Judgments

Decision Information

Decision Content

T-2437-74
British Columbia Packers Limited, Nelson Bros. Fisheries Ltd., The Canadian Fishing Company Limited, Queen Charlotte Fisheries Limited, Tofino Fisheries Ltd., Seafood Products Limited, J.S. McMillan Fisheries Ltd., Norpac Fisheries Ltd., The Cassiar Packing Co. Ltd., Babcock Fisheries Ltd., Francis Millerd & Co. Ltd., Ocean Fisheries Ltd. (Applicants)
v.
Canada Labour Relations Board and British Columbia Provincial Council, United Fishermen and Allied Workers' Union (Respondents)
and
Native Brotherhood of British Columbia, Fishing Vessel Owners Association of British Columbia, Pacific Trollers Association, Attorney General of British Columbia, Attorney General of New- foundland, Attorney General of Nova Scotia (Interveners)
Trial Division, Addy J.—Vancouver, October 15; Ottawa, November 8, 1974.
Jurisdiction—Application for prohibition—Union seeking certification as bargaining agent for fishermen—No power of certification in Canada Labour Relations Board—Prohibi- tion granted against Board—Canada Labour Code, R.S.C. 1970, c. L-1, s. 2 and ss. 107, 108, 122 rep. and sub. S.C. 1972, c. 18, s. 1—Industrial Relations and Disputes Investi gation Act, R.S.C. 1952, c. 152, s. 53—B.N.A. Act, s. 91(2),(10),(12),(24), s. 92(13)—King's Proclamation of 1763, R.S.C. 1970, App. II, p. 123—Federal Court Act, ss. 18, 28.
The applicants were engaged in the business of processing fish for sale to outlets within and outside the Province of British Columbia. They procured fish under contracts made in the province with the captains, crews and owners of fishing vessels. The fishing was carried on inside and out side of provincial territorial waters. The respondent union applied to the Canada Labour Relations Board for certifica tion as bargaining agent for the crews of the vessels of which the captains, crews and owners entered into special arrangements with the applicants, when a fishing boat returned to port. The interveners, the Fishing Vessel Owners Association of British Columbia and the Pacific Trollers Association, were associations representing independent boat owners or crews selling fish to various processors without any special arrangements. They were not involved in the certification but supported the position of
the applicants. On a section 28 application for review of the Board's jurisdiction, the Court of Appeal had held ([1973] F.C. 1194) that the Board's decision to hear the application was not the type of decision reviewable under section 122(1) of the Canada Labour Code, at least until the Board had rendered the decision which it was specifically author ized to render, that is, whether the union was to be certified or not. The Board failed to act on the Court's suggestion that it raise the question before the Court, under section 28(4) of the Federal Court Act. The applicants then brought the present application, by way of originating notice of motion, for prohibition against the Board.
Held, ordering issue of a writ of prohibition, the Court had jurisdiction to entertain the application, under section 18(a) of the Federal Court Act. The respondent Board was "a federal board, commission or tribunal" against which relief might be claimed under section 18(b) of the Act. The privative clause contained in section 122(2) of the Canada Labour Code was ineffective to bar the remedy where the application was based on a complete lack of jurisdiction in the inferior tribunal. The inferior tribunal here had no juris diction because the labour contract governing the fishermen was in substance a method of securing rights within the province. It fell under the ambit of provincial power over "property and civil rights in the province" in section 92(13) of the British North America Act, and not under the various powers assigned to Canada by section 91 of the British North America Act or the treaty-making power. There was no ground for applying the power of Parliament over Indians in section 91(24) of the British North America Act, as urged by the interveners, the Native Brotherhood of British Columbia; the factor of Indian presence among the fishing crews could not give Parliament power to control labour relations in the circumstances. Even if the Canada Labour Code, Part V, were within the powers of Parliament, that Act, by its very terms, was inapplicable to the present situation. "Federal work, undertaking or business" was defined in section 2 of the Canada Labour Code as "any work, undertaking or business that is within the legislative authority of the Parliament of Canada." The fishermen here could not be described as employed "upon or in connection with the operation of any work, undertaking or business" within section 108 of the Canada Labour Code.
