 4(2), 5(3) and 6(2).
13. Section 1 under which counts 1 and 3 of the indictment against the
appellant have been laid, provides (so far as relevant) as follows:
"(1) A person who is or has been a Crown servant or government contractor is guilty of an
offence if without lawful authority he discloses any information, document or other article to
which this section applies and which is or has been in his possession by virtue of his position
as such.
...
(3)
This section also applies to -
(a) any information obtained by reason of the interception of any communication in obedience
to a warrant issued under section 2 of the Interception of Communications Act 1985, any
information relating to the obtaining of information by reason of any such interception and any
document or other article which is or has been used or held for use in, or has been obtained
by reason of, any such interception; and
(b) any information obtained by reason of action authorised by a warrant issued under section
3 of the Security Service Act 1989 or under section 5 of the Intelligence Services Act 1994 or
by an authorisation given under section 7 of that Act, any information relating to the obtaining
of information by reason of any such action and any document or other article which is or has
been used or held for use in, or has been obtained by reason of, any such action.
(5) It is a defence for a person charged with an offence under this section in respect
of any other disclosure to prove that at the time of the alleged offence he did not
know, and had no reasonable cause to believe, that the information, document or
article in question was information or a document or article to which this section
applies."
Section 7 governs the authorisation of disclosures. It deals first with disclosures by Crown
servants and persons subject to notification under section 1(1), then with government
contractors, and then in subsection (3) provides:
"For the purposes of this Act a disclosure made by any other person is made with lawful
authority if, and only if, it is made -
(a) to a Crown servant for the purposes of his functions as such; or
(b) in accordance with an official authorisation."
"Official authorisation" is defined to mean an authorisation duly given by a Crown servant or
by or on behalf of a prescribed body or a body of a prescribed class. These expressions are
defined in section 12. A "Crown servant" includes any minister, civil servant, member of the
armed forces or constable, and any holder of an office or body or member of a body
prescribed by the secretary of state. In section 13 "disclose" and "disclosure" are defined to
include parting with possession of a document.
The Security Service Act 1989
14. The Security Service Act 1989 was enacted, very shortly before the OSA 1989, to put
the service on a statutory basis. Its functions are defined in section 1 (as amended):
"(2) The function of the Service shall be the protection of national security and, in particular, its
protection against threats from espionage, terrorism and sabotage, from the activities of agents of foreign
powers and from actions intended to overthrow or undermine parliamentary democracy by political,
industrial or violent means.
(3) It shall also be the function of the Service to safeguard the economic well-being of the United Kingdom
against threats posed by the actions or intentions of persons outside the British Islands.
(4) It shall also be the function of the Service to act in support of the activities of police forces, the
National Criminal Intelligence Service, the National Crime Squad and other law enforcement agencies in
the prevention and detection of serious crime."
Under section 2 (as amended), the Director General is to be responsible for the efficiency of
the service and it is to be his duty to ensure:
"(a) that there are arrangements for securing that no information is obtained by the Service except so far
as necessary for the proper discharge of its functions or disclosed by it except so far as necessary for that
purpose or for the purpose of the prevention or detection of serious crime or for the purpose of any
criminal proceedings; and
(b) that the Service does not take any action to further the interests of any political party; and
(c) that there are arrangements, agreed with the Director General of the National Criminal Intelligence
Service, for co-ordinating the activities of the Service in pursuance of section 1(4) of this Act with the
activities of police forces, the National Criminal Intelligence Service, the National Crime Squad and other
law enforcement agencies."
The preparatory hearing
15. Section 29(1) of the Criminal Procedure and Investigations Act 1996 confers powers
on a judge of the crown court to order a preparatory hearing where it appears to him that
an indictment reveals a case of such complexity, or a case whose trial is likely to be of such
length, that substantial benefits are likely to accrue from a hearing before the jury are
sworn for any of the purposes listed in subsection (2). These purposes are those of
"(a) identifying issues which are likely to be material to the verdict of the jury;
(b) assisting their comprehension of any such issues;
(c) expediting the proceedings before the jury;
(d) assisting the judge's management of the trial."
The order may be made on the application of the prosecutor or the defendant or of the
judge's own motion, and at the hearing the judge may under section 31(3) make a ruling as
to (a) any question as to the admissibility of evidence or (b) any other question of law
relating to the case. An appeal lies to the Court of Appeal, with leave, against any ruling
given: section 35(1).
16. As section 29 makes clear, resort to this procedure is only permissible where the case
appears complex or likely to lead to a lengthy trial. But in such cases the procedure can be
highly beneficial. The process of disclosure can be conducted, and the marshalling of
evidence prepared, with direct reference to the live issues in the case. Jurors and witnesses,
summoned to court for the trial, can be spared hours or days of frustrating inaction while
issues of law are argued out in their absence. The risk of sudden adjournments to deal with
unforeseen contingencies can be reduced. And, perhaps most important of all, the risk that
the trial will be conducted on what an appellate court later rules to be a mistaken legal
basis, leading to the necessarily undesirable consequence of a retrial, can be minimised if
not eliminated. If there is an issue on the proper interpretation of a section or the correct
direction to be given to a jury, it may be better to resolve the question sooner rather than
later: R v Carass (Court of Appeal (Criminal Division), (unreported), 19 December 2001,
para 22).
17. The judge's decision to order a preparatory hearing in this case, not challenged at the
time, was entirely sound. Substantial benefits were indeed likely to accrue. It was faintly
suggested in argument before the House that the case did not meet the statutory criteria of
complexity and likely length. But the legal argument occupied four days before the judge,
three days in the Court of Appeal and three days before the House. There are eight
substantial bundles of authorities before the House. The test of complexity is comfortably
satisfied, and the likely length of the trial in large measure depended on how the main legal
issue was resolved. It is however important to stress that the judge's power under section
31(3)(b) is limited to ruling on questions of law "relating to the case". This limitation must
be strictly observed. Here, the issues of law before the judge were whether the sections
under which the appellant was charged, on a proper construction, afford him a public
interest defence; whether, if not, those sections are compatible with article 10 of the
European Convention; and whether, if they are not, they can or should be read conformably
with the convention or a declaration of incompatibility made. The appellant's case before the
judge did not raise any question of necessity or duress of circumstances, and it is a little
unfortunate that the judge ventured into this vexed and uncertain territory not "relating to
the case". It is a little unfortunate, for the same reason, that the Court of Appeal followed
him into it. I should not for my part be taken to accept all that the Court of Appeal said on
these difficult topics, but in my opinion it is unnecessary to explore them in this case. The
appellant's case, put very broadly, is understood to be that he was appalled at the
unlawfulness, irregularity, incompetence, misbehaviour and waste of resources in the
service, which he thought was failing to perform its public duty; he believed that unless
these failings were exposed and remedied dire consequences would follow; and he therefore
believed it in the public and national interest to make the disclosure he did. This omnibus
contention may or may not afford him a defence under the OSA 1989, depending on
whether a public interest defence is available; but it is not within measurable distance of
affording him a defence of necessity or duress of circumstances.
18. Section 1(1)(a) of the OSA 1989 imposes criminal liability on a member or former
member of the security and intelligence services if, without lawful authority (as defined in
section 7), he discloses any information or document relating to security or intelligence
which is or has been in his possession by virtue of his position as a member of any of those
services. The only defence expressly provided is, under subsection (5), that at the time of
the disclosure he did not know and had no reasonable cause to believe that the information
or documents in question related to security or intelligence. As already demonstrated, a
member or former member of the security and intelligence services is treated differently
under the Act from other persons, and information and documents relating to security and
intelligence are treated differently from information and documents relating to other
matters. Importantly, the section does not require the prosecution to prove that any
disclosure made by a member or former member of the security and intelligence services
was damaging to the interests of that service or the public service generally.
19. Section 4(1), read in conjunction with section 4(3)(a), imposes criminal liability on a
serving or former crown servant if, without lawful authority (as defined in section 7), he
discloses any information obtained by reason of the interception of any communication in
obedience to a warrant issued under section 2 of the Interception of Communications Act
1985 which has been in his possession by virtue of his position as a serving or former crown
servant. The only defence expressly provided is, under subsection (5), that at the time of
the disclosure he did not know and had no reasonable cause to believe that any information
or document disclosed was information or a document to which the section applied. In a
prosecution under the subsections referred to the prosecution do not have to prove damage
or the likelihood of damage (as required under section 4(2)) and a limited defence based on
lack of knowledge that damage would be caused (as provided under section 4(4)) does not
apply.
20. It is in my opinion plain, giving sections 1(1)(a) and 4(1) and (3)(a) their natural and
ordinary meaning and reading them in the context of the OSA 1989 as a whole, that a
defendant prosecuted under these sections is not entitled to be acquitted if he shows that it
was or that he believed that it was in the public or national interest to make the disclosure
in question or if the jury conclude that it may have been or that the defendant may have
believed it to be in the public or national interest to make the disclosure in question. The
sections impose no obligation on the prosecution to prove that the disclosure was not in the
public interest and give the defendant no opportunity to show that the disclosure was in the
public interest or that he thought it was. The sections leave no room for doubt, and if they
did the 1988 white paper quoted above, which is a legitimate aid to construction, makes the
intention of Parliament clear beyond argument.
21. The fundamental right of free expression has been recognised at common law for
very many years: see, among many other statements to similar effect, Attorney General v
Guardian Newspapers Ltd [1987] 1 WLR 1248, 1269B, 1320G; Attorney General v Guardian
Newspapers Ltd (No 2) [1990] 1 AC 109, 178E, 218D, 220C, 226A, 283E; R v Secretary of
State for the Home Department, Ex p Simms [2000] 2 AC 115, 126E; McCartan Turkington
Breen v Times Newspapers Ltd [2001] 2 AC 277, 290G-291B. The reasons why the right to
free expression is regarded as fundamental are familiar, but merit brief restatement in the
present context. Modern democratic government means government of the people by the
people for the people. But there can be no government by the people if they are ignorant of
the issues to be resolved, the arguments for and against different solutions and the facts
underlying those arguments. The business of government is not an activity about which only
those professionally engaged are entitled to receive information and express opinions. It is,
or should be, a participatory process. But there can be no assurance that government is
carried out for the people unless the facts are made known, the issues publicly ventilated.
Sometimes, inevitably, those involved in the conduct of government, as in any other walk of
life, are guilty of error, incompetence, misbehaviour, dereliction of duty, even dishonesty
and malpractice. Those concerned may very strongly wish that the facts relating to such
matters are not made public. Publicity may reflect discredit on them or their predecessors.
It may embarrass the authorities. It may impede the process of administration. Experience
however shows, in this country and elsewhere, that publicity is a powerful disinfectant.
Where abuses are exposed, they can be remedied. Even where abuses have already been
remedied, the public may be entitled to know that they occurred. The role of the press in
exposing abuses and miscarriages of justice has been a potent and honourable one. But the
press cannot expose that of which it is denied knowledge.
22. Despite the high value placed by the common law on freedom of expression, it was
not until incorporation of the European Convention into our domestic law by the Human
Rights Act 1998 that this fundamental right was underpinned by statute. Article 10(1) of the
Convention, so far as relevant, provides:
"Everyone has the right to freedom of expression. This right shall include freedom to hold opinions and to
receive and impart information and ideas without interference by public authority and regardless of
frontiers . . ."
