THE IMMIGRATION ACTS
Heard at Field House, London | Decision Promulgated on |
on 08 December 2015 and
20 January 2016
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………………………………… |
Before
The Hon. Mr Justice McCloskey, President
Upper Tribunal Judge Blum
Between
MS
Appellant
and
SECRETARY OF STATE FOR THE HOME DEPARTMENT
Respondent
Representation
Appellant: Ms K Cronin and Ms B Poynor, of Counsel, instructed by ATLEU
Respondent: Mr T Wilding, Senior Home Office Presenting Officer
(i) Having regard to the decision of the ECtHR in Rantsev v Cyprus and Russia [2010] 51 EHRR 1, Article 4 ECHR, which outlaws slavery, servitude and forced or compulsory labour, encompasses also human trafficking.
(ii) Trafficking decisions are not immigration decisions within the compass of the 2002 Act, with the result that judicial review provides the appropriate mechanism for direct challenge.
(iii) Tribunals must take into account, where relevant, a decision that an appellant has been a victim of trafficking.
(iv) Where satisfied that a negative trafficking decision is perverse, Tribunals are empowered to make their own decision on whether an appellant was a victim of trafficking.
(v) Tribunals are also empowered to review a trafficking decision on the ground that it has been reached in breach of the Secretary of State’s policy guidance.
(vi) While, in principle it seems that other public law misdemeanours can also be considered by Tribunals, this issue does not arise for determination in the present appeal.
(vii) Tribunals may well be better equipped than the Competent Authority to make pertinent findings relating to trafficking.
(viii) The procedural obligations inherent in Article 4 ECHR are linked to those enshrined in the Trafficking Convention, Articles 10(2) and 18 in particular.
(ix) Any attempt to remove a trafficking victim from the United Kingdom in circumstances where the said procedural obligations have not been discharged will normally be unlawful.
ANONYMITY
Pursuant to Rule 14 of the Tribunal Procedure (Upper Tribunal) Rules 2008 (SI2008/2698) we make an Anonymity Order. Unless the Upper Tribunal or Court orders otherwise, no report of any proceedings or any form of publication thereof shall directly or indirectly identify the original Appellant. This prohibition applies to, amongst others, all parties.
DECISION AND REASONS
I ntroduction
The origins of this appeal are traceable to a decision made on b ehalf of the Secretary of State for the Home Department ( hereinafter the “ Secretary of State ”) , dated 01 August 2013, whereby the application of the Appellant, a national of Pakistan aged 20 years, for asylum, was refused. This was followed by a decision dated 02 August 2013 to remove the Appellant from the United Kingdom . By its decision dated 03 December 2013, the First-tier T ribunal (the “ FtT ”) dismissed the Appellant’s ensuing appeal on both asylum and human rights grounds. Following a s omewhat convoluted procedural course, permission to appeal to the Upper Tribunal was granted on 23 June 2014. By its decision dated 20 August 2014, this Tribunal (differently constituted) held that the decision of the FtT was vitiated by material error of law and ordered that same be set aside accordingly. We hereby re - make such decision.
Error of Law
We draw attention to, firstly, [42] of the error of law decision of this Tribunal:
“[The FtT] misdirected [itself] , firstly in omitting to make a clear finding as to whether or not the Appellant was a victim of trafficking, secondly in concluding that it was sufficient to ascribe to the Appellant a lower position on a spectrum of trafficking and in omitting clearly to evaluate the nature of the Appellant’s employment in the United Kingdom and whether even if freely chosen by him it was nonetheless exploitative. ”
Fundamentally, there was a failure to make any finding on the issues of whether the Appellant was trafficked to the United Kingdom and/or re-trafficked within the United Kingdom . In setting aside the decision of the FtT, Upper Tribunal Judge Goldstein expressly preserved certain findings, namely the FtT’s “ positive credibility findings that related to the Appellant’s circumstances in the United Kingdom …. ”
The Trafficking Decision s
Under United Kingdom law decisions o n trafficking under the Council of Europe Convention on Action Against Trafficking in Human Beings (the “ Trafficking Convention ”) are made by the soi - disant “Competent A uthority” (hereinafter “ the Authority ”) under the so-called National Referral Mechanism (the “ NRM ”), which operates under the auspices of the Home Office and, hence, the Secretary of State. We elaborate on this framework in [19] et seq . On 29 November 2012 one of the national social services agencies made a formal referral of the Appellant to the authority under the NRM. On 0 1 February 201 3, the A uthority made a decision that the Appellant, then aged 16 years, was not a victim of trafficking. While accepting that he had been recruited, transported, transferred to and harboured in the United Kingdom and had been the victim of deception, the A uthority did not accept that the Appellant had been brought to the United Kingdom for the purpose of exploitation. The basis of this was that the Appellant had not made the case that he was coerced into working or that his freedom of movement had been curtailed.
In its decision the A uthority stated, inter alia :
“ In looking at the circumstances of your client’s passage to the United Kingdom it is accepted that he has been subject to an act of recruitment, transportation, transfer, harbouring or receipt as it is not only accepted that his step-grandmother did accompany him to the United Kingdom, it is also acce pted that he may have been deceiv ed as to the true purpose of being brought to the United Kingdom. Your client has clearly stated that he was told by his step-grandmother he was being brought to the United Kingdom to study …..
Given that he was not enrolled in any form of study or education following his arrival it is accepted that he was potentially deceived as to the true purpose of being brought to the United Kingdom . ”
The conclusion made was that there were no reasonable grounds for believing that the Appellant was a victim of trafficking within the compass of the Trafficking Convention ( infra ) .
By a further decision dated 02 April 2014, postdating the decision of the FtT, the A uthority notified the outcome of its reconsideration of its dismissal of the Appellant’s trafficking claim. Focusing on the Appellant’s life subsequent to his arrival in the United Kingdom, the A uthority reasoned that , as the Appellant had received a salary, was able to rent accommodation and pay his bills and had mov ed around and work ed in different jobs, he was not exploited and “ …. was never under the control or influence of the alleged traffickers in the UK ”. Next, the A uthority adopted the finding of the FtT that the Appellant had not been the victim of forced labour in the United Kingdom as there had been no threat or menace to him. At the height of the Appellant’s case he may have been subjected to a degree of manipulation which did not amount to exploitation via forced labour. Rather, the Appellant worked “ out of pure economic necessity ”.
Next, the A uthority reconsidered the Appellant’s claim of having been trafficked to the United Kingdom by his step-grandmother. It reasoned that even if this were accepted the Appellant was not under the control of his traffickers when first encountered by the police in September 2012, with the result that he did not require time to recover from any trafficking experience. It is appropriate to reproduce this somewhat enigmatic passage in full:
“ It is noted that you were not under the control of your alleged traffickers when you were encountered by the police in September 2012. It is therefore not considered that you would require further time to recover fr om your alleged trafficking situation. Furthermore, it is considered that as you left the accommodation that was provided to you by [WY] when you worked in the Kebab shop in August 2013, the benefit of a 45 day period of reflection and recovery would be limited in relation to the time you have already had to recover. Therefore it is not accepted that you require a period of time to recover from the influence of your traffickers. ”
The decision maker then highlighted that the Appellant was not suffering from any medical condition and had not made any complaint to the police, continuing:
“ In conclusion, for the reasons given above, even if your account of your alleged experiences was accepted, it is considered that you are still not a victim of trafficking for the purpose of the Convention and at the present time. ”
The Asylum Refusal Decision
This is dated 01 August 2013. In the text the nub of the Appellant’s claim is framed thus:
“ If returned to Pakistan , you fear that your life is in danger from your step-grandmother and her son because they have taken your father’s property from you, even though this is in your name. You fear your grandmother’s nephews as well because they are criminals involved in dealing drugs and kill people. ”
Continuing, the author suggests that a land dispute described by the Appellant was the reason for him leaving Pakistan and that the fear arising out of such dispute is not based upon a fear of persecution in Pakistan for a Convention reason. The decision maker then highlighted the inconsistent ages ( eight or ten ?) put forward by the Appellant relating to the death of his father and his inconsistent replies relating to siblings (none or two ? ). These two factors were considered to damage his credibility. The decision maker then concluded, highlighting the absence of any documentary proof, that the Appellant’s assertion of a land dispute with his step grandmother could be neither accepted nor rejected. Further, the Appellant’s claim of fearing death at the hands of his step-grandmother and her nephews was rejected as not worthy of belief. In the next section of the decision, the conclusion of the Authority that the Appellant had been neither trafficked to, nor trafficked in, the United Kingdom was adopted.
The decision maker’s conclusions were that the benefit of the doubt would not be given to the Appellant regarding the unsubstantiated aspects of his claim; he was not considered to be at risk upon returning to Pakistan because of the rejection of his account of a land dispute with his step-grandmother; further and alternatively internal relocation would be reasonable and viable and there was considered to be a sufficiency of state protection available to him in Pakistan; he was not considered entitled to humanitarian protection; he did not qualify for leave to remain under the Immigration Rules; and his return to Pakistan would not infringe Article 3 or Article 8 ECHR.
Decision of the FtT
The trafficking issue features in the decision of the FtT. Its findings on this issue include the following:
“[72] It seems to me that whether or not there was any intention to bring him to the UK to exploit him as opposed to assisting him to find work and support himself in the knowledge that he was not legally entitled to do so, he was a child at the time he was brought here and under the control of adults. ”
“[73] I find on his own evidence that he was not subjected to any physical threats or actual violence to make him work and that when he was not happy with his situation he was able to leave without attracting any adverse attention. I do not find that this amounted to ‘forced labour’ but accept in reality he would have had little choice but to work on the black market as he had no permission to work and needed money to survive. He was a child surrounded by adults from his own country and at the very least would have been heavily influenced by them. Clearly he was vulnerable to exploitation. ”
Having referred to the evidence of an expert witness, the FtT continued:
“[74] … In her opinion the Appellant ….. would not have been able to facilitate his own travel and employment. In her expert opinion the intermediaries arranged the jobs and accommodation and thus exploited his vulnerability as a child to use him as cheap and illegal labour. It was her opinion that victims of trafficking are often accommodated at the site of the premises making them dependent on exploiters …. Living and usually [working] behind the scenes away from public view so that they can be controlled and isolated from the general public. I am satisfied that at least initially this was the position for the Appellant. However, his detailed account of events in the UK includes reference to him deciding himself to move closer to his work on one occasion …. and to his own decisions to move from one place to another ….. albeit with the assistance of others working in the industry. He was not sleeping at the work premises. He was not at any time subjected to violence or threats. At the most he may have been manipulated. ”
“[75] … .. I find as a fact that he was assisted by adult males of Pakistani origin working in the same industry to move around the country to different jobs. I find as a fact that he was not in fear of those people but rather felt he had no choice but to work in these establishments in order to survive. His experiences in the UK may well have been an improvement to the life he had been experiencing in Pakistan before he came here. It is perhaps understandable that he would regard these people as friends and not understand exploitative relationships. He may have been manipulated by them or alternatively they may simply have been helping him to survive as an illegal immigrant. ”
“ It was his view that he was paying money to people who arranged for his jobs and accommodation as returning a favour. He accepted long working hours and irregular payments as a fact of life. ”
“[77] … He was to some degree exploited by adults in the catering industry who knew he did not have legal status and permission to work and that he was under 18. Given his apparent freedom to move around and choose to rent somewhere closer to his work and the fact that he was able to chose how to spend his money (notwithstanding he was paid below minimum wage) if he was a victim of trafficking this was very much at the lower end of the spectrum. There was no evidence that he was in any way traumatised by his experiences. ”
[ Our emphasis.]
