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Scottish High Court of Justiciary Decisons


You are here: BAILII >> Databases >> Scottish High Court of Justiciary Decisons >> Murphy v. Her Majesty's Advocate [2007] ScotHC HCJAC_57 (09 October 2007)
URL: http://www.bailii.org/scot/cases/ScotHC/2007/HCJAC_57.html
Cite as: 2007 SLT 1079, [2007] HCJAC 57, 2007 SCCR 532, [2007] ScotHC HCJAC_57, 2007 GWD 36-625

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APPEAL COURT, HIGH COURT OF JUSTICIARY

 

Lord Osborne

Lord Macfadyen

Lord Marnoch

 

 

 

 

[2007] HCJAC57

Appeal No: XC858/03

 

OPINION OF LORD OSBORNE

 

in

 

NOTE OF APPEAL AGAINST CONVICTION AND SENTENCE

 

by

 

MICHAEL JOHN MURPHY

Appellant;

 

against

 

H.M. ADVOCATE

Respondent:

 

_______

 

 

 

Act: Clancy, Q.C., Shead; McSparron McCormick

Alt: Prentice, A.D.; Crown Agent

 

9 October 2007

The background circumstances
[1] The appellant, along with two other persons, faced an indictment containing a total of twenty seven charges. Fourteen of those charges affected the appellant. On 20 June 2003, at the High Court in Edinburgh, the appellant was found guilty of charges (2), (3), (5), (8), (9), (11), (12), (13), (14), and (16). He was acquitted by the jury on charges (4) and (6). Charges (22) and (26) were withdrawn by the Crown.

[2] The charges on which the appellant was convicted, subject to amendments and deletions by the jury, were in the following terms:

"(2) On various occasions between 1 January 1961 and 10 June 1966, both dates inclusive, at Gartmore House (then known as St Ninian's List D School), Gartmore Estate, Stirlingshire, you Michael John Murphy (then known as Brother Benedict) did assault A, born 11 June 1951 ... then a boy under your charge, strike him repeatedly on his legs with knotted leather laces, forcibly feed him, force him to eat his own vomit and compel him to take hold of metal rods connected to an electricity generating device which you activated to deliver electric shocks to said A all to his injury;

(3) on various occasions between 1 January 1960 and 31 December 1963 ... at Gartmore House ..., you ... did assault B, born 11 January 1953 ... then a boy under your charge and under the age of 14 years, slap him on the face and strike him repeatedly on the face with knotted leather laces;

(5) on various occasions between 28 November 1961 and 31 December 1961 ... at Gartmore House ..., you ... did assault C, born 28 November 1951 ... then a boy under your charge and under the age of 14 years, repeatedly punch and kick him on the body, forcibly feed him and compel him to eat his own vomit;

(8) on various occasions between 1 January 1963 and 31 December 1964 ... at Gartmore House ..., you ... did assault D, born 30 August 1952 ... then a boy under your charge and under the age of 14 years, seize him by the neck and thrust his face against a wall, seize him by his private parts and compress them;

(9) on various occasions between 7 June 1963 and 31 December 1964 ... at Gartmore House ..., you ... did assault E, born 15 September 1953 ... then a boy under your charge and under the age of 14 years and drag him bodily from his bed, pull him along corridors and compel him to take a cold shower, forcibly feed him with sago and compel him to eat his own vomit, repeatedly punch and kick him on the body and strike him with knotted leather or rubber laces all to his injury;

(11) on an occasion between 28 June 1963 and 31 December 1965 ... at Gartmore House ..., you ... did assault F, born 14 March 1951 ... then a boy under your charge, seize hold of him and throw him to the floor, kneel on top of him and repeatedly punch him on the head and body, drag him to an adjacent room and compel him to take hold of metal rods in each hand and by use of an electricity generating device you did thereafter apply an electric current to these rods and by these means did inflict shock and injury to said F;

(12) on an occasion between 28 June 1963 and 31 December 1965 ... at Gartmore House ..., you ... did assault F, born 14 March 1951 ... then a boy under your charge, and repeatedly strike him on the legs with knotted leather laces or similar instruments to his injury;

(13) on various occasions between 1 January 1964 and 31 December 1965 ... at Gartmore House ..., you ... did assault G, born 27 March 1953 ... then a boy under your charge and under the age of 14 years and did induce him to pick up a tin box or touch a door handle or lengths of pipe to which you had attached an electricity generating device which you activated to cause electric shocks to said G all to his injury;

(14) on various occasions between 1 January 1966 and 31 December 1969 ... at Gartmore House ..., you ... did assault H, born 2 February 1956 ... then a boy under your charge and under the age of 14 years and repeatedly strike him on the body with a length of wood or similar instrument;

(16) on an occasion between 1 April 1968 and 30 September 1969 ... at Gartmore House ..., you ... did assault I, born 3 May 1957 ... then a boy under your charge and under the age of 14 years and seize him by the arm, spin him bodily and throw him to the floor whereby said James Agnew sustained a broken arm to his injury.

[3] On 14 July 2003, the appellant was sentenced to two years' imprisonment in cumulo in respect of his conviction on the foregoing charges.

 

The present appeal
[4
] The appellant has tabled at different times four documents in which grounds of appeal have been stated, the original Note of Appeal and three further documents 1A, 1B and 1C. For the purposes of this appeal against conviction, it is sufficient to record that the only part of the original Note of Appeal insisted in is in these terms:

"Further and in any event, the appellant did not receive a fair trial within the meaning of Article 6 of the Convention for the Protection of Human Rights and Fundamental Freedoms as a result of the delays hereinbefore referred to. Reference is made to the Devolution Minutes presented to the Court at said preliminary diet."

We were informed that the further document 1A can now be ignored, as superseded by other formulations of grounds. Furthermore, we were informed that document 1C was not to be insisted in. It is therefore in document 1B that the grounds of appeal argued before us are to be found, for the most part. Certain parts of that document, however, contain grounds in respect of which leave to appeal was not granted. The grounds of appeal pertinent to the present appeal are therefore as follows:

"1 IDENTIFICATION

The appellant was convicted of ten charges involving nine different complainers all of whom were children when the alleged offences were committed. The charges concern events which occurred between 1961 and 1969. Only four of the nine complainers identified the appellant in court as the perpetrator of the assaults of them ('dock identification'). Of the other five complainers two wrongly identified the co-accused of the appellant as the perpetrator of the offences with which the appellant was charged. The rest purported to identify the appellant by his religious name (Brother Benedict) or a nickname ('Bootsie'). ... In the early stages of the trial the Crown sought (unsuccessfully in two cases) dock identifications from complainers. Thereafter the Crown confined itself to seeking identifications by name or description with evidence from other witnesses to the effect that the appellant had the name or nickname used by the complainers. Once it embarked on that course the Crown did not attempt to obtain dock identifications from the complainers. In the circumstances (a) the learned trial judge erred in respect that he rejected a no case to answer submission on charges (5), (8), (11), (12), (13) and (14). (b) The learned trial judge misdirected the jury to the extent that and in so far as: (1) he directed them (page 50 of his charge) that identification by name or 'by describing his position at a particular time' was a competent method of identification equivalent to or better than dock identification, (2) by failing to draw to the jurors' attention that the Crown had not resorted to this form of identification until there had been several unsuccessful attempts at dock identification; (3) by failing to draw to the jurors' attention that the Crown had not even attempted to obtain dock identifications from several complainers; (4) for failing to draw to the jurors' attention that several of the complainers did not preface their purported identifications by name or description with evidence to the effect that their inability to make dock identification was due to the passage of time; ... (6) by failing to direct the jurors that for those charges involving complainers who did not make dock identifications there was insufficient evidence to convict; (7) alternatively for failing to direct the jurors that special care had to be exercised in considering identification by name or description; (8) for failing to direct the jurors that, there being an insufficiency of evidence in charges involving identification by name or by description, those charges fell to be left out of account in their consideration of the course of conduct alleged by the Crown against the appellant.

2 OPPRESSION (Reference is made to the original Grounds of Appeal)

The learned trial judge misdirected the jury in so far as he failed to give them adequate directions about prejudice to the appellant as a result of the absence or loss due to the passage of time of evidence including real evidence and documentary evidence which would, or might, have otherwise have been available to him for use in his defence to the charges libelled. The appellant was or may have been prejudiced by the non-availability of: (1) the 'electricity generating device' referred to in several of the charges. The appellant kept the device for many years after the events libelled. He gave it away on his retirement. The persons to whom he gave it threw it away before the complainers in this case came forward. (2) The evidence from the Matron or Nurse who worked at this school both of whom died before the complainers came forward. (3) Medical and other records in respect of complainers. The loss of this potentially important material as well as founding a plea of oppression at common law, deprived the appellant of a fair trial and thereby contravened his rights under and in terms of Article 6(1) of the European Convention on Human Rights.

3 DEFECTIVE REPRESENTATION

The appellant suffered a miscarriage of justice in respect that: his senior counsel at the trial did not renew the plea of oppression advanced on behalf of the appellant at a pre-trial hearing in front of Lord Bonomy. At that hearing his Lordship refused to uphold the plea of oppression as a plea in bar of trial holding that it was a matter for the trial judge: (a) to consider the plea de novo and to determine whether there was a risk of prejudice which was so great as to deny the appellant a fair trial; (b) whether and if so, in what terms, to direct the jury with a view to safeguarding the appellant from any prejudice arising as a result of the matters raised in the plea of oppression. As a result of that failure by senior counsel the appellant was denied the opportunity to obtain a ruling from the trial judge that the prosecution was oppressive or suitable directions of the sort envisaged by Lord Bonomy. ..."

 

Submissions for the appellant
[5
] Senior counsel for the appellant began with an explanation of the background of the case. The appellant was a member of the de la Salle Order. Following training, he took his vows in 1959, after which he went to work at St Ninian's School, Gartmore, an approved school, where he worked between 1961 an 1969. The headmaster and many of the staff of that school were members of the Order. The appellant had been a welfare officer, not a member of the teaching staff. He had been convicted on ten charges, in relation to which there were nine complainers. One Complainer, F, featured in charges (11) and (12). The dates embraced by the charges lay between 1 January 1961 and 30 January 1969. All of the complainers were under the age of 14 years at the material time, one was only 6 years of age. Most of the charges involved assault to injury; in the case of charge (16) only, the injury was specified as a broken arm.

[6] There were three common components featuring in the charges: (1) assault by striking with knotted leather laces, which featured in four charges on which there had been convictions; (2) the administration of electric shocks by means of an electricity generating device, which featured in five charges on which there had been convictions; and (3) forced feeding, which featured in four of the charges where there had been convictions.

[7] Turning to the grounds of appeal so far as they related to identification, senior counsel said that there had been four dock identifications of the appellant. The four complainers who gave such identifications were (1) A (charge (2)), (2) B (charge (3)), (3) E (charge (9)) and (4) I (charge (16)). Of the other five complainers, two had wrongly identified a co-accused, James Andrew McKinstrey. These were C (charge (5)) and F (charges (11) and (12)). The "wrong identifications" were "left" by the Advocate depute. Thus, there were three remaining complainers, D (charge (8)), G (charge (13)) and H (charge (14)); none of those complainers had been asked if he could make an identification. Those complainers who did not give dock identifications used other means of describing the individual said to be responsible for the crimes committed against them; in particular, references were made to "Brother Benedict", or "Bootsie", a nickname. All nine complainers in relation to the appellant referred to "Brother Benedict". A, B and I used both of these names in evidence. E used the former name.

[8] Senior counsel then formulated his main submission in relation to the issue of identification. He said that the general rule was that "you go for dock identification". If a witness explained that they could not make such an identification, that might open the door to identification by a different indirect means. That applied also to mis-identification as well. The proper course would have involved an explanation of the possibility of a mistake; if that had been done, an indirect identification might have been attempted. Senior counsel contended initially that what he had just stated amounted to a rule of law. The three complainers who had not been asked for a dock identification raised similar problems to those where there had been a mis-identification. As already observed, the Advocate depute who prosecuted the case appeared, at a certain stage, to have abandoned attempts at dock identifications.

[9] In support of this submission senior counsel relied on Bruce v H.M. Advocate 1936 J.C. 93. That case suggested that proper identification ought to be a matter of express questioning. Reliance was placed upon the observations of Lord Wark at pages 94 and 95 and of the Lord Justice Clerk (Aitchison) at page 96. In the same connection, senior counsel went on to rely on Stewart and Others v H.M. Advocate 1980 S.L.T. 245, particularly the Opinion of the Court at page 251. These cases affirmed a general rule of practice; however, they left unresolved the question of what sanction attached to a failure to observe that rule. What had happened in the present case differed from what had occurred in Stewart and Others v H.M. Advocate; in the present case there had been certain "mistaken identifications"; evidence of identification by implication could not contradict such evidence. This was not a case in which there was no issue concerning identification, since Brother Benedict, the appellant, had always disputed his responsibility for the offences with which he had been charged. In connection with this part of his submissions, reference was also made to Wilson v Brown 1947 J.C. 81.

