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The Judicial Committee of the Privy Council Decisions |
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You are here: BAILII >> Databases >> The Judicial Committee of the Privy Council Decisions >> Karpavicius v. R (New Zealand) [2002] UKPC 59 (11 November 2002) URL: http://www.bailii.org/uk/cases/UKPC/2002/59.html Cite as: [2002] UKPC 59, [2003] 1 WLR 169, [2003] WLR 169 |
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ADVANCE COPY
Privy Council Appeal No. 14 of 2002
Rokas Karpavicius Appellant
v.
The Queen Respondent
FROM
THE COURT OF APPEAL OF NEW ZEALAND
---------------
JUDGMENT OF THE LORDS OF THE JUDICIAL
COMMITTEE OF THE PRIVY COUNCIL,
Delivered the
11th November 2002
------------------
Present at the hearing:-
Lord Nicholls of Birkenhead
Lord Steyn
Lord Hutton
Lord Walker of Gestingthorpe
The Rt. Hon. Justice Gault
[Delivered by Lord Steyn]
------------------
"(1) ... no person shall –
(a) Import into or export from New Zealand any controlled drug, other than a controlled drug specified or described in Part VI of the Third Schedule to this Act; or
(b) Produce or manufacture any controlled drug; or
(c) Supply or administer, or offer to supply or administer, any Class A controlled drug or Class B controlled drug to any other person, or otherwise deal in any such controlled drug; or
(d) Supply or administer, or offer to supply or administer, any Class C controlled drug to a person under 18 years of age; or
(e) Sell, or offer to sell, any Class C controlled drug to a person of or over 18 years of age; or
(f) Have any controlled drug in his possession for any of the purposes set out in paragraphs (c), (d), or (e) of this subsection.
(2) Every person who contravenes subsection (1) of this section commits an offence against this Act and is liable on conviction on indictment to –
(a) Imprisonment for life where a Class A controlled drug was the controlled drug or one of the controlled drugs in relation to which the offence was committed:
(b) Imprisonment for a term not exceeding 14 years where paragraph (a) of this subsection does not apply but a Class B controlled drug was the controlled drug or one of the controlled drugs in relation to which the offence was committed:
(c) Imprisonment for a term not exceeding 8 years in any other case.
(2A) Every person who conspires with any other person to commit an offence against subsection (1) of this section commits an offence against this Act and is liable on conviction on indictment to imprisonment for a term –
(a) Not exceeding 14 years where a Class A controlled drug was the controlled drug or one of the controlled drugs in relation to which the offence was committed:
(b) Not exceeding 10 years where paragraph (a) of this subsection does not apply but a Class B controlled drug was the controlled drug or one of the controlled drugs in relation to which the offence was committed:
(c) Not exceeding 7 years in any other case."
The focus of the present appeal is on subsection (2A) of section 6.
The Forensic History.
"Where a person is tried on an indictment alleging alternative counts of conspiring to import a Class A controlled drug or conspiring to import a Class B controlled drug, and where there is evidence which, if accepted, would prove beyond reasonable doubt that the person has conspired to import either a Class A controlled drug or a Class B controlled drug but the evidence is insufficient to prove which class, may that person properly be convicted on either count in the indictment?"
The appeal proceeded by way of case stated, and was heard before five members of the Court of Appeal on the basis that the question of law reserved involved an important issue of principle.The proceedings in the Court of Appeal.
The Judgment of the Court of Appeal.
"[21.] ... subs (2A) contemplates that the first inquiry is whether para (a) is satisfied. That is so ‘where a Class A controlled drug was the controlled drug or one of the controlled drugs in relation to which the offence was committed’. If the answer is No, the next inquiry is under para (b), that is ‘where paragraph (a) of this subsection does not apply but a Class B controlled drug was the controlled drug or one of the controlled drugs in relation to which the offence was committed’. If that answer is also in the negative, the next step is to go to para (c), which makes the penalty ‘Not exceeding 7 years in any other case’.
[22.] On that analysis subs (2A) provides a comprehensive statement of liability for conspiracy offending in relation to controlled drugs. It is complete in its coverage because of the successive and exhaustive steps which may be required. The answer to (a) will be in the negative where it is not proved beyond reasonable doubt that a Class A controlled drug was a controlled drug ‘in relation to which the offence was committed’. That language and its employment in that context is necessarily directed to proof that the offence was committed and there is no justification for reading ‘was’ in any lesser sense. Unless there is proof beyond reasonable doubt, (a) is not satisfied. It follows that, where there is uncertainty as to whether the drug, the subject of the conspiracy agreement, was a Class A controlled drug, that uncertainty may also preclude a positive answer to the inquiry under (b), even where there is other evidence that it was a Class B controlled drug. In that situation, and also where there is no affirmative evidence that it was a Class B controlled drug, para (c) on its face applies and the maximum penalty for the offending is seven years’ imprisonment.[23.] It is clear from the scheme and language of the offence – creating provisions of s6(2A) that the legislature imposed different maximum penalties depending on which one of paras (a), (b) or (c) applied. As well, it is clear from the structure of the subsection that it intended to cover the field, leaving no gaps. The more serious the offence in the eyes of the legislation – here the need to distinguish from the less serious drug – the higher the maximum penalty to which an offender is liable. Section 6(4A) applying ‘where any person is convicted of an offence relating to a Class A controlled drug or a Class B controlled drug against any of paragraphs (a), (b), (c), and (f) of subsection (1)’ also reflects that focus. And where it is not proved that the offending came within either of the more serious categories described in paras (a) and (b), para (c) is the residual provision which prescribes the lower maximum punishment for the offence which lacks those more serious features."
The Court of Appeal quashed the acquittals and ordered a new trial.
The Competing Arguments.
"My Lords, where it is provided by a statute that an accused person’s liability to have inflicted upon him a maximum punishment which, if the prosecution are successful in establishing the existence in his case of a particular factual ingredient, is greater than the maximum punishment that could be inflicted on him if the existence of that particular factual ingredient were not established, it seems to me to be plain beyond argument that Parliament has thereby created two distinct offences, whether the statute by which they are created does so by using language which treats them as being different species of a single genus of offence, or by using language which treats them as separate offences unrelated to one another." (Per Lord Diplock with whom the whole House agreed).
This principle was applied by the House in R v Shivpuri [1987] AC 1 at 15, to the importation of drugs, contrary to the section 170(1)(b) of the English Customs and Excise Management Act 1979: see the commentary by Professor Sir John Smith [2000] Crim LR 195, 196-197 on R v Leeson [2000] 1 Cr App 233. This argument does not hit the target. It was no part of the reasoning of the Court of Appeal, or necessarily inherent in its decision, that section 6(2A) contains only one offence with different maximum penalties. On the contrary, on the interpretation of the Court of Appeal section 6(2A)(c) is undoubtedly a separate and distinct offence.
Conclusion.