scholarly journals Human Rights and Parliamentary Sovereignty in New Zealand

2004 ◽  
Vol 35 (2) ◽  
pp. 341 ◽  
Author(s):  
Petra Butler

The paper examines whether there was any basis for Parliament to enact section 3(2) of the Supreme Court Act 2003 in regard to human rights decisions of the Court of Appeal. The paper asks whether the Court of Appeal has indeed been "activist" in its human rights decisions. The discussion focuses on the areas where judicial activism might be suspected, firstly the filling of legislative gaps, and secondly statutory interpretation, with a special focus on implied repeal. Relevant decisions of the House of Lords under the Human Rights Act 1998 (UK) are used as a contrast to the decisions of the New Zealand Court of Appeal. The paper comes to the conclusion that the New Zealand Court of Appeal has not been activist in the area of human rights.

Author(s):  
Petra Butler

This chapter discusses the New Zealand courts' jurisprudence in regard to the interpretative provisions — sections 4, 5, and 6 — of the New Zealand Bill of Rights Act 1990. It not only gives an overview of the relevant New Zealand case law but also compares the courts' approaches to those of their UK counterparts, in particular the UK Supreme Court (formerly, the House of Lords) in regard to section 3 of the UK Human Rights Act 1998. It is argued that the perceived difference in the approaches can be explained by different contexts rather than different methodology. The chapter thereby questions the view held in New Zealand that the UK courts, and especially the Supreme Court, are more activist than the New Zealand courts.


Author(s):  
Thomas E. Webb

Essential Cases: Public Law provides a bridge between course textbooks and key case judgments. This case document summarizes the facts and decision in R v Secretary of State for the Home Department, ex parte Simms [1999] UKHL 33, House of Lords. The case considered whether the Secretary of State, and prison governors, could restrict prisoners’ access to journalists investigating alleged miscarriages of justice. In addition to the European Convention on Human Rights (ECHR) Article 10 issues this raises, Lord Hoffmann also in obiter dicta discussed the relationship between the Human Rights Act 1998, parliamentary sovereignty, and the concept of legality. The document also includes supporting commentary from author Thomas Webb.


1999 ◽  
Vol 58 (1) ◽  
pp. 1-48
Author(s):  
Richard Mullender

DEFAMATION law protects reputation while affording a significant measure of protection to freedom of expression. Valuable expressive activity is protected by, inter alia, a number of defences, including qualified privilege. In order successfully to invoke this defence, defendants who honestly believe their–factually false–statements to be true must meet two requirements. First, they must establish “an interest or a duty, legal, social, or moral”, to communicate the relevant material to another (or others). Secondly, the recipient of the material must be shown to have “a corresponding interest or duty to receive it”. (See Adam v. Ward [1917] A.C. 309, p. 334, per Lord Atkinson.) The requirements of the qualified privilege defence have recently been glossed by the Court of Appeal in Reynolds v. Times Newspapers and Others [1998] 3 W.L.R. 862 (which is on appeal to the House of Lords). While the Court can be regarded as having extended the defence's scope, the position it has staked out is not, in all respects, clear. As a result the qualified privilege defence may fail to meet the requirements of the right to freedom of expression enunciated in Article 10 of the European Convention on Human Rights (E.C.H.R.). (When the Human Rights Act 1998 comes into force, the E.C.H.R. will be an element of domestic law.)


2005 ◽  
Vol 54 (4) ◽  
pp. 907-931 ◽  
Author(s):  
Roger Masterman

Questions surrounding the legitimate extent of the judicial role have long been the source of controversy. Concerns that unelected and unrepresentative judges are ‘legislating’ rather than interpreting the law or are interfering in matters of ‘democratically endorsed’ government policy, have often been, and will continue to be, raised by academics and politicians alike. The question is one of separation of power— of the appropriate constitutional role and division of functions between the executive, judicial, and legislative branches of the United Kingdom Government. This debate has been given a new dimension by the Human Rights Act 1998 (hereafter HRA), most obviously through the courts' exercise of their power under section 3(1) of that Act—the duty to interpret primary and secondary legislation to be, as far as possible, compatible with ‘the Convention rights’. Indeed much has been made of the unique method by which the HRA reconciles the interpretative obligation under section 3(1) with the sovereignty of Parliament by way of the ‘declaration of incompatibility’ under section 4. The doctrine of parliamentary sovereignty imposes limits on the scope of section 3(1); in spite of its ‘broad and malleable’ language, which might permit ‘an interpretation which linguistically may appear strained’, it does not sanction courts to act as legislators. As Lord Nicholls of Birkenhead noted in Re S; Re W, attributing to a statutory provision ‘a meaning which departs substantially from a fundamental feature of an Act of Parliament is likely to have crossed the boundary between interpretation and amendment’. That case has been seen by some as a retreat from what has been termed the ‘far-fetched’ interpretation of section 3(1) adopted by the House of Lords in the earlier decision of R v A. Nicol, for one, has argued that Re S; Re W and Anderson taken together, clearly reject ‘the notion that “interpretations” could conflict with clear statutory words' — as R v A had arguably suggested — thereby endorsing parliamentary sovereignty, above the Convention, ‘as the country's supreme constitutional doctrine’. For it to retain its legitimacy therefore, the judicial act under section 3(1) needs to remain an exercise of ‘interpretation’: to attribute a meaning to a legislative provision ‘quite different from that which Parliament intended … would go well beyond any interpretative process sanctioned by section 3 of the 1998 Act’. It would ‘not be judicial interpretation but judicial vandalism’.