[10] Senior counsel went on to rely on Robson v H.M. Advocate 1996 S.L.T. 944, particularly the observations of the Lord Justice Clerk (Ross) at pages 946-948. The enigmatic feature of that case was that the court had affirmed what had been said in Bruce v H.M. Advocate, but then did not follow it. The court had found circumstantial evidence which was sufficient to corroborate a dock identification. It was submitted that the court had confused the issue of sufficiency with the issue of whether a jury was entitled to convict. Putting the matter in another way, the court in that case had conflated three distinct questions which had arisen, which were: (1) whether the Crown was entitled to rely on the exception to the general rule which required a direct dock identification, and, if so, in what circumstances it was entitled to rely on that exception; (2) if the Crown were entitled to rely on the exception, whether there was sufficient evidence to constitute a proper identification by implication; and (3) whether the evidence relied upon by the Crown was of the "necessary weight and quality" to amount to a reliable identification of the accused.

[11] Returning to the first of these questions, senior counsel said that, if it were correct to say that there was a rule of evidence requiring dock identification in the first instance, it would be necessary to define the circumstances in which there might be exceptions to that rule. The answer to that issue was to be found in Robson v H.M. Advocate at page 248B-C. However, there might be circumstances which showed why visual identification evidence was not the best evidence.

[12] In this case, it was submitted that the best evidence of identification was dock identification. Hence there was a need for the Crown to explore the "gateway" into some other form of identification of responsibility. It had to be recognised that Robson v H.M. Advocate did not contain a complete analysis of the problem. Here the Crown had simply not attempted dock identification with three of the complainers, there being no explanation as to why that course had been taken. As already narrated, in certain cases there had been identification of the "wrong person". That could not be overcome. The position of the appellant was that dock identification was required as a consequence of a rule of the law of evidence.

[13] Senior counsel next proceeded to consider the second question which he had already posed, that is to say, if the Crown were entitled to rely on the exception, whether there was sufficient evidence to constitute a proper identification by implication. It was the exception that had been applied in Robson v H.M. Advocate, although it was submitted that, in terms of its result, Robson v H.M. Advocate had been wrongly decided. The present case could be distinguished from Robson v H.M. Advocate for a number of reasons: (i) the circumstantial detail in that case had been more compelling than it was here; (ii) in the present case there was a time lag of substantial duration; in Robson v H.M. Advocate the offences were much more recent; after 40 years less reliance could be placed on circumstantial detail; (iii) in that case there was no alternative method of identification, as there was here; and (iv) in this case there were features making it important to reject indirect evidence of identification. There had been references to "Brother Benedict" in newspapers. In this connection, reference was made to paragraphs 35, 42 and 43 of the Opinion issued by Lord Bonomy following a preliminary hearing. These features had not been present in Robson v H.M. Advocate. They undermined the so-called indirect evidence of identification. They re-enforced the need for dock identification.

[14] Senior counsel next turned to consider the third question already posed. He said that that was a jury question essentially, so it was necessary to look at the issue of the directions to the jury. However, before that could be done, it was necessary to examine certain further authorities. The first of these was Purawec v Procurator Fiscal, Paisley [2005] HCJAC 20, 3 March 2005 (unreported). Paragraph 8 of the Opinion of the Court was important. Implication of a person in the commission of a crime required to be by corroborated evidence. The proof might be based on direct identification, indirect identification or on a combination of direct and indirect identification. It was necessary to consider the implications of Holland v H.M. Advocate 2003 S.C.C.R. 616; and 2005 SCCR 417. Reliance was placed on paragraph 27 of the Opinion of the Court in the report of the case in the Criminal Appeal Court. Observations by members of the Privy Council were of assistance. Reference was made to the observations of Lord Hope of Craighead in paragraphs 6 and 7 and of Lord Rodger of Earlsferry in paragraph 46. Senior counsel also relied upon Reekie v Smith 1987 S.C.C.R. 453 at pages 454 and 455.

[15] Reverting to the grounds of appeal themselves, senior counsel submitted that the submission made at the trial of no case to answer ought not to have been rejected; wherever there was no dock identification, the trial judge should have applied the general rule in Bruce v H.M. Advocate. There was no reason to apply the exception identified in Stewart v H.M. Advocate. It was accepted that the appellant had made a statement to the police, spoken to by D.C. Ian MacDougall, in which he had conceded that he had gone under the name of "Brother Benedict" at the material time. Identification by means of a name did not necessarily result in the identification of a particular person. Furthermore, evidence by description was, in general, of a very poor quality; the approach to identification that had been followed in the trial was described in detail by the trial judge at pages 12 and 13 of his Supplementary Report. It was submitted that the approach that had been followed by the Crown, described in that Report, was not a valid one.

[16] Senior counsel went on to support those parts of grounds of appeal 1B, which contained a criticism of the trial judge's directions to the jury on the subject of methods of identification. Much of what the trial judge had said in his charge was not open to criticism, but when he came to deal with methods of identification at pages 49-52 of the transcript, he had fallen into error. He had said that identification by means of a name, or a position at the material time, was a competent method of identification, equivalent to or even better than dock identification. The trial judge had pitched the standard far too low. What had in fact been done by the Court in Robson v H.M. Advocate was a very special procedure. What the trial judge said at page 50 of the transcript about the position of any particular witness in relation to identification was not in fact a representation of what had occurred at the trial. Furthermore, the trial judge's directions did not relate to the situation which had occurred in two instances at the trial, where a witness had made an identification of the "wrong person". The criticisms made of the trial judge's directions had implications for the application of the Moorov doctrine in the circumstances of this case. That was focused in ground of appeal 1B(8). Charges that were not supported by evidence could not be used in the application of the doctrine. The directions on the Moorov doctrine themselves were to be found at page 31 of the transcript and the following pages. Further directions on that subject were to be found at pages 104-106 of the transcript. It was difficult to recognise what the trial judge considered was a course of criminal conduct. At page 110 of the transcript, the trial judge covered the whole of the alleged assaults; all were left to the jury. However, if the charges which could be described as "non-identified" were excluded from the picture, that would inject a high degree of uncertainty into how the jury arrived at their verdict. That verdict would be open to serious question. The context was that the misdirection of the trial judge on identification had given rise to a miscarriage of justice in relation to five charges on which there had been a conviction. In so far as they were an integral part of those charges said to form part of a course of conduct of ten charges, the effect of that was that the directions given on the Moorov doctrine in regard to the whole ten charges said to have formed part of a course of criminal conduct were inadequate and themselves gave rise to a miscarriage of justice in respect of all of those charges. Thus, it was contended that the error in relation to the issue of identification undermined the convictions on the whole ten charges. The criticism of the approach of the trial judge to the issue of identification was fundamental. There was no separate criticism of the directions given as to the nature of the Moorov doctrine.

[17] Senior counsel then went on to make submissions concerning ground of appeal 2 in relation to oppression. It was contended that the appellant had not had the benefit of fair trial. However, senior counsel made clear that he was not seeking to challenge the decision made by Lord Bonomy, in which he had rejected the appellant's plea in bar of a trial, which had been a plea of oppression. Lord Bonomy had contemplated that it would be necessary for the trial judge to give adequate directions; what was now contended on behalf of the appellant was that the trial judge had misdirected the jury in relation to the relevant factors.

[18] Lord Bonomy had dealt with the nature of oppression in paragraph 18 of his Opinion. What he had said there concerning oppression was accepted on behalf of the appellant, under reference to Stuurman v H.M. Advocate 1980 J.C. 111; McFadyen v Annan 1992 J.C. 53 and Sinclair v H.M. Advocate [2007] HCJAC 27. Looking at Lord Bonomy's observations at paragraph 43 of his Opinion, in relation to pre-trial publicity, a matter that had featured in the submissions to him, what he there said was accepted. However, it was noteworthy that he had desiderated appropriate directions to the jury to avoid risk of prejudice. The position was similar in relation to the loss of evidence caused by the death of the matron and nurse at St Ninian's School and the non-availability of medical and other records in respect of the complainers. These matters were dealt with in paragraphs 44-46 inclusive of Lord Bonomy's Opinion. Once again, his Lordship contemplated the need for appropriate directions to be given to the jury concerning possible prejudice.

[19] There was authority to the effect that oppression was a matter of law; accordingly directions required to be given on the matter to the jury regardless of what might have been sought by any party to the proceedings. However, it was accepted that the trial judge had a wide discretion regarding the directions to be given. If this court were to hold that the appellant's trial was unfair on account of directions given, or not given, then it could be said that the trial judge had exercised his discretion improperly.

[20] Senior counsel then turned to consider the detailed points raised in ground of appeal 2. These points were focused upon the loss of evidence in consequence of the passage of time. The first instance of loss of evidence related to the electricity generating device referred to in certain of the charges. It appeared that this generator was a wartime device intended to be used in association with a telephone system. It had been found in a pond and renovated. The appellant had had it in his possession in Tranent in 1969, but it had been given away and subsequently disposed of by the recipient. The trial judge had said nothing about that in his charge to the jury. Had the device been available, it could have been examined by an appropriate expert and an opinion obtained as to its capability to generate electricity on such a scale that a shock amounting to an assault could have been administered to an individual. The trial judge could have directed the jury that the appellant had been denied the opportunity to prove something in this connection. It might be that the issue relating to the generator would have been capable of being dealt with on the evidence available, in association with a direction being given regarding the need for care in the evaluation of the capabilities of the machine. It was not contended that the loss of the generator in itself would have justified the sustaining of a plea in bar of trial based on oppression. An English case, R. v Boyd [2004] RTR 2 illustrated the force of the submission being made. In that case a conviction was quashed where a blood sample which would have been crucial to the determination of the issue in the case had been allowed to decompose, so that it was useless as evidence.

[21] Senior counsel turned next to the second point raised in the ground of appeal, to the effect that evidence potentially available from the matron of the School and nurse had been lost on account of their deaths before the complainers had come forward with their complaints. The position was that these persons had been resident on the campus of St Ninian's School. Having regard to that, it would have been surprising if they could not have cast light on the matters raised by the charges in the indictment, for example the issue of the administration of electric shocks and the infliction of pain upon the complainers causing them to scream. In that connection reference was made to what had been said by the trial judge on page 6 of his Supplementary Report. Furthermore, they would have been responsible for treating any injury sustained by pupils at the school. They might well have been in a position to give evidence about such matters.

[22] Senior counsel next proceeded to consider the significance of the fact that medical and other records relating to the complainers were no longer available, on account of the passage of time. It was true that the contents of such documents must be and remain a matter of speculation; however, their absence bore upon the issue of whether the trial had been fair. If the foregoing matters could not have been made the subject of any appropriate directions by the trial judge, then he should have stopped the trial ex proprio motu upon the basis that a fair trial was impossible. The court ought to have taken an overall view of the fairness of the trial. In any event this court could do so in retrospect.

[23] Senior counsel came finally to the issue of allegedly defective representation of the appellant at the trial. This point, focused in ground of appeal 3, was based upon the fact that senior counsel representing the appellant at the trial had not renewed the plea of oppression advanced on behalf of the appellant at the pre-trial hearing before Lord Bonomy. Lord Bonomy had held that it was a matter for the trial judge to consider that plea de novo and to determine whether there was a risk of prejudice which was so great as to deny the appellant a fair trial and whether and if so in what terms it was necessary to direct the jury with a view to safeguarding the appellant from any prejudice arising as a result of the matters raised in the plea of oppression. Senior counsel who had represented the appellant at the trial had had the opportunity of commenting on this ground of appeal. His comments were to be found in document 11. It was plain from what he had said that, at the time of the trial, he had not appreciated that these matters had been left open for consideration at the trial. That amounted to defective representation.

[24] On the whole matter, the appellant's convictions should be quashed.

 

Submissions for the Crown
[25
] The Advocate depute commenced by emphasising that, in any criminal trial the Crown had to prove two things: (1) that the crime in question had been committed, and (2) that the accused was implicated in the commission of that crime. In relation to the latter point, as was pointed out by the trial judge in his charge at page 30 of the transcript, the question was whether the accused had been sufficiently identified as the perpetrator. The real issue in the present case was whether sufficient evidence had been led to identify the appellant as the perpetrator of the crimes set out in the charges with which the appeal was concerned. The method of proving the criminal responsibility of an accused person was a matter of practice, rather than any specific rule of law. In this connection, the appellant's counsel had sought to read much more into Bruce v H.M. Advocate than it in fact contained. That case was one concerned with an allegation of wilful fire raising. The prosecutor had not attempted to have the person in the dock expressly identified by the Crown witnesses, although certain of these witnesses, in deponing to the facts relating to the charge, spoke of "the accused James Bruce". Looking at the observations of Lord Wark at page 95 it was apparent that the case was concerned with how evidence should properly be led; in particular, how evidence of visual identification in court ought to be led. The case did not say that evidence identifying the accused as the perpetrator of the crime could not be achieved aliunde. In particular, that case did not require that, in every case where there was an eye-witness to a crime, dock identification must be sought. All that it decided was that, if the Crown sought from an eye-witness to a crime visual identification evidence in court, it had to be done in a proper and admissible way. In the Opinion of the Lord Justice Clerk at page 96, what was said was that, where visual identification was to be relied upon by the Crown, there was a proper way of achieving that, sanctioned by practice.