Section 12 of the 1998 Act reflects the central importance which attaches to the right to
freedom of expression. The European Court of Human Rights for its part has not wavered in
asserting the fundamental nature of this right. In paragraph 52 of its judgment in Vogt v
Germany (1995) 21 EHRR 205 the court said:
"The court reiterates the basic principles laid down in its judgments concerning article 10:
"(1) Freedom of expression constitutes one of the essential foundations of a democratic society
and one of the basic conditions for its progress and each individual's self-fulfilment. Subject to
article 10(2), it is applicable not only to 'information' or 'ideas' that are favourably received or
regarded as inoffensive or as a matter of indifference, but also to those that offend, shock or
disturb; such are the demands of that pluralism, tolerance and broadmindedness without which
there is no 'democratic society'."
It is unnecessary to multiply citations to the same effect. Thus for purposes of the present
proceedings the starting point must be that the appellant is entitled if he wishes to disclose
information and documents in his possession unless the law imposes a valid restraint upon
his doing so.
Article 10(2)
23. Despite the high importance attached to it, the right to free expression was never
regarded in domestic law as absolute. Publication could render a party liable to civil or
criminal penalties or restraints on a number of grounds which included, for instance, libel,
breach of confidence, incitement to racial hatred, blasphemy, publication of pornography
and, as noted above, disclosure of official secrets. The European Convention similarly
recognises that the right is not absolute: article 10(2) qualifies the broad language of article
10(1) by providing, so far as relevant to this case:
"The exercise of these freedoms, since it carries with it duties and responsibilities, may be subject to such
formalities, conditions, restrictions or penalties as are prescribed by law and are necessary in a democratic
society, in the interests of national security, territorial integrity or public safety, for the prevention of
disorder or crime, . . ., for the protection of the . . . rights of others, for preventing the disclosure of
information received in confidence . . ."
It is plain from the language of article 10(2), and the European Court has repeatedly held, that any national restriction on freedom of
expression can be consistent with article 10(2) only if it is prescribed by law, is directed to one or more of the objectives specified in the
article and is shown by the state concerned to be necessary in a democratic society. "Necessary" has been strongly interpreted: it is not
synonymous with "indispensable", neither has it the flexibility of such expressions as "admissible", "ordinary", "useful", "reasonable" or
"desirable": Handyside v United Kingdom(1976) 1 EHRR 737, 754, para 48. One must consider whether the interference complained of
corresponded to a pressing social need, whether it was proportionate to the legitimate aim pursued and whether the reasons given by the
national authority to justify it are relevant and sufficient under article 10(2): The Sunday Times v United Kingdom (1979) 2 EHRR 245, 277-
278, para 62.
24. In the present case there can be no doubt but that the sections under which the
appellant has been prosecuted, construed as I have construed them, restricted his prima
facie right to free expression. There can equally be no doubt but that the restriction was
directed to objectives specified in article 10(2) as quoted above. It was suggested in
argument that the restriction was not prescribed by law because the procedure for obtaining
authorisation was not precisely specified in the OSA 1989, but I cannot accept this. The
restriction on disclosure is prescribed with complete clarity. A member or former member of
any of the security or intelligence services wishing to obtain authority to disclose could be in
no doubt but that he should seek authorisation from his superior or former superior in the
relevant service or the head of that service, either of whom might no doubt refer the
request to higher authority. It was common ground below, in my view, rightly, that the
relevant restriction was prescribed by law. It is on the question of necessity, pressing social
need and proportionality that the real issue between the parties arises.
25. There is much domestic authority pointing to the need for a security or intelligence
service to be secure. The commodity in which such a service deals is secret and confidential
information. If the service is not secure those working against the interests of the state,
whether terrorists, other criminals or foreign agents, will be alerted, and able to take
evasive action; its own agents may be unmasked; members of the service will feel unable to
rely on each other; those upon whom the service relies as sources of information will feel
unable to rely on their identity remaining secret; and foreign countries will decline to entrust
their own secrets to an insecure recipient: see, for example, Attorney General v Guardian
Newspapers Ltd (No 2) [1990] 1 AC 109, 118C, 213H-214B, 259A, 265F; Attorney General
v Blake [2001] 1 AC 268, 287D-F. In the Guardian Newspapers Ltd(No. 2) case, at p 269E-
G, Lord Griffiths expressed the accepted rule very pithily:
"The Security and Intelligence Services are necessary for our national security. They are, and must
remain, secret services if they are to operate efficiently. The only practical way to achieve this objective is
a brightline rule that forbids any member or ex-member of the service to publish any material relating to
his service experience unless he has had the material cleared by his employers. There is, in my view, no
room for an exception to this rule dealing with trivia that should not be regarded as confidential. What
may appear to the writer to be trivial may in fact be the one missing piece in the jigsaw sought by some
hostile intelligence agency."
As already shown, this judicial approach is reflected in the rule laid down, after prolonged
consideration and debate, by the legislature.
26. The need to preserve the secrecy of information relating to intelligence and military
operations in order to counter terrorism, criminal activity, hostile activity and subversion
has been recognised by the European Commission and the Court in relation to complaints
made under article 10 and other articles under the convention: see Engel v The
Netherlands (No 1) (1976) 1 EHRR 647, paras 100-103; Klass v Federal Republic of
Germany (1978) 2 EHRR 214, para 48; Leander v Sweden (1987) 9 EHRR 433, para
59; Hadjianastassiou v Greece (1992) 16 EHRR 219, paras 45-47; Esbester v United
Kingdom (1993) 18 EHRR CD 72, CD 74; Brind v United Kingdom (1994) 18 EHRR CD 76,
CD 83-84; Murray v United Kingdom (1994) 19 EHRR 193, para 58; Vereniging Weekblad
Bluf! v The Netherlands (1995) 20 EHRR 189, paras 35, 40. The thrust of these decisions
and judgments has not been to discount or disparage the need for strict and enforceable
rules but to insist on adequate safeguards to ensure that the restriction does not exceed
what is necessary to achieve the end in question. The acid test is whether, in all the
circumstances, the interference with the individual's convention right prescribed by national
law is greater than is required to meet the legitimate object which the state seeks to
achieve. The OSA 1989, as it applies to the appellant, must be considered in that context.
27. The OSA 1989 imposes a ban on disclosure of information or documents relating to
security or intelligence by a former member of the service. But it is not an absolute ban. It
is a ban on disclosure without lawful authority. It is in effect a ban subject to two conditions.
First of all, the former member may, under section 7(3)(a), make disclosure to a Crown
servant for the purposes of his functions as such:
(1.)
The former member may make disclosure to the staff counsellor, whose appointment was
announced in the House of Commons in November 1987 (Hansard (HC Debates) 2
November 1987, written answers col 512), before enactment of the OSA 1989 and in
obvious response to the grievances ventilated by Mr Peter Wright in Spycatcher. The staff
counsellor, a high ranking former civil servant, is available to be consulted:
"by any member of the security and intelligence services who has anxieties relating to the work of his or
her service which it has not been possible to allay through the ordinary processes of management - staff
relations."
In February 1989 the role of the staff counsellor was further explained: see the judgment of the Court of
Appeal, [2001] 1 WLR 2206, para 39.
(2.)
If the former member has concerns about the lawfulness of what the service has done or is
doing, he may disclose his concerns to (among others) the Attorney General, the Director of
Public Prosecutions or the Commissioner of Metropolitan Police. These officers are subject to
a clear duty, in the public interest, to uphold the law, investigate alleged infractions and
prosecute where offences appear to have been committed, irrespective of any party
affiliation or service loyalty.
(3.)
If a former member has concerns about misbehaviour, irregularity, maladministration,
waste of resources or incompetence in the service he may disclose these to the Home
Secretary, the Foreign Secretary, the Secretary of State for Northern Ireland or Scotland,
the Prime Minister, the Secretary to the Cabinet or the Joint Intelligence Committee. He
may also make disclosure to the secretariat, provided (as the House was told) by the Home
Office, of the parliamentary Intelligence and Security Committee. He may further make
disclosure, by virtue of article 3 of and Schedule 2 to the Official Secrets Act 1989
(Prescription) Order 1990 (SI 200/1990) to the staff of the Controller and Auditor General,
the National Audit Office and the Parliamentary Commissioner for Administration.
28. Since one count of the indictment against the appellant is laid under section 4(1) and
(3) of the OSA 1989, considerable attention was directed by the judge and the Court of
Appeal to the role of the commissioners appointed under section 8(1) of the Interception of
Communications Act 1985, section 4(1) of the Security Service Act 1989 and section 8(1) of
the Intelligence Services Act 1994. The appellant submits, correctly, that none of these
commissioners is a minister or a civil servant, that their functions defined by the three
statutes do not include general oversight of the three security services, and that the
secretariat serving the commissioners is, or was, of modest size. But under each of the
three Acts, the commissioner was given power to require documents and information to be
supplied to him by any crown servant or member of the relevant services for the purposes
of his functions (section 8(3) of the 1985 Act, section 4(4) of the 1989 Act, section 8(4) of
the 1994 Act), and if it were intimated to the commissioner, in terms so general as to
involve no disclosure, that serious abuse of the power to intercept communications or enter
premises to obtain information was taking or had taken place, it seems unlikely that the
commissioner would not exercise his power to obtain information or at least refer the
warning to the Home Secretary or (as the case might be) the Foreign Secretary.
29. One would hope that, if disclosure were made to one or other of the persons listed
above, effective action would be taken to ensure that abuses were remedied and offenders
punished. But the possibility must exist that such action would not be taken when it should
be taken or that, despite the taking of effective action to remedy past abuses and punish
past delinquencies, there would remain facts which should in the public interest be revealed
to a wider audience. This is where, under the OSA 1989 the second condition comes into
play: the former member may seek official authorisation to make disclosure to a wider
audience.
31. One would, again, hope that requests for authorisation to disclose would be granted
where no adequate justification existed for denying it and that authorisation would be
refused only where such justification existed. But the possibility would of course exist that
authority might be refused where no adequate justification existed for refusal, or at any rate
where the former member firmly believed that no adequate justification existed. In this
situation the former member is entitled to seek judicial review of the decision to refuse, a
course which the OSA 1989 does not seek to inhibit. In considering an application for
judicial review of a decision to refuse authorisation to disclose, the court must apply (albeit
from a judicial standpoint, and on the evidence before it) the same tests as are described in
the last paragraph. It also will bear in mind the importance attached to the convention right
of free expression. It also will bear in mind the need for any restriction to be necessary to
achieve one or more of the ends specified in article 10(2), to be responsive to a pressing
social need and to be no more restrictive than is necessary to achieve that end.
32. For the appellant it was argued that judicial review offered a person in his position no
effective protection, since courts were reluctant to intervene in matters concerning national
security and the threshold of showing a decision to be irrational was so high as to give the
applicant little chance of crossing it. Reliance was placed on the cases of Chahal v United
Kingdom (1996) 23 EHRR 413 and Tinnelly & Sons Ltd v United Kingdom (1998) 27 EHRR
249, in each of which the European Court was critical of the effectiveness of the judicial
review carried out.
33. There are in my opinion two answers to this submission. First the court's willingness to
intervene will very much depend on the nature of the material which it is sought to disclose.