Attorney General of Canada v. Cylien [1973] F.C. 1166; MacDonald v. Vapor Canada Ltd. [1972] F.C. 1156; Workmen's Compensation Board v. Canadian Pacific Railway Company [1920] A.C. 184; The Queen v. Rob- ertson (1882) 6 S.C.R. 52; In the Matter of Jurisdiction over Provincial Fisheries (1896-7) 26 S.C.R. 444; A.-G. Canada v. A.-G. Ontario, Quebec and Nova Scotia [1898] A.C. 700; A.-G. Canada v. A.-G. British Columbia [1930] A.C. 111 and A.-G. Canada v. A.-G. Ontario [1937] A.C. 326, followed. Citizens Insurance Company of Canada v. Parsons (1881-82) 7 App. Cas.
96; Re Natural Products Marketing Act, 1934 and its Amending Act, 1935, [1936] S.C.R. 398; A.-G. Canada v. A.-G. Alberta and A.-G. British Columbia [1916] I A.C. 588; The King v. Eastern Terminal Elevator Com pany [1925] S.C.R. 434; Toronto Electric Commission ers v. Snider [1925] A.C. 396; Reference re Validity of Industrial Relations and Disputes Investigation Act (Can.) [1955] S.C.R. 529; Paquet v. Corporation of Pilots for and below the Harbour of Quebec [1920] A.C. 1029; City of Montreal v. Harbour Commissioners of Montreal [1926] A.C. 299 and Underwater Gas De velopers Ltd. v. Ontario Labour Relations Board (1960) 24 D.L.R. (2d) 673, applied. Mark Fishing Co. Ltd. v. United Fishermen and Allied Workers' Union [1972] 3 W.W.R. 641 and Calder v. A.-G. British Columbia [1973] S.C.R. 313, agreed with.
APPLICATION. COUNSEL:
W. G. Burke-Robertson, Q.C., and G. S. Levey for applicants.
Paul D. K. Fraser for Pacific Trollers Association.
William K. Hanlin for Fishing Vessel Owners of B.C.
S. R. Chamberlain for United Fishermen and Allied Workers Union.
Norman Mullins, Q.C., for Canada Labour Relations Board and Attorney General of Canada.
Donald R. Munroe for Native Brotherhood of B.C.
Norman J. Prelypchan for Attorney Gener al of British Columbia, Attorney General of Newfoundland and Attorney General of Nova Scotia.
SOLICITORS:
Levey, Samuels and Glasner, Vancouver, for applicants.
Fraser, Hyndman, Vancouver, for Pacific Trollers Association.
Owen, Bird, Vancouver, for Fishing Vessel Owners Association of B.C.
Rankin, Robertson, Giusti, Chamberlain and Donald, Vancouver, for B.C. Provin cial Council United Fishermen and Allied Workers Union.
Deputy Attorney General of Canada for Canada Labour Relations Board and Attor ney General of Canada.
Munroe, Fraser & Co., Vancouver, for Native Brotherhood of B.C.
Legal Branch, Attorney General of B.C, Victoria, for Attorney General of British Columbia, Attorney General of Newfound- land and Attorney General of Nova Scotia.
The following are the reasons for judgment delivered in English by
ADDY J.: This is an application for a writ of prohibition to restrain the respondent Board from proceeding with the applications for cer tification made before it by the respondent Union to be appointed official bargaining agent for the crews of the fishing vessels who sell fish to each of the applicants.
The applicants (hereinafter referred to as "the processors") are firms engaged in the business of procuring various types of fish by means of purchases and also by special arrangements with the captains, crews and owners of fishing vessels. The processors then process and pack the fish and sell it to outlets both inside and outside of the Province of British Columbia.