“[78] …. It was his clear instruction to his representatives that he was not currently a victim of trafficking ….
I also take into account that since his arrest by the police he had been looked after by Social Services and having reached the age of 18 was now receiving assistance from a personal advisor in the transition to independent living …
I find as a fact that he ceased to be in a situation which might have amounted to being a victim of trafficking following his arrest in September 2012. ”
[Emphasis added.]
At this juncture we interpose the FtT’s positive finding relating to the Appellant’s credibility:
“[75] I found his very detailed SEF […….] with regard to his history in the UK to be a truthful account of his activity up to the point when he was arrested by the police. ”
We juxtapose with this finding the absence of any finding in the decision of the FtT that any aspect of the Appellant’s case was to be disbelieved.
Framework of this appeal
A case management review was convened for the purpose of clarifying and delineating the framework of this appeal . This was stimulated by the panel’s perception of a significant lack of clarity relating to the issues of fact and law to be determined . Th is resulted in th e parties’ joint suggested formulation of the issues in the follow ing term s:
First, does this Tribunal have jurisdiction to determine whether the Appellant is a victim of trafficking?
If this Tribunal is so empowered and proceeds to make a finding of trafficking, what is the impact, if any, of such finding on the removal decision under appeal?
Is there any distinction in law between a victim of trafficking and a victim of forced labour?
If this Tribunal finds the Appellant to be a victim of trafficking, does the Secretary of State have continuing obligations to him under Articles 12 – 14 of the Trafficking Convention? And would the removal of the Appellant from the United Kingdom violate A rticle 16 thereof ?
In Refugee Convention terms, will the Appellant, in the event of returning to Pakistan , be at risk of persecution as a member of a particular social group (former victims of trafficking and/or his family) or of treatment proscribed by Article 3 ECHR?
Following reflection , w e are content to adopt this formulation of the issues and the appeal shall be determined accordingly .
Factual Matrix
(10) This has three main components: the uncontentious facts, the preserved findings of the FtT and our further findings on contentious factual issues. We interpose at this juncture the Appellant’s chronology, which embraces both the factual background and the (regrettably) rather protracted history of this appeal:
CHRONOLOGY | |
Date | Event |
2 June 1995 | A born in Attock , Pakistan , eldest child of 3 |
1999 | Moved to Jhelum , Pakistan |
2005 ff | Father passed away Mother re-married and took younger daughters with her leaving behind A with step-grandmother Step-grandmother and her family ‘land grab’ and traffick A for forced labour |
8 June 2011 | Application made for A for a visit visa to the UK as an accompanied child |
20 June 2011 | Visit visa granted and valid until 20 December 2011 |
22 July 2011 | A entered UK at the age of 16 accompanied by KF, step-grandmother Passport taken away. Passed to a man upon arrival Trafficked for the purposes of labour exploitation / forced labour |
September 2012 | A Arrested by police and referred to LB TowerHamlets
|
25 September 2012 | Claimed asylum |
October 2012 | Referral of A to Child Abuse Investigation Command SCD5 by Mohamed Obsiye, social worker LB TowerHamlets |
22 October 2012 | SCD5 Information Requests x 5 by LB TowerHamlets on names given by A of those who trafficked him |
13 November 2012 | Substantive asylum interview takes place R refuses to refer A to the National Referral Mechanism (NRM) |
29 November 2012 | NRM referral by LB TowerHamlets |
23 January 2013 | LB TowerHamlets Pathway Plan indicates that A would benefit from counselling and notes his headaches and lack of sleep |
1 February 2013 | NRM negative reasonable grounds decision issued |
February 2013 | Pangea Support Services Bi-Monthly Report notes A’s headaches, lack of sleep and recognises that he may require counselling |
15 February 2013 | Request for review of NRM negative decision by Fadiga & Co to UKBA
|
22 February 2013 | NRM negative decision maintained |
20 March 2013 | Letter before action in respect of NRM negative decision |
26 April 2013 | Judicial review proceeding issued in respect of NRM negative decision |
8 May 2013 | Form IHP-YP completed by LB TowerHamlets indicates that A is self-harming |
1 August 2013 | Asylum / humanitarian protection / discretionary leave to remain application refused |
18 August 2013 | A gives notice of appeal against refusal of claim |
27 November 2013 | Appeal heard by the First-tier Tribunal |
10 December 2013 | Appeal dismissed by the First-tier Tribunal |
19 December 2013 | Application for permission to appeal to the Upper Tribunal made to the First-tier Tribunal |
13 January 2014 | Permission to appeal to the Upper Tribunal refused by the First-tier Tribunal |
21 January 2014 | Application for permission to appeal to the Upper Tribunal made to the Upper Tribunal |
18 February 2014 | Permission to appeal to the Upper Tribunal refused by the Upper Tribunal |
5 March 2014 | R agrees to reconsider NRM negative reasonable grounds decision within the context of the on-going judicial review challenge to the NRM decision |
11 March 2014 | Judicial review proceedings against refusal of permission to appeal |
2 April 2014 | Negative reconsidered NRM reasonable grounds decision
|
23 April 2014 | Permission to judicially review granted by High Court |
28 April 2014 | Judicial review proceeding against the NRM negative reasonable grounds decision dated 1 February 2013 withdrawn by consent |
19 May 2014 | High Court Order quashing refusal of permission |
23 June 2014 | Upper Tribunal grant permission to appeal in light of High Court Order |
14 August 2014 | Upper Tribunal finds error of law – appeal to be re-heard |
7 October 2014 | CMRH: Upper Tribunal designate matter to be guidance case |
We recognise that certain aspects of this chronology are contentious. We shall return to this infra .
The Appellant’s family
According to the Appellant, his family comprises the following relevant members:
(i) His paternal grandfather, who died when the Appellant was aged around ten . The grandfather’s first wife was the Appellant’s grandmother. Following her demise, the grandfather married the Appellant’s step-grandmother (“KF”).
(ii) KF, the Appellant’s step-grandmother, is the step-mother of three children of the Appellant’s paternal grandfather. These three persons are the Appellant’s uncles/aunts. One of the aunts has two sons who are described consistently as the step-grand mother ’s nephews.
(iii) The Appellant’s father died when he was approximately eleven or twelve years. Subsequently, KF sponsored the marriage between the Appellant’s mother and SI, a son of KF. For some time thereafter, all of the aforementioned persons lived together in the same household.
SI is the Appellant’s paternal uncle and became his step-father subsequent to his father’s death.
When the Appellant was on a visit to a maternal aunt, his mother married SI and they and the Appellant’s sisters left the family home. The Appellant claims to have had no contact with any of them subsequently.
We shall revisit these factual issues in our findings, infra .
Preserved Findings
As noted in [2] above, in its error of law decision, this Tribunal preserved the FtT’s “ positive credibility findings that related to the Appellant’s circumstances in the United Kingdom ”. Having considered the parties’ submissions on this issue t hese, on analysis, are the following :
(i) The Appellant was conveyed to the United Kingdom by his ste p grandmother, having been deceiv ed by her into thinking that this was for the purpose of being educated.
(ii) The Appellant was a child at the material time, having just attained his 16 th birthday and he was “ under the control of adults ”.
(iii) Subsequently he was employed and went from job to job, in circumstances wherein -
“… He would have had little choice but to work on the black market as he had no permission to work and needed money to survive. ”
(iv) “ He was a child surrounded by adults from his own country and at the very least would have been heavily influenced by them. Clearly he was vulnerable to exploitation. ”
(v) The Appellant was initially exploited by adults for the purpose of using him as “ cheap and illegal labour ”.
(vi) Subsequently (at some unspecified stage) “ at the most he may have been manipulated ”.
(vii) The Appellant’s “SEF” account of his life in the United Kingdom prior to arrest by the police (in September 2012) was truthful.
(viii) The Appellant was assisted by adult males of Pakistani origin working in the same industry to move around the country from job to job and, in doing so, he “ … felt he had no choice but to work in these establishments in order to survive ”.
(ix) He paid a person for the purpose of using that person’s particulars in the event of the Appellant being encountered by the police.
(x) The Appellant “ … was to some degree exploited by adults in the catering industry …. ”
(xi) Given his movements and changes of job, “ …. if he was a victim of trafficking this was very much at the lower end of the spectrum. ”
(xii) “ I accept that he may have telephoned his step-grandmother’s home shortly after arriving in the UK when he was unhappy with his situation and that he may have been told that a lot of effort had been taken [sic] to get him to the UK and even been threatened by one of his step-grandmother’s nephews. ”
The nature of this threat was a threat to kill him.
(As regards the Appellant’s account of events in Pakistan ) “ I accept that he was a child and may not be expected to remember detail or respond in interview as an adult would be expected to do. ”
Contentious Factual Issues: Our Findings
In KS (benefit of the d oubt ) [20 14] UKUT 552 (IAC) and [2015] Imm AR 419 , the Upper Tribunal considered Article 4 of the Qualification Directive, which provides:
“ Assessment of facts and circumstances
1. Member States may consider it the duty of the applicant to submit as soon as possible all elements needed to substantiate the application for international protection. In cooperation with the applicant it is the duty of the Member State to assess the relevant elements of the application.