2014 ◽  
Vol 10 (4) ◽  
Author(s):  
Joanna Davidson

The Victorian Charter of Human Rights and Responsibilities Act 2006 (the Victorian Charter) was enacted 16 years after the New Zealand Bill of Rights Act (NZBORA). Like the NZBORA and the United Kingdom’s Human Rights Act 1998 (HRA), the Victorian Charter is an ordinary act of Parliament which seeks to preserve parliamentary sovereignty by limiting the courts’ ability to strike down legislation. The Victorian Charter drew heavily upon the experience of New Zealand and the United Kingdom. The Victorian Charter expressly adopts some aspects of the NZBORA and the HRA (such as the interpretative rule), rejects other aspects (such as the ability to obtain damages for breach), but also includes some provisions that are quite different from either the NZBORA or the HRA. 


Legal Studies ◽  
2005 ◽  
Vol 25 (1) ◽  
pp. 72-84 ◽  
Author(s):  

The general theme of this lecture was prompted by Ruth Bader Ginsburg, the second woman in the United States Supreme Court. To celebrate my appointment she sent me a fascinating book, Supreme Court Decisions and the Rights of Women. This set me thinking about what a similar book on House of Lords Decisions and the Rights of Women might have to say. My first thought was ‘not a lot, surely’. The two courts are very different. The Supreme Court is a constitutional court under a constitution which guarantees the equal protection of the laws. The appellate committee of the House of Lords is not a constitutional court, although the Human Rights Act 1998 has made it look a little more like one. The judicial committee of the Privy Council, however, has in practice the same composition as the House of Lords.


Author(s):  
Thomas E. Webb

Essential Cases: Public Law provides a bridge between course textbooks and key case judgments. This case document summarizes the facts and decision in R v Secretary of State for the Home Department, ex parte Simms [1999] UKHL 33, House of Lords. The case considered whether the Secretary of State, and prison governors, could restrict prisoners’ access to journalists investigating alleged miscarriages of justice. In addition to the European Convention on Human Rights (ECHR) Article 10 issues this raises, Lord Hoffmann also in obiter dicta discussed the relationship between the Human Rights Act 1998, parliamentary sovereignty, and the concept of legality. The document also includes supporting commentary from author Thomas Webb.


2003 ◽  
Vol 52 (3) ◽  
pp. 549-586 ◽  
Author(s):  
David Bonner ◽  
Helen Fenwick ◽  
Sonia Harris-Short

The case law generated in just over two years' operation of the Human Rights Act 1998 (HRA), enables stocktaking rather than definitive appraisal.1 This article begins by recalling the markedly contrasting roles in United Kingdom law of the European Convention on Human Rights (ECHR) before and after the HRA, the better to appreciate judicial approaches to, and use of, the HRA in the areas surveyed. The second part of the article focuses on judicial use of key provisions of the HRA to interpret primary legislation said to conflict with one or more Convention rights and on judicial use of the power to make a declaration of incompatibility. It considers a selection of decisions, principally of the House of Lords and the Court of Appeal, which raise important points regarding the purpose and scope of the HRA as a constitutional document and indicate judicial uncertainty as to how the HRA should be conceptualised, interpreted and applied. With this emerging picture of a cautious and uncertain judiciary in mind, the final two sections of the article give detailed consideration to the post-HRA jurisprudence within two discrete areas of English law. Part III explores the impact of the HRA on judicial approaches to the clash between the freedoms of expression and assembly, on the one hand, and public order, on the other. Part IV considers the ‘use and abuse’ of the HRA and of Article 8 ECHR in private law family disputes. Finally, certain tentative conclusions as to the perhaps disappointing story of the HRA so far, will be proffered.


Author(s):  
Thomas E. Webb

Essential Cases: Public Law provides a bridge between course textbooks and key case judgments. This case document summarizes the facts and decision in R v Secretary of State for the Home Department, ex parte Brind [1991] UKHL 4, House of Lords. The case considered whether the Secretary of State could restrict the editorial decisions of broadcasters as regards the way in which messages from spokespersons for proscribed organizations were broadcast. The United Kingdom was a signatory to the European Convention on Human Rights (ECHR) when the case was heard, but the case also predates the passage of the Human Rights Act 1998. There is discussion of the legal position of the ECHR under the common law in the United Kingdom, and the concept of proportionality in United Kingdom’s domestic jurisprudence. The document also includes supporting commentary from author Thomas Webb.


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