The respondent Union has applied in the case of each of the processors to the respondent Board for certification as official bargaining agent for the crews of the fishing vessels, whose owners, captains and crews enter into special arrangements for the sharing of the selling price of each catch with each of the processor pur chasers when a fishing boat returns to port.
The first three interveners named in the style of cause were authorized to take part in the proceedings as such by order of my brother Walsh J., dated the 9th of September, 1974. The last three-named interveners, namely, the Attor neys General for British Columbia, Newfound- land and Nova Scotia were, by the aforesaid order, authorized to intervene if they so desired. At the hearing before me, their counsel stated that for the moment he did not have any instruc tions to take an active part in the hearing but wished to be present as an observer. He also stated that, in view of the important constitu-
tional problems involved, his instructions were that he was to preserve his clients' rights to intervene at any time including any possible subsequent appeal, should they deem it advis able. Under the circumstances, in order to ensure that this right would be preserved, I ordered them included in the style of cause as interveners. As it turned out, they did not in fact take any active part in the proceedings before me but merely maintained their role as observers.
The invervener, Native Brotherhood of Brit- ish Columbia (hereinafter referred to as "the Native Brotherhood") is an association repre senting approximately one thousand native Indi- ans who form a good proportion of the crews of fishing vessels involved in the application for certification of the respondent Union. Some members of the Native Brotherhood are reserve Indians, others are not and others are also enfranchised Indians. There was no indication in the evidence of the relative proportion of these three groups constituting the Native Brotherhood or actually engaged in the fishing industry. It appears that in the case of Indians, they sometimes form part of the crew of a fishing vessel operated as a family enterprise and at other times are merely members of the crews of other fishing vessels with mixed crews. The Native Brotherhood, at the hearing, opposed the application, adopted the arguments advanced on behalf of the respondents and also advanced other arguments based on the special status and rights of its members as native Indians.
The other two interveners, namely, the Fish ing Vessel Owners Association of British Columbia and the Pacific Trollers Association are associations representing independent boat owners or members of crews having an owner ship interest in fishing vessels who, generally speaking, simply sell each catch to the various fish processors without any special arrangement with them as to an accounting or the sharing of profits or losses of each catch. They are not involved in the applications for certification made by the respondent Union before the
respondent Board but are interested in the out come of the proceedings, having regard to the possibility of future action or legislation in this area. They supported the application for prohi bition and adopted entirely the position taken and the grounds advanced by the processors.
The facts are relatively simple and are undis puted. They are contained almost entirely in the affidavit of one K.M. Campbell, filed on the present motion on behalf of the processors. Generally speaking, the latter purchase fish from the fishermen on the basis of either writ ten or oral agreements under which provision is made for the payment to the fishermen of a percentage of the proceeds from the purchase of each catch which is delivered to the agents or servants of the processors, where it is pur chased by one of the processors. Each proces sor provides a settlement accounting service under which an accounting is made for each catch to the boat owner and crew of the fishing vessel.
From the gross proceeds of the sale of the catch, termed the "gross stock," certain agreed upon operating costs are first deducted. From the balance, a percentage share known as the "boat share" is credited to the owner of the boat. At times, the boat is owned by the captain or partly by the captain and the members of his crew or by other persons not members of the crew and including at times the processors themselves. Although it is not mentioned in the affidavit in support of the motion, this fact was fully conceded by all parties and appears from the proceedings before the Board. In any event, the "boat share" goes to the owner or owners, whoever he or they may be.
From the remainder of the proceeds of the catch, known in the industry as the "net stock credit," certain other costs, such as the cost of food for the crew and other crew personnel expenses incurred on the trip are deducted. The remaining balance is divided among the crew including the captain in accordance with previ ously agreed-upon shares. Where the owner or part-owner is part of the crew as captain or
otherwise he also gets a share as such, in addi tion to the "boat share".