2. The elements referred to in of paragraph 1 consist of the applicant ' s statements and all documentation at the applicants disposal regarding the applicant ' s age, background, including that of relevant relatives, identity, nationality(ies), country(ies) and place(s) of previous residence, previous asylum applications, travel routes, identity and travel documents and the reasons for applying for international protection.
3. The assessment of an application for international protection is to be carried out on an individual basis and includes taking into account:
(a) all relevant facts as they relate to the country of origin at the time of taking a decision on the application; including laws and regulations of the country of origin and the manner in which they are applied;
(b) the relevant statements and documentation presented by the applicant including information on whether the applicant has been or may be subject to persecution or serious harm;
(c) the individual position and personal circumstances of the applicant, including factors such as background, gender and age, so as to assess whether, on the basis of the applicant ' s personal circumstances, the acts to which the applicant has been or could be exposed would amount to persecution or serious harm;
(d) whether the applicant ' s activities since leaving the country of origin were engaged in for the sole or main purpose of creating the necessary conditions for applying for international protection, so as to assess whether these activities will expose the applicant to persecution or serious harm if returned to that country;
(e) whether the applicant could reasonably be expected to avail himself of the protection of another country where he could assert citizenship.
4. The fact that an applicant has already been subject to persecution or serious harm or to direct threats of such persecution or such harm, is a serious indication of the applicant ' s well-founded fear of persecution or real risk of suffering serious harm, unless there are good reasons to consider that such persecution or serious harm will not be repeated. ”
It was held that the duty on the applicant under Article 4 to substantiate his application for international protection is a limited one. Specifically, it is limited to the situation where aspects of the applicant’s statements are not supported (ie corroborated) by documentary or other evidence. In such circumstances, the effect of Article 4(5) is that the Applicant will not need to provide corroboration where the conditions enshrined therein are cumulatively met: see [81] and [85]. Article 4(5) provides:
“ 5. Where Member States apply the principle according to which it is the duty of the applicant to substantiate the application for international protection and where aspects of the applicant’s statements are not supported by documentary or other evidence, those aspects shall not need confirmation, when the following conditions are met:
(a) the applicant has made a genuine effort to substantiate his application;
(b) all relevant elements, at the applicant’s disposal, have been submitted, and a satisfactory explanation regarding any lack of other relevant elements has been given;
(c) the applicant’s statements are found to be coherent and plausible and do not run counter to available specific and general information relevant to the applicant’s case;
(d) the applicant has applied for international protection at the earliest possible time, unless the applicant can demonstrate good reason for not having done so; and
(e) the general credibility of the applicant has been established.”
We shall adopt this approach in making our findings on contentious issues. We also give effect to the lower standard of proof, well established, in asylum cases.
Th e main contentious factual issues in the Appellant’s case are ascertainable from his cross examination. These are, in brief compass, the land owned by his deceased father; the jobs which the Appellant had before leaving Pakistan; the date of his father’s death; his step grandmother’s refusal to have him educat ed ; his mother’s remarriage; the departure of his mother, sisters and stepfather from the family home; his sojourn with an aunt in another place; his subsequent attempts to contact his mother; his relationship with his step grandmother and her two sons and, in particular, their treatment of him; the authenticity of the two marriage certificates of his mother upon which he relied and the circumstances in which he acquired these; the date appearing on his father’s death certificate; and his interaction and communications with two former friend s following his departure from Pakistan. Al l of these issues and their off shoots were probed in considerable detail at the hearing.
The Appellant’s story is certainly not perfect. The exercise of juxtaposing the accounts provided by him during interview, in his witness statement and in his testimony to the Tribunal exposes a number of inconsistencies and imperfections. The question for us is whether these defects render the core of his account unworthy of belief bearing in mind the burden and standard of proof. We have considered his various accounts with care. In evaluating his story, we have had the benefit of assessing the Appellant’s demeanour and presentation at two separate hearings. In this particular case this has proved to be a n asset of considerable value. While the Appellant had the services of an interpreter at both hearings, he readily co-operated with the Tribunal in its suggestion that he endeavour to give his evidence in English if possible. This established that he had a good command of the English language and this, in turn, facilitated our task of assessing his credibility. The Appellant made no attempt to take advantage of the protective shield which the interpreter would have provided. We were impressed by his willingness to engage with the Tribunal throughout his evidence .
Furthermore there was a notable spontaneity about the Appellant’s evidence. On occasions, unprompted, he volunteered further information. Some of this entailed correcting, enlarging or clarifying earlier answers provided by him . This reinforced his credibility. We consider that the inconsistencies and gaps in his several accounts are precisely the kind of imperfections to be reasonably expected, taking into account his youth and immaturity during the key periods and the passage of time. Furthermore, we have identified no inconsistency of note in three of the key aspects of the Appellant’s story, namely the circumstances in which he arrived in the United Kingdom , his life since arrival here and his subsequent communications with friend s in Pakistan .
This latter issue encompasses one further issue of substantial importance, namely the authenticity of the marriage certificates and the circumstances in which the Appellant acquired these. As regards the document purporting to be the certificate of the death of the Appellant’s father, we make two specific findings. First, bearing in mind that there was no frontal challenge to its authenticity, and taking into account the onerous burden of proving fraud which would be engaged if there were, we are satisfied that this is a genuine document. Further, t o hold otherwise would be contrary to our findings about the Appellant’s credibility generally. Second, having regard to th is latter consideration and in particular our finding that the Appellant’s struggle with certain dates does not undermine the core of h is story, we find that the date appe aring on the document is not inconsistent with the thrust of the Appellant’s case. The simple reality is that an unerringly precise and accurate chronology of all material events in the Appellant’s story will never be feasible. Furthermore it is perfectly conceivable that the certificate was issued some time after the death. Fundamentally, we consider the Appellant’s account to be inherently plausible.
Taking all of the above factors into account, our overarching finding is that the core elements of the Appellant’s case are believable. We shall apply the relevant legal rules to this framework accordingly.
Legal Framework
The main component of the legal framework within which this appeal is to be determined is the Council of Europe Convention on Action Against Trafficking in Human Beings (the “ Trafficking Convention ”). As explained in SHL v Secretary of State for the Home Department [ 2013] UKUT 00312 and [2013] Imm AR 875 , at [31]:
“ This is a Council of Europe measure, signed by the United Kingdom Government in 2007 and ratified [on 17 December] 20 08. It entered into force on 1 st February 2008, having received the necessary 10 ratifications. It has been ratified by the vast majority of the Council of Europe Member States. ”
In the same passage, the main features of the Convention are summarised thus:
“ Where the relevant authority has identified a victim of trafficking, the person concer ned may qualify for a residence permit under Article 14. The Convention is a comprehensive measure, focusing particularly on the protection of victims of trafficking and the safeguarding of their rights. It is also designed to prevent and deter trafficking and to prosecute the perpetrators thereof. It embraces all kinds of exploitation, sexual exploitation, forced labour and kindred abuses, whether national or transnational and irrespective of whether related to organised crime. It establishes an independent monitoring mechanism for the purpose of securing compliance with its provisions by the Parties. ”
In the United Kingdom , the Secretary of State is the competent authority ( infra ).
Following ratification on 17 December 2008, the Trafficking Convention was given effect in the United Kingdom from 01 April 2009. Unusually, it was not incorporated in legislation. Rather, it was given effect through the mechanism of Government policy. The two main policies, an “Action Plan” (March 2007) and an updated “Action Plan” (July 2008) have recently been supplanted by the composite policy document “Victims of Modern Slavery: Competent Authority Guidance (Version 2), Effective from 31 July 2015”.
The two main features of the regime thus established are the so-called “ Competent Authority ” (“ the Authority”) and the National Referral Mechanism (“ NRM ”). The former is the alter ego of the Secretary of State for the Home Department and it operates mainly through the United Kingdom Human Trafficking Centre. Various agencies have specific responsibilities in this discrete sphere. These include in particular the childrens ’ services of local authorities, the Safeguarding Children Boards, the Refugee Council and the various Police Services. The NRM, in its current incarnation, is a three stage process which, following extension with effect from 31 July 2015, now embraces victims of slavery, servitude and forced or compulsory labour as well as trafficking.
The Trafficking Convention is the central component of the legal framework. Article 4 defines “trafficking” in the following terms:
“ a. "Trafficking in human beings" shall mean the recruitment, transportation, transfer, harbouring or receipt of persons, by means of the threat or use of force or other forms of coercion, of abduction, of fraud, of deception, of the abuse of power or of a position of vulnerability or of the giving or receiving of payments or benefits to achieve the consent of a person having control over another person, for the purpose of exploitation. Exploitation shall include, at a minimum, the exploitation of the prostitution of others or other forms of sexual exploitation, forced labour or services, slavery or practices similar to slavery, servitude or the removal of organs;
b. The consent of a victim of “trafficking in human beings” to the intended exploitation set forth in subparagraph (a) of this article shall be irrelevant where any of the means set forth in subparagraph (a) have been used;
c. The recruitment, transportation, transfer, harbouring or receipt of a child for the purpose of exploitation shall be considered "trafficking in human beings" even if this does not involve any of the means set forth in subparagraph (a) of this article;
d. "Child" shall mean any person under eighteen years of age;
e. “Victim” shall mean any natural person who is subject to trafficking in human beings as defined in this article.”
In this context, it is appropriate to consider the Explanatory Report relating to the Convention. This states, at [3]:
“Trafficking in human beings , with the entrapment of its victims, is the modern form of the old worldwide slave trade. It treats human beings as a commodity to be bought and sold, and to be put to forced labour, usually in the sex industry but also, for example, in the agricultural sector, declared or undeclared sweatshops, for a pittance or nothing at all. Most identified victims of trafficking are women but men also are sometimes victims of trafficking in human beings. Furthermore, many of the victims are young, sometimes children. All are desperate to make a meagre living, only to have their lives ruined by exploitation and rapacity.”
The report continues, at [76]
“For there to be trafficking in human beings, ingredients from each of the three categories (action, means, purpose) must be present together. There is, however, an exception regarding children: under Article 4(c) recruitment, transportation, transfer, harbouring or receipt of a child for the purpose of exploitation is to be regarded as trafficking in human beings even if it does not involve any of the means listed in Article 4(a). Under Article 4(d) the word “child” means any person under 18 years of age.”