[26] What the case of Bruce v H.M. Advocate did not say was that, in different circumstances, such as those in Stewart v H.M. Advocate, identification of an accused as having criminal responsibility could not be established in a different way. Wilson v Brown was a case of the same kind as Bruce v H.M. Advocate. As was made plain at page 93, in the Opinion of Lord Mackay, other methods existed of demonstrating the criminal responsibility of the accused. It simply could not be maintained that, in every case where there was a possibility that a witness might be able to give evidence of visual identification, there was some legal obligation upon the prosecutor to attempt to lead such evidence. That would be absurd and contrary to normal practice. In Muldoon v Herron 1970 JC 30, at the trial of three accused persons, the only two eye-witnesses of an offence had given evidence that, soon after the offence, they had pointed out to the police several of those implicated. Neither witness however, had identified the accused in court, and one had actually deponed that the accused were not among those she had pointed out as being among those implicated. The sheriff-substitute had not believed her on this matter. Two police officers had deponed that the accused were among those pointed out by both the witnesses, and the sheriff-substitute believed this evidence. There was no other evidence to incriminate the accused. All were convicted. It was held by a Full Bench, with Lord Wheatley dissenting, that since the witnesses had deponed that they had pointed out several of those implicated and the sheriff-substitute had accepted the police evidence that the accused were among those pointed out, disbelieving the denial by the female witness on this matter, the evidence of identification was from two sources and therefore sufficient. That case was of great importance in the present context. It demonstrated that the rule contended for on behalf of the appellant did not exist.

[27] In the submissions on behalf of the appellant, reference had been made to the expression "best evidence". That was a misleading term in the context of this case. It was instructive to note what was said in Dickson on the law of Evidence in Scotland, 3rd ed. Vol. 1 paragraph 63, where the learned author dealt with the distinction between direct and indirect evidence. Both of those kinds of evidence could competently be led for the purposes of implicating an accused person in the commission of a crime. That was quite a distinct matter from the best evidence rule, with which the author dealt in paragraph 195. It was there said that to adduce indirect evidence was in no degree to infringe upon the one primary rule of evidence - the rule that a party must adduce the best attainable evidence of the facts he means to prove. In the light of what was said in these passages, it was open to the Crown to establish the identification of an accused as the perpetrator of a crime, either by direct evidence of visual identification in court, or otherwise, or by indirect evidence of such implication. How the Crown went about establishing criminal responsibility was a matter for the exercise of their discretion, in the light of the nature and sources of evidence available to them. There was no rule of law that inhibited the exercise of that discretion. It was plainly open to the Crown to establish implication in the commission of a crime without visual identification evidence, although that might have been potentially available. Different routes to establishing the essential feature were possible; the Crown was free to chose the kind of evidence that it intended to adduce to support its case, provided that the evidence was primary evidence, as required by the best evidence rule. That was evident from what was said in Dickson on Evidence at paragraphs 196 and 199. In the latter paragraph the learned author stated that circumstantial proof was not rendered inadmissible by there being an eye-witness to the fact who had not been examined. No more powerful refutation of the appellant's argument could be found than that. In support of his submissions the Advocate depute drew our attention to Langan v H.M. Advocate 1989 S.C.C.R. 379 and Maguire v H.M. Advocate 2003 S.C.C.R. 758, cases in which convictions were sustained on the basis of indirect or circumstantial evidence.

[28] The true issue in the present case was whether there had been sufficient evidence of identification of the appellant, whether direct or indirect in character. It was evident from the transcript of evidence at page 103 that it was accepted by the appellant that there was only one "Brother Benedict" and only one "Bootsie" at St Ninian's at the material time. In the light of that and the other evidence, it was quite plain that the trial judge had been entitled to refuse the motion of no case to answer.

[29] In further support of his submissions the Advocate depute relied on Alison, Criminal Law and Practice Vol. 2 page 627 paragraph 9. In that passage the learned author made the point that evidence of identification which took place at the time, or shortly after the time, when the events libelled were said to have taken place might be more powerful than evidence of identification made at a later stage. In this connection, it had to be submitted that the observations of Lord Justice Clerk Ross in Robson v H.M. Advocate at page 948C should be disapproved. Evidence of visual identification in court was not the best evidence necessary that an accused person was the perpetrator of the crime in question. Reverting to the appellant's grounds of appeal, the Advocate depute submitted that ground 1(7) was without merit. The directions given by the trial judge at page 17 and following pages of the transcript of his charge met the case. On the basis of the submissions made by the Crown, ground of appeal 1(8) simply did not arise.

[30] The Advocate depute moved on to deal with the appellant's submissions based on alleged oppression. He started by pointing out that the position stated by Lord Bonomy in his judgment, following upon the preliminary hearing at which a plea in bar of trial had been debated, had not been challenged. Ground of appeal 2 on oppression was lacking in specification. As regards the electricity generating device, the fact was that it was no longer available and accordingly expert evidence concerning its capabilities could not be adduced, either by the Crown, or by the appellant. In view of the appellant's stated position that Lord Bonomy's decision was not challenged, the issue became one of direction of the jury. The evidence concerning the use of this device was narrated by the trial judge in his Supplementary Report at page 11; there had been said to have been an educational purpose in the use of the device. Any appraisal by an expert of that device would not have contributed anything in the trial. While it was accepted that the trial judge, in his directions to the jury, did not go into the question of the loss of primary evidence in consequence of delay, at page 17 and the following pages of the transcript of his charge, he gave general directions to the jury concerning the need to take particular care in the context of such an old case. Those directions were satisfactory.

[31] Turning to the matter raised in ground of appeal 2(2) it was a matter of speculation as to what the matron and the nurse might have been able to say, if they had been available to give evidence. The fact that they were not available and the fact that medical records relating to, for example, the broken arm, were not available simply meant that the jury had to reach a decision on the evidence which was before them. Lord Bonomy's decision, which was not challenged, was to the effect that those circumstances did not found a successful plea in bar of trial. Nothing had changed that position. The case relied upon by the appellant of Regina v Boyd was of no assistance here; the evidence which had been lost there through carelessness was the whole foundation of the prosecutor's case. That situation was not comparable to the present case.

[32] Finally, the Advocate depute dealt with Article 6(1) of the European Convention on Human Rights and Fundamental Freedoms. His submission was that the trial was fair. Nothing had changed since Lord Bonomy's careful analysis of the issues surrounding the plea in bar of trial. Nothing had occurred at the trial which required either defence counsel or the trial judge to seek to have the trial aborted. In the whole circumstances the appeal should be refused.

 

Conclusions

Ground of Appeal 1 - Identification
[33
] In view of the nature of the argument deployed on the appellant's behalf in relation to the matter of identification, in my opinion, it is instructive to consider for a moment the fundamental rules of evidence which operate in any criminal trial in relation to identification, as well as to other controversial issues. I begin with the observations in paragraph 63 of Dickson on Evidence to this effect:

"Every item of the evidence in a cause is either direct or indirect. By the former term is meant evidence expressly affirmative or negative of the issue. The only question therefore in regard to such evidence is, whether it is to be believed, - that is, whether the document is genuine and its contents true, or whether the witness has accurately observed and remembered, and has truthfully related, the facts to which he speaks. On the other hand, indirect (which includes circumstantial and presumptive) evidence consists of a factum probatum of one kind, from which a different fact, the factum probandum, has to be inferred by a process of reasoning. Consequently, indirect evidence embraces two inquiries, first, - whether there is sufficient proof of the probative facts; and, second, if so, whether the fact in issue is deducible from them by an inference sufficiently strong to found a verdict."

In my view, evidence deployed in a criminal trial to prove the implication of the accused in the commission of the offence in question may fall into one or other of the two categories of evidence described in the foregoing paragraph. Evidence by a witness of visual identification of the accused person in the dock as the perpetrator of the crime is direct evidence. However, such evidence of identification may simply be unavailable, or a prosecutor, for good reasons, may decide not to rely upon it and rather to rely upon indirect evidence of identification. Such indirect evidence may take many forms, depending upon the particular circumstances of the case, and, in particular, what evidence is available. Langan v H.M. Advocate, cited by the Advocate depute, is an example of such a case. There the evidence against the accused, who was charged with murder, consisted of the fact that a blood-stained fingerprint which was present on a tap on a sink of the house where the crime was committed was identified as his. The deceased was found in the living room of the house surrounded by blood, and there was evidence that the blood could have remained liquid for some 24 hours after death. The appellant gave evidence in which he denied that he had ever been in the house, but the evidence of the fingerprint experts was not challenged. The court held that, in the absence of any explanation for the presence of the fingerprint, the jury were entitled to hold that it was made by the murderer when cleaning up after the murder. The appeal was refused. Another example of such a case is McGuire v H.M. Advocate, also founded upon by the Advocate depute. There the appellant had been charged with committing a robbery, along with others. He lived in the neighbourhood of the locus and one of the robbers, who discarded a mask at the scene, was recognised by the complainer as a local boy. The complainer gave a description of that person, which was consistent with the appellant's appearance, but stated that none of the robbers were present in court. The evidence against the appellant consisted of the presence of his DNA on the mask, which had been constructed from the sleeve of a woollen jumper. The trial judge repelled a submission of no case to answer and the appellant, who did not give evidence, was convicted and appealed to the High Court. It was held that, given the evidence relative to the mask, including the scientific evidence associating the appellant with it, and the absence of any explanation by him for that association, the trial judge had been entitled to rule as he did and the appeal was dismissed. Thus, in my opinion, it is quite plain that in seeking to establish the implication of an accused person in the commission of a crime, the Crown is at liberty to deploy either direct visual identification of the accused as a person involved in the commission of the crime, or indirect evidence upon the basis of which it can be inferred beyond reasonable doubt that that was so. The kind of evidence which may be used will plainly be determined by what is available and by the exercise of the Crown's discretion as to the evidence upon which it thinks fit to rely. Both of these kinds of evidence are primary and not secondary or substitutionary and are therefore admissible.

[34] Since, in my view, there is some confusion in certain of the authorities to which our attention was drawn concerning the relationship between the issue which has in fact been raised in the present case and the best evidence rule, I think it is instructive to have regard to a classic statement of that rule, once again found in Dickson on Evidence at paragraphs 195 and following. In paragraph 195 the learned author says:

"We have already treated of evidence as divided into direct and indirect; and we have seen that indirect evidence is not necessarily substitutionary in its character. It is rather a method of proving that which otherwise might not be provable at all; and, consequently, to adduce indirect evidence is in no degree to infringe upon the one primary rule of evidence, - the rule, namely, that a party must adduce the best attainable evidence of the facts he means to prove. ... The rule is chiefly directed against the admission of copies or parole of the contents of documents and of hearsay evidence; these all inferring the existence of more original proof of the facts which they set forth."

In paragraph 196, the learned author continues:

"This rule does not make it imperative on a party to bring forward the most convincing of all his attainable means of proof; it only requires him to adduce evidence, which in its own character is primary and not substitutionary."

In paragraph 199, the learned author deals with the relationship between circumstantial proof and the evidence of an eye-witness to fact. He there says this:

"On this principle also circumstantial proof is not rendered inadmissible by there being an eye-witness to the fact who has not been examined. But this unexplained absence will be a matter for the jury to consider in weighing the proof adduced."

It seems to me that these last two passages are inconsistent with the rule contended for by the appellant in this case.

[35] In the context of the debate before us there was much discussion of eye-witness identification of an accused person in court as a perpetrator of a crime. In my opinion, it is as well to recognise that, while there is a long tradition of reliance upon such evidence, its limitations have to be acknowledged. In this connection, it is worth remembering what is said in Allison Criminal Law Practice, Vol. II page 627, paragraph 9:

"Identity of person is frequently a matter of the greatest importance to the prisoner; and in weighing the evidence on that head, the jury should rather consider the identification which took place at the time, or shortly after the time, when the events libelled took place, than what takes place ex intervallo in their presence, after the dress or look of the prisoners may have been changed, or the strength of their own recollection diminished. . . . Where the question is a direct one of identity, it is by no means necessary that two witnesses should speak to that fact explicitly. Frequently one witness swears directly to the man, and another says he resembles him, but he cannot swear he is the same. Certainly this, along with some other circumstance, as vicinity to the spot, finding the stolen goods upon him or the like, is sufficient proof of identity. In estimating the comparative weight due to the two oaths on the subject of identity, it is of importance to recollect that recognition is much more probable, and mistakes in regard to identity are much less likely de recenti than ex intervallo; more especially as, on the first occasion, the dress of the parties is generally the same as when the event in question took place; whereas on the latter it is usually altered, and their appearance has frequently undergone a change from the effects of confinement. On this account, the material point for the prosecutor to establish is, that the prisoner was recognised as the man by the witnesses, when examined in precognition soon after the injury; and their testimony on that head may be received and considered, even although they can say nothing as to the prisoner at the bar, provided the prosecutor prove that that was the man shown them before the magistrate; . . .".

[36] In my view, the modern exemplification of the point made by Allison is to be found in McGarahon v H.M. Advocate and, more prominently, in Muldoon v Herron. In this latter case, decided by a Full Bench, the only two eye-witnesses of an offence gave evidence that, soon after the offence, they had pointed out to the police several of those implicated. Neither witness, however, identified the accused in court, and one deponed that the accused were not among those she had pointed out or among those implicated. Two police officers deponed that the accused were among those pointed out by both the witnesses. Against that background the court held that there was sufficient evidence of identification of the accused. It appears to me that that decision is wholly destructive of the contention advanced by senior counsel for the appellant that there existed a rule, the scope and nature of which he was unable to define, requiring visual identification in court from eye-witnesses to a crime. It is perhaps worth mentioning that the approach in the passage which I have quoted from Allison concerning the shortcomings of visual identification in court has, in recent times, been recognised by the Privy Council in Holland v H.M. Advocate. In this connection I refer to the speech of Lord Roger of Earlsferry at paragraphs 49 and 50.