Where the catch is poor, resulting in a loss on the trip (referred to as a "hole trip") the loss is charged to the owner and crew in the same ratio as the "net stock credit" would have been shared. A full accounting of the above is made for each catch, to each member of the crew, by the processor, as purchaser.
The contracts, oral or written, covering the purchase of fish by the processors from the fishermen, delineate the minimum prices to be paid for the fish and the manner and means of the division of the "gross stock proceeds." All purchases made by the processors are made in the Province of British Columbia.
From the voluminous transcript of the pro ceedings before the respondent Board, which proceedings were as a matter of course forward ed by it to this Court as a result of the present application, only two additional facts appear to have any bearing on the issue raised on this motion. These were the only additional facts referred to by counsel in argument and it will be more convenient to mention them when dealing with the specific arguments on which these facts have a bearing.
The applicants base their request for prohibi tion on two grounds, namely: that certain here- inafter referred to provisions of the Canada Labour Code' (Part V) are ultra vires the Parlia ment of Canada and, alternatively, if not ultra vires, that by the terms of the Canada Labour Code itself, they are not applicable to the processors in the circumstances of the present case.
As to this Court's jurisdiction to hear the present application for a writ of prohibition, the basic jurisdiction is provided for in section 18(a) of the Federal Court Act and the respond ent Board would be necessarily included in the expression "a federal board, commission or other tribunal" against whom relief may be claimed under section 18(b) of the said Act.
R.S.C. 1970, c. L-1 as amended by S.C. 1972, c. 18, s. 1.
Although specifically invited by me to do so, none of the respondents and none of the inter- veners were willing to argue that section 122(2) of the Canada Labour Code constituted in any way a bar to the general power of this Court to grant the relief requested by the applicants and all counsel seemed to agree, at least tacitly, that this Court did have jurisdiction. But since con sent cannot grant jurisdiction and especially in view of the fact that, in a previous application for review under section 28(1) of the Federal Court Act in this very case ([1973] F.C. 1194), the Court of Appeal specifically declared that it was refraining from expressing an opinion as to whether section 122(2) would constitute such a bar, I feel that it is my duty in the present case to not only raise the problem but to deal with it, albeit in a summary fashion.
The Honourable Mr. Justice Thurlow in deliv ering the decision of the Court in the above- mentioned review under section 28(1) of the Federal Court Act, on the 7th of December, 1973, stated as follows [at page 11981:
We express no opinion as to whether section 122(2) has any application to prevent proceedings in a case where the Board purports to exercise jurisdiction that has not been conferred on it.
The Court of Appeal, relying on its previous decision in the case of Attorney General of Canada v. Cylien 2 , decided that the ruling or decision of the Board to the effect that it had jurisdiction to hear the application for certifica tion was not the type of decision or ruling which was reviewable under section 122(1) at least until the Board had rendered the decision which it was specifically authorized to render, that is, whether the Union was to be certified or not. The Court of Appeal then suggested that the most expeditious way for the question to be raised before it was for the Board to refer the question directly to it pursuant to section 28(4) of the Federal Court Act. The Board, for rea sons unknown to me, did not see fit to so refer the matter and the present application was
z [1973] F.C. 1166.
brought before me by the processors by way of originating notice of motion.
Section 122(2) of the Canada Labour Code reads as follows:
(2) Subject to subsection (1), no order shall be made, process entered or - proceeding taken in any court, whether by way of injunction, certiorari, prohibition, quo warranto or otherwise, to question, review, prohibit or restrain the Board in any of its proceedings under this Part.
In my view, there is nothing extraordinary in this privative clause contained in the Canada Labour Code.