The concept s of abuse and vulnerability are explained thus, at [83]:
“By ‘ abuse of a position of vulnerability ’ is meant abuse of any situation in which the person involved has no real and acceptable alternative to submitting to the abuse. The vulnerability may be of any kind, whether physical, psychological, emotional, family-related, social or economic. The situation might, for example, involve insecurity or illegality of the victim’s administrative status, economic dependence or fragile health. In short, the situation can be any state of hardship in which a human being is impelled to accept being exploited. Persons abusing such a situation flagrantly infringe human rights and violate human dignity and integrity, which no one can validly renounce.”
In the context of this appeal there are certain other significant provisions of the Trafficking Convention. Article 10(2) provides:
“ Each Party shall adopt such legislative or other measures as may be necessary to identify victims as appropriate in collaboration with other Parties and relevant support organisations. Each Party shall ensure that, if the competent authorities have reasonable grounds to believe that a person has been victim of trafficking in human beings, that person shall not be removed from its territory until the identification process as victim of an offence provided for in Article 18 of this Convention has been completed by the competent authorities and shall likewise ensure that that person receives the assistance provided for in Article 12, paragraphs 1 and 2. ”
By Article 13(1) it is provided:
“ 1 Each Party shall provide in its internal law a recovery and reflection period of at least 30 days, when there are reasonable grounds to believe that the person concerned is a victim. Such a period shall be sufficient for the person concerned to recover and escape the influence of traffickers and/or to take an informed decision on cooperating with the competent authorities. During this period it shall not be possible to enforce any expulsion order against him or her. This provision is without prejudice to the activities carried out by the competent authorities in all phases of the relevant national proceedings, and in particular when investigating and prosecuting the offences concerned. During this period, the Parties shall authorise the persons concerned to stay in their territory.”
Article 14 states:
“1. Each Party shall issue a renewable residence permit to victims, in one or other of the two following situations or in both:
a. the competent authority considers that their stay is necessary owing to their personal situation;
b. the competent authority considers that their stay is necessary for the purpose of their co-operation with the competent authorities in investigation or criminal proceedings.
2. The residence permit for child victims, when legally necessary, shall be issued in accordance with the best interests of the child and, where appropriate, renewed under the same conditions.
3. The non-renewal or withdrawal of a residence permit is subject to the conditions provided for by the internal law of the Party.
4. If a victim submits an application for another kind of residence permit, the Party concerned shall take into account that he or she holds, or has held, a residence permit in conformity with paragraph 1.
5. Having regard to the obligations of Parties to which Article 40 of this Convention refers, each Party shall ensure that granting of a permit according to this provision shall be without prejudice to the right to seek and enjoy asylum.”
Article 15 provides:
“1 Each Party shall ensure that victims have access, as from their first contact with the competent authorities, to information on relevant judicial and administrative proceedings in a language which they can understand.
2 Each Party shall provide, in its internal law, for the right to legal assistance and to free legal aid for victims under the conditions provided by its internal law.
3 Each Party shall provide, in its internal law, for the right of victims to compensation from the perpetrators.
4 Each Party shall adopt such legislative or other measures as may be necessary to guarantee compensation for victims in accordance with the conditions under its internal law, for instance through the establishment of a fund for victim compensation or measures or programmes aimed at social assistance and social integration of victims, which could be funded by the assets resulting from the application of measures provided in Article 23.”
We shall revisit these provisions and address Article 18 separately infra .
In the growing domestic jurisprudence belonging to this field, it has been held that the threshold in play, namely that of merely suspecting without being able to prove, is particularly low: see R (Minh) v Secretary of State for the Home Department [2015] EWHC 1725 (Admin). The standard of proof applicable to this threshold is the balance of probabilities. It was further held in Minh , at [126], that the function of the Competent Authority is inquisitorial in nature.
The second element of the legal framework is Article 4 ECHR which, by virtue of the Human Rights Act 1998, is a provision of domestic law . This provides , in material part:
“ 1. No one shall be held in slavery or servitude.
2. No one shall be required to perform forced or compulsory labour.”
Third, there is Council Directive 2011/36/EU on Preventing and Combating Trafficking in Human Beings and Protecting The Victims (the “ Trafficking Directive ”). Finally, there is the United Nations Protocol to Prevent, Suppress and Punish Trafficking in Persons, Especially Women and Children (the “ Palermo Protocol ”). Since 01 November 2015 the domestic law framework has included the Modern Slavery Act 2015. By section 52 of this enactment public authorities are obliged to notify the Secretary of State if they suspect that a person is a victim of slavery or human trafficking. Various offences are created.
W e turn our attention to some of the leading judicial decisions in this field. In Ra nts ev v Cyprus and Russia [2010] 51 EHRR 1, one of the main legal issues which arose was that Article 4 ECHR does not expressly encompass human trafficking. The specific complaints before the EC t HR was that the Applicant’s daughter had been trafficked from Russia to Cyprus and that both the Russian and Cypriot authorities were in breach of Article 4. The Court acknowledged that it had not previously decided whether the proscription of slavery, servitude and forced and compulsory labour enshrined in Article 4 extended to human trafficking: see [272] – [273]. It drew on its previous decision in Siliadin v France [ 2006] 43 EHRR 16 which had, inter alia , embraced the definition of slavery in the Geneva Convention on Slavery (1926) which required the exercise of a genuine right of ownership of the victim and reduction of the status of the victim to an “object”: see [122]. In [281] the Court states:
“ The Court considers that trafficking in human beings, by its very nature and aim of exploitation, is based on the exercise of powers attaching to the right of ownership. It treats human beings as commodities to be bought and sold and put to forced labour, often for little or no payment, usually in the sex industry but also elsewhere….
It implies close surveillance of the activities of victims, whose movements are often circumscribed …
It involves the use of violence and threats against victims, who live and work under poor conditions. ”
Highlighting the threat which trafficking poses to the human dignity and fundamental freedoms of its victims and its incompatibility with democratic societies and the values expounded in the ECHR, the Court concluded that it is embraced by Article 4 ECHR: [282].
Having made this landmark conclusion, the EC t HR then turned its attention to the specific requirements of Article 4 ECHR. We summarise [283] – [289] of its judgment thus:
(a) Article 4 is on a pa r with Articles 2 and 3 as enshrining “ one of the basic values of the democratic societies making up the Council of Europe ”. It makes no provision for exceptions or derogation.
(b) The spectrum of safeguards contained in national legislation “ …. must be adequate to ensure the practical and effective protection of the rights of victims or potential victims of trafficking ”. This includes adequate criminal law measures and the need for appropriate provisions within the state’s immigration rules.
(c) Article 4 encompasses “ a specific positive obligation on Member States to penalise and prosecute effectively any act aimed at maintaining a person in a situation of slavery, servitude or forced or compulsory labour ”. This, however, is but one aspect of the state’s general undertaking to combat trafficking arising out of the Traff icking Convention and the Palerm o Protocol.
(d) Operational measures to protect victims or potential victims of trafficking may arise in certain circumstances.
(e) In common with Articles 2 and 3, Article 4 entails a procedural obligation to investigate “ situations of potential trafficking ”, which is not dependent upon a complaint from the victim.
Another important member of the developing EC t HR jurisprudence in this sphere is its decision in C N v United Kingdom [2013] 56 EHRR 24, which involved a complaint of domestic servitude infringing Article 4 ECHR. In [80], the Court made the important pronouncement that domestic servitude -
“ … involves a complex set of dynamics, involving both overt and more subtle forms of coercion, to force compliance. ”
As a result, the investigation of such complaints “ …. requires an understand ing of the many subtle ways an individual can fall under the control of another ”. In brief compass, the main criticism of the State’s investigation in this case was that it was too blunt and simplistic. Notably, the Court adjudged the International Labour Organisation ’ s indicators of forced labour as “ a valuable bench mark ”: see [35]. Notably, in its consideration of the concept of “ penalty ”, the Court acknowledged that this need not necessarily take the form of physical violence or restraint. Rather, this can assume a more subtle m antle, usually of a psychological nature, embracing conduct such as threats to denounce a victim to the police or immigration authorities: see [77].
In R v SK [2011] EWCA Crim 1691 [2013] QB 82 , the Court of Appeal highlighted that the concepts of slavery, servitude and forced or compulsory labour in Article 4 ECHR share a common denominator, namely that “ … the victim is subject to a degree of enforced control ”: see [40]. In [41], the Court emphasised the broad spectrum of conduct which may be encompassed by these different concepts:
“ One person may exploit another in many different ways. ”
Turning its attention to “ the menace of a penalty ”, the Court stated, in [42]:
“ Where ‘forced or compulsory labour’ is concerned, the menace of a penalty can be exerted in various ways. It can be direct; it can also be indirect. Constraint can be mental or physical. It can be imposed by force of circumstances. Where it is alleged that one person has been compulsorily employed by another, the level of pay he or she has received, if any, may have evidential importance. It may point to coercion; it may bear on an employee’s ability to escape from his or her employer’s control. On its own, however, a derisory level of wages is not tantamount to coercion. ”
We shall revisit th is discrete issue of compulsion infra .
As cases such as R v SK show, o ne of the interesting features of the United Kingdom jurisprudence is the combination of decisions belonging to both the civil and criminal fields. This is illustrated in Attorney General’s Reference Nos 37, 38 and 65 of 2010 [2010] EWCA Crim 2880, in which certain restaurant owners were convicted of the criminal offence of trafficking. They contested their innocence on the basis that the victims had returned to Pakistan following the expiry of their work permits and had, subsequently, returned to the United Kingdom where they resumed employment with the Defendants. The Court of Appeal made the following notable observation, in [18]:
“ The unspoken but clear explanation for the workers’ preparedness to return to the risk of further subjection and helplessness was the contrast between the economic circumstances of the families they left behind and even the degraded expectation of a job in the UK …. The return of the workers does not constitute evidence that the conditions to which [they] were subjected were acceptable but, in the circumstances of the present case, is evidence of further exploitation by the offenders of personal circumstances of which they knew they could take advantage. ”
Notably, it was further held that, having been deceived by promises of attractive wages and working conditions in the United Kingdom, the victims, all adult males –
“ … had been subjected to conditions of neglect, abuse, deprivation and economic exploitation …. [and] …..
They were not prisoners but were effectively trapped and controlled, being unable to work legally elsewhere … and being unable to leave the country and return home. ”
See [3] and [21].