If the issue concerns the disclosure of documents bearing a high security classification and
there is apparently credible unchallenged evidence that disclosure is liable to lead to the
identification of agents or the compromise of informers, the court may very well be
unwilling to intervene. If, at the other end of the spectrum, it appears that while disclosure
of the material may cause embarrassment or arouse criticism, it will not damage any
security or intelligence interest, the court's reaction is likely to be very different. Usually, a
proposed disclosure will fall between these two extremes and the court must exercise its
judgment, informed by article 10 considerations. The second answer is that in any
application for judicial review alleging an alleged violation of a convention right the court
will now conduct a much more rigorous and intrusive review than was once thought to be
permissible. The change was described by Lord Steyn in R (Daly) v Secretary of State for
the Home Department [2001] 2 AC 532, 546 where after referring to the standards of
review reflected in Associated Provincial Picture Houses Ltd v Wednesbury
Corporation [1948] 1 KB 223 and R v Ministry of Defence, Ex p Smith [1996] QB 517, he
said:
"26. . . . There is a material difference between the Wednesbury and Smith grounds of review and the
approach of proportionality applicable in respect of review where Convention rights are at stake.
27. The contours of the principle of proportionality are familiar. In de Freitas v Permanent Secretary of
Ministry of Agriculture, Fisheries, Lands and Housing [1999] 1 AC 69 the Privy Council adopted a three-
stage test. Lord Clyde observed, at p 80, that in determining whether a limitation (by an act, rule or
decision) is arbitrary or excessive the court should ask itself:
'whether: (i) the legislative objective is sufficiently important to justify limiting a fundamental right; (ii)
the measures designed to meet the legislative objective are rationally connected to it; and (iii) the means
used to impair the right or freedom are no more than is necessary to accomplish the objective.'
Clearly, these criteria are more precise and more sophisticated than the traditional grounds of review.
What is the difference for the disposal of concrete cases? Academic public lawyers have in remarkably
similar terms elucidated the difference between the traditional grounds of review and the proportionality
approach: see Professor Jeffrey Jowell QC, 'Beyond the Rule of Law: Towards Constitutional Judicial
Review' [2000] PL 671; Professor Paul Craig, Administrative Law, 4th ed (1999), pp 561-563; Professor
David Feldman, 'Proportionality and the Human Rights Act 1998', essay in The Principle of Proportionality
in the Laws of Europe edited by Evelyn Ellis (1999), pp 117, 127 et seq. The starting point is that there is
an overlap between the traditional grounds of review and the approach of proportionality. Most cases
would be decided in the same way whichever approach is adopted. But the intensity of review is
somewhat greater under the proportionality approach. Making due allowance for important structural
differences between various convention rights, which I do not propose to discuss, a few generalisations
are perhaps permissible. I would mention three concrete differences without suggesting that my
statement is exhaustive. First, the doctrine of proportionality may require the reviewing court to assess
the balance which the decision maker has struck, not merely whether it is within the range of rational or
reasonable decisions. Secondly, the proportionality test may go further than the traditional grounds of
review inasmuch as it may require attention to be directed to the relative weight accorded to interests and
considerations. Thirdly, even the heightened scrutiny test developed in R v Ministry of Defence, Ex p
Smith [1996] QB 517, 554 is not necessarily appropriate to the protection of human rights. It will be
recalled that in Smith the Court of Appeal reluctantly felt compelled to reject a limitation on homosexuals
in the army. The challenge based on article 8 of the Convention for the Protection of Human Rights and
Fundamental Freedoms (the right to respect for private and family life) foundered on the threshold
required even by the anxious scrutiny test. The European Court of Human Rights came to the opposite
conclusion: Smith and Grady v United Kingdom (1999) 29 EHRR 493. The court concluded, at p 543, para
138:
'the threshold at which the High Court and the Court of Appeal could find the Ministry of Defence
policy irrational was placed so high that it effectively excluded any consideration by the domestic
courts of the question of whether the interference with the applicants' rights answered a pressing
social need or was proportionate to the national security and public order aims pursued,
principles which lie at the heart of the court's analysis of complaints under article 8 of the
Convention.'
In other words, the intensity of the review, in similar cases, is guaranteed by the twin requirements that
the limitation of the right was necessary in a democratic society, in the sense of meeting a pressing social
need, and the question whether the interference was really proportionate to the legitimate aim being
pursued.
"28. The differences in approach between the traditional grounds of review and the proportionality
approach may therefore sometimes yield different results. It is therefore important that cases involving
Convention rights must be analysed in the correct way. . . ."
This approach contrasts sharply with that adopted in the authorities on which the appellant
based his submission. In Chahal, on applications for both habeas corpus and judicial review,
there was no effective judicial enquiry into the legality of the applicant's detention, and this
was of even greater importance where the applicant faced the risk of torture or inhuman or
degrading treatment: (1996) 23 EHRR 413, paras 132, 150-151. In Tinnelly the issue of
conclusive certificates had effectively prevented any judicial determination of the merits of
the applicants' complaints: (1998) 27 EHRR 249, para 77.
34. The appellant contended that even if, theoretically, judicial review offered a means of
challenging an allegedly wrongful refusal of authorisation to disclose, it was in practice an
unavailable means since private lawyers were not among those to whom disclosure could
lawfully be made under section 7(3)(a), and a former member of the service could not be
expected to initiate proceedings for judicial review without the benefit of legal advice and
assistance. I would for my part accept that the fair hearing guaranteed by article 6(1) of the
convention to everyone in the determination of their civil rights and obligations must
ordinarily carry with it the right to seek legal advice and assistance from a lawyer outside
the government service. But this is a matter to be resolved by seeking official authorisation
under section 7(3)(b). The service would at that stage, depending on the nature of the
material sought to be disclosed, be fully entitled to limit its authorisation to material in a
redacted or anonymised or schematic form, to be specified by the service; but I cannot
envisage circumstances in which it would be proper for the service to refuse its
authorisation for any disclosure at all to a qualified lawyer from whom the former member
wished to seek advice. If, at the hearing of an application for judicial review, it were
necessary for the court to examine material said to be too sensitive to be disclosed to the
former member's legal advisers, special arrangements could be made for the appointment
of counsel to represent the applicant's interests as envisaged by the Court of Appeal
in Secretary of State for the Home Department v Rehman [2000] 3 WLR 1240, 1250-1251,
paras 31-32.
35. There is one further safeguard which deserves mention. By section 9(1) of the OSA
1989 the consent of the Attorney General is required before any prosecution is instituted for
an offence under (among other sections) sections 1(1) and 4(1) and (3). The appellant
submitted that this is not an effective safeguard since there are no criteria to govern the
giving of consent. Successive Directors of Public Prosecutions, acting under the general
superintendence of the Attorney General, have, however, published codes for the guidance
of crown prosecutors, and the practice of the Attorney General is to follow this guidance,
although he may of course take a broader view of the public interest. The tests laid down
comprise a merits or evidential test, requiring a realistic prospect of securing a conviction,
and a public interest test. The Attorney General will not give his consent to prosecution
unless he judges prosecution to be in the public interest. He is unlikely to consent if the
disclosure alleged is trivial or the information disclosed stale and notorious or the facts are
such as would not be thought by reasonable jurors or judges to merit the imposition of
criminal sanctions. The consent of the Attorney General is required as a safeguard against
ill-judged or ill-founded or improperly-motivated or unnecessary prosecutions.
36. The special position of those employed in the security and intelligence services, and
the special nature of the work they carry out, impose duties and responsibilities on them
within the meaning of article 10 (2): Engel v The Netherlands (No 1) (1976) 1 EHRR 647,
para 100; Hadjianastassiou v Greece (1992) 16 EHRR 219, para 46. These justify what Lord
Griffiths called a bright line rule against disclosure of information of documents relating to
security or intelligence obtained in the course of their duties by members or former
members of those services. (While Lord Griffiths was willing to accept the theoretical
possibility of a public interest defence, he made no allowance for judicial review: Attorney
General v Guardian Newspapers Ltd (No 2) [1990] 1 AC 109, 269G). If, within this limited
category of case, a defendant is prosecuted for making an unauthorised disclosure it is
necessary to relieve the prosecutor of the need to prove damage (beyond the damage
inherent in disclosure by a former member of these services) and to deny the defendant a
defence based on the public interest; otherwise the detailed facts concerning the disclosure
and the arguments for and against making it would be canvassed before the court and the
cure would be even worse than the disease. But it is plain that a sweeping, blanket ban,
permitting of no exceptions, would be inconsistent with the general right guaranteed by
article 10(1) and would not survive the rigorous and particular scrutiny required to give
effect to article 10(2). The crux of this case is whether the safeguards built into the OSA
1989 are sufficient to ensure that unlawfulness and irregularity can be reported to those
with the power and duty to take effective action, that the power to withhold authorisation to
publish is not abused and that proper disclosures are not stifled. In my opinion the
procedures discussed above, properly applied, provide sufficient and effective safeguards. It
is, however, necessary that a member or former member of a relevant service should avail
himself of the procedures available to him under the Act. A former member of a relevant
service, prosecuted for making an unauthorised disclosure, cannot defend himself by
contending that if he had made disclosure under section 7(3)(a) no notice or action would
have been taken or that if he had sought authorisation under section 7(3)(b) it would have
been refused. If a person who has given a binding undertaking of confidentiality seeks to be
relieved, even in part, from that undertaking he must seek authorisation and, if so advised,
challenge any refusal of authorisation. If that refusal is upheld by the courts, it must,
however reluctantly, be accepted. I am satisfied that sections 1(1) and 4(1) and (3) of the
OSA 1989 are compatible with article 10 of the convention; no question of reading those
sections conformably with the convention or making a declaration of incompatibility
therefore arises. On these crucial issues I am in agreement with both the judge and the
Court of Appeal. They are issues on which the House can form its own opinion. But they are
also issues on which Parliament has expressed a clear democratic judgment.
37. The House received and heard interesting submissions on behalf of the Newspaper
Society, nine newspapers and two television channels. But this appeal calls for decision of
no issue directly affecting the media and I think it would be undesirable to attempt to give
guidance in the context of this appeal.
38. I would dismiss the appeal. I do not think it necessary to address the specific
questions certified by the Court of Appeal. When the matter returns to the judge he will
direct the jury on the law, sum up the evidence as it then stands, identify the issues which
the jury have to decide and invite the jury to return their verdict in the ordinary way.
My Lords,
39. I have had the advantage of reading in draft the speech of my noble and learned
friend, Lord Bingham of Cornhill. I gratefully adopt his narrative of the facts and of the
legislative background. I respectfully agree with all that he has said about the decision of
the trial judge to make a preparatory ruling and the defences of duress and necessity of
circumstances. I shall concentrate on the points which lie at the heart of this case.
40. It has been obvious ever since the publication of the government's proposals for
reform in its White Paper, Reform of Section 2 of the Official Secrets Act 1911, June 1988
(Cm 408) that it was not going to be easy to reconcile its rejection of any proposal for a
general defence that a disclosure of information was in the public interest with article 10 (2)
of the European Convention for the Protection of Human Rights and Fundamental Freedoms,
which allows restrictions to be imposed upon the right to freedom of expression if, but only
if, the restriction is prescribed by law and is necessary in a democratic society in the
interests of national security.