There are numerous decisions of common law courts of the highest jurisdiction over many years which have held that courts of superior jurisdiction possessing powers of prohibition and entrusted with the duty of supervising tri bunals of inferior jurisdiction, have not only the jurisdiction but the duty to exercise those powers notwithstanding privative clauses of this nature where the application is based on a com plete lack of jurisdiction on the part of the tribunal of inferior jurisdiction to deal with the matter with which it purports to deal. These decisions are based on the very logical assump tion that where Parliament has set up a tribunal to deal with certain matters it would be com pletely illogical to assume that, by the mere fact of inserting a privative clause in the Act con stituting the tribunal and outlining its jurisdic tion, Parliament also intended to authorize the tribunal to deal with matters with which Parlia ment had not deemed fit to entrust it or to exercise jurisdiction over persons not covered by the Act of Parliament, or to engage in an illegal and unauthorized hearing.
A fortiori, the principle would apply in cases where the tribunal was purporting to deal with matters over which Parliament itself did not have the power to convey jurisdiction to the tribunal. The last-mentioned situation is precise ly the one which the processors, applicants, allege exists in the present case since they allege that the power to legislate in this matter in the circumstances of the present case has been exclusively reserved to the provinces under sec tion 92(13) of the British North America Act. The alternative grounds of the motion, namely,
that the Act itself does not purport to give the respondent Board jurisdiction over the appli cants in the circumstances of the present case would, if upheld, necessarily lead to a finding that it was attempting to exercise jurisdiction in circumstances not authorized by Parliament in the Canada Labour Code and would, therefore, also give this Court the jurisdiction to intervene.
Finally, I would like to state that it matters not whether the power and duty of supervision is a general one, such as exists in the superior courts of the provinces, flowing from custom and the common law of England whereby courts of superior jurisdiction have traditionally exer cised the power or whether it is founded entire ly on a specific statutory provision such as section 18(a) of the Federal Court Act in the case of this Court.
I therefore find that I have jurisdiction to intervene on both grounds raised in the applica tion before me.
At the opening of argument, counsel for all of the applicants and counsel for both respondents assured me that should I, or the Federal Court of Appeal in its turn, come to a decision adverse to their position in this matter, the definite instructions from their respective clients were to pursue the matter to the Supreme Court of Canada. Such an assertion of ultimate intention is not comforting to a Trial Judge who is then inclined to feel that no matter what study or thought he might devote to or what pearls of legal wisdom he might by accident or design, contribute to the question in issue, he is not being called upon to dispense justice between the parties but merely to act as a first cog in the procedural machinery which will eventually bring the matter before the highest tribunal in the land for ultimate decision. His role is all the more limited and uninspiring when, in a case such as this, there is no dispute as to facts and all evidence is submitted in affidavit form and the judge cannot even discharge his normal role of arriving at findings of fact or of determining matters of credibility. But, having regard to the importance of the issue, I will resist the tempta tion of merely deciding the matter by a toss of the coin as I threatened to do when counsel
solemnly announced their intention to pursue the matter further no matter what the outcome might be.
Section 107(1), being the interpretation sec tion pertaining to Part V of the Canada Labour Code, defines "dependent contractor" in part as follows:
107. (1) In this Part,
"dependent contractor" means
(b) a fisherman who is not employed by an employer but who is a party to a contract, oral or in writing, under the terms of which he is entitled to a percentage or other part of the proceeds of a joint fishing venture in which he participates with other persons;
"Employee" is defined as including a dependent contractor. In other words, the fishermen are, by statute, created employees of the processors.
One cannot logically deal with the first ground advanced by the applicants, processors, namely, that the provisions of the Canada Labour Code are ultra vires without first assum ing, for the purpose of considering the question raised, that the Act by its terms purports to be applicable to the present situation.
In other words, one must assume that section 108 of the Act does by its terms purport to cover the present situation. Section 108, which is the only section under which the authority of the respondent Board can be extended to cover the applicants reads as follows:
108. This Part applies in respect of employees who are employed upon or in connection with the operation of any federal work, undertaking or business and in respect of the employers of all such employees in their relations with such employees and in respect of trade unions and employers' organizations composed of such employees or employers.