The decision of the Court of Appeal in R v Connors and Others [2013] EWCA Crim 324 is especially notable for the following observations of the Lord Chief Justice on what he described as “ the troublesome crime of exploitation of labour ”, at [5]:
“The problem has been with us for some time, and has been growing. Unhappily different forms of exploitation are found in the sex industry, the construction industry, agriculture and residential care. That list is not comprehensive. Those who are exploited are always and inevitably vulnerable, and just because they are so vulnerable, profoundly reluctant to report what has happened or is happening to them. The Asylum and Immigration Act 2004 criminalised the exploitation of labour when it was connected to trafficking in human beings, but not otherwise. Therefore it did not prevent vulnerable but untrafficked individuals from being subjected to forced or compulsory labour. The Gang Masters ' Licensing Act 2004 established a system for licensing those who employed workers in specified industries. Nevertheless, this legislation, too did not address the entire problem. The end result was that many men and women continued to remain vulnerable to exploitation without any counter-balancing protection against exploitation. ”
Having noted the reform effected by section 71 of the Coroners and Justice Act 2009, the Court drew particular attention to the decision of the ECTHR in Si li adin v France and its earlier decision in SK .
In R (Atam ewan) v Secretary of State for the Home Department [2013] EWHC 2727 (Admin) and [2014] 1 WLR 1959 , the Complainant challenged a decision by the competent authority to the effect that while he may have been, historically, a victim of trafficking, he was no longer so, with the result that the Secretary of State had no legal obligations to provide protection or assistance. The Court of Appeal held that the Secretary of State’s Guidance was incompatible with the Trafficking Convention, due to a misinterpretation of the latter.
At this juncture we record that in developing their arguments Ms Cronin and Ms Poyn o r on behalf of the Appellants relied on the principle enunciated in R (Ullah) v Special Adjudicator [2004] UKHL 26 and [2004] 2 AC 323 , at [20]:
“In determining the present question, the House is required by section 2(1) of the Human Rights Act 1998 to take into account any relevant Strasbourg case law. While such case law is not strictly binding, it has been held that courts should, in the absence of some special circumstances, follow any clear and constant jurisprudence of the Strasbourg court: R (Alconbury Developments Ltd) v Secretary of State for the Environment, Transport and the Regions [2001] UKHL 23, [2003] 2 AC 295, paragraph 26. This reflects the fact that the Convention is an international instrument, the correct interpretation of which can be authoritatively expounded only by the Strasbourg court. From this it follows that a national court subject to a duty such as that imposed by section 2 should not without strong reason dilute or weaken the effect of the Strasbourg case law. It is indeed unlawful under section 6 of the 1998 Act for a public authority, including a court, to act in a way which is incompatible with a Convention right. It is of course open to member states to provide for rights more generous than those guaranteed by the Convention, but such provision should not be the product of interpretation of the Convention by national courts, since the meaning of the Convention should be uniform throughout the states party to it. The duty of national courts is to keep pace with the Strasbourg jurisprudence as it evolves over time: no more, but certainly no less.”
The further ingredient in the argument is that since the decision of the Author i ty is justiciable before this Tribunal, a challenge to such decision by judicial review is inappropriate, having regard to the well known exhaustion of alternative remedies principle.
Trafficking Issues in the IAC Tribunals
At the outset, we recall that the decisions of the Secretary of State which were challenged by appeal to the FtT were the refusal of his asylum claim and the corresponding decision to remove him from the United Kingdom . Given the date of these decisions, 01 August 2013, the statutory appeal provisions governing the two appeals which have followed and the remaking decision in which this complete Tribunal is now engaged, the relevant statutory provisions are the following:
Section 82, 2002 Act
(i) Section 82 of the Nationality, Immigration and Asylum Act 2002 (the “ 2002 Act ”) which, both before and after the reforms effected by the Immigration Act 2014, with effect from 20 October 2014, made provision for a right of appeal against the refusal of a protection claim. Prior to 20 October 2014, section 82 provided:
“ (1) Where an immigration decision is made in respect of a person he may appeal to the Tribunal.
(2) In this Part “immigration decision” means—
(a) refusal of leave to enter the United Kingdom ,
(b) refusal of entry clearance,
(c) refusal of a certificate of entitlement under section 10 of this Act,
(d) refusal to vary a person ' s leave to enter or remain in the United Kingdom if the result of the refusal is that the person has no leave to enter or remain,
(e) variation of a person ' s leave to enter or remain in the United Kingdom if when the variation takes effect the person has no leave to enter or remain,
(f) revocation under section 76 of this Act of indefinite leave to enter or remain in the United Kingdom ,
(g) a decision that a person is to be removed from the United Kingdom by way of directions under section 10(1)(a), (b), (ba) or (c) of the Immigration and Asylum Act 1999 (c. 33) (removal of person unlawfully in United Kingdom),
(h) a decision that an illegal entrant is to be removed from the United Kingdom by way of directions under paragraphs 8 to 10 of Schedule 2 to the Immigration Act 1971 (c. 77) (control of entry: removal),
(ha) a decision that a person is to be removed from the United Kingdom by way of directions under section 47 of the Immigration, Asylum and Nationality Act 2006 (removal: persons with statutorily extended leave),
(i) a decision that a person is to be removed from the United Kingdom by way of directions given by virtue of paragraph 10A of that Schedule (family),
(ia) a decision that a person is to be removed from the United Kingdom by way of directions under paragraph 12(2) of Schedule 2 to the Immigration Act 1971 (c. 77) (seamen and aircrews),
(ib) a decision to make an order under section 2A of that Act (deprivation of right of abode),
(j) a decision to make a deportation order under section 5(1) of that Act, and
(k) refusal to revoke a deportation order under section 5(2) of that Act.
(3A) Subsection (2)(j) does not apply to a decision to make a deportation order which states that it is made in accordance with section 32(5) of the UK Borders Act 2007; but–
(a) a decision that section 32(5) applies is an immigration decision for the purposes of this Part, and
(b) a reference in this Part to an appeal against an automatic deportation order is a reference to an appeal against a decision of the Secretary of State that section 32(5) applies.
(4) The right of appeal under subsection (1) is subject to the exceptions and limitations specified in this Part.”
Section 84, 2002 Act
(ii) Section 84 of the 2002 Act which, both before and after the aforementioned date, has made provision for appealing on the grounds that the removal of the Appellant from the United Kingdom would breach the United Kingdom’s obligations under the Refugee Convention and/or would breach the United Kingdom’s obligations in relation to persons eligible for humanitarian protection and/or would be unlawful under section 6 of the Human Rights Act 1998. Prior to to 20 October 2014, section 84 provided:
(1) An appeal under section 82(1) against an immigration decision must be brought on one or more of the following grounds—
(a) that the decision is not in accordance with immigration rules;
(b) that the decision is unlawful by virtue of Article 20A of the Race Relations (Northern Ireland) Order 1997 or by virtue of section 29 of the Equality Act 2010 (discrimination in the exercise of public functions etc) so far as relating to race as defined by section 9(1) of that Act;
(c) that the decision is unlawful under section 6 of the Human Rights Act 1998 (c. 42) (public authority not to act contrary to Human Rights Convention) as being incompatible with the appellant ' s Convention rights;
(d) that the appellant is an EEA national or a member of the family of an EEA national and the decision breaches the appellant ' s rights under the Community Treaties in respect of entry to or residence in the United Kingdom;
(e) that the decision is otherwise not in accordance with the law;
(f) that the person taking the decision should have exercised differently a discretion conferred by immigration rules;
(g) that removal of the appellant from the United Kingdom in consequence of the immigration decision would breach the United Kingdom ' s obligations under the Refugee Convention or would be unlawful under section 6 of the Human Rights Act 1998 as being incompatible with the appellant ' s Convention rights.
(2) In subsection (1)(d) “EEA national” means a national of a State which is a contracting party to the Agreement on the European Economic Area signed at Oporto on 2nd May 1992 (as it has effect from time to time).
(3) An appeal under section 83 must be brought on the grounds that removal of the appellant from the United Kingdom would breach the United Kingdom ' s obligations under the Refugee Convention.
(4) An appeal under section 83A must be brought on the grounds that removal of the appellant from the United Kingdom would breach the United Kingdom ' s obligations under the Refugee Convention.
The Trafficking Convention feature s in the decision of the Upper Tribunal in SHL ( supra ). One fea t ure of the matrix of the appeal to the Upper Tribunal in SHL was that the A uthority had made a formal decision that the Appellant was not a victim of trafficking. The Secretary of State, on the same date, made a separate decision rejecting the Appellant’s claim for asylum. This was challenged, unsuccessfully, by appeal to the FtT. In deciding the appeal, this Tribunal stated, at [33] :
“ …… t h ere is no right of appeal to this Tribunal against the Respondent’s trafficking decision: see Part (v) of the Nationality, Immigration and Asylum Act 2002. Secondly, the Trafficking Convention cannot be invoked as a free standing source of rights, obligations and legal effects and consequences in domestic law, as it is an unincorporated international treaty. ”
The decision continues:
“ A corollary of this principle is that a failure by a public authority to take into account the provisions of an unincorporated international treaty is not of itself a ground for impugning the exercise of a discretionary power: R v Ministry of Defence, ex parte Smith [1996] QB 517, page 558 (per Sir Thomas Bingham MR). It is, of course, established that unincorporated international instruments have a role in certain contexts, a paradigm example being the presumption that Parliament does not intend to legislate contrary to the United Kingdom ’s international obligations ….
Furthermore, a decision may be impugned where a public authority purports to apply an unincorporated international treaty provision but errs in doing so. ”
The Tribunal decided that none of these principles was of any avail to the Appellant, noting that it would have been open to him to challenge the Secretary of State’s trafficking decision by judicial review and stating, at [34]:
“ We are of the opinion that back door challenges to trafficking decisions made by the Respondent under the Trafficking Convention are not permissible in appeals of the present kind. They lie out with the competence of the First-tier and Upper Tribunals. ”
The essence of the decision was that the jurisdiction of this Tribunal is statutory and does not encompass a direct challenge of this kind.
The decision in SHL was the subject of comment by the Court of Appeal in AS (Afghanistan) v Secretary of State for the Home Department [2013] EWCA Civ 1469 and [2014] Imm AR 513 . Before turning to consider this decision in a little detail, it is appropriate to highlight two features of SHL . First, the Appellant was attempting to mount a direct, frontal challenge to the negative trafficking decision of the Authority. Second, the Secretary of State’s policy guidance did not feature in the matrix of the appeal. The Tribunal considered that this was not legally possible.