41. The fact that the White Paper did not mention article 10 Convention right leaves one
with the uneasy feeling that, although the right of individual petition under article 25 had
been available to persons in this country since 1966, the problems which it raises were
overlooked. Many attempts were made in both Houses of Parliament to introduce a public
interest defence in one form or another when the Bill was being discussed there, but they
were all unsuccessful. The Official Secrets Act 1989, when it finally emerged from the
Parliamentary process, contained no such defence. The effect of section 1(1) of the Act,
construed according to the ordinary principles of statutory interpretation, is that any
unauthorised disclosure of information, documents or articles relating to security or
intelligence by anyone who is or has been a member of the security and intelligence
services is an offence, irrespective of whether or not its disclosure is or is likely to be
harmful to the interests of national security.
42. The coming into force of the Human Rights Act 1998 has revived interest in the
apparent lack of harmony between section 1(1) of the 1989 Act and article 10(2) of the
Convention. There appears to be general agreement among those writers who have
commented on the issue that it is likely to be difficult to reconcile them. For
example, Clayton and Tomlinson, The Law of Human Rights (2000), p 1105, paras 15.261
and 15.262 state:
"The Official Secrets Act 1989 is also difficult to reconcile with Article 10. In particular, where restrictions
on freedom of expression are permissible without the need to prove damage, it is arguable that such
restrictions are unnecessary. Under section 1 the defendant could be liable for disclosing information
which is already in the public domain.
The 1989 Act does not include a 'public interest defence'. This contrasts with proceedings for breach of
confidence in which such a defence is available. As Feldman points out, this means that:
under all provisions of the 1989 Act criminal liability may be imposed in circumstances when no injunction
could have been obtained to restrain publication. (D Feldman, Civil Liberties and Human Rights in England
and Wales (1993), p 669)
The result of these considerations is that:
It seems likely… that… the restraints on freedom of expression resulting from the [Official Secrets Act
1989] go … further than is necessary in a democratic society. (R Stone, Textbook on Civil Liberties ( 2nd
ed, Blackstone 1997), p 184)"
43. The White Paper noted that it had been difficult to find agreement on the precise
nature of the reform: para 13. It acknowledged that there was a case for a public interest
defence, but it rejected it: para 61. It did so for two main reasons. The first was that a
central objective of the reform was to achieve maximum clarity in the law and its
application. The view was taken that a general public interest would make it impossible to
achieve such clarity. The second was that its proposals were designed to concentrate the
protection of the criminal law on information which demonstrably required its protection in
the public interest. It was recognised that what justifies the application of the criminal law is
the degree of harm to the public interest which may result: para 14. But the proposed test
of harm was not regarded as appropriate in the case of unauthorised disclosure of
information by members or former members of the security and intelligence services: para
41. The view was taken that all such disclosures are harmful to the public interest and
ought to be criminal. This was because they reduce public confidence in the services' ability
to carry out their duties effectively and loyally, and because they betray the members' duty
of secrecy about their work and the trust placed in them by people who give information to
these services. Under its proposals it would be for the courts to decide whether the
disclosure of particular information was criminal, and it was to be left to the jury to
safeguard the public interest: para 79.
44. These are powerful arguments. But they do not meet the points on which the
measure has been criticised, and there is no discussion in the White Paper of the system
under which the disclosure of information which it was in the public interest to know about
by former members of the security and intelligence services might be officially authorised.
Professor Stone points out that those who support a public interest defence do not argue
that it should permit disclosures that are harmful, and he finds it hard to accept that there
could be no circumstances in which a public interest in disclosure would outweigh the
possible damage that might be caused by it: Civil Liberties and Human Rights 3rd ed
(2000), para 5.6.6.3. He concludes that the lack of any public interest defence must make
the 1989 Act vulnerable.
45. Against this background I would approach the question which lies at the heart of this
case from a position of considerable doubt as to whether the problems which it raises have
really been faced up to by the legislature. I would place the onus firmly on those who seek
to rely on article 10(2) to show that sections 1(1) and 4(1) are compatible with the
Convention right.
46. Two points in particular must be made at the outset. The first is that the construction
that must be put on Mr Shayler's explanation for making the unauthorised disclosures with
which he has been charged must be the most favourable to him, as he has not yet had an
opportunity of giving evidence. The context is that of a preparatory hearing under section
29 of the Criminal Procedure and Investigations Act 1996, one of the purposes of which is to
identify the issues that are likely to be material at the trial. At this stage he is entitled under
article 6(2) of the Convention, as well as under the common law, to the presumption of
innocence. The second point is indicated by the jurisprudence of the Strasbourg Court. The
provisions of section 1(1) and 4(1) of the 1989 Act under which Mr Shayler has been
charged must be subjected to very close scrutiny in order to determine whether or not they
are compatible.
The explanation
47. When he was charged at Charing Cross police station after his arrest on 21 August
2000 Mr Shayler replied that he did not admit to making any disclosures which were
contrary to the criminal law, that any disclosures made by him were made in the public and
national interests and that in his defence he would rely on his right of freedom of expression
as guaranteed by the common law, the Human Rights Act 1998 and article 10 of the
Convention. He had not previously been interviewed, and he has made no other statement
to the police.
48. It is agreed in the statement of facts and issues that the bulk of the documents which
he disclosed to the "Mail on Sunday" newspaper appeared to relate to security and defence
matters and that they were classified at levels ranging from "Classified" to "Top Secret". It
is also agreed that certain of these documents included material obtained by or relating to
the interception of communications in obedience to warrants issued by the Secretary of
State under section 2 of the Interception of Communications Act 1985. But Mr Shayler does
not admit that the disclosure of any of these documents was or would be likely to be
damaging. It must be assumed in his favour at this stage, for the purposes of the public
interest argument, that none of them was of that character. It is alleged that he was paid a
substantial sum of money for his activities. But this fact also is not admitted, and I would
regard it too as something that has yet to be proved.
49. The public interest which Mr Shayler seeks to assert is the right of the public to be
provided with information which will enable it to assess whether the powers given to the
security and intelligence services are being abused and whether the services are being run
properly. He seeks to draw attention to past incidents of misconduct. His point is that,
unless the services are reformed, they will continue to be operated in a manner which
creates a danger to the public in respect of life, limb and property. At the heart of the
matter is the right of the public to make informed decisions about behaviour on the part of
those who are responsible for these services. It is the right of the public to call the
government to account wherever there is dishonesty, malpractice or inefficiency.
50. The disclosures were made by Mr Shayler to the press. I narrate that simply as a
fact, not as a ground for criticism. As Black J said in New York Times v United States (1971)
403 US 713, 739, only a free and unrestrained press can effectively expose deception in
government. Its role is to act as the eyes and ears of the people. Facts should not be
withheld from it simply on the ground that they are inconvenient or embarrassing. It is not
suggested that Mr Shayler attempted to obtain official authorisation before making the
disclosures. His position is that there were no effective steps that he could have taken
through official channels to address his concerns, or that would have resulted in his being
authorised to make the disclosures to the press. As the Court of Appeal said, there must be
some doubt as to whether authorisation would have been given by the authorities if he had
asked for it: [2001] 1 WLR 2206, 2216D, para 23. I think that it is equally doubtful whether
all the ends which he was seeking to achieve could have been achieved by addressing his
concerns to those to whom he could address them without being officially authorised.
51. I would approach this case therefore on the basis that Mr Shayler may have good
grounds for arguing that it was in the public interest that the matters which were of concern
to him should be disclosed, and that the fact that he decided to disclose his concerns to the
press is not in itself a ground for criticism.
53. Mr Robertson QC for Mr Shayler did not suggest that a public interest defence as such
could be read in to section 1(1) and 4(1) of the 1989 Act. He did suggest that the word
"lawful" should be inserted into sections 1(9) and 4(3)(a) in a way which might achieve this
result. But Moses J said that it was not possible to interpret the 1989 Act in this way: see
paras 78-81 of his judgment. Mr Crow for the Secretary of State joined with the respondent
in submitting that, if the Act is incompatible with Mr Shayler's Convention rights, it cannot
be interpreted compatibly with those rights by virtue of section 3 of the 1998 Act. I agree
that, if the legislation is incompatible with Mr Shayler's Convention rights, the position
whether it should be amended so as to remove the incompatibility must be left to
Parliament. This means that the issue of incompatibility can be addressed directly in this
case, without the distraction of trying to resolve the issue by means of the technique of
judicial interpretation.
54. Article 10(1) of the Convention states that the right to freedom of expression
includes the right to impart information and ideas without interference by public authorities.
Article 10(2) states, by way of qualification, that the exercise of this right,
"…since it carries with it duties and responsibilities, may be subject to such formalities, conditions,
restrictions or penalties as are prescribed by law and are necessary … in the interests of national
security…"
55. The wording of article 10(2) as applied to this case indicates that any such
restriction, if it is to be compatible with the Convention right, must satisfy two basic
requirements. First, the restriction must be "prescribed by law". So it must satisfy the
principle of legality. The second is that it must be such as is "necessary" in the interests of
national security. This raises the question of proportionality. The jurisprudence of the
European Court of Human Rights explains how these principles are to be understood and
applied in the context of the facts of this case. As any restriction with the right to freedom
of expression must be subjected to very close scrutiny, it is important to identify the
requirements of that jurisprudence before undertaking that exercise.
56. The principle of legality requires the court to address itself to three distinct questions.
The first is whether there is a legal basis in domestic law for the restriction. The second is
whether the law or rule in question is sufficiently accessible to the individual who is affected
by the restriction, and sufficiently precise to enable him to understand its scope and foresee
the consequences of his actions so that he can regulate his conduct without breaking the
law. The third is whether, assuming that these two requirements are satisfied, it is
nevertheless open to the criticism on the Convention ground that it was applied in a way
that is arbitrary because, for example, it has been resorted to in bad faith or in a way that is
not proportionate. I derive these principles, which have been mentioned many times in
subsequent cases, from The Sunday Times v United Kingdom (1979-1980) 2 EHRR 245,
para 49 and also from Winterwerp v The Netherlands (1979) 2 EHRR 387, 402-403, para 39
and Engel v The Netherlands (No 1) (1976) 1 EHRR 647, 669, paras 58-59 which were
concerned with the principle of legality in the context of article 5(1): see also A v The
Scottish Ministers 2001 SLT 1331, 1336L-1337B (PC).
57. The phrase "necessary … in the interests of national security" has to be read in the
light of article 18, which provides that the restrictions permitted under the Convention must
not be applied for any purpose other than those for which they have been prescribed. The
word "necessary" in article 10(2) introduces the principle of proportionality, although the
word as such does not appear anywhere in the Convention: see Handyside v United
Kingdom (1976) 1 EHRR 737, 753-755, paras 48-49. In para 49 of its judgment the court
said:
"The court's supervisory functions oblige it to pay the utmost attention to the principles characterising a
'democratic society'. Freedom of expression constitutes one of the essential foundations of such a society,
one of the basic conditions for its progress and for the development of every man…. This means, amongst
other things, that every 'formality', 'condition', 'restriction' or 'penalty' imposed in this sphere must be
proportionate to the legitimate aim pursued."
58. Applied to the circumstances of this case, this means that a restriction on the
disclosure of information cannot be said to be "necessary" in the interests of national
security unless (a) "relevant and sufficient reasons" are given by the national authority to
justify the restriction, (b) the restriction on disclosure corresponds to a "pressing social
need" and (c) it is "proportionate to the legitimate aim pursued": The Sunday Times v
United Kingdom (1979) 2 EHRR 245, para 62.