Based on a preliminary assumption that this section renders the Act applicable to the present situation, it is clear that the Board could not have been granted its jurisdiction by Parliament by virtue of the general residuary powers con tained in section 91 of the British North Ameri- ca Act since the question of labour relations
generally speaking would normally be con sidered a matter of property and civil rights under the exclusive jurisdiction of the provin cial legislatures under head 13 of section 92 of the British North America Act, namely: "Prop- erty and Civil Rights in the Province." The key words in this case are of course "in the Province."
There is no doubt that, on the evidence, all contracts took place in the Province of British Columbia, all of the processors are situated there and all purchases of fish are made within the Province as well as the accounting for such purchases. Although there seems to be no direct evidence to that effect, it would also seem reasonable to conclude from all of the evidence that, on a balance of probabilities, all of the members of the crews of the fishing vessels, whom the respondent Union is seeking to repre sent, are residents of the Province of British Columbia or, in any event, one could certainly conclude that the very great majority of them are. This conclusion is corroborated to some extent at least by the fact that the respondent Union itself bears the name "British Columbia Provincial Council United Fishermen and Allied Workers Union." (The underlining is mine.)
The words "property and civil rights" are not to be given a narrow interpretation and these words in their fair and ordinary meaning, apply to contracts and to rights arising from them, although such rights are not specifically includ ed in any of the enumerated classes of subjects in section 92. Refer The Citizens Insurance Company of Canada v. William Parsons; The Queen Insurance Company v. William Parsons 3 .
In view of the concluding words of section 91, which read as follows,
And any Matter coming within any of the Classes and Subjects enumerated in this Section shall not be deemed to come within the Class of Matters of a local or private Nature comprised in the Enumeration of the Classes of Subjects by this Act assigned exclusively to the Legislatures of the Provinces.
3 (1881-82) 7 App. Cas. 96 at 107.
one must consider whether other characteristics of the subject matter would take it out of the jurisdiction of the Province and make it one which would constitutionally fall under the jurisdiction of the Parliament of Canada. This authority must be found in section 91 and must be found among the specifically enumerated matters covered by that section and not merely in the general residuary powers contained in its opening paragraph.
Among the likely relevant areas of section 91, which might be held to be applicable, one must consider head 2, namely, "The Regulation of Trade and Commerce." These words are not to be used in an unlimited sense. Sir Montague E. Smith in delivering the report of the Privy Council in the above-mentioned case of Citizens v. Parsons stated at page 112 of the report as follows:
The words "regulation of trade and commerce," in their unlimited sense are sufficiently wide, if uncontrolled by the context and other parts of the Act, to include every regula tion of trade ranging from political arrangements in regard to trade with foreign governments, requiring the sanction of parliament, down to minute rules for regulating particular trades. But a consideration of the Act shews that the words were not used in this unlimited sense. In the first place the collocation of No. 2 with classes of subjects of national and general concern affords an indication that regulations relat ing to general trade and commerce were in the mind of the legislature, when conferring this power on the dominion parliament. If the words had been intended to have the full scope of which in their literal meaning they are susceptible, the specific mention of several of the other classes of subjects enumerated in sect. 91 would have been unneces sary; as 15, banking; 17, weights and measures; 18, bills of exchange and promissory notes; 19, interest; and even 21, bankruptcy and insolvency.
and at page 113:
Construing therefore the words "regulation of trade and commerce" by the various aids to their interpretation above suggested, they would include political arrangements in regard to trade requiring the sanction of parliament, regula tion of trade in matters of inter-provincial concern, and it may be that they would include general regulation of trade affecting the whole dominion. Their Lordships abstain on the present occasion from any attempt to define the limits of the authority of the dominion parliament in this direction. It is enough for the decision of the present case to say that, in their view, its authority to legislate for the regulation of trade and commerce does not comprehend the power to regulate by legislation the contracts of a particular business or trade, such as the business of fire insurance in a single
province and therefore that its legislative authority does not in the present case conflict or compete with the power over property and civil rights assigned to the legislature of Ontario by No. 13 of sect. 92. [The underlining is mine.]