In AS ( Afghanistan ), Longmore LJ formulated the issue to be addressed in the following terms, at [1]:
“ The question in this appeal is the extent to which (if at all) Judges of the Immigration and Asylum Chamber should regard as conclusive decisions of the ‘Competent Authority’ determining that an appellant before them has or has not been a victim of trafficking. ”
There were two decisions in the matrix. The first was the Secretary of State’s decision rejecting the Appellant’s asylum claim. The second was the decision of the A uthority that the Appellant was not the victim of human trafficking. The Appellant challenged the asylum refusal decision by appeal to the FtT. The appeal was dismissed. On further appeal to the Upper Tribunal, the question arose whether the FtT had erred in law by failing to make a finding on the trafficking issue. It was held that the FtT “ ….had no jurisdiction to review the trafficking decision of the UKBA ”: see [9]. No error of law was demonstrated and the appeal was dismissed.
At [11], Longmore LJ records his acceptance of the Respondent’s submission th at a decision of the A uthority is not an immigration decision (within the meaning of the applicable legislation): “ …. and the only remedy … was by way of judicial review ”. However, the Court ruled that in immigration appeals the Tribunal is competent to take into account a positive trafficking decision where relevant to the decision under appeal (normally a removal decision). Longmore LJ continues, at [14]:
“ If the First tier Tribunal is entitled to take into account a decision that an appellant is (or has been) a victim of trafficking it seems odd that , if a perverse decision has been reached that an appellant has not been a victim of trafficking, the Tribunal cannot consider whether the facts of the case do, in fact, show that the appellant was a victim of trafficking. ”
(our emphasis)
In thus holding, the Court reasoned that the decision in Secretary of State for the Home Department v Abdi [1996] Imm AR 148 is authority for the proposition that a failure by the Secretary of State to apply her own policy is an error of law. The Court further held that there is no obligation on the appellant to challenge a negative trafficking decision by judicial review, stating at [14]:
“ The FT T Judge should consider the matter for himself. ”
The Court expressed its conclusion in the following terms, at [17]:
“ ….. First tier Tribunal j udges are competent to consider whether the Secretary of State has complied with her policy in relation to trafficking. If asked to consider that question, they should then decide whether she has in fact complied with her policy since that is (or may be) rele vant to her removal decision.
[18] …… No doubt, if a conclusive decision has been reached by the Competent Authority, First T ier Tribunals will be astute (save perhaps in rare circumstances) to allow an appellant to re-run a case already decided against him on the facts. But where, as here, it is arguable that, on the facts found or accepted, the Competent Authority has reached a decision which was not open to it, that argument should be heard and taken into account. ”
We are satisfied that in the final part of this passage the Court is referring to the standard of perversity (or Wednesbury irrationality) mentioned twice in earlier passages. The effect of the decision in AS ( Afghanistan ) is that in appeal proceedings the Appellant may, in certain circumstances, mount an indirect challenge to a negative traffic king decision of the A uthority. We are satisfied that a challenge of this kind is not confined to perversity (or irrationality) grounds. Rather, it is clear from a consideration of [12] – [18] as a whole that where a removal decision has been preceded by a negative trafficking decision made in breach of the Secretary of State’s policy guidance , the removal decision will be erroneous in law and , therefore , embraced by the “ not in accordance with the law ” ground of appeal in section 82 of the 2002 Act ( supra ). We further consider that, in principle, there is no reason why the Tribunal’s consideration of negative trafficking decisions should not encompass, in cases where appropriate, other recognised public law misdemeanours such as the intrusion of immaterial considerations, leaving material evidence or considerations out of account, procedural unfairness and bad faith.
We give effect to the approach formulated immediately above in the following way. On behalf of the Appellant it is submitted that the issue of whether the Appellant is a trafficking victim is relevant to the immigration decision under appeal, namely the Secretary of State’s removal decision. The specific argument advanced is that this Tribunal should determine that the Appellant’s removal would be contrary to section 6 of the Human Rights Act 1998 if either (a) he is at risk of retrafficking in Pakistan or (b) he has been denied the benefits and protections which would have flowed from a decision that he was a child trafficking victim and a lawful investigation of his claim to be such a victim.
In their able submissions , Ms Cronin and Ms Poynor, on behalf of the Appellant, developed this argument in the following way. They submitted that trafficking and the positive duties enshrined in Articles 12, 13, 14 and 15 of the Trafficking Convention have the status of positive obligations under Article 4 ECHR. To remove the Appellant would infringe Article 4 and, by virtue of section 6 of the Human Rights Act, would therefore not be in accordance with the law, thereby impelling that his appeal be allowed. Article 4 establishes rights which are absolute, unqualified and fundamental, described as the “ basic values of a democratic society ” in Rantsev , at [62] ( supra ). It is acknowledged, for the reasons given by this Tribunal in SHL , the obligations contained in Articles 12 – 14 of the Convention are not justiciable per se . This, however, it is contended, presents no barrier in light of the protections afforded by the Human Rights Act and the decision in Rantsev that it is not necessary to identify whether the offending conduct constitutes slavery, servitude or forced labour and that trafficking is embraced by Article 4 ECHR. As noted in [29] above, c ounsels ’ submissions further drew attention to the decision of the House of Lords in (Ullah) where it was held that United Kingdom Courts should, in the absence of some special circumstance, follow any clear and constant jurisprudence of the Strasbourg Court: see [20].
It is convenient to reproduce the following passage in the written submission of Mr Wilding on behalf of the Secretary of State:
“ The Respondent accepts that the Tribunal (be it First-tier or Upper) generally can consider whether a person has been trafficked for the purpose of assessing the factual matrix of a case leading to any assessment of risk on return. The starting point for such consideration will of course be the decision of the Competent Authority on whether the Appellant has been trafficked. The Respondent agrees that the issue as [to] whether someone has been trafficked or not can go towards the question of risk on return; in fact in many cases it may well be an important fact finding exercise going to the very heart of risk on return. ”
Next, attention is draw n to the status of the Trafficking Convention as an unincorporated international treaty. This is followed by the passage:
“ Therefore, as the present appeal is one against the SSHD’s decision to remove the Appellant to Pakistan, the only relevance of the [Trafficking Convention] is whether the Appellant has been trafficked as part of his narrative as to why he is at risk on return to Pakistan. Nothing therefore turns on the trafficking issue if he is not at risk on return ….. The [Upper Tribunal] cannot consider the provisions of [the Trafficking Convention] which do not go to the question of whether the Appellant has been trafficked. ”
The specific provisions of the Convention highlighted in this context are Articles 12 – 16.
While the Respondent’s submissions also highlighted that the Appellant did not challenge either of the trafficking decisions by judicial review, there was no suggestion – correctly in our view – that this was in some way fatal. While both parties drew our attention to the decision in Nguyen (Anti-Trafficking Convention: respondent’s d uties) [2015] UKUT 00170 (IAC) and [2015] Imm AR 886 , we consider this to be an illustration of the Upper Tribunal’s alertness to the need to give effect to the “ not in accordance with the law ” dimension of the decision of the Court of Appeal in AS (Afghanistan) : see especially [41] – [42]. The Respondent’s submissions further sought to confine the decision in Rantsev , contending that (our summary) the essence of the violation of Article 4 found was the failure of Cyprus to establish a national law framework to combat trafficking, to provide protective measures for trafficking victims and to investigate trafficking allegations. It wa s submitted that the Secretary of State has acquitted this duty via the criminal law legislation and the creation of the NRM.
Giving effect to the binding decision of the Court of Appeal in AS (Afghanistan) , we conceive our duty to be to determine whether the immigration decision under challenge in this appeal, namely the decision to remove the Appellant from the United Kingdom and return him to Pakistan in the wake of the anterior refusals of his asylum and trafficking claims, is vitiated by any material error of law in the negative trafficking decisions. In proceeding thus we are conscious of the error of law decision of this Tribunal outlined in [2] above. The factual substratum of our decision is set forth in [10] – [17] above. It was further acknowledged that the Tribunal is empowered to make findings of fact bearing on the Appellant’s case that he was a victim of trafficking.
Article 4 ECHR is justic i able before this Tribunal as it is one of the Convention Rights protected by the Human Rights Act and having regard to the provisions of section 82 of the 2002 Act ( supra ). Bearing in mind the decision of the House of Lords in Ullah , we can conceive of no reason not to give full ef fect to the decision of the ECt HR in Rantsev . In this case the Strasbourg Court decided unambiguously that human trafficking falls within the embrace of Article 4 ECHR. Bearing in mind that we are remaking the decision of the FtT, the question for this Tribunal is whether the Appellant has demonstrated that to remove him from the United Kingdom would be in breach of the prohibition against slavery, servitude, forced or compulsory labour and human trafficking and, therefore, in contravention of Article 4 ECHR. This, in the evolution of this appeal, has emerged as the crucial question.
We agree with Ms Cronin that this Tribunal is be tter equipped than the Authority to make pertinent findings. The decisions of the Authority were the product of a paper exercise, entailing no live evidence. In contrast, we have the distinct advantage of having heard the Appellant’s viva voce evidence and, further, we have received evidence not available to the Authority. Linked to this is the Secretary of State’s submission, with which we concur, that the Appellant’s credibility is central to the disposal of this appeal.
The factual matrix to which we apply the relevant legal rules and principles is set forth in [10] – [17] above. We have made an overarching finding that the core elements of the Appellant’s case are believable. The Appellant’s life is divisible into three phases. Prior to his father’s death, when he was aged around 11 /12 , the Appellant evidently had a relatively normal, stable and happy childhood. His father’s death was a wa tershed. During the following four years approximately, prior to his departure from Pakistan , the Appellant’s life was shaped by forced labour, neglect, isolation and physical abuse at the hands of his cousins. His mother was weak and under the influence of others. Ultimately she abandoned him in his early teenage years. This second phase of the Appellant’s life culminated in his departure for the United Kingdom . At this stage there was no parent or parental figure in his life and, given his age and events during the previous four years, he was obviously vulnerable.
At this juncture we conduct the exercise of making certain further findings. We find that the Appellant’s journey to the United Kingdom was arranged by his step grandmother, he was accompanied by her and the arrangements which materialised upon his arrival were made by her. At this time he was heavily influenced by and dependent upon his step grandmother. She deceived the Appellant into travelling to the United Kingdom . He was not acting voluntarily. He was, rather, under the control of a significantly older person whom he viewed as having been instrumental in attempts to disinherit him. We consider this to be a classic case of subtle, psychological compulsion.