59. The principle involves a question of balance between competing interests. But it is
important to appreciate that there is a process of analysis that must be carried through. The
starting point is that an authority which seeks to justify a restriction on a fundamental right
on the ground of a pressing social need has a burden to discharge. There is a burden on the
state to show that the legislative means adopted were no greater than necessary: R v
Lambert [2001] 3 WLR 203, 220H per Lord Steyn. As Sir Sydney Kentridge QC observed in
his Tanner Lecture at Oxford, "Human Rights: A Sense of Proportion", 26 February 2001:
" 'Necessary' does not mean indispensable, but it does connote the existence of a pressing social need. . .
. It is only on the showing of such need that the question of proportionality or 'balancing' should arise."
60. The European Court has not identified a consistent or uniform set of principles when
considering the doctrine of proportionality: see Richard Clayton, "Regaining a Sense of
Proportion: The Human Rights Act and the Proportionality Principle" [2001] EHRLR 504,
510. But there is a general international understanding as to the matters which should be
considered where a question is raised as to whether an interference with a fundamental
right is proportionate.
61. These matters were identified in the Privy Council case of de Freitas v Permanent
Secretary of Ministry of Agriculture, Fisheries, Lands and Housing [1999] 1 AC 69 by Lord
Clyde. He adopted the three stage test which is to be found in the analysis of Gubbay CJ
in Nyamirai v National Social Security Authority [1996] 1 LRC 64, where he drew on
jurisprudence from South Africa and Canada: see also R (Daly) v Secretary of State for the
Home Department [2001] 2 WLR 1622, 1634H-1635A, per Lord Steyn; R (Pretty) v Director
of Public Prosecutions [2001 ] 3 WLR 1598, 1637A-C. The first is whether the objective
which is sought to be achieved - the pressing social need - is sufficiently important to justify
limiting the fundamental right. The second is whether the means chosen to limit that right
are rational, fair and not arbitrary. The third is whether the means used impair the right as
minimally as is reasonably possible. As these propositions indicate, it is not enough to
assert that the decision that was taken was a reasonable one. A close and penetrating
examination of the factual justification for the restriction is needed if the fundamental rights
enshrined in the Convention are to remain practical and effective for everyone who wishes
to exercise them.
62. It is plain that the first requirement of the principle of legality is satisfied in this case,
because the restrictions on the fundamental right are set out in sections 1 and 4 of the 1989
Act. We are dealing here with a statutory scheme for the protection of information relating
to the security and intelligence services. In order to see whether the second and third
requirements relating to accessibility, precision and lack of arbitrariness are satisfied it is
necessary to look more closely at that scheme.
63. Although there is no general public interest defence, the restriction on disclosure is
certainly not a blanket restriction. The offences which are created by section 1(1) and
section 4(1) of the 1989 Act both relate only to the disclosure of information, documents or
other articles to which those sections apply "without lawful authority". The meaning of the
phrase "lawful authority" is explained by section 7, which defines the circumstances in which
the disclosure of any information to which the Act applies may be made with lawful
authority. The relevant provision in the case of someone in Mr Shayler's position, who is no
longer a Crown servant as he is no longer a member of the security or intelligence services,
is section 7(3). It provides:
"For the purposes of this Act a disclosure made by any other person is made with lawful authority if, and
only if, it is made -
(a) to a Crown servant for the purposes of his functions as such; or
(b) in accordance with an official authorisation."
64. The expression "Crown servant" is defined in section 12(1). It includes a Minster of
the Crown, any person employed in the civil service of the Crown, any constable and any
person who is a member or employee of a prescribed body or a body of a prescribed class
or is the holder of a prescribed office. The word "prescribed" means prescribed by an order
made for the purposes of that subsection: see section 12(3). Opportunities also exist for
disclosure through their civil service staff to the Security Service Commissioner appointed
under section 4 of the Security Service Act 1989, the Commissioner for the Secret
Intelligence Service under section 8 of the Intelligence Services Act 1994, the Commissioner
appointed under section 7 of the Interception of Communications Act 1985 and the
Intelligence and Security Committee. I do not think that a person who has read the relevant
provisions of these statutes and the orders made under them can be said to have been left
in any doubt as to wide range of persons to whom an authorised disclosure may be made
for the purposes of their respective functions without having first obtained an official
authorisation. Section 2(2)(b) of the Security Service Act 1989 imposes a duty on the
Director General of the Security Service to secure that disclosures are made for the
discharge of the service's functions. In Esbester v United Kingdom (1994) 18 EHRR CD 72,
74 the Commission rejected an argument that the fact that the guidelines relating to the
Director-General's supervision of information obtained by the Security Service were
unpublished meant that they were not sufficiently accessible to the individual.
65. In this connection it should be noted that Mr Shayler signed a declaration on leaving
the service in which he acknowledged that his attention had been drawn to the Official
Secrets Acts and the consequences that might follow any breach, and that he understood he
was liable to be prosecuted if he disclosed either orally or in writing any information or
material which had come into his possession as a result of his employment as a Crown
servant on terms requiring it to be held in confidence unless he had previously obtained the
official sanction in writing of the service by which he was appointed. He also acknowledged
that to obtain such sanction "two copies of the manuscript of any article, book, play, film,
speech or broadcast, intended for publication, which contains such information or material
shall be submitted to the Director General." In fact, the class of person from whom official
authorisation may be obtained in terms of section 7(5) of the Official Secrets Act 1989 is
very wide.
66. Whether making use of the opportunities of disclosure to Crown servants would have
been a practical and effective means of addressing the points which Mr Shayler wished to
raise is another matter. The alternative, which requires the seeking of an official
authorisation duly given by a Crown servant, is not further explained in the Act. It too
requires more careful examination. I shall have to return to these points once I have set the
scene for their examination more precisely.
67. The objective which is sought to be achieved by the Act is to safeguard national
security by preventing the disclosure to unauthorised persons of information relating to the
work of the security and intelligence services. Long before the horrific events of 11
September 2001 in New York and Washington it was recognised by the European Court of
Human Rights that democratic societies are threatened by highly sophisticated forms of
espionage and by terrorism. The court held that they have to be able to take measures
which will enable them to counter such threats effectively: Klass v Germany (1978) 2 EHRR
214, para 48. But it stressed in the same case that it must be satisfied that there exist
adequate and effective guarantees that such measures will not be abused: para 50. An
assessment of their adequacy and effectiveness depends on all the circumstances of the
case, such as the scope and duration of the possible measures, the grounds required for
ordering such measures, the authorities competent to permit, carry out and supervise such
measures, and the kind of remedy provided by the national law.
68. So it is not enough for the authorities to show in general terms that a restriction on
disclosure is needed in the interests of national security. There is, of course, an obvious risk
that unauthorised disclosures will impair the efficiency of the work done by the security and
intelligence services. Lives may be put at risk, sources of information compromised,
operations undermined and vital contacts with friendly foreign intelligence agencies
terminated. These points need not be elaborated. It is clear that the state is entitled to
impose restrictions on the disclosure of information by members or former members of
those services who have had access to information relating to national security, having
regard to their specific duties and responsibilities and the obligation of discretion by which
they are bound: Leander v Sweden (1987) 9 EHRR 433, para 59; Hadjianastassiou v
Greece (1993) 16 EHRR 219, paras 45-47. The margin of appreciation which is available to
the contracting states in assessing the pressing social need and choosing the means of
achieving the legitimate aim is a wide one: Leander v Sweden, para 59; Esbester v United
Kingdom(1994) 18 EHRR CD 72, 74. The special nature of terrorist crime, the threat which
it presents to a democratic society and the exigencies of dealing with it must also be
brought into account: Murray v United Kingdom (1994) 19 EHRR 193, para 47.
69. The problem is that, if they are to be compatible with the Convention right, the
nature of the restrictions must be sensitive to the facts of each case if they are to satisfy
the second and third requirements of proportionality. The restrictions must be rational, fair
and not arbitrary, and they must impair the fundamental right no more than is necessary.
70. As I see it, the scheme of the Act is vulnerable to criticism on the ground that it lacks
the necessary degree of sensitivity. There must, as I have said, be some doubt as to
whether a whistle-blower who believes that he has good grounds for asserting that abuses
are being perpetrated by the security or intelligence services will be able to persuade those
to whom he can make disclosures to take his allegations seriously, to persevere with them
and to effect the changes which, if there is substance in them, are necessary. The integrity
and energy of Crown servants, as defined in section 12(1) of the Official Secrets Act 1989,
of the commissioners and members of the Intelligence and Security Committee is not in
question. But one must be realistic, as the Court of Appeal recognised. Institutions tend to
protect their own and to resist criticism from wherever it may come. Where this occurs it
may require the injection of a breath of fresh air from outside before institutional defects
are recognised and rectified. On the other hand, the sensitivity and effectiveness of this
system has not been tested, as Mr Shayler chose not to make use of any of these
opportunities.
71. The official authorisation system provides the final opportunity. It too has not been
tested by Mr Shayler. But it must be effective, if the restrictions are not to be regarded as
arbitrary and as having impaired the fundamental right to an extent that is more than
necessary. Here too there must be some doubt as to its adequacy. I do not regard the fact
that the Act does not define the process of official authorisation beyond referring in section
7(5) to the persons by or on behalf of whom it is to be given as a serious defect. The
European Court of Justice has held that article 17 of the Staff Regulations, which requires an
official of the Commission of the European Communities to obtain prior permission for the
publication of material dealing with the work of the Commission, is compatible with the right
of freedom of expression in article 10: Connolly v Commission of the European
Communities (Case C-274/99), 6 March 2001. Members and former members of the
security and intelligence services are unlikely to be in doubt as to whom they should turn
for this purpose, and common sense suggests that no further formalities require to be laid
down: see paras 64-65 above. The defect lies in the fact that the Act does not identify the
criteria that officials should bear in mind when taking decisions as to whether or not a
disclosure should be authorised.
72. But the scheme of the Act does not stand alone. Any decision to decline an official
authorisation will be subject to judicial review. The European Court of Human Rights has
recognised, in the context of a complaint of lack of impartiality in breach of the article 6(1)
Convention right, the value which is to be attached to a process of review by a judicial body
that has full jurisdiction and provides the guarantees of that article: Bryan v United
Kingdom (1995) 21 EHRR 342, 360-361, paras 44 and 46; Kingsley v United Kingdom The
Times, 9 January 2001 (Application No 35605/97), 7 November 2000; Porter v
Magill [2002] 2 WLR 37, 80A-F. I would apply that reasoning to the present case. An
effective system of judicial review can provide the guarantees that appear to be lacking in
the statute. Two question then arise. First, there is a procedural point. The list of Crown
servants in section 12(1), to whom disclosures may be made under section 7(3)(a) without
an official authorisation, does not include those to whom the applicant may wish to turn for
legal assistance. The second is a point of substance. Is the process of judicial review
capable of providing the intensity of review that is needed to satisfy the requirements of the
Convention right?