[37] With the benefit of the exposition of the law of evidence given by Dickson and Allison, I now come to examine the authorities relied upon on behalf of the appellant to support the contention made in this area. The first of these was Bruce v H.M. Advocate. In my opinion, it is important to recognise exactly what was the issue with which that case was concerned. At the trial of the accused, James Bruce, who was convicted upon an indictment of wilful fire-raising, the prosecutor did not attempt to have the person in the dock expressly identified by the Crown witnesses, although certain of these witnesses in deponing to facts relating to the charge, spoke of "the accused, James Bruce". In quashing the conviction on the ground that the evidence of the alleged socius criminis, on which the prosecutor founded his case, had not been sufficiently corroborated, the court expressed the opinion that the conviction was also open to challenge in respect that the accused had not been directly identified or associated with the crime by the evidence of witnesses who were speaking to facts material to the charge, proper identification in criminal practice being a matter of express question on the part of the prosecutor and not merely a matter which should be left to implication. In essence, the issue before the court was one of sufficiency of evidence, as was observed by Lord Wark at the bottom of page 94. At page 95, Lord Wark deals with what he describes as "proper practice" in relation to the leading of identification evidence of an accused person in court. There he said this:

"I should just like to say upon the other question - the question of identification - that it appears from the notes of evidence that no attempt was made by the prosecutor to get the appellant directly identified by Crown witnesses. A number of witnesses who were asked to speak to certain facts in connection with the indictment spoke of 'the accused, James Bruce', and I am not prepared to say that, upon the evidence led for the Crown, there was not, at least, sufficient to imply the identification of the appellant. But I am very clearly of opinion that identification of an accused is not a matter which ought to be left to implication. The proper practice is to have the accused identified directly by persons who are speaking to facts which are material to the charge which is under investigation."

At page 96 the Lord Justice Clerk spoke on the same matter:

"I desire to add only one word on the question of identification. I think there was no proper identification in this case. The kind of evidence of identification that was led, is that given by the witness who says 'I spoke to the accused, James Bruce'. Now that is not the identification required in a criminal case. The witness should have been asked directly whether the accused was the man to whom he was referring, and there should have been an express identification in Court. The proper identification of an accused person in a case of this kind is obviously essential and should not be left to implication, and it will not do to have one rule in one kind of case and another rule in another kind of case."

[38] In my opinion, these observations are directed only to the proper practice as to the process of the eliciting of visual identification evidence in court. That proper practice is said to be to have the accused identified by means of, as Lord Wark puts it at page 95, "careful and express question on the part of the prosecutor". In my judgement, the observations are not concerned in any way with the exercise of the discretion possessed by the prosecutor as to the evidence which he may proffer to the court for the purposes of proving the implication of the accused in the commission of the crime. In other words, their Lordships observations about the proper practice relate only to a situation in which the Crown has, in fact, resolved, in the exercise of its discretion, to rely on evidence of visual identification in court. Of course, it remains open to the Crown not to do that. It is at liberty to proffer whatever admissible evidence it may have available on which it thinks fit to rely. Thus, in my view, the foregoing case cannot be used in the way that senior counsel for the appellant sought to use it, as a basis for the erection of some rule requiring the leading of visual identification evidence in certain situations.

[39] The observations in Bruce v H.M. Advocate, which I have examined have been the focus of recent comment in Holland v H.M. Advocate, both in the Criminal Appeal Court and in the Privy Council. While the remarks of Lord Justice Clerk Gill at paragraph (27) of the former report, to the extent only that they approve of what was said by Lord Justice Clerk Ross in Robson v H.M. Advocate, do not accord with the view I have formed concerning the significance of Bruce v H.M. Advocate, I find nothing said in the Privy Council inconsistent with my view.

[40] Wilson v Brown was relied upon by the appellant. In my opinion, that case is of no particular assistance in the present context. I consider that it was concerned essentially with an issue of sufficiency of evidence. The issue was whether the licensee had been proved to have been responsible for the conduct of the business in the course of which the offence was committed. Nor do I think that the case of Stewart and Others v H.M. Advocate is of any particular assistance in this case. At page 251 of the report reference was made to the proper practice described in Bruce v H.M. Advocate. However, on the same page of the opinion of the court it was stated:

"But the identification of the appellant J. L. Stewart as the Councillor J. L. Stewart in question was not left to implication for the appellant was directly identified as such by the witnesses Rennie and Matheson and also by a witness Patterson ... We are satisfied that the appellant Stewart was properly and sufficiently identified and that this ground of appeal falls to be rejected."

In my view there is nothing in that case which supports the attempt made by senior counsel for the appellant to erect what was said in Bruce v H.M. Advocate into the source of a rule such as he sought to justify. Likewise, having considered what was said by the sheriff and the court in Reekie v Smith, I can discern nothing there which supports the existence of such a rule.

[41] However, in view of what was said in Robson v H.M. Advocate by Lord Justice Clerk Ross, I feel obliged to comment in more detail on that case. The accused was tried on indictment for using lewd, indecent and libidinous practices and behaviour towards two children who spoke of the offences having been committed by "Mike", a night watchman who worked near to their home. The older complainer was asked if the accused was in court and identified him. The younger complainer was not asked to identify the accused in the dock. The complainers' parents identified the accused as the night watchman who was known to the complainers as "Mike" and worked nearby. The accused was convicted and appealed, arguing that there was insufficient evidence identifying him as the perpetrator. The decision of the court itself was that, having regard to the circumstantial detail to which the complainers' parents were able to speak, their evidence was sufficient to enable the jury to infer that the accused was the man whom the complainers described as having committed the crimes against them. The appeal was refused. However, Lord Justice Clerk Ross made certain observations at pages 947 to 948, with which I must respectfully disagree. He there says:

"This case has occasioned some concern, because it is difficult to understand why the Crown did not comply with the general rule laid down in Bruce v H.M. Advocate. ... As the Lord Justice General said in Stewart v H.M. Advocate, the general rule of practice laid down in Bruce should be followed in all criminal trials in which the Crown sets out to prove first that that a crime has been committed and second that a particular accused was the perpetrator."

In relation to that passage I feel bound to say that the rule of practice referred to is, in my opinion, stated too widely. The fact is that in all criminal trials of whatever nature the Crown "sets out to prove first that a crime has been committed and second that a particular accused was the perpetrator." Plainly, in Bruce v H.M. Advocate the court was only concerned with the kind of case in which the Crown sought to lead evidence of visual identification in court, yet, the Lord Justice Clerk, in this passage, seems to say that there was some rule, vouched by the decision in Bruce v H.M. Advocate, which applied to all criminal prosecutions. In my view, that position is plainly unsound.

[42] The Lord Justice Clerk went on in this way:

"There may, of course, be cases where a complainer for some reason is unable or unwilling to identify the accused as the perpetrator, and in such cases the Crown may require to rely upon other evidence for identification of the accused as the perpetrator."

That observation, in my respectful opinion, appears wholly unexceptionable, but what follows is not. The Lord Justice Clerk continues:

"But where the complainer is able to identify the accused as the perpetrator, he or she should be asked to do so in court. That must be the best evidence that the accused was in fact the perpetrator of the crime spoken to by the complainer."

In my opinion, there are several problems concerning this passage. The first is that, it appears to me, the court would never be able to say whether a complainer is able to identify an accused as the perpetrator, if the prosecutor decides not to attempt to elicit such evidence. However, the last sentence of the passage quoted I consider demonstrates confusion. There is reference to "the best evidence that the accused was in fact the perpetrator of the crime". If this observation is intended to be a reference of some kind to the best evidence rule, as properly understood, then, in my opinion, it is unsound. As I have sought to show, the best evidence rule is related to the distinction between primary and secondary evidence and is not intended to distinguish between one kind of primary evidence and another. Furthermore, his Lordship's latter observation appears to me to fly in the face of the reservations expressed by Alison and reiterated in Holland v H.M. Advocate concerning the quality of evidence of visual identification in court, as opposed to evidence of visual identification at an earlier stage, or other evidence of identification.

[43] It is plain from what is said at page 948 of the report in Robson v H.M. Advocate that the passages in the opinion of the court which I have criticised were obiter. Having expressed the views that he did, the Lord Justice Clerk went on to say that the question for the court was whether the evidence led on behalf of the Crown was sufficient. The court held that it was. Accordingly the fact that the Crown had chosen not to follow what was said to be the rule in Bruce v H.M. Advocate was very much a matter of comment rather than decision.

[44] Finally on this aspect of the case, Purawec v Procurator Fiscal, Paisley featured in the debate before us. Having considered the observations of the court in relation to Bruce v H.M. Advocate and Robson v H.M. Advocate, in my opinion, nothing is said which supports the contention advanced by senior counsel for the appellant.

[45] Looking at the whole issue of the rule contended for by senior counsel, despite pressing him for assistance in this regard, I was left in ignorance of the nature and scope of the rule which he contended had been contravened in the present case. At different stages in the argument it was described as a rule of practice and as a rule of law. It appears to me that there is an important difference between such rules. A rule of law requires to be observed at all times within the scope of its operation; a rule of practice may, one supposes, be departed from for good reason. Senior counsel appeared to me to be quite unable to settle upon which the rule for which he contended was, whether it was a rule of practice or a rule of law. Of course the observations in Bruce v H.M. Advocate tend to suggest that the court was talking about good practice, rather than a rule of law.

[46] However, a further and perhaps more formidable problem, for the appellant was that it was never explained, at least to my satisfaction, what the scope of the suggested rule was. I consider that this constitutes a fundamental difficulty, which militates against the existence of the rule contended for. In particular, it was not specified to what kind of witness the rule would apply. It was left uncertain whether it would apply to all witnesses who might be supposed, on some unspecified basis, to be able to give evidence of visual identification, or to some other class of persons. If it were to apply to the former category of persons, it was not indicated how they were to be identified by the court, or by any party to the proceedings who might wish to secure the observance of the rule contended for. Leaving those issues to one side for a moment, it was not made clear how the observance of the rule could be enforced; whether there existed some sanction against its non-observance, and, if so, what. I consider that, without a resolution of these various issues, the rule contended for could not be operated in practice.

[47] Furthermore, over many years, prosecutors have not in fact observed any such rule. Rather, they have exercised their discretion as to whether they would seek to elicit evidence of visual identification from a particular witness, in the light of the whole circumstances known to them. That I regard as a perfectly proper approach.

[48] It is quite evident from the authorities on the rules of evidence which I have quoted that the implication of an accused person in the commission of an offence may be proved in a variety of different ways by direct evidence, or by indirect evidence of different kinds. How the Crown goes about proving that essential feature of a case must be a matter for the exercise of its discretion, in the light of the evidence which may be available to it in the circumstances of any particular case, about which the court will almost certainly have no knowledge. It appears to me that the rule contended for on behalf of the appellant would undermine the exercise of that proper discretion. For these reasons I consider that no such rule can be recognised. In all the circumstances, in my opinion, there is no merit in ground of appeal 1. As I understood the appellant's position it was only in the event of the court being persuaded that a rule such as was contended for existed that it would follow that the trial judge had erred in respect of his rejection of no case to answer submission. Furthermore, it appeared to me that the criticisms of the trial judge's directions contained in ground 1(b) would only possess force in the event of the affirmation by this court that the rule contended for existed.

 

Ground of Appeal 2 - Oppression

[49] In dealing with this matter, it is appropriate to note that Lord Bonomy, at a preliminary hearing, was faced with minutes on behalf of the accused, including the appellant, seeking dismissal of the charges on account of oppression and other grounds. His conclusion was that these pleas in bar of trial should be repelled. Senior counsel for the appellant expressly accepted that that decision could not be criticised. His argument in support of ground of appeal 2 came to be a criticism of the directions given by the trial judge to the jury, as would be expected from the terms of that ground. In this context it is also appropriate to note what was said by Lord Bonomy relating to these matters. In paragraph 43 of his Opinion in relation to the matter of identification he said this:

"I am confident that the jury can be properly directed to avoid any risk of prejudice from the way in which the case was investigated by the press and solicitors and the publication of a photograph. It is inevitable the jury will be directed to exercise caution in evaluating evidence of identification in this case, particularly eye witness identification. It is impossible at this stage to evaluate the strength of that evidence. That can only be done once it has been heard."

In relation to the matter of what might be described as evidence lost on account of the passage of time, having rejected the suggestion that it would be oppressive to proceed to trial because there was now less material available than there would have been at an earlier date, in paragraph 45, Lord Bonomy said this:

"While it is possible to say that certain records must have existed at some time e.g. the formal records that had to be kept by the school, medical records of any complainer sustaining injury, and court and social work records relating to the circumstances in which boys were sent to St Ninian's, it could only be on the basis of speculation that I could conclude that in relation to any complainer there might be some record that would shed light on whether any allegation is true or not."

Finally, in paragraph 46 of his Opinion, Lord Bonomy said this:

"I have also considered whether the cumulative effects of the various points on which Mr Watson relied might be to create such prejudice as would make it oppressive to proceed to trial. Having done so, I remain satisfied that it will be possible at trial to direct the jury adequately to avoid any risk of prejudice."