H is arrival in the United Kingdom heralded the beginning of the third phase in the Appellant’s life. He had been deceived into believing that he had been brought to the United Kingdom to be in education. The contrast between the vision which this would have engendered and the ensuing reality was acute. This would have exacerbated his vulnerability. We readily infer that the labour which followed had been arranged by h is grandmother and that she profited financially from the transaction. This was a callous arrangement motivated bilaterally by financial gain.
Contrary to the promises made the Appellant’s life did not entail attending an educational institution and mixing, socially and otherwise, with his peers. Rather, he was plunged into an adult world of work, business and profits. He became an object of cheap and illegal labour. He was ruthlessly exploited by those who employed him. He found himself alone in a foreign country with an alien language and culture. He was bereft of parental and family support and his life was devoid of any parental figure. We consider that he was exploited from the moment of his departure to the United Kingdom , within days of his 16 th birthday until his encounter with the police some 15 months later. We find that, during the initial phase, the Appellant received no pay for his work. The stamp of compulsion applied to his labour, where he worked, the hours he worked, his accommodation and those with whom he shared accommodation and associated . The Appellant had no true freedom of choice at any stage.
We take account of the fact that the Appellant did not have a single, fixed employment during the period under scrutiny. However, as appears from the preserved findings rehearsed in [ 12] above, his “mobility” was limited, it was confined to the Asian food industry ; it was facilitated by fellow adult employees ; and , finally, it was plainly motiva ted by a naïve and probably desperate hope of find ing a better way of living. Moreover, as the preserved findings make clear, he was, properly analysed, acting under compulsion and manipulation at all times. He was not truly free in any real sense. He was, rather, a desperate, frightened and coerced teenager. Accordingly the factor s of mobility and more than on e employment do not alter our assessment above.
To borrow the phraseology of Rantsev , the Appellant was at the material time a commodity who had been bought and sold and put to forced labour for little payment, living and working under poor conditions: see [281]. Servitude and compulsory labour were the hallmarks of his existence. In Article 4 terms, his human dignity was relentlessly violated and he was denied a fundamental freedom.
It is necessary to evaluate the outworkings of the assessment and conclusions above. In the context of these proceedings, arguably the most important feature of the Rantsev decision is the Strasbourg ’s Court assessment of the procedur al, or adjectival, dimension of Article 4. Ms Cronin was right to press this discrete point. The obligations on the State are to ensure the practical and effective protection of the rights of trafficking victims, actual or potential, and to penalise and prosecute effectively any acts aimed at maintaining a person in a situation of slavery, servitude or forced or compulsory labour: see [283] –[289] of Rantsev . The nexus here with the Trafficking Convention, the Palermo Protocol and the EU Trafficking Directive is evident. Furthermore, there is a specific procedural obligation to investigate situations of potential trafficking which are not dependent upon a complaint from the victim.
In the Appellant’s case, the first opportunity which the State had to discharge its aforementioned obligations arose at the time of his encounter with the police. The Appellant’s case, unchallenged on this issue, is that he has at all times been co-operative with the police and, indeed, he remains willing to co-operate fully with them. We consider that the most elementary of enquiries at this stage viz late 2012 would have elicited from him an account including the circumstances of his arrival in the United Kingdom and details of subsequent employers and work conditions. This should, in principle, have resulted in prosecut ions for offences under, inter alia, the Slavery Act 2015 , subject of course to the application of the established criteria for prosecution . However, on the evidence before us, there is no indication of even the most elementary of police enquiries.
The second opportunity presented to the State to discharge its procedural obligations under Art icle 4 arose when the Authority became seized of the Appellant’s trafficking complaint. Yet another oppor tunity arose when the Authority was required to review its initial negative decision. We refer to our summary of these decisions in [3] – [5] above. Given our assessments and findings above, both decisions of the Authority are manifestly unsustainable. They are infected by a failure to conduct proper enquiries and to amass relevant and available evidence. They are further undermined by a failure to properly examine and assess the realities of the Appellant’s life during the period of some four years before his departure from Pakistan . Further, the Authority failed to properly analyse the factors of the Appellant’s pay, accommodation and mobility and failed to identify the elements of fear and coercion in his work circumstances.
In addition, in its assessment that the Appellant worked due to economic necessity, the A uthority failed to recognise that this was not inconsistent with continuing exploitation, manipulation and forced labour. F urther , the Authority placed disproportional weight on the failure of this frightened, isolated mid-teenager recently exposed to the culture and language of an alien country to make a formal complaint to the police. Finally, we consider that its approach to the issue of respite and recovery was hopelessly inadequate. In our judgment, t hese inadequate and cursory decisions would plainly have been vulnerable to successful challenge by judicial review.
As the decision in AS ( Afghanistan ) makes clear, the Wednesbury principle is of continuing relevance at this stage. The effect of our foregoing analysis and conclusions is that both decisions of the Authority are unsustainable by reference to the three limbs of the Wednesbury principle, that is to say they are infected by failing to take into account material facts and evidence, together with the intrusion of distorted factors and assessments and, ultimately , irrationality, which is the synonym of the AS (Afghanistan) terminology of “ perversity ”.
At this juncture we must consider the effect of our above conclusions . We remind ourselves of the essential elements of the framework of the appeal before us, which are: the Secretary of State has refused the Appellant’s application for asylum and, having done so, is proposing to remove him to Pakistan and the Competent Authority (effectively the Secretary of State) has refused the Appellant’s application to be recognised as a victim of trafficking. We have held that this latter decision is unsustainable in law in the sense outlined above. We have also identified a breach of Article 4 ECHR.
If the Authority had made a lawful decision the Appellant would have been recognised as a victim of trafficking. This would have entitled him to a “ recovery and reflection period ” of at least 30 days, per Article 13(1) of the Trafficking Convention. At this remove, the loss of this benefit is irreparable. The Appellant would have qualified for a renewal residence permit under Article 14 if the Authority had considered his stay necessary “ owing to [his] personal situation ”. We consider it highly probable that the Authority, duly armed with all appropriate information, directing itself properly in law and acting rationally would have found this condition to be satisfied. In accordance with Article 14(4), the grant of a residence permit would have been a material consideration in subsequent applications by the Appellant for leave to remain. He has, accordingly, been deprived of a valuable benefit.
Furthermore, the decision to remove him from the United Kingdom is not in accordance with the law for the discrete reason that none of these factors was taken into account. This was due to the unlawful decisions of the Authority. We note that our analysis and conclusions on the Trafficking Convention issues mirror closely those of the Administrative Court in Amatewan ( supra ) As this decision demonstrates, the effect of our analysis and conclusions above is that, in substance, the Appellant now has the status of trafficking victim. In this particular case, this is very much a current and enduring status.
The unlawful decisions of the Authority give rise to another significant consequence. By Article 10(2) of the Trafficking Convention , victims of trafficking shall not be removed from the territory of the state concerned until the process enshrined in Article 18 has been completed and the victim has received the assistance provided for in Article 12(1) and (2). In accordance with the latter provisions, a lawful trafficking decision would have entitled the Appellant to a range of services and benefits including appropriate accommodation, psychological support, counselling and legal advice. Recognition of and provision for his specific “ safety and protection needs ” would also have been required.
Further , Article 18 of the Convention would have been triggered. This provides, under the rubric “Criminalisation of Trafficking in Human Beings”:
“ Each Party shall adopt such legislative and other measures as may be necessary to establish as criminal offences the conduct contained in Article 4 of this Convention, when committed intentionally. ”
Article 10(2) , in somewhat infelicitous language, describes this as an “ identification process as victim of an offence ”. We construe this as a clear reference to the universally recognised criminal law processes of investigatio n, prosecution and punishment. We would add that, i n this respect, a distinction is to be made between the status of trafficking victim and the status of victim of a criminal offence.
Accordingly, by virtue of Article 10(2) of the Convention, there exists, by reason of our condemnation in law of the decisions of the Authority, a prohibition against removing the Appellant from the United Kingdom at this point in time. The Secretary of State’s removal decision is, in consequence , unlawful. Notably, in Atamewan ( supra ) the Court identified the UK Border Agency as the public authority which was under a positive duty to initiate an effective investigation by the police. This duty was considered to be unaffected by the circumstance that the victim had made no complaint to the police and the absence of continuing police investigations.
The same conclusion is reached by the different route provided by Article 4 ECHR. The Appellant is not simply the historical victim of treatment proscribed by this provision. He is, rather, the continuing victim of an enduring breach by the State of its investigative and procedural obligations identified in [ 27 ] above. Within the framework of section 6 of the Human Rights Act, the public authorities who, to date, have failed to discharge these obligations are UKBA, the Authority and the police service. Furthermore, i t is inconceivable that an effective police investigation and any ensuing prosecution could be conducted without the full assistance and co-operation of the Appellant. Realistically, t his will not be feasible if he is removed to Pakistan . Accordingly, to remove him to Pakistan would contravene Article 4 ECHR. The Secretary of State’s removal decision is unlawful on this further ground.
Accordingly, on the grounds and for the reasons elaborated above, the Secretary of State’s decision to remove the Appellant from the United Kingdom is not in accordance with the law and is contrary to section 6 of the Human Rights Act, within the framework of section 84(1)(c) and (e) of the 2002 Act.
One discrete aspect of the Appellant’s case is that if he is removed to Pakistan this will expose him to a risk of re-trafficking. In our judgment the evidential foundation necessary for making this finding is lacking. Having regard to his age (now 19), his increased maturity and the positive aspects of h is experiences during the last four years, whi ch are likely to have fortified him as a person and will equip him to identify and avoid risks of this kind, we are satisfied that this case is not made out. Furthermore, on the hypothesis of his return to Pakistan , we are confident that the Appellant will be able to locate and re-establish himself in a manner which will distance himself sufficiently from the three persons concerned, his step-grandmother and her tw o nephews , to efficaciously eliminate such risk of re-trafficking as may arise. There is nothing in the evidence, including the experts’ reports (of which more, infra), warranting a different assessment.