73. The procedural point can, I think, be met by the authorisation system itself with
judicial review with regard to it as the ultimate safeguard. Each case will have to be taken
on its own facts, but the basic principle is that everyone is entitled to a lawyer of his own
choosing in the determination of his civil rights and obligations or of any criminal charge
against him. This is a matter of express provision in article 6(3)(c) in the case of a person
who has been charged with a criminal offence. At the stage when authorisation is being
sought the matter to be determined still lies within the scope of the person's civil rights and
obligations. But he is nevertheless entitled to a fair hearing under article 6(1). I think that it
follows that he has an implied right to legal assistance of his own choosing, especially if his
dispute is with the state. Access to legal advice is one of the fundamental rights enjoyed by
every citizen under the common law.
74. It was suggested to your Lordships that, if the matter was particularly sensitive,
authorisation could be given on condition that the person who is to provide legal assistance
agrees to be notified under section 1(6) of the Act that he is subject to the provisions of
section 1(1). That solution carries with it the risk of criminal sanctions in the event of any
breach of the statutory restriction, and it would be open to objection on Convention grounds
if freedom of choice was at risk of being inhibited. But the same objection is unlikely to be
present if all that is sought is the giving of undertakings sufficient to ensure that any
information is properly safeguarded.
75. As for the point of substance, it has now been recognised that, although there is an
overlap between them, a greater intensity of review is available under the proportionality
approach to issues relating to alleged breaches of Convention rights than is the case where
the review is conducted on the traditional Wednesbury grounds: see R (Daly) v Secretary of
State for the Home Department[2001] 2 WLR 1622, per Lord Bingham of Cornhill at p
1634A and Lord Steyn at p 1635D. As Lord Steyn explained in that case at p 1635D-H, the
doctrine of proportionality may require the reviewing court to assess the balance which the
decision maker has struck, not merely whether it is within the range of rational or
reasonable decisions. It may also require attention to be directed to the relative weight
which is to be accorded to different interests and considerations. It is, above all, important
that cases involving Convention rights are analysed in the right way.
76. As Lord Steyn acknowledged in his judgment in Daly [2001] 2 AC 532, 546, much
useful guidance on the difference between the traditional grounds of judicial review and the
proportionality approach can be found in the work of academic public lawyers on this
subject. Professor David Feldman points out in his essay, "Proportionality and the Human
Rights Act 1998", in The Principle of Proportionality in the Laws of Europe edited by Evelyn
Ellis (1999), pp 123-124 that it is necessary first clearly to understand the place which the
doctrine of proportionality occupies in the structure of analysis under the Human Rights Act
1998: see also David Feldman, Civil Liberties and Human Rights in England and Wales 2nd
ed (2002), pp 55-57. As Professor Feldman explains, the principle is relevant only at a very
late stage in the analysis of a case, when the court has decided that that a Convention right
has been interfered with and that the justification offered by the State has a basis in
domestic law and was or may have been for a legitimate purpose. At the end of the process
of reasoning, where there is doubt about the justifiability of an established infringement of a
Convention right, the principle allows the Court to balance the reasons for and against
regarding the infringement as justifiable. At p 134 of his essay he made these points which
have a particular bearing on the present case:
"In some cases, then, no balancing of rights against security will be permitted. Even where non-absolute
rights are in issue, the careful balancing required by a doctrine of proportionality should become a major
check on the acceptability of claims to the shield of national security, both in relation to the existence of
threats to national security and their significance in relation to the interference with rights in the particular
case. There will be some cases in which the national security considerations are so sensitive and important
that the courts will still decline to intervene, but the doctrine of proportionality should be able to operate
(giving appropriate but not unquestioning weight to national security) whenever the court is not satisfied
that it ought to treat the particular type of national security consideration as being of such overriding
sensitivity and importance as to make the decision in respect of it essentially non-justiciable."
77. Professor Jeffrey Jowell QC has also emphasised the importance of the carefully
constructed set of criteria which the process of analysis involves. In "Beyond the Rule of
Law: Towards Constitutional Judicial Review" [2000] PL 671, 679 he explains that a test for
proportionality is more sophisticated than that undertaken in English administrative law. As
he puts it, the administrative law test is not rooted in any particular criteria but is, by and
large, a test as to whether relevant considerations have been properly weighed or balanced.
As for proportionality, it is a test of constitutionality. It is both too simple and wrong to
equate it with a merits test, but it involves more than a heightened scrutiny of the decision
in question:
"It starts by asking whether the breach is justifiable in terms of the aims it seeks. Some Convention rights
can only be violated for a specific purpose (such as national security) and therefore other aims would not
be legitimate, whatever their rationale. It then proceeds to consider whether in reality those aims are
capable of being achieved. Spurious or impractical aims will not suffice. It then goes on to consider
whether less restrictive means could have been employed. The breach must be the minimum necessary.
Finally it asks whether the breach is necessary (not merely desirable or reasonable) in the interest of
democracy. Only a 'pressing social need' can justify the breach of a fundamental right."
78. In Smith and Grady v United Kingdom (1999) 29 EHRR 493, 543, para 138 the
European Court said that the threshold of review had been placed so high in that case by
the High Court and the Court of Appeal that it effectively excluded any consideration by the
domestic courts of the question whether the interference with the applicants' rights
answered a pressing social need or was proportionate to the national security and public
order claims pursued by the Ministry of Defence policy which placed a limitation on
homosexuals in the army. It is now clear that, if the approach which was explained and
approved in Daly [2001] 2 AC 532 is adopted, the more precise method of analysis which is
provided by the test of proportionality will be a much more effective safeguard.
79. So I would hold that, where a refusal of official authorisation under section 7(3)(b) to
disclose information is in issue, the court should address the following questions: (1) what,
with respect to that information, was the justification for the interference with the
Convention right? (2) if the justification was that this was in the interests of national
security, was there was a pressing social need for that information not to be disclosed? and
(3) if there was such a need, was the interference with the Convention right which was
involved in withholding authorisation for the disclosure of that information no more than
was necessary. This structured approach to judicial control of the question whether official
authorisation should or should not be given will enable the court to give proper weight to
the public interest considerations in favour of disclosure, while taking into account at the
same time the informed view of the primary decision maker. By adopting this approach the
court will be giving effect to its duty under section 6(1) of the Human Rights Act 1998 to act
in a way that is compatible with the Convention rights: see para 58 above.
80. The question is whether the scheme of the Act, safeguarded by a system of judicial
review which applies the test of proportionality, falls within the wide margin of discretion
which is to be accorded to the legislature in matters relating to national security especially
where the Convention rights of others such as the right to life may be put in
jeopardy: Leander v Sweden (1987) 9 EHRR 433, para 59; Chassagnou v France (2000) 29
EHRR 615, paras 112-113. I do not think that it can be answered without taking into
account the alternatives.
81. It has not been suggested that the disclosure of information relating to the work of
the security and intelligence services should be unrestricted. The European Court has held
that a democratic state is entitled to impose a duty of discretion on civil servants, on
account of their status provided that a fair balance is struck between their fundamental right
to freedom of expression and the legitimate interests of the state: Vogt v Germany (1995)
21 EHRR 205, para 53. On the one hand there is the system of control laid down by section
7(3) the Act, which permits disclosure to Crown servants as defined in section 12(1) for the
purposes of their functions as such but not otherwise unless the disclosure is officially
authorised. As part of this system undertakings to abide by it are given by members of the
security and intelligence services on taking up their employment, so that they are left in no
doubt about the restrictions. On the other there is a system of individual decision as to what
it is in the public interest to disclose. This is subject to control of wider publication by the
court on the grounds discussed in Attorney General v Guardian Newspapers (No 2) [1990] 1
AC 109. It would be subject also to the imposition of the criminal sanction, if there was a
general defence to an unauthorised disclosure on public interest grounds and the
prosecution could prove that there was no public interest to be served by the disclosure.
82. It was suggested in the course of the argument that a contrast should be drawn
between judicial review of a decision to withhold authorisation and the factors to be taken
into account where an injunction is sought to prevent the publication of disclosed material.
Reference was made to Lord Griffiths' speech in Attorney General v Guardian Newspapers
Ltd (No 2) [1990] 1 AC 109, 273A-B where he said that, while the court cannot brush aside
claims that publication will imperil national security, it must examine and weigh against the
countervailing public interest of freedom of speech and the right of people in a democracy to
be informed by a free press. The suggestion was that judicial review on
traditional Wednesbury grounds would fall short of the degree of scrutiny which the court
can bring to bear in injunction cases. But once the full scope and intensity of judicial review
of individual decisions to withhold official authorisation on proportionality grounds is
recognised, there is parity on this point between the two systems. The essential difference
between the two systems is between the taking of decisions on public interest grounds
before disclosure on the one hand and taking those decisions after disclosure on the other.
83. It is plain that these two alternatives are not exactly two sides of the same coin. One
system of control depends ultimately on judicial review of decisions taken beforehand by
administrators. Control under the other system would depend ultimately on decisions taken
after the event by judges and juries in the criminal process. There is a choice to be made,
and it seems to me that the choice of a system which favours official authorisation before
disclosure subject to judicial review on grounds of proportionality is within the margin of
discretion which ought to be accorded to the legislature.
84. In favour of that choice there are a number of important factors. However well
intentioned he or she may be, a member or former member of the security or intelligence
services may not be equipped with sufficient information to understand the potential impact
of any disclosure. It may cause far more damage than the person making the disclosure
was ever in a position to anticipate. The criminal process risks compounding the potential
for damage to the operations of these services, if the prosecution have to prove beyond
reasonable doubt the damaging nature of the disclosures.
85. As Mr Crow for the Secretary of State pointed out, there is for this reason a serious
risk that disclosures of security and intelligence material would go unprosecuted if the strict
controls of section 1(1) and 4(1) of the 1989 Act were not in place. This is not a new point,
as it was mentioned in the White Paper: see para 39. And it has to be borne in mind that a
successful prosecution will do nothing to remedy the damage that a disclosure of security or
intelligence information may have caused. Damage already done may well be irreparable,
and the gathering together and disclosure of evidence to prove the nature and extent of the
damage may compound its effects to the further detriment of national security. I think
therefore that there is in the end a strong case for insisting upon a system which provides
for the matter to be addressed by requiring that official authorisation be obtained by former
members of the security and intelligence services, if necessary after judicial review of any
refusal on grounds of proportionality, before any disclosures are made by them other than
to Crown servants of information, documents or other articles to which sections 1(1) and
4(1) of the Act apply.
Conclusion
86. For these reasons, and for those given by my noble and learned friend, Lord Bingham
of Cornhill, with which I agree, I would hold that the provisions of the 1989 Act under which
Mr Shayler has been charged are not incompatible with his article 10 Convention right. I
would dismiss the appeal.
LORD HUTTON
My Lords,
87. I have had the advantage of reading in draft the speech of my noble and learned
friend, Lord Bingham of Cornhill. For the reasons which he gives I agree that the judge,
Moses J, was fully entitled to hold a preparatory hearing pursuant to section 29 of the
Criminal Procedure and Investigations Act 1996 and that the judge acted within his powers
in the course of that hearing. I further agree that on ordinary principles of construction
sections 1 and 4 of the Official Secrets Act 1989 do not permit a defendant to raise a
defence that the information which he disclosed without lawful authority was disclosed by
him in the public interest when those sections are considered without regard to article 10 of
the European Convention for the Protection of Human Rights and Fundamental Freedoms
("the Convention").