[50] During the course of the argument before us senior counsel for the appellant focused particular attention on the three topics specifically raised in ground of appeal 2: (1) the electricity generating device referred to in certain charges; (2) evidence from the matron and nurse who worked at the school at the material time; and (3) medical and other records in respect of the complainers. These were the matters in relation to which it was said that the appellant was or might have been prejudiced by the non-availability of evidence. The contention was that the trail judge had failed to give adequate directions concerning such prejudice.

[51] Dealing with these matters in turn, the electricity generating device featuring in certain charges was not available at any time after the complainers came forward. That meant that it could not have been produced in evidence at the trial, neither could any expert evidence have been available in relation to its capabilities, either for the Crown or the defence. The result of that situation was that the jury had the task of making a decision concerning the charges in which that device featured upon the basis of the evidence which was available to them. That is the kind of situation which not infrequently occurs in criminal trials where, for one reason or another, real evidence is not available at the time of a trial, for example, a weapon used in an assault..

[52] Turning to the second matter relied upon, the non-availability of evidence which might have been given by the matron and nurse employed at the school at the material time, the obvious problem in relation to it is that whether they could or could not have given evidence relevant to the case must be a matter of speculation. There is no indication from any source of what evidence, if any, they might have been able to give, had they remained in life. The same may be said of the medical and other records relating to the complainers which, no doubt, existed at one stage, but were not available at the time of the trial. Their contents must be a matter of speculation.

[53] Against that background and in the light of the formulation of this ground of appeal, one must pose the question of what directions the trial judge might reasonably have been expected to give. As was to be expected, at page 4 of the transcript of his charge, the trial judge directed the jury that they required to reach their decisions on the facts of the case "solely upon the basis of the evidence which you have heard in the case and of course, in the light of these directions in law which I am giving you. Of course, as I think has been mentioned, you must base your decision on the evidence you have heard and not - for example - what you might have read in the press during the currency of the case or indeed before the case started. You should assess all the evidence so that you can decide what facts have been proved and what facts have not been proved."

[54] Furthermore, between pages 17 and 20 of the transcript of his charge, the jury were given clear and forceful directions concerning the problems which were seen to have arisen from the antiquity of the events which had given rise to the prosecution.

[55] It must be accepted that the trial judge did not deal specifically with the consequences of the non-availability of the electricity generating device, of the matron and nurse, as witnesses, or of the medical and other records of the complainers. However, a decision having been reached by Lord Bonomy that it was not oppressive for the trial to proceed, in my opinion, it is a matter of insuperable difficulty to identify what specific directions the trial judge might have given in relation to these particular matters. He directed the jury that they required to make a decision on the evidence which had been led before them and, in my opinion, he could not reasonably have been expected to say more than that. It was said by senior counsel on behalf of the appellant that oppression was a matter of law and that therefore directions needed to be given on the matter to the jury. I have difficulty in accepting that proposition. The function of the jury was to make a decision on the facts of the case, as it was presented to them in the evidence. If, for any reason, the trial judge concluded that for the Crown to have proceeded with the trial was oppressive, it would have been his duty and not that of the jury to bring the trial to an end. However, nothing was brought to our attention to suggest that, in some way which Lord Bonomy did not foresee, the trial had become oppressive. Accordingly, in my view, it would have been wrong for the trial judge to raise with the jury by way of direction the issue of oppression itself.

[56] Our attention was drawn to the case of R v Boyd where a conviction was quashed because of the loss, apparently through carelessness, of the blood sample. It appears to me that that case can be distinguished from the present one in respect that the blood sample and its analysis was a matter which constituted an essential part of the core of the case. That situation appears to me not to be comparable with any feature of the present case and, in particular, the specific matters raised in ground of appeal 2. On the whole matter, in my opinion, ground of appeal 2 possesses no merit.

 

Ground of Appeal 3 - Defective representation
[57
] In this ground of appeal it is contended that senior counsel representing the appellant at the trial did not renew the plea of oppression advanced on behalf of the appellant at the pre-trial hearing before Lord Bonomy. In my opinion, there would be force in this ground of appeal only if, in some way, circumstances had changed following the decision of Lord Bonomy, so that the plea of oppression acquired some foundation different from that considered and rejected by him. I am unable to identify any feature of the trial which would have justified the issue of oppression being raised before the trial judge. I did not understand senior counsel for the appellant to specifically identify any feature of the trial which arguably might have constituted a justification for the renewal of the plea of oppression as a basis on which the trial should have been brought to an end. In these circumstances, the fact that counsel who appeared for the appellant at the trial did not consider the matter of raising the plea of oppression again could not amount to a miscarriage of justice. Accordingly I would reject this ground of appeal also.

[58] In the whole circumstances, I would therefore invite your Lordships to refuse this appeal.


APPEAL COURT, HIGH COURT OF JUSTICIARY

 

Lord Osborne

Lord Macfadyen

Lord Marnoch

 

 

 

 

 

 

 

 

 

 

 

[2007]HCJAC57

Appeal No: XC858/03

 

OPINION OF LORD MACFADYEN

 

in

 

APPEAL AGAINST CONVICTION AND SENTENCE

 

by

 

MICHAEL MURPHY

Appellant;

 

against

 

HER MAJESTY'S ADVOCATE

Respondent:

 

_______

 

 

 

 

Act: Clancy, Q.C., Shead; McSparran & McCormick, Glasgow.

Alt: Prentice, A.D.; Crown Agent.

 

 

9 October 2007

Introduction

[59] I agree with the Opinion of your Lordship in the chair that, for the reasons given therein, the appeal should be refused. I wish to add my own views only on certain of the issues relating to the sufficiency of the evidence of identification of the appellant as the perpetrator of the abuse which constituted the crimes of which he was convicted.

 

Ground of Appeal 1(a)

[60] The primary ground of appeal on which Mr Clancy, for the appellant, founded was Ground 1(a) as formulated in the Supplementary Note of Appeal (as adjusted), document No. 1B of the appeal process. That ground of appeal narrates (i) that the appellant was convicted of ten charges involving nine different complainers, all of whom were children when the offences were committed; (ii) that the charges concerned events which occurred between 1961 and 1969; (iii) that only four of the complainers identified the appellant in court (by so-called dock identification) as the perpetrator of the assaults on them; (iv) that of the other five complainers, two wrongly identified the appellant's co-accused (by dock identification) as the perpetrator of the offences with which the appellant was charged; and (v) that the remaining three complainers purported to identify the appellant either by his religious name (Brother Benedict) or by a nickname ("Bootsie"), but were not asked to attempt dock identification. On that narrative basis, ground of appeal 1(a) asserts that the trial judge erred in rejecting a submission made on the appellant's behalf that there was no case to answer in relation to charges in respect of which there was no dock identification of the appellant.

 

The Trial Judge's view of Ground of Appeal 1(a)

[61] The trial judge, in his Supplementary Report at paragraph 3(1)(i), explained that he repelled the submission that there was no case to answer because his view was that there was sufficient evidence of identification of the appellant in respect of each charge. He recorded that (as is accepted by the appellant, although it is not expressly mentioned in Ground of Appeal 1(a)) all of the complainers (i.e. including those who made dock identifications, and those who "wrongly" identified the co-accused, as well as those who were not asked to make a dock identification) identified their assailant as Brother Benedict. He added:

"The absence of dock identification is relatively simply explained by the passage of time and the ageing of the appellant. However, in all cases, each complainer identified his assailant by name as Brother Benedict. There was ample proof that the appellant was Brother Benedict. Given that the complainers were pupils at the school [mentioned in the libel] and can be assumed to have known the names of their masters, notably those of the Brothers, their ability to name the assailant coupled with proof that the particular name attached to the appellant provided sufficient evidence of identification of the complainers in each case. Furthermore, the various descriptions of Brother Benedict (e.g. his glasses, cassock and Irish accent), where he might be found (e.g. the dining room) and what he might be doing (e.g. the laces and the electronics [aspects of several of the charges]) all provided ample evidence that each complainer was talking about the appellant. It was never, quite rightly, put to any of the witnesses that the Brother Benedict they spoke about was not the appellant. There was no need for the Crown to obtain a dock identification in every (or perhaps any) case. Each complainer could identify the assailant by name and the person named, whom they knew, was proved to be the appellant."

 

The submissions for the appellant
[62
] Mr Clancy disputed the soundness of that approach. He submitted that there was a general rule that a witness should be asked to make a dock identification. If, but only if, the witness stated that he or she was unable to make such an identification was it permissible to seek to establish identification by indirect means. Moreover, if a witness made an "erroneous" dock identification, it was not legitimate, without challenging that identification in the course of examining the witness, to rely on other aspects of the witness's evidence to set up an indirect identification of someone other than the person "erroneously" identified in court.

[63] In elaborating on those submissions, Mr Clancy relied on a line of authority comprising the following cases: Bruce v H. M. Advocate 1936 JC 93; Wilson v Brown 1947 JC 81; Stewart v H. M. Advocate 1980 SLT 245; Reekie v Smith 1987 SCCR 451; and Robson v H. M. Advocate 1996 SLT 945, SCCR 340. Reference was also made to Holland v H. M. Advocate 2003 SLT 1119, SCCR 616; 2005 SC (PC) 3, SCCR 417. In order to come to a conclusion as to whether Mr Clancy's submission is well founded, it is necessary, in my view, to analyse that line of authority.

[64] Bruce was a case of wilful fire-raising. The circumstances emerge from the opinion of Lord Wark, who said at 95:

"A number of witnesses who were asked to speak to certain facts in connection with the indictment spoke of 'the accused James Bruce', and I am not prepared to say that, upon the evidence led by the Crown, there was not, at least, sufficient to imply the identification of the appellant. But I am very clearly of opinion that identification of an accused is not a matter which ought to be left to implication. The proper practice is to have the accused identified directly by persons who are speaking to facts which are material to the charge which is under investigation. ... I think that, as a matter of practice, the identification of the accused by witnesses who are speaking to the facts should, in every case be a matter of careful and express question on the part of the prosecutor. In this case that was not done."

It is to be noted that Lord Wark twice in the passage quoted puts the point as a matter of proper practice. Lord Justice Clerk Aitchison, at 96, said:

"I think there was no proper identification in this case. The kind of evidence of identification that was led is that given by the witness who says 'I spoke to the accused James Bruce.' Now that is not the identification required in a criminal case. The witness should have been asked directly whether the accused was the man to whom he was referring, and there should have been an express identification in Court. The proper identification of an accused person in a case of this kind is obviously essential and should not be left to implication".

[65] Wilson presented the same sort of problem as Bruce. The appellant (Jessie Wright Stevenson Wilson) was charged that at the hotel where she carried on business as a hotel keeper she did by the hands of her servant sell to a sampling officer adulterated whisky. The sale of adulterated whisky by the barman was proved. The sampling officer stated that he knew the licence holder to be Mrs J. W. S. Wilson. His assistant stated that he knew the owner of the hotel to be Mrs Wilson, and that he had seen the accused on the premises on the night of the offence. The accused was present in court, but neither witness was asked to identify her as the licence holder or the hotel keeper. She was convicted, but on appeal the conviction was quashed, the court holding that the accused should have been identified in court by two witnesses as the person who carried on the business of hotel keeper. Both Lord Mackay (at 94) and Lord Jamieson (at 95) referred to Bruce. Lord Stevenson (at 98) identified the deficiency in the evidence thus:

"... the evidence only amounts to the fact that a Mrs Jessie Wright Stevenson Wilson was the licence holder. Neither of the witnesses identified the Mrs Wilson who was present [in court] as being such. I am therefore of opinion that the Sheriff-substitute was not justified in coming to the conclusion that the appellant was the licence holder or carried on business at the hotel."

As Lord Mackay had pointed out earlier (at 92):

"There might be fifty Mrs Wilsons in Kilmarnock".

[66] In Stewart, a prominent Councillor was convicted of charges of corruption. On his behalf it was argued that he had not been sufficiently identified by key witnesses whose evidence provided the essential foundation of his conviction. It was argued, under reference to Bruce and Wilson that proper identification of an accused by a witness should not be left to implication; it must be the subject of express question by the prosecutor and the accused must be directly identified by the witness either by pointing him out or describing him as, for example, the first accused sitting in the dock; that rule of practice had not been observed, for the important witnesses who spoke of matters in which "Councillor J. L. Stewart" was implicated merely agreed that they saw him in court; they did not point him out; they did not even say that the man they were speaking about was sitting in a particular position in the dock. Delivering the opinion of the court, Lord Justice General Emslie said (at 251, col. 2):

"Without wishing to cast any doubt on the general rule of practice to be found in the cases of Bruce and Wilson we would emphasise that it is merely a general rule which will be applicable to most criminal trials. It will be applicable in particular in all criminal trials in which the Crown sets out to prove, first, that a crime has been committed and, second, that a particular accused person was the perpetrator. In this case the circumstances were, however, special, for the only question for the jury was whether in the course of close association between the key witnesses Matthews and Maunder and the well-known public figure, the Councillor J. L. Stewart, that councillor had corruptly solicited rewards and advantages. In our opinion in the evidence of the key witnesses and of the other witnesses to whom counsel for the appellant Stewart referred the identification of the appellant J. L. Stewart was clearly implied, and in the circumstances of this case that was quite sufficient. But the identification of the appellant J. L. Stewart as the Councillor J. L. Stewart in question was not left to implication for the appellant was directly identified as such by [certain witnesses]. According to the notes of evidence the appellant was pointed out by these witnesses. In the absence of cross-examination of these witnesses and in the circumstances that the identification of the appellant Stewart as the well-known Councillor J. L. Stewart was not a live issue throughout the trial we are satisfied that the appellant Stewart was properly and sufficiently identified."