We turn to examine the protecti o n dimension of the Appellant’s case. It is common case that the Appellant is a member of a particular social group, namely his family. It is also agreed, having regard to our findings, that the Appellant would be at risk of persecution for a Refugee Convention reason at the hands of the three persons concerned. However, we discern no basis upon which to conclude that it would be either unreasonable or impractical for the Appellant to locate and re-establish himself in Pakistan in the manner suggested immediately above. In particular, we take into account that the Appellant has no enduring links with his direct and immediate family in his home area; he has no enduring relationships with any relatives there; he has no employment or education to return to there; he has only one enduring friendship in the area; and, finally, if it were necessary for him to resort to litigation and he were minded to do so, in relation to the inheritance of his deceased father’s lands, there is no evidence that he must permanently re-establish himself in the area of his former home for this purpose. In short, the availability of safe internal relocation undermines the Appellant’s asylum application fatally.
Finally, one of the features of the Appellant’s case was his reliance up on four expert reports. These were generated by, respectively, an expert in anthropology, an expert in the laws of Pakistan , an expert in child trafficking and exploitation and an expert in labour exploitation. On behalf of the Secretary of State, Mr Wilding criticised some of this evidence. He suggested that it was mere advocacy and that there were passages in the reports more akin to skeleton arguments than expert commentary and opinion . He further highlighted that none of the experts had interviewed the Appellant.
As a perusal of this judgment will confirm, we have made our findings and conclusions favourable to the Appellant without reference to any of the expert evidence. The reason for this is that we did not consider it necessary to do so. However, w hile declining to descend into superfluous detail, we consider that there is some force in the criticisms levelled. Had it been necessary to do so, we would have exami ned them in appropriate detail. In the circumstances, it suffices to highlight the detailed treatment of the duties of expert witnesses in the decision of th is Tribunal in MOJ and Others (Return to Mogadishu) Somalia CG [2014] UKUT 00442 (IAC), at [23] – [27]. We have reproduced these passages in an appendix to this judgment. We consider that, henceforth, those engaging expert witnesses should, in every case, ensure that the expert is provided with a copy of this section of the MOJ decision , as a matter of course, at the initial stage of receiving instructions. Each expert’s report should, in turn, make clear that these passages have been received and read by the mechanism of a simple declaration to this effect .
SUMMARY OF CONCLUSIONS
We summarise our conclusions thus:
(a) Having regard to the decision of the ECTHR in Rantsev , Article 4 ECHR, which outlaws slavery, servitude and forced or compulsory labour, encompasses also human trafficking.
(b) Trafficking decisions are not immigration decisions within the compass of the 2002 Act, with the result that judicial review provides the appropriate mechanism for direct challenge.
(c) Tribunals must take into account, where relevant, a decision that an appellant has been a victim of trafficking.
Where satisfied that a negative trafficking decision is perverse, Tribunals are empowered to make their own decision on whether an appellant was a victim of trafficking.
Tribunals are also empowered to review a trafficking decision on the ground that it has been reached in breach of the Secretary of State’s p olicy g uidance.
While, in principle it seems that other public law misdemeanours can also be considered by T ribunals, this issue does not arise for determination in the present appeal.
Tribunals may well be better equipped than the Competent Authority to make pertinent findings relating to trafficking.
The procedural obligations inherent in Article 4 ECHR are linked to those enshrined in the Trafficking Convention , Articles 10(2) and 18 in particular.
Any attempt to remove a trafficking victim from the United Kingdom in circumstances where the said procedural obligations have not been discharged will normally be unlawful.
Mindful of recent legislati ve changes we add the following. By virtue of the amendments to sections 82 and 84 of the Nationality, Immigration and Asylum Act 2002 by the Immigration Act 2014, an appellant will no longer be able to rely on a ‘not in accordance with the law’ ground when challenging the refusal of a protection or human rights claim. Recourse will, however, still be available, via the new section 84(2), to advancing an appeal on the basis that a decision that breaches the trafficking elements of Article 4 ECHR will be unlawful under section 6 of the Human Rights Act 1998.
DECISION
We re - make the decision of the FtT by allowing t he appeal under section 84(1)(c) and (e) of the 2002 Act.
Bernard McCloskey
THE HON. MR JUSTICE MCCLOSKEY
PRESIDENT OF THE UPPER TRIBUNAL
IMMIGRATION AND ASYLUM CHAMBER
Date: 15 February 2016
APPENDIX
MOJ and Others (Returns to Mogadishu) Somalia CG [2014] UKUT 00442 (IAC), [23] – [27]
[23] We consider it appropriate to draw attention to this subject, given the prevalence and importance of expert evidence in Country Guidance cases. Mindful that substantial quantities of judicial ink have been spilled on this subject, we confine ourselves to highlighting and emphasising what appear to us to be amongst the most important considerations. The general principles are of some vintage. In National Justice CIA Naviera SA v Prudential Assurance Company Limited [1993] 2 Lloyds Reports 68, Cresswell J stated, at pp 81 – 82:
“ The duties and responsibilities of expert witnesses in civil cases
include the following:
1. Expert evidence presented to the court should be, and should be seen to be, the independent product of the expert uninfluenced as to form or content by the exigencies of litigation ….
2. An expert witness should provide independent assistance to the Court by way of objective unbiased opinion in relation to matters within his expertise …. An expert witness in the High Court should never assume the role of an advocate …
3. An expert witness should state the facts or assumption upon which his opinion is based. He should not omit to consider material facts which could detract from his concluded opinion. ….
4. An expert witness should make it clear when a particular question or issue falls outside his expertise.
5. If an expert’s opinion is not properly researched because he considers that insufficient data is available, then this must be stated with an indication that the opinion is no more than a provisional one. In cases where an expert witness who has prepared a report could not assert that the report contained the truth, the whole truth and nothing but the truth without some qualification, that qualification should be stated in the report ….
6. If, after exchange of reports, an expert witness changes his view on a material matter having read the other side’s expert’s report, or for any other reason, such change of view should be communicated (through legal representatives) to the other side without delay and when appropriate to the Court. ”
This code was duly approved by the Court of Appeal: see [1995] 1 Lloyds Reports 455, at p496. It has been considered in a series of subsequent report cases: see, for example, Vernon v Bosley (No 2) [1997] 1 All ER 577, at page 601. In the latter case, Evans LJ stated, at page 603:
“ …. Expert witnesses are armed with the court’s readiness to receive the expert evidence which it needs in order to reach a fully informed decision, whatever the nature of the topic may be. But their evidence ceases to be useful, and it may become counter-productive, when it is not marshalled by reference to the issues in the particular case and kept within the limits so fixed. ”
Judicial condemnation of an expert who does not appreciate his responsibilities is far from uncommon: see, for example, Stevens v Gullis [2000] 1 All ER 527, where Lord Woolf MR at pp.532-533 stated that the expert in question had:
“… demonstrated by his conduct that he had no conception of the requirements placed upon an expert under the CPR ….. 19 It is now clear from the rules that, in addition to the duty which an expert owes to a party, he is also under a duty to the court.”
24. The requirements of CPR 31 also featured in Lucas v Barking Hospitals NHS Trust [2003] EWCA Civ 1102, where the emphasis was on CPR 31 and CPR 35. These provide ( inter alia ) that:
(i) a party may apply for an order for inspection of any document mentioned in an expert’s report which has not already been disclosed,
(ii) every expert’s report must state the substance of all material instructions, whether written or oral, on the basis of which the report was written, and
(iii) such instructions are not privileged against disclosure.
Laws LJ made the following noteworthy observation:
“ [42] As it seems to me the key to this case …. is the imperative of transparency, a general theme of the CPR but here specifically applied to the deployment of experts’ reports. Thus the aim of rule 35.10(3) and (4) is broadly to ensure that the factual basis on which the expert has prepared his report is patent. ”
25. Thus in the contemporary era the subject of expert evidence and experts’ reports is heavily regulated. The principles, rules and criteria highlighted above are of general application. They apply to experts giving evidence at every tier of the legal system. In the specific sphere of the Upper Tribunal (Immigration and Asylum Chamber), these standards apply fully, without any qualification. They are reflected in the Senior President’s Practice Direction No 10 (2010) which, in paragraph 10, lays particular emphasis on a series of duties. We summarise these duties thus:
(i) to provide information and express opinions independently, uninfluenced by the litigation;
(ii) to consider all material facts, including those which might detract from the expert witness’ opinion;
(iii) to be objective and unbiased;
(iv) to avoid trespass into the prohibited territory of advocacy; 20
(iv) to be fully informed;
(vi) to act within the confines of the witness’s area of expertise; and
(vii) to modify, or abandon one’s view, where appropriate.
26. In the realm of expert testimony, important duties are also imposed on legal practitioners. These too feature in the aforementioned Practice Direction. These duties may be summarised thus:
(i) to ensure that the expert is equipped with all relevant information and materials, which will include information and materials adverse to the client’s case;
(ii) to vouchsafe that the expert is fully versed in the duties rehearsed above;
(iii) to communicate, promptly, any alterations in the expert’s opinion to the other parties and the Tribunal, and
(v) to ensure full compliance with the aforementioned Practice Statement, any other relevant Practice Statement, any relevant Guidance Note, all material requirements of the Rules and all case management directions and orders of the Tribunal.
These duties, also unqualified in nature, are a reflection of the bond between Bench and Representatives which features throughout the common law world.
27. The interface between the role of the expert witness and the duty of the Court or Tribunal features in the following passage in the judgment of Wilson J in Mibanga v Secretary of State for the Home Department [2005], EWHC 367:
“ [24] It seems to me to be axiomatic that a fact finder must not reach
his or her conclusion before surveying all the evidence relevant
thereto….
The Secretary of State argues that decisions as to the credibility of an account are to be taken by the judicial fact finder and that, in their reports, experts, whether in relation to medical matters or in relation to in-country circumstances, cannot usurp the fact finder’s function in assessing credibility. I agree. What, however, they can offer is a factual context in which it may be necessary for the fact finder to survey the allegations placed before him; and such context may prove a crucial aid to the
decision whether or not to accept the truth of them. ……
It seems to me that a proper fact finding enquiry involves explanation as to the reason for which an expert view is rejected and indeed placed beyond the spectrum of views which could reasonably be held. ”
To this we would add that, as the hearing of the present appeals demonstrated, this Tribunal will always pay close attention to the expert’s research; the availability of empirical data or other information bearing on the expert’s views; the quality and reliability of such material; whether the expert has taken such material into account; the expert’s willingness to modify or withdraw certain views or conclusions where other evidence, or expert opinion, suggests that this is appropriate; and the attitude of the expert, which will include his willingness to engage with the Tribunal. This is not designed to be an exhaustive list. No enduring links with his direct and immediate family in his home area.