88. Therefore I turn to consider the principal issue which arose before your Lordships,
which is whether this construction infringes the provisions of article 10. Article 10(1)
provides:
"Everyone has the right to freedom of expression. This right shall include freedom to hold opinions and to
receive and impart information and ideas without interference by public authority and regardless of
frontiers. This article shall not prevent States from requiring the licensing of broadcasting, television or
cinema enterprises."
89. The appellant submitted that the prohibitions imposed by sections 1 and 4 and his
prosecution under those sections infringe his right to impart information about the Security
Service of which he was formerly a member without interference by public authority. He
further submitted that the infringement is the more serious because the information which
he disclosed was given by him to the press, and the freedom of the press to receive
information of public interest and to publish it is one of the great bulwarks of democracy.
90. I commence the consideration of these submissions and the submissions of the
Crown by observing, as did Bingham LJ in Attorney-General v Guardian Newspapers Ltd
(No. 2) [1990] 1 AC 109, 213 (the Spycatcher Case), that they represent a clash between
two competing aspects of the public interest. On the one hand there is the assertion by the
appellant of the public interest in freedom of speech and the exercise of that freedom by
those who give information to the press so that the press may publish it and comment on it
for the public benefit. On the other hand there is the reliance by the Crown on the public
interest in the maintenance of the secrecy of the work of the Security Service so that it can
operate effectively to protect national security. Both interests are valid and important and it
is for the courts to resolve the clash of interests and to decide how the balance is to be
struck.
91. In carrying out this function in the present case the courts must look for guidance to
the terms of article 10 and also to the decisions of the European Court of Human Rights in
applying that article to the cases which have come before it.
92. Article 10 itself recognises in express terms that there will be clashes between the
right to impart information without interference by public authority and the interests of
national security and that in some circumstances the interests of national security must
prevail and article 10(2) provides:
"The exercise of these freedoms, since it carries with it duties and responsibilities, may be subject to such
formalities, conditions, restrictions or penalties as are prescribed by law and are necessary in a democratic
society, in the interests of national security, territorial integrity or public safety, for the prevention of
disorder or crime, for the protection of health or morals, for the protection of the reputation or rights of
others, for preventing the disclosure of information received in confidence, or for maintaining the authority
and impartiality of the judiciary."
The wording of article 10(2) directs attention to a number of matters and requirements
and I propose to consider them in turn.
93. Article 10(2) recognises that the exercise of the freedoms set out in article 10(1)
carries with it duties and responsibilities which may give rise to restrictions. It is clear that
in its decisions determining whether restrictions on the freedom of expression are justified
under article 10(2) the European Court recognises that the particular position which a
person holds and the work which he carries out may impose special duties and
responsibilities upon him. In Engel v Netherlands (No 1)(1976) 1 EHRR 647 the European
Court found there had been no violation of article 10. In that case two soldiers had been
committed to a disciplinary unit for having taken part in the publication and distribution of a
writing tending to undermine discipline. The court stated, at para 100 of its decision:
"The court doubtless has jurisdiction to supervise, under the Convention, the manner in which the
domestic law of the Netherlands has been applied in the present case, but it must not in this respect
disregard either the particular characteristics of military life (para 54 in fine above), the specific 'duties'
and 'responsibilities' incumbent on members of the armed forces, or the margin of appreciation that article
10(2) like article 8(2), leaves to the Contracting States."
And at para 102-103 the court stated:
"Mr Dona and Mr Schul allege a dual breach of articles 10 and 14 taken together. They stress that a
civilian in the Netherlands in a comparable situation does not risk the slightest penalty. In addition, they
claim to have been punished more severely than a number of Netherlands servicemen, not belonging to
the V.V.D.M., who had also been prosecuted for writing or distribution material likely to undermine
military discipline.
On the first question, the court emphasises that the distinction at issue is explicable by the differences
between the conditions of military and of civil life and, more specifically, by the 'duties' and
'responsibilities' peculiar to members of the armed forces in the field of freedom of expression."
94. In Hadjianastassiou v Greece (1993) 16 EHRR 219 the applicant, a serving officer,
was in charge of a project for the design and production of a guided missile and he
submitted a report to the air force on the missile on which he had been working. The
following year he communicated to a private company another technical study on guided
missiles which he had prepared himself. He was convicted and sentenced for having
disclosed military information relating to the design and produce of guided missiles to a
private company. The domestic court concluded that although the disclosed study differed
from the one used by the air force, nonetheless some transfer of technical knowledge had
inevitably occurred. The European Court found that there had been no violation of article
10.
"It is also necessary to take into account the special conditions attaching to military life and the specific
'duties' and 'responsibilities' incumbent on the members of the armed forces. The applicant, as the officer
at the KETA in charge of an experimental missile programme, as bound by an obligation of discretion in
relation to anything concerning the performance of his duties.
In the light of these considerations, the Greek military courts cannot be said to have overstepped the
limits of the margin of appreciation which is to be left to the domestic authorities in matters of national
security. Nor does the evidence disclose the lack of a reasonable relationship of proportionality between
the means employed and the legitimate aim pursued ."
95. In the present case also there were special conditions attached to life in the Security
Service and there were special duties and responsibilities incumbent on the appellant
whereby, unlike the great majority of other citizens, he was prohibited by statute from
disclosing information about his work or about the actions of others engaged in the same
work. Moreover these duties and responsibilities were specifically acknowledged and
accepted by the appellant. The agreed statement of facts in the present case states:
"The appellant was a member of the Security Service ('the Service') from November 1991 to October
1996. At the outset of his service he signed an Official Secrets Act 1989 ('OSA') declaration acknowledging
the confidential nature of documents and other information relating to security or intelligence, defence or
international relations that might come into his possession as a result of his position; he also signed an
acknowledgement that he was under a contractual obligation not to disclose, without authority, any
information that came into his possession by virtue of his employment. On leaving the Service he signed a
further OSA declaration acknowledging that the provisions of the Act continued to apply to him
notwithstanding the termination of his appointment, and that the same requirements of confidentiality
continued to apply to any information, documents or other articles relating to security or intelligence,
defence or international relations which might have come into his possession as a result of his previous
employment."
Therefore in considering whether the restrictions contained in sections 1 and 4 of the 1989
Act were permissible under article 10(2) it is relevant to take into account that the appellant
was subject to particular duties and responsibilities arising from his membership of the
Security Service.
96. In my opinion the restrictions and penalties to which the appellant was subject are
prescribed by law. The terms of sections 1 and 4 of the 1989 Act are clear. Each section
prohibits the disclosure of information "without lawful authority" and section 7(3) of the Act
provides:
"For the purposes of this Act a disclosure made by any other person [which includes a former member of
the Security Service] is made with lawful authority if, and only if, it is made—
(a) to a Crown servant for the purposes of his functions as such; or
(b) in accordance with an official authorisation."
Section 12(1) defines who is a "Crown servant":
"In this section 'official authorisation' and 'official restriction' mean, subject to subsection (6) below, an
authorisation or restriction duly given or imposed by a Crown servant or government contractor or by or
on behalf of a prescribed body or a body of a prescribed class."
It is also relevant to note that the declaration which the appellant signed on leaving the
Security Service stated that in order to obtain the official sanction of the Service to publish
any material two copies of the manuscript of the work containing such information should
be submitted to the Director General.
97. The judgments of the European Court have established that these words contain two
requirements. First, the restrictions on the imparting of information must pursue a
legitimate aim and, secondly, the requirements must be necessary in a democratic society.
In addition the reasons given by the national authority to justify the restrictions must be
relevant and sufficient under Article 10(2): see The Sunday Times v United Kingdom (1979)
2 EHRR para 62, Barthold v Germany (1985) 7 EHRR 383 para 55 and Lingens v
Austria (1986) 8 EHRR 407 para 39.
A legitimate aim
98. The function of the Security Service is to protect national security against threats
from espionage, terrorism and sabotage and from actions intended to overthrow or
undermine parliamentary democracy (see section 1 of the Security Service Act 1989). In
order to carry out this function effectively I consider it to be clear that the Security Service
must operate under and be protected by a cloak of secrecy. This view is in conformity with
the judgment of the European Court in Vereniging Bluf Weekblad v The Netherlands (1995)
20 EHRR 189 which related to the restriction on a publication of a report prepared by the
BVD, the internal security service of the Netherlands. The court stated, at paras 35 and 36
of its decision:
"The court recognises that the proper functioning of a democratic society based on the rule of law may call
for institutions like the BVD which, in order to be effective, must operate in secret and be afforded the
necessary protection. In this way a state may protect itself against the activities of individuals and groups
attempting to undermine the basic values of a democratic society.
In view of the particular circumstances of the case and the actual terms of the decisions of the relevant
courts, the interferences were unquestionably designed to protect national security, a legitimate aim
under article 10(2)."
Therefore I consider that the restrictions imposed by sections 1 and 4 of the 1989 Act were
imposed for a legitimate aim.
99. As regards the second requirement, the judgments of the European Court have also
established that a restriction which is necessary in a democratic society must be one which
is required by a pressing social need and is proportionate to the legitimate aim pursued. On
these issues the appellant advanced two principal arguments. One argument was that whilst
there are many matters relating to the work of the Security Service which require to be kept
secret in the interests of national security, there are other matters where there is no
pressing need for secrecy and where the prohibition of disclosure and the sanction of
criminal punishment are a disproportionate response. An example of such a matter would be
where a political figure in the United Kingdom had been under surveillance for a period a
considerable number of years ago. It was submitted that the disclosure of such information
could not constitute any impairment of national security or hinder in any way the efficient
working of the Security Service.
100. I am unable to accept this submission. It has been recognised in decisions in this
jurisdiction that the disclosure of any part of the work or activities of the Security Service by
a member or past member would have a detrimental effect upon the Service and its
members because it would impair the confidence of the members in each other and would
also impair the confidence of those, whether informers or the intelligence services of other
states, who would entrust secret information to the Security Service of the United Kingdom
on the understanding and expectation that such information would never be revealed to the
outside world. As Lord Nicholls of Birkenhead stated in Attorney General v Blake [2001] 1
AC 268, 287E:
"It is of paramount importance that members of the service should have complete confidence in all their
dealings with each other, and that those recruited as informers should have the like confidence.
Undermining the willingness of prospective informers to co-operate with the services, or undermining the
morale and trust between members of the services when engaged on secret and dangerous operations,
would jeopardise the effectiveness of the service. An absolute rule against disclosure, visible to all, makes
good sense."
101. Moreover the appellant's submission is advanced on the basis that it would be for
the individual member or past member of the Security Service who wished to make public a
particular piece of information to decide himself whether its disclosure would or would not
be damaging to the work of the Service. But such a decision could not safely be left to that
individual because he may not have a full appreciation of how that piece of information fits
into a wider picture and of what effect the disclosure might have on other aspects of the
work of the Service of which he is unaware or of which he lacks a full appreciation.
Moreover there is the risk that on some occasions the individual making the decision may be
motivated in varying degrees by desire for money or by spite or by some similar emotion.
102. The second submission advanced by the appellant was that the restrictions
contained in sections 1 and 4 of the 1989 Act were too wide and were therefore
disproportionate because they prevented a member or past member of the Security Service
from revealing to the public through the press or other sections of the media information
that the Security Service had engaged in illegal activities or that its work was conducted in
an incompetent and disorganised way. The appellant submitted that the disclosure of such
matters was required in the public interest, because unless such matters were disclosed the
public would be unable to demand that steps should be taken to stop such conduct and to
ensure that the work of the service was lawfully and competently carried out.