[67] Reekie adds little to the line of authority, other than as an example of a case in which, because specific dock identification was not sought and obtained, the evidence against the appellant was held to be insufficient. Bruce, Wilson and Stewart were cited by the sheriff in his report, but not expressly mentioned in the opinion of the court delivered by Lord Justice Clerk Ross. The appellant and three others, M, McI and W, were indicted on various charges, including a charge against the appellant and McI that they had assisted the escape of a prisoner from the custody of two police officers, in contravention of section 41(1) of the Police (Scotland) Act 1967. One police officer made a dock identification of the appellant. The other made a dock identification of M, then added that, "Others intervened and pulled me away, it was the other three in the dock." He was not asked to identify the "other three" individually, but merely nodded in the direction of the dock as he spoke. In cross-examination, however, he said that he was not sure about the involvement of W, but was not asked specifically to identify W. Lord Ross observed (at 455):

"As the sheriff points out, the whole difficulty could have been avoided if the procurator fiscal depute had followed the proper practice of having the accused identified specifically by each witness. When P.C. Wilson indicated that he might be wrong about one of the three persons in the dock, he indicated that his uncertainty related to the accused called [W], but it is not clear that he knew the names of the individual men in the dock and thus it is not clear that he was in fact referring to the accused called [W]. He might have been referring to the appellant under the mistaken belief that he was called [W]. In these circumstances we have come to be of opinion that there was insufficient evidence to entitle the sheriff to make [the finding that the appellant was one of the two persons involved in assisting the escape]."

[68] In Robson, the appellant was convicted of using lewd, indecent and libidinous practices and behaviour towards two children, both of whom referred to the perpetrator as "Mike", a night-watchman who worked nearby. The older child made a dock identification. The younger child was not asked to do so. The parents of the complainers identified the appellant as the night-watchman who was known to the complainers as "Mike", and worked nearby. The appellant was convicted and appealed. On appeal, it was held that the parents' evidence was sufficient to enable the jury to infer that the appellant was the man whom the complainers described as having committed the crimes against them. The opinion of the court, delivered by Lord Justice Clerk Ross, contains a lengthy narrative of submissions based on Bruce, Wilson and Stewart. I note that in a passage at 947F (not to my recollection cited by Mr Clancy), Lord Ross said:

"Counsel [for the appellant] submitted that the rule laid down in Bruce v H. M. Advocate was a rule of law applicable to all cases. That, however, appears to be incorrect, because as the Lord Justice General pointed out in Stewart v H. M. Advocate it is a general rule of practice, not a rule of law."

At 947L, Lord Ross said that it was difficult to understand why the Crown did not comply with the general rule laid down in Bruce. At 948B he continued:

"As the Lord Justice General said in Stewart v H. M. Advocate, the general rule of practice laid down in Bruce should be followed in all criminal trials in which the Crown sets out to prove first that a crime has been committed and second that a particular accused was the perpetrator. There may, of course, be cases where a complainer for some reason is unwilling or unable to identify the accused as the perpetrator, and in such cases the Crown may require to rely on other evidence for identification of the accused as the perpetrator. But where the complainer is able to identify the accused as the perpetrator, he or she should be asked to do so in court. That must be the best evidence that the accused was in fact the perpetrator of the crime spoken to by the complainer."

Despite those observations, Lord Ross went on to consider whether the evidence led by the Crown was sufficient. Having analysed the evidence of the complainers and their parents summarised above, Lord Ross concluded (at 948G) that the jury were entitled to infer on that basis that the appellant had been identified beyond reasonable doubt as the perpetrator, but emphasised that the court regarded the case as a special one because of the amount of circumstantial detail to which the parents were able to speak. He then reiterated that the general rule in Bruce should be followed in all cases of the sort identified by Lord Justice General Emslie in Stewart.

[69] Holland was concerned with whether dock identification was fair. The appellant was indicted with others on two charges of armed robbery. Two eye witnesses attended an identification parade and picked out stand-ins. At trial an objection to dock identification by those witnesses was repelled, they each identified the appellant, and those identifications proved to be crucial to the appellant's conviction. One ground of appeal against conviction was that the dock identification was unfair and unreliable. In this court, that ground of appeal was rejected. Mr Clancy relied on the observations of Lord Justice Clerk Gill at paragraph [27], where his Lordship said:

"I accept the submission of counsel for the appellant that Scots law has a long standing preference for identification made de recenti over that made ex intervallo ... But it does not follow that evidence of an identification at a parade is always preferable to an identification made in court; or that a failure to identify at a parade invalidates an identification made in court. It is the long established practice of the Scottish courts to require that an identification of the accused should be made in open court. In Bruce v H. M. Advocate, the court held that identification of the accused at a trial should not be left to implication. The Crown should seek express identification of the accused by the witness (cf Stewart v H. M. Advocate, Lord Justice General Emslie at 1980 SLT, p 251; Reekie v Smith, Lord Justice Clerk Ross at 1987 SCCR, p 455). Where the complainer can identify the accused as the perpetrator of the crime to which he speaks, identification in court by the complainer is regarded as being the best evidence on the point (Robson v H. M. Advocate, Lord Justice Clerk Ross at 1996 SLT, p 948; 1996 SCCR, p 345B)."

At paragraph [28], Lord Gill added:

"In modern practice, evidence of an identification de recenti has been held to be admissible where the witness is unable to identify the accused in court, or even where the witness denies that the accused is the person whom he identified (Muldoon v Herron [1970 JC 30]); but identification by such means is not the primary form of identification for which the court will look."

[70] When Holland reached the Judicial Committee of the Privy Council, the result was that the appellant's trial was held to have been unfair on account of the combination of a failure of disclosure on the part of the Crown, and the potential unfairness of the dock identification (see per Lord Rodger of Earlsferry at paragraph [85]). It was recognised that dock identification was subject to criticism in that it lacked the safeguards offered by an identification parade, and the accused's position in the dock positively increased the risk of a wrong identification (per Lord Rodger at paragraph [47]). It was held, however, that, except perhaps in an extreme case, there was no basis, either in domestic law or in the European Convention on Human Rights, for holding dock identification evidence inadmissible per se (per Lord Rodger at paragraph [57]). On the line of authority with which the present appeal is principally concerned, Lord Rodger observed (at paragraph [46]) that the appeal in Holland cast no doubt "on the requirement that a Crown witness's identification of the accused should not, generally, be left to implication (Bruce v H. M. Advocate; Stewart v H.M. Advocate)." Lord Hope of Craighead discussed Bruce, Wilson and Stewart at paragraphs [7] and [8]. In the latter paragraph, he said:

"The general rule and the practice of asking witnesses to confirm that the person in the dock, or which of them if more than one, is the person to whom they are referring go hand in hand. It would not be possible to abandon the practice without departing from the rule too."

[71] Mr Clancy's submission on this aspect of the appeal came to be that there was a general rule, which had to be characterised as a rule of law, that a witness speaking to the events which constituted the offence with which an accused person was charged required to make a dock identification, and that if that was not done the Crown was not entitled to rely on other evidence identifying the perpetrator mentioned in the witness's evidence with the accused person. He accepted that there was an exception to that general rule where the witness was unable or unwilling to identify the accused in court, but submitted that the exception could only be invoked where the witness gave evidence of his or her inability or unwillingness to make a dock identification (Robson, at 948B). Moreover, the exception could only be relied on in special circumstances (Stewart at 251, col. 2; Robson at 948G). Mr Clancy did not thirl his submission to the proposition that the rule of law for which he contended was an aspect of the best evidence rule, as that expression is used as a term of art. He submitted, however, that in the present case the matter had not been confronted in the required way in the evidence of the witnesses who made an erroneous dock identification, or no such identification. The way to the Crown invoking the exception was therefore closed. He recognised, however, that the way in which the court actually dealt with the evidence in Robson was difficult to reconcile with his submission. There, there was no question asked of the younger child to open the way to reliance on her parent's evidence to link the man the complainers referred to as Mike to the accused. The same problem was present in Stewart. In any event, however, the circumstances of the present case were not special in the required sense.

 

The Crown submissions

[72] The Advocate depute began his submissions by referring to the general rule of law that to establish the guilt of a person accused of a crime it was necessary for there to be proof (a) that the crime had been committed, and (b) that the accused person was the perpetrator, or one of the perpetrators, of that crime. Failure to prove either of these facts would result in acquittal. The question for the Trial Judge on the motion that there was no case to answer was whether sufficient evidence had been led to entitle the jury to conclude that the appellant had been proved to be the perpetrator of the crimes with which he was charged.

[73] The flaw in Mr Clancy's argument, the Advocate depute submitted, stemmed from reading too much into what was said by the members of the court in Bruce. The "implication" which was held to be insufficient to prove that the appellant in that case was the perpetrator was that the witnesses' reference to "the accused James Bruce" was to the James Bruce who was present in the dock in court. There was no direct evidence that that was so. There was thus a gap in the evidence linking the accused with the perpetration of the crime. That was why he was acquitted. That was not authority for saying that such a gap could not be filled otherwise than by dock identification by the witnesses who spoke to the commission of the crime. Similarly, in Wilson, there was no evidence that the Mrs Wilson present in the dock was the Mrs Wilson spoken of by the witnesses. There was thus a similar gap in the evidence linking her to the commission of the crime. No evidence was tendered to fill the gap, and her acquittal therefore followed for want of proof that she was the perpetrator of the offence with which she was charged. Muldoon v Herron showed that, where the witness who spoke to the crime did not identify the accused in court, the connection between the person referred to by the witness as the perpetrator and the accused could be supplied by the evidence of other witnesses, in that case speaking to an identification made by the witness earlier at an identification parade.

[74] The Advocate depute submitted that it was wrong to treat the "general rule" referred to in the line of authority cited by Mr Clancy as an aspect of the best evidence rule. He pointed out that the distinction between direct and indirect evidence was not the same as the distinction between primary and secondary or substitutionary evidence. He referred for that purpose to the following two passages in Dickson on Evidence, 3rd edition:

"§ 63. Every item of evidence in a cause is either direct or indirect. By the former is meant evidence expressly affirmative or negative of the issue. The only question therefore in regard to such evidence is, whether it is to be believed, ― that is, whether the document is genuine and its contents true, or whether the witness has accurately observed and remembered, and has truthfully related, the facts to which he speaks. On the other hand, indirect (which includes circumstantial and presumptive) evidence consists of a factum probatum of one kind, from which a different fact, the factum probandum, has to be inferred by a process of reasoning. Consequently, indirect evidence embraces two inquiries, ― first, whether there is sufficient proof of the probative facts; and, second, if so, whether the fact in issue is deducible from them by an inference sufficiently strong to found a verdict."

"§ 195. We have already treated of evidence as divided into direct and indirect; and we have seen that indirect evidence is not necessarily substitutionary in its character. It is rather a method of proving that which otherwise might not be provable at all; and, consequently, to adduce indirect evidence is in no degree to infringe upon the one primary rule of evidence, ― the rule, namely, that a party must adduce the best attainable evidence of the facts he means to prove. This rule is founded on the presumption, that one who tenders the less trustworthy of two kinds of proof within his reach, does so in order to produce an impression which the better proof would not create; for, if they would lead to the same result, he would probably not select the less convincing of them. The rule is also designed for preventing trials from being burdened with unnecessary investigations into the authenticity of secondary proofs; by which the time of the judge and jury would be wasted and their attention might be diverted from the real points in issue. The rule is thus directed to the specific character, not the strength or amount of the proof. It excludes evidence, the substitutional nature of which implies that more original evidence can be obtained. ... The rule is chiefly directed against the admission of copies or parole of the contents of documents and of hearsay evidence; these all inferring the existence of more original proof of the facts which they set forth. ...

§ 196. This rule does not make it imperative on a party to bring forward the most convincing of all attainable means of proof; it only requires him to adduce evidence, which in its own character is primary and is not substitutionary."

As an example of indirect evidence of identification, not excluded by the best evidence rule, the Advocate depute cited Maguire v H. M. Advocate 2003 SLT 1307, SCCR 759, in which the inference that an accused was one of the perpetrators of a robbery was based on evidence of material containing his DNA being found on a mask which other evidence showed he had discarded at the scene of the robbery.

[75] In relation to the point mentioned by Lord Justice Clerk Gill in Holland at paragraph [27], that Scots law prefers evidence of identification made de recenti rather than ex intervallo, the Advocate depute cited one of the authorities cited by Lord Gill, namely Allison, Criminal Law, Vol. II, page 627:

"Identity of person is frequently a matter of the greatest importance to the prisoner; and in weighing the evidence on that head, the jury should rather consider the identification which took place at the time, or shortly after the time, when the events libelled took place, than what takes place ex intervallo in their presence, after the dress or look of the prisoner may have been changed, or the strength of their own recollection diminished."