103. In answer to this submission the Crown made the reply that under section 7(3)(a)
there are a considerable number of senior and responsible Crown servants to whom the
appellant could have gone with his concerns and with a request that the conduct of which he
complained should be investigated and that, if established, appropriate steps should be
taken to punish it or to stop it. If he were concerned about unlawful activity he could have
given information to the Attorney General, the Director of Public Prosecutions or the
Commissioner of the Metropolitan Police. If he were concerned about incompetence or
maladministration he could have brought his concerns to any one of the wide range of
Crown servants, including Government ministers and senior civil servants who are listed in
section 12(1) of the 1989 Act.
104. The appellant's response to this reply by the Crown was that if members of the
Security Service have deliberately carried out illegal actions (it may be with the approval of
their superior officers) which they consider to be necessary to further the work of the
Service it is probable that complaints to law enforcement officers or to senior civil servants
or to a Government minister would not be acted upon or would be met by the eventual
response that the activities complained of had been investigated and that no wrongdoing
had been discovered. He also submitted that senior civil servants or ministers might be
reluctant to investigate complaints of incompetence or maladministration.
"Both in general and in relation to the question of subsequent notification, the applicants have constantly
invoked the danger of abuse as a ground for their contention that the legislation they challenge does not
fulfil the requirements of article 8(2) of the Convention. While the possibility of improper action by a
dishonest, negligent or over-zealous official can never be completely ruled out whatever the system, the
considerations that matter for the purposes of the court's present review are the likelihood of such action
and the safeguards provided to protect against it.
The court has examined above (at paras 51 to 58) the contested legislation in the light, inter alia, of these
considerations. The court notes in particular that the G 10 contains various provisions designed to reduce
the effect of surveillance measures to an unavoidable minimum and to ensure that the surveillance is
carried out in strict accordance with the law. In the absence of any evidence or indication that the actual
practice followed is otherwise, the court must assume that, in the democratic society of the Federal
Republic of Germany, the relevant authorities are properly applying the legislation in issue."
106. In the present case there is no suggestion in the agreed statement of facts that the
appellant sought to place his concerns before the Director General of the Security Service or
before the Home Secretary or any other Crown servant. Therefore there is no evidence that
the persons to whom the appellant could have made complaints would not have considered
and, if necessary, investigated them in an honest and proper way and taken steps to
remedy any wrongs revealed. Accordingly there is no basis for concluding that the
safeguard provided by the ability to make such complaints are inadequate to protect the
public interest. In my opinion the reasoning of Moses J, at para 54 of his judgment, was
correct and fully in accordance with the judgment of the European Court in Klass [1978] 2
EHRR 214:
"I accept that, in general, a restriction on disclosure cannot be justified as being proportionate without
regard to the public interest in the particular disclosure. However, that proposition must be considered in
the context of the statutory scheme in the instant case. There is no blanket ban on disclosure by a former
member of the Security services. Where a former member of a security service seeks to expose illegality
or avert a risk of injury to persons or property, he is entitled to approach any Crown servant identified in
section 12(1) of the OSA 1989 for the purposes of that Crown servant's functions (see section 7(3)). It is
not therefore correct to say that a restriction is imposed irrespective of the public interest in disclosure. If
there is a public interest in disclosure, it is, at the very least, not unreasonable to expect at least one of
the very large number identified to recognise the public interest, if it is well founded, and to act upon it."
107. Moreover, if complaints to Crown servants were to prove fruitless and the appellant
considered that the public interest required that he should disclose the information in his
possession about alleged wrongdoing or incompetence to the press or other sections of the
media the Crown argued that he would have another course open to him. This would be to
apply, pursuant to section 7(3)(b), for official authorisation to disclose the information to
the public. If his complaints to official quarters had been fruitless and if official authorisation
were not granted, the appellant could apply to the High Court for a judicial review of the
refusal to give official authorisation.
108. The appellant submitted that such an application would be fruitless. He argued that
in order to present his case in an effective way to the High Court it would be necessary for
him to make disclosure to his own lawyers and to the judge of the information which he
wished to bring to the attention of the public, but the refusal of official authorisation (which
was the subject matter of his complaint) would prevent such disclosure.
109. In considering this argument it is necessary to take account of the judgment of the
European Court in Tinnelly & Sons Ltd v United Kingdom (1998) 27 EHRR 249. The principal
point decided in that case was that a certificate issued pursuant to statute by the Secretary
of State that an act was done for the purpose of safeguarding national security cannot
exclude access to a court to determine a dispute as to a citizen's rights: the right
guaranteed by article 6(1) "cannot be displaced by the ipse dixit of the executive" (see para
77). But the court also recognised that the right of access to a court may be subject to
limitations in the interests of national security provided that the very essence of the right is
not impaired and that there is a reasonable relationship of proportionality between the
means employed and the aims sought to be achieved (see para 72). The court also noted
that in other contexts it had been found possible to modify judicial procedures in such a way
as to safeguard national security concerns about the nature and sources of intelligence
information and yet accord the individual a substantial degree of procedural justice (see
para 78).
110. In Jasper v United Kingdom (2000) 30 EHRR 441 the European Court again
recognised that national security may require certain information not to be disclosed and
stated that the fact that the issue of whether there should be disclosure was monitored by a
judge was an important safeguard which could lead to the conclusion that there had not
been a violation of article 6(1). The court stated, at paras 52 and 56:
"However, as the applicant recognised, the entitlement to disclosure of relevant evidence is not an
absolute right. In any criminal proceedings there may be competing interests, such as national security or
the need to protect witnesses at risk of reprisals or keep secret police methods of investigation of crime,
which must be weighed against the rights of the accused. In some cases it may be necessary to withhold
certain evidence from the defence so as to preserve the fundamental rights of another individual or to
safeguard an important public interest. However, only such measures restricting the rights of the defence
which are strictly necessary are permissible under article 6(1). Moreover, in order to ensure that the
accused receives a fair trial, any difficulties caused to the defence by a limitation on its rights must be
sufficiently counterbalanced by the procedures followed by the judicial authorities. ….
The fact that the need for disclosure was at all times under assessment by the trial judge provided a
further, important, safeguard in that it was his duty to monitor throughout the trial the fairness or
otherwise of the evidence being withheld."
111. In the light of these principles stated by the European Court I consider that if the
appellant were refused official authorisation to disclose information to the public and applied
for judicial review of that decision, a judge of the High Court would be able to conduct an
enquiry into the refusal in such a way that the hearing would ensure justice to the appellant
and uphold his rights under article 6(1) whilst also guarding against the disclosure of
information which would be harmful to national security. The intensity of the review,
involving as it would do Convention rights, would be greater than a review conducted under
the Wednesbury principle: see per Lord Steyn in R (Daly) v Secretary of State for the Home
Department [2001] AC 532, 547 D-G.
112. In a recent judgment of the Divisional Court in The Queen on the application of
Crown Prosecution Service v Acton Youth Court (22 May 2001), after referring to Jasper v
United Kingdom (2000) 30 EHRR 441, Rowe and Davis v United Kingdom (2000) 30 EHRR
1, and Fitt v United Kingdom (2000) 30 EHRR 480, Lord Woolf CJ said that "…. the European
Court of Human Rights is prepared to accept the obvious need in limited circumstances for
the courts to protect in the public interest immunity from production of documents. ….".
113. It would not be appropriate or practicable in this speech to specify the steps which a
judge, before whom an application for judicial review was brought, should take to achieve
the objective of giving substantial protection to the Convention rights of a past member of
the Security Service in a way which would not result in the disclosure of information which
would be harmful to national security. But just as it is possible to devise a procedure to be
followed in the Crown Court for upholding a claim to public interest immunity whilst not
impairing the essential rights of the accused under article 6(1), so I consider that the High
Court could devise a procedure to achieve a similar objective in applications for judicial
review of a refusal of official authorisation. A possible course might be for the judge to
appoint a special counsel to represent the interests of the person seeking disclosure. This
procedure was referred to by Lord Woolf, MR, in his judgment in the Court of Appeal
in Secretary of State for the Home Department v Rehman [2000] 3 WLR 1240, 1250, para
31, where an issue of national security arose:
"As it was possible that part of the hearing would have to be in closed session, Mr Nicholas Blake appeared
at the request of the court. The Act of 1997 makes no provision for a special advocate on an appeal.
However, it seemed to us that, if it was necessary for the court in order to dispose justly of the appeal to
hear submissions in the absence of Mr Rehman and his counsel, under the inherent jurisdiction of the
court, counsel instructed by the Treasury Solicitor, with the agreement of the Attorney-General, would be
able to perform a similar role to a special advocate without the advantage of statutory backing for this
being done. A court will only hear submissions on a substantive appeal in the absence of a party in the
most extreme circumstances. However, considerations of national security can create situations where this
is necessary. If this happens, the court should use its inherent power to reduce the risk of prejudice to the
absent party so far as possible …."
114. Another possible course might be for the past member of the Security Service, as a
preparatory step before instituting an application for judicial review, to seek official
authorisation to disclose the information only to a specified solicitor and counsel, and in the
course of his submissions on behalf of the Crown Mr Sweeney QC stated that he was
instructed to say that if such an application for authorisation were made it would be looked
at sympathetically. If authorisation for such restricted disclosure were refused the past
member could seek judicial review of that refusal.
115. There would, of course, be no substance in the argument by the Crown that the
appellant would have a remedy in judicial review to challenge an improper refusal of
authorisation to make disclosure to the public, if the right to apply for judicial review was
merely a formal right where the application would be bound to fail because the applicant
could place no information before the court to support it. But, notwithstanding the
difficulties which could arise in relation to placing the necessary information before the High
Court, I consider that those difficulties would not be insurmountable and that the High Court
would be able to assist the appellant to overcome those difficulties and to ensure that
justice was done to him.
116. It is to be observed that the appellant took no steps to apply for official
authorisation to publish the information which he wished to disclose to the public and for the
reasons which I have given I consider that he cannot argue that, if there had been a refusal
of authorisation, an application for judicial review would have been fruitless and would not
have provided an effective remedy.
117. Therefore I consider that sections 1 and 4 of the 1989 Act are not incompatible with
article 10. I am in agreement with Lord Bingham that the defence of necessity or duress of
circumstances did not arise for consideration in this case and, like him, I would not wish to
be taken to agree with all that the Court of Appeal said on this issue. I am also in
agreement with him that no issue directly affecting the media arises in this case and
therefore it would be undesirable to express an opinion on the interesting submissions
advanced on their behalf to the House.
My Lords,
119. For the reason given by my noble and learned friend Lord Bingham of Cornhill, I too
would dismiss this appeal.
My Lords,
120. I have had the advantage of reading in draft the opinions of my noble and learned
friends Lord Bingham of Cornhill, Lord Hope of Craighead and Lord Hutton. Save that on the
matters referred to in paragraphs 99 and 100 of Lord Hutton's opinion I would wish to
reserve my opinion as to how the balance between the requirements of national security on
the one hand and freedom of expression and freedom of the press on the other hand should
be struck, I am in full agreement with them and for the reasons they give I, too, would
dismiss this appeal.