[76] In relation to Stewart and Robson, the Advocate depute submitted that, despite the references in them to the presence in those cases of special circumstances, there was no need for special circumstances to open the way to consideration of evidence other than dock identification to link the perpetrator mentioned by the witnesses to the commission of the crime with the accused present in court. The question was simply whether sufficient evidence had been led to entitle the jury to conclude (if it believed and accepted the evidence) that the person mentioned as the perpetrator was the person in the dock. Such evidence might take the form of dock identification, but it might equally well take the form of evidence from another source linking the person mentioned by the witness to the offence with the accused in the dock. In both Stewart and Robson that was the nature of the evidence that was described as constituting "special circumstances".

[77] In the result, therefore, the Advocate depute submitted that the Trial Judge had dealt correctly with the motion that there was no case to answer, and that Ground of Appeal 1(a) should therefore be rejected.

 

Discussion

[78] In my opinion the Advocate depute identified the correct starting point for consideration of the line of authority on which Mr Clancy relied in advancing his submissions in support of Ground of Appeal 1(a). The essential facts, the facta probanda, which must be established in any criminal case if the accused is to be convicted are (a) that the crime was committed and (b) that the accused was the person, or one of the persons, who committed it. Each of these facts, unless formally admitted by the accused, must be proved, and if one of them is not, he is entitled to be acquitted. Proof of a factum probandum must, of course, be achieved by admissible evidence which, if accepted by the jury as credible and reliable, is capable of supporting the conclusion that that fact has been proved. The question for the Trial Judge, in considering the submission in the present case, was whether there was admissible evidence that, if accepted by the jury as credible and reliable, would justify them in concluding that the evidence given by each of the complainers about the abuse which they suffered was evidence of a crime committed against them by the appellant.

[79] It is, in my opinion, important to examine with some care what was said by the members of the court in each of the cases in the line of authority invoked by Mr Clancy in support of his submissions on Ground of Appeal 1(a). Properly construed, those authorities do not, in my opinion, support the submissions on which Mr Clancy relied. In particular, they do not support the existence of a rule of law that a witness to the commission of a crime must be given the opportunity of making a dock identification of the perpetrator, and that evidence from other sources identifying the perpetrator as the accused in the dock is only admissible if the witness to the offence declares in evidence that he or she either cannot make, or is not willing to make, a dock identification.

[80] In Bruce, it is in my view important to notice, the members of the court made two points. One was that, as a general rule of practice, a witness who is speaking to facts material to the charge should be asked specifically to make a dock identification of the accused; identification should not be left to implication. But the reason for acquittal of the appellant was not directly that that rule of practice had not been adhered to. Rather it was because of the second point made, namely that in the evidence that had been led there was, as a matter of law, insufficient evidence of identification of the perpetrator as the accused. The foundation of the view which was taken on insufficiency lay in the fact that there was no evidence that the court was prepared to regard as adequate that the person referred to by the witnesses as "the accused James Bruce" was the same James Bruce as the accused who was in the dock. The implication contained in the phrase "the accused James Bruce" was held not to be sufficient for that purpose. That insufficiency might, or might not, have been avoided if the general rule of practice of inviting dock identification had been followed. If the witnesses had identified the accused in the dock as the person to whom they were referring, there would have been no insufficiency. If, on the other hand, the witnesses, on being asked to make a dock identification, had failed to do so, the insufficiency would have remained, despite adherence to the general rule of practice.

[81] In Wilson, although Lord Mackay referred (at 94) to Bruce as vouching that "identification in the sense of bringing the facts spoken to, as regarding the accused, home to the accused by pointing him or her out, and that by two witnesses, if possible, is essential", he also pointed out that "Both judges in Bruce say that [identification] 'should not be left to implication'." The acquittal of the accused, Mrs Wilson, resulted from the absence of sufficient evidence that she was the Mrs Wilson referred to by the witnesses (see the passage from the opinion of Lord Stevenson quoted above). That insufficiency might, but would not necessarily, have been cured if the witness had been asked to make a dock identification. Similarly, in Reekie, although Lord Ross made reference to the "proper practice" of inviting specific dock identification, the reason for the acquittal was the uncertainty of the identification of the accused as one of the perpetrators by the corroborating police officer, after he had conceded in cross-examination that he was unsure of the participation of one (named) accused, but did not make it clear that he knew which accused in the dock was which. Inviting dock identification might, but might not, have cured that insufficiency. These two cases thus in my opinion add nothing to what was said in Bruce.

[82] Further light is cast on the issue in Stewart. In the first place, Lord Justice General Emslie referred to the "general rule of practice" to be found in Bruce and Wilson. He said that it would be "applicable to most criminal trials ... in particular in all criminal trials where the Crown sets out to prove, first, that a crime has been committed and, second, that a particular accused person was the perpetrator". I am inclined to think that that point is too broadly expressed. These facts are the facta probanda of any criminal trial. They require to be proved in every case unless formally admitted by the accused. But it is not in every case in which these are the facta probanda that dock identification by the witnesses who speak to the commission of the offence is to be expected as the link identifying the accused as the perpetrator. The quality and quantity of evidence required to amount to sufficient proof of the facta probanda will, no doubt, vary according to what is in issue in the particular case. It is, I think, that consideration that led Lord Justice General to the first of the two bases on which he found the evidence of identification of the accused as the Councillor Stewart spoken of by the witnesses to the commission of the crimes sufficient. That basis for sufficiency was expressed thus:

"In this case, the circumstances were, however, special, for the only question for the jury was whether in the course of close association between the key witnesses Matthews and Maunder and the well-known public figure, the Councillor J. L. Stewart, that councillor had corruptly solicited rewards and advantages. In our opinion in the evidence of the key witnesses and of the other witnesses to whom counsel for the appellant Stewart referred the identification of the appellant J. L. Stewart was clearly implied, and in the circumstances of this case that was quite sufficient."

It seems to me that Lord Emslie had by that stage of the opinion passed from dealing with the general rule of practice derived from Bruce bearing on the desirability of seeking dock identification and avoiding leaving identification to implication, to the issue of law as to whether identification by implication could in some circumstances nevertheless be sufficient. He held that it could be, and in the circumstances of the case was. The result is that whether evidence which leaves the identification of the accused present in court as the perpetrator of the crime to implication is sufficient is a matter of circumstance. It will depend on what is truly in issue in the case and on the strength, clarity and cogency of the implication contained in the evidence. In the circumstances of Bruce and Wilson, the implication was held not to be sufficient. In the "special circumstances" of Stewart, it was held to be sufficient.

[83] The second basis for the decision in Stewart was that the accused was directly identified, by dock identification, as Councillor Stewart by certain witnesses other than the so-called key witnesses on whose evidence the proof of Councillor Stewart's implication in the crimes charged depended. There was no suggestion that evidence from witnesses other than the key witnesses who spoke to Councillor Stewart's involvement in the crimes was inadmissible because the key witnesses had not been invited to make a dock identification, and had not said that they were unwilling or unable to make such an identification.

[84] In Robson Lord Justice Clerk Ross (at 947F) rejected the submission that the general rule laid down in Bruce was a rule of law applicable in all cases, noting Lord Justice General Emslie's characterisation of it in Stewart as a general rule of practice. He went on (at 947L) to express concern that the Crown had not complied with that general rule. He recognised, however, (at 948B) that there might be cases:

"where a complainer for some reason is unable or unwilling to identify the accused as the perpetrator, and in such cases the Crown may require to rely upon other evidence for the identification of the accused as perpetrator."

It is, in my view, important to note that Lord Ross did not expressly suggest that in such a situation the unwillingness or inability of the complainer to make an identification had to be elicited from him or her in evidence in order to render admissible other evidence identifying the accused as the perpetrator. No such question was asked of the younger complainer in that case, yet the court went on to consider whether the evidence of the complainers' parents established that the person mentioned by the children was the accused. Their evidence was clearly regarded as admissible, without its having been set up in her evidence that the younger complainer was unwilling or unable to make a dock identification.

[85] Immediately after the passage just quoted, Lord Ross went on to say (at 948C):

"But where the complainer is able to identify the accused as the perpetrator, he or she should be asked to do so in court. That must be the best evidence that the accused was in fact the perpetrator of the crime spoken to by the complainer."

The first of these two sentences might be construed as no more than a reiteration of the general rule of practice that a complainer who speaks to the commission of the crime ought to be asked to make a dock identification of the accused as the perpetrator. If so construed, failure to ask such a question would have no bearing on the admissibility of evidence identifying the accused as the perpetrator by other means. The reference to "best evidence" in the second sentence is, however, more problematical. If the reference is to the rule of evidence rendering inadmissible evidence which is not best evidence unless there is an acceptable explanation for the unavailability of the best evidence, it would, if sound, require the leading of evidence that dock identification was not available in order to establish the admissibility of other evidence, not being best evidence, which might establish that the accused was the perpetrator. Undoubtedly, dock identification of the accused as the perpetrator is "best evidence". It does not, however, follow that all other evidence tending to establish that the accused was the perpetrator of the crime is not "best evidence". In Robson, the evidence of the complainers' parents that the accused was known to them and to the complainers as "Mike" and was the night-watchman at a nearby site, and was the person to whom the complainers referred when they spoke of "Mike", was indirect evidence from which the identity of the accused as the perpetrator might legitimately be inferred, but it was not secondary or substitutionary evidence, in the way that parole evidence of the contents of a document or hearsay evidence is substitutionary. It is only such secondary or substitutionary evidence which, in the absence of explanation of the unavailability of the primary evidence, is excluded by the best evidence rule; indirect evidence which is not substitutionary in character is not so excluded (Dickson on Evidence, §§ 63, 195 and 196). While, therefore, I accept Lord Ross's identification of dock identification as best evidence, it is not in my opinion the best evidence in the sense that all other evidence identifying the accused as the perpetrator is excluded by the best evidence rule. Evidence such as the evidence of the parents in Robson is admissible as indirect yet primary evidence from which an inference may legitimately be drawn that the evidence of the complainers is evidence about the accused. I am inclined to suppose that Lord Ross must have accepted some such analysis as I have set out, because despite his reference to dock identification of the accused as the perpetrator being the best evidence, and the absence of any evidence explaining why the younger child had not been asked to make a dock identification, he did not rule the parents' evidence inadmissible. (Nothing, in my view, is added to this point by the passing adoption of Lord Ross's reference to best evidence by Lord Justice Clerk Gill in Holland at paragraph [27]).

[86] When he came to deal with the parents' evidence in Robson, Lord Ross said (at 948D):

"Having regard to the circumstantial detail to which the parents of the complainers were able to speak, we have come to the conclusion that their evidence was sufficient to enable the jury to draw the inference that the appellant was the man whom the complainers described as having committed the crimes against them."

It was that amount of circumstantial detail that was identified as rendering the case a "special one" (948G). It seems to me, therefore, that despite the reference to "special circumstances" in Stewart and a "special case" in Robson, the question is not whether one or other of these (inherently vague) phrases is applicable, but rather whether the evidence relied upon is sufficient to entitle the jury to draw the inference that the accused in the dock was the person spoken of in evidence as the perpetrator.

[87] One point to be taken from Holland (in the Appeal Court) is the preferability of identification de recenti over identification ex intervallo (per Lord Justice Clerk Gill at paragraph [27]. The basis for that preference is explained in Alison, Criminal Law, Vol. II, page 627; it lies in the facts that with the passage of time (a) the appearance of the accused may change and (b) the recollection of the witnesses may be diminished. These are obvious points of human experience, and are points which a jury is, in my opinion, fully entitled to take into account in assessing identification evidence given at an interval of many years after the commission of the crimes.

[88] From Holland (in the Privy Council) I take the point that dock identification is not necessarily the most reliable evidence identifying the accused as the perpetrator. I do not, however, find in the observations by Lord Hope and Lord Rodger anything to disturb the analysis which I have here set out.

[89] There remains the question of whether an erroneous dock identification, if not challenged when made, bars reliance on other evidence identifying the accused as the perpetrator. Muldoon v Herron shows that even a denial by the complainer in court that the perpetrator is in the dock does not bar resort to other evidence to contradictory effect. In that case the jury had before it the complainer's evidence in court that the perpetrator was not the accused, and the evidence of other witnesses that the witness had on an earlier occasion identified the accused as the perpetrator. It was a matter for the jury to weigh that evidence and, if it could, come to a conclusion as to which of the inconsistent strands of evidence it accepted, and which it rejected. The position is the same, in my view, when a complainer makes an erroneous dock identification, but also identifies the perpetrator by name and description in a way which is proved by other evidence to be a reference to the accused. In that situation too, the jury has before it inconsistent strands of evidence and it is a matter for it to decide which strand, if either, to accept and which to reject. It does not seem to me that an omission on the part of the prosecutor to challenge an erroneous identification bars reliance on the alternative strand of evidence. Such omission may be a matter for legitimate comment by defence counsel, but the matter remains one for evaluation by the jury.

[90] I therefore draw the following conclusions from my analysis of the authorities:

(1) There is a long recognised general rule of practice that a witness who speaks to the commission of a crime should be asked to make a dock identification. The reason for that practice is that if a dock identification is made that will contribute to a sufficiency of evidence that the accused was the perpetrator of the crime. If dock identification is omitted, the opportunity to obtain a sufficiency of evidence in that way is lost. The result of such omission may thus be that there is insufficient evidence identifying the accused as the perpetrator. Such was the result in Bruce, Wilson and Reekie.

(2) That general rule of practice is no more than that; it is not a rule of law (Stewart, per Lord Justice General Emslie at 251, col. 2; Robson, per Lord Justice Clerk Ross at 947F). It follows that failure to follow the general rule does not affect the admissibility of other evidence tending to establish that the accused was the perpetrator of the crime. There is no warrant for the proposition that if the complainer is not asked to make a dock identification, and does not give evidence of unwillingness or inability to do so, other evidence tending to identify the accused as the perpetrator is inadmissible.

(3) While dock identification of the accused as the perpetrator by the complainer who speaks to the commission of the crime is best evidence that the accused was the perpetrator of that crime, it does not follow that other evidence yielding the inference that the accused was the perpetrator is inadmissible as contrary to the best evidence rule. Evidence of the sort given by the parents in Robson is indirect, but not substitutionary, and thus does not offend against the best evidence rule. There is therefore no requirement, on that account, for evidence explaining why dock identification has not been made, before such other evidence tending to establish the identity of the accused as the perpetrator can be admitted. The result in Robson clearly illustrates this point.

(4) The question comes to be whether other admissible evidence on the question of identification is sufficient to entitle the jury to draw the inference that the accused was the person whom the complainers described as committing the crimes against them (Robson at 948D).

(5) In assessing the significance to attach to the fact that a witness has not made a dock identification, the jury is entitled to bear in mind, as matters of common human experience, without having heard evidence on the points, that a person's appearance tends to change with the passage of time, and that likewise the clarity and reliability of a person's recollection may diminish with the passage of time. These points are particularly obvious when the passage of time is of the order of forty years. The same applies when the jury has to weigh inconsistent passages of evidence in a complainer's evidence, in one of which he makes a dock identification of a person other than the accused in question as the perpetrator, and in the other of which he attributes the criminal behaviour to a named person who is proved by other evidence to have been the accused. In that situation too, in my opinion, the jury is entitled to bear in mind the aspects of human experience just mentioned. It is open to them to reject as mistaken the dock identification, and accept the attribution of the criminal conduct to the named person otherwise identified as the accused. While a failure to seek dock identification, or a failure to challenge an "erroneous" dock identification, may be the subject of comment by defence counsel, neither of these failures bars reliance on other evidence tending to identify the accused as the perpetrator.

[91] Applying these conclusions to the circumstances of the present case, I am of opinion that in relation to those charges where the complainers were not asked to attempt dock identification of the accused, the Crown was entitled to rely on other evidence identifying the accused as the perpetrator in respect of those charges. Such other evidence was available in the form of (a) the evidence from the non-identifying complainers that the perpetrator was Brother Benedict and (b) the evidence from the identifying complainers that the accused was Brother Benedict. In relation to those charges where the co-accused was identified as the perpetrator by complainers who nevertheless attributed the criminal conduct against them to Brother Benedict, the Crown was entitled to invite the jury to reject as erroneous the dock identification, and accept the evidence of the complainer that the perpetrator was Brother Benedict and the evidence of the identifying witnesses that the accused was Brother Benedict. The Crown was entitled to take that course without inviting the witnesses who did not do so to make a dock identification, and without challenging in the course of the relevant complainers' evidence the erroneous dock identifications. The circumstantial detail identifying the perpetrator and the accused as the same Brother Benedict was in my opinion ample to leave it open to the jury to draw the inference that it had been proved that all of the ten charges proved to have been committed had been committed by the accused.

[92] I am therefore of opinion that the Trial Judge correctly repelled the submission that there was no case to answer, and that it follows that Ground of Appeal 1(a) falls to be rejected.

 

The other grounds of appeal

[93] I agree with your Lordship in the chair that the other grounds of appeal should also be rejected. There is nothing that I wish to add in relation to them. I therefore agree that the appeal should be refused.

 


APPEAL COURT, HIGH COURT OF JUSTICIARY

 

Lord Osborne

Lord Macfadyen

Lord Marnoch

 

 

 

 

 

 

 

[2007] HCJAC57

Appeal No: XC858/03

 

OPINION OF LORD MARNOCH

 

in

 

APPEAL AGAINST CONVICTION AND SENTENCE

 

by

 

MICHAEL MURPHY

 

Appellant;

 

against

 

HER MAJESTY'S ADVOCATE

 

Respondent:

 

_______

 

Act: Clancy, QC, Shead; McSparran & McCormick, Glasgow

Alt: Prentice, AD; Crown Agent

 

 

9 October 2007

[94] The appellant in this case was convicted of ten charges of assault spoken to by, in all, nine individual complainers. Corroboration of each charge was only possible through an application of the Moorov doctrine but in only four instances was there a "dock identification" by the relative complainer. Two other complainers misidentified a co-accused sitting in the dock and, having done so, were, somewhat surprisingly, not pressed further on the matter. The remaining three complainers were not even invited to attempt a "dock identification". Instead, reliance was placed on identification of the accused by reference to his name and position in the school of which the complainers had been pupils some 40 years previously.

[95] The trial judge rejected a submission of "no case to answer" on the six charges in respect of which there had been no "dock identification" and the first, and important, question which arises in this appeal is whether he was right in so doing. If the answer to that question is in the negative, it seems to me that all the convictions must fall since, in the application of the Moorov doctrine to each and all of the charges, it is impossible to know what reliance was placed by the jury on the substance of the six charges wrongly put before them.

[96] As I understood Mr Clancy's submissions in their final or crystallised form, his leading contention was that in the ordinary case where a potential eye-witness is led in evidence there is a general rule that, at least in the absence of special circumstances, a "dock identification" is presumptively the best and therefore the only admissible form of identification by him. He further submitted that in order to justify a departure from "dock identification" some form of explanation had to be offered in evidence and that this had not been given in the present case. One obvious explanation, of course, would be that a witness proved unable or failed to make such an identification having been invited to do so. Another explanation would be that, for whatever reason, the witness was confident that he could not make such an identification even if asked to do so. Nothing of this nature had been said by the three complainers referred to above. Lastly, Mr Clancy made it clear that his reference to the "ordinary case" excluded not only cases involving statutory relaxations (eg. those involving the use of screens or closed circuit television) but also those in which there had been pre-trial eye-witness identification or a failure to make such identification where different considerations plainly arose.

[97] Looking at the various authorities to which we were referred in this connection, I confess that there are instances where I do not find the reasoning as being perhaps quite as clear as it might be. For example, reference is sometimes made, as it seems indiscriminately, to "rules" of evidence and "practice" as if the two were synonymous. That said, I have come to the conclusion that, although wrong in his subordinate proposition, at least in its unqualified form, Mr Clancy is well-founded in his first and leading contention. The dicta employed in Bruce v HM Advocate 1936 J.C. 93, particularly by Lord Justice Clerk Aitchison, and the decision of the Appeal Court in the subsequent case of Wilson v Brown 1947 J.C. 81 cannot, I think, be explained on any other basis; and these dicta and that decision have consistently been approved ever since. In Bruce v HM Advocate the Lord Justice Clerk put the matter in this way:-

"I desire to add only one word on the question of identification. I think there was no proper identification in this case. The kind of evidence of identification that was led is that given by the witness who says 'I spoke to the accused James Bruce'. Now, that is not the identification required in a criminal case. The witness should have been asked directly whether the accused was the man to whom he was referring, and there should have been an express identification in court. The proper identification of an accused person in a case of this kind is obviously essential and should not be left to implication, and it will not do to have one rule in one kind of case and another rule in another kind of case."

[98] The Crown position was that the dicta I have quoted and the later decision in Wilson could be explained by the absence of a witness or witnesses to "fill the gap" by physically identifying the accused as being the man described by the witnesses who did give evidence. In my opinion, however, this tract of authority cannot be explained in that way and, on the contrary, contains positive expressions of view as to the only proper and satisfactory method of eliciting evidence of identification from a potential eye-witness. This, I think, is how it has consistently been understood until now. In Robson v HM Advocate 1996 S.L.T. 944, for example, Lord Justice Clerk Ross, at p. 948, after citing Bruce, referred to "dock identification" as being the "best evidence" and in the recent case of Holland v HMA 2003 S.C.C.R 616 at pps. 624-5 Lord Justice Clerk Gill, again after referring to Bruce, encapsulates the matter thus:-

"Where the complainer can identify the accused as the perpetrator of the crime to which he speaks, identification in court by the complainer is regarded as the best evidence on the point."

Moreover, when that case went to the Privy Council [2005 S.C. (P.C.) 3] Lord Hope of Craighead staunchly defended the Scottish method of dock identification which he was at pains to describe as reflecting both a practice and a rule.

[99] For my own part, I see nothing unreasonable in the proposition that an eye-witness pointing to the accused in Court should be seen as being presumptively, but of course only presumptively, the primary means of identifying the perpetrator of a crime. Whether that should be seen as an aspect of the technical rule of "best evidence", as hitherto understood, is perhaps a moot point but, if it is, then, differing from your Lordship in the Chair and Lord Macfadyen, I consider that the rule is breached at the point at which the potential eye witness himself, without explanation, has recourse to secondary or substitutional evidence. All that said, it seems to me strictly immaterial whether one categorises the approach of the Scottish Courts to this matter as a "practice" or as a "rule" or, indeed, as "a rule of best evidence" if, as I believe, it is an approach which this Court has consistently insisted in and made the subject of decision in the past. Eye-witness evidence has always been regarded as important - to the extent that an unexplained failure to lead it can be made the subject of comment before a jury; Dickson on Evidence, 3rd Edition, para 199. What is more, it is an approach that is intended to favour accused persons by encouraging clarity of identification by potential eye-witnesses in all criminal trials. As Lord Justice Clerk Aitchison said, "it will not do to have one rule in one kind of case and another in another kind of case." The only alternative, as it seems to me, is to give effect to the Crown submission in the present case which is that, despite everything said on this matter in the past, it should always be a matter of choice whether the prosecutor seeks a direct identification in court. I do not, myself, believe that to be either right or sensible. I say that because, if the Crown submission is upheld, it seems to me that the consequential changes in what I understand to be at present the daily practice of the Court will be, to say the least, far reaching, if not incalculable. It cannot be supposed that it should be left to the Defence to raise the issue of dock identification and if no dock identification is attempted at any stage in the trial I can foresee that many juries will, with some justification, become somewhat bemused. I can further foresee that endless questions will arise regarding the sufficiency of evidence or the reasonableness of convicting an accused in such circumstances. In short, I do not see it to be in anyone's interests that there should be this fundamental change in what, on any view, has been a very long-standing practice accepted and followed by the Crown.

[100] In light of the foregoing, it would certainly be logical if effect could also be given to what I have described as Mr Clancy's subordinate proposition. Unfortunately, however, that proposition, at least as a generality, seems to me to be foreclosed by authority. For in both Stewart & Others v HM Advocate 1980 S.L.T. 245 and Robson v HM Advocate cit. sup. the Court, in the "special circumstances" of each case, gave effect to secondary or, at least, indirect evidence of identification without any explanation being offered for a failure to adduce eye-witness identification in court. I cannot pretend that I find it easy to reconcile the decisions reached in these cases with what I understand to be the thrust of the opinions delivered. Nor, indeed, can I fully reconcile some of the dicta employed. This could, I think, be indicative of a certain tension between the legal argument and what appeared to be a sensible outcome in each case but, however that may be, the only rationale I can currently offer for these decisions is that in the particular circumstances the indirect evidence was seen by the Court to be so clamant as to be, in a sense, tantamount in quality to a "dock identification". In any event, and whatever else, there is no doubt that in the Opinions delivered in both these cases the Court emphasised its approval of the line of authority referred to above and that it should be followed in all but the most exceptional situations. The Advocate Depute maintained that it had been unnecessary for the Court in these cases to have recourse to "special circumstances", this being inimical to the validity of his primary submission that the form of identification was always a matter of choice for the Crown. Quite to the contrary, however, in my opinion the Court's insistence on the presence of "special circumstances" in these cases simply demonstrates the unsoundness of the Crown position.

[101] Turning, now, to the particular circumstances of the present appeal, I have no doubt that the long passage of time between the alleged assaults and the date of trial in addition, perhaps, to the extent of pre-trial publicity might well have been offered as an explanation for recourse to indirect evidence of identification by the potential eye-witnesses. However, neither of these considerations was relied upon in evidence and, on the contrary, as I have said, four of the complainers were asked to, and did, achieve an identification in court. Nor, in my opinion, is this a case where the secondary evidence led can be seen as transparently comparable in quality to direct identification in court. In that connection, I have in mind that this was a case in which at least some of the complainers were first approached by members of the press with one, in particular, testifying that he had had narrated to him by the press representative what presumably she had been told by the "other boys". In such a situation it seems to me that there are obvious risks in relying on evidence of identification by name even where bolstered by description of appearance or position.

[102] For all the foregoing reasons I am not satisfied that the important matter of identification was dealt with properly in this case and since this affected, directly or indirectly, all the charges of which the appellant was convicted, I would be for allowing this appeal in its entirety.

[103] For me the other grounds of appeal are academic but, that said, I respectfully agree with your Lordship in the chair that, on a proper analysis, they are seen to be of no real substance.

 

 


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