The law, on this point, was recently reviewed by the Federal Court of Appeal in the recent case of MacDonald v. Vapor Canada Ltd. 4 .
The rights created by a labour contract gov erning fishermen, although a good part of the labour might well be performed outside of the province, would be enforceable within the prov ince and the contract is in substance a method for securing rights within the province. The situation is very similar to the rights arising out of the workmen's compensation legislation con sidered in the case of Workmen's Compensation Board v. Canadian Pacific Railway Company 5 .
The statement of the law in Citizens v. Par sons (supra) has been subsequently approved and followed by the Supreme Court of Canada in a much more recent decision in 1936 in the reference to it of the question of the constitu tionality of The Natural Products Marketing Act, 1934, and its Amending Act, 1935 6 . Chief Justice Duff, in delivering the judgment of the Court after quoting the extracts from that case including the extracts to which I have referred and referring also to the decision in the case of Attorney-General for the Dominion of Canada v. Attorney-General for the Province of Alberta and Others and Attorney-General for the Prov ince of British Columbia', states at page 410 of the said report:
It would appear to result from these decisions that the regulation of trade and commerce does not comprise, in the sense in which it is used in section 91, the regulation of particular trades or occupations or of a particular kind of business such as the insurance business in the provinces, or the regulation of trade in particular commodities or classes of commodities in so far as it is local in the provincial sense; while, on the other hand, it does embrace the regulation of external trade and the regulation of inter-provincial trade and such ancillary legislation as may be necessarily inciden-
4 [1972] F.C. 1156 (refer judgment of Jackett C.J. at pages 1171 and 1172 of the report).
5 [1920] A.C. 184.
6 Reference is reported in [1936] S.C.R. 398.
7 [1916] 1 A.C. 588.
tal to the exercise of such powers. [The underlining is mine.]
The limitation to be imposed on the scope of these words "regulation of trade and com merce" is further illustrated in the above-men tioned case of Attorney-General for The Domin ion of Canada v. Attorney-General for Alberta where it was held that the Parliament of Canada does not by these words possess the right to regulate by a licensing system a particular trade in which Canadians would otherwise be free to engage in a province and that such a limitation constitutes an invasion of property and civil rights reserved to provincial legislatures.
In the case of The King v. Eastern Terminal Elevator Company' where the provisions of the Canada Grain Act passed in 1912 to regulate trade in grain were considered by the Supreme Court of Canada, these provisions were held ultra vires the Parliament of Canada. Duff J., as he then was, stated at pages 447-448:
There are two lurking fallacies in the argument advanced on behalf of the Crown; first, that, because in large part the grain trade is an export trade, you can regulate it locally in order to give effect to your policy in relation to the regula tion of that part of it which is export. Obviously that is not a principle the application of which can be ruled by percent ages. If it is operative when the export trade is seventy per cent of the whole, it must be equally operative when that percentage is only thirty; and such a principle in truth must postulate authority in the Dominion to assume the regulation of almost any trade in the country, provided it does so by setting up a scheme embracing the local, as well as the external and interprovincial trade; and regulation of trade, according to the conception of it which governs this legisla tion, includes the regulation in the provinces of the occupa tions of those engaged in the trade, and of the local estab lishments in which it is carried on. Precisely the same thing was attempted in the Insurance Act of 1910, unsuccessfully. The other fallacy is (the two are, perhaps, different forms of the same error) that the Dominion has such power because no single province, nor, indeed, all the provinces acting together, could put into effect such a sweeping scheme. The authority arises, it is said, under the residuary clause because of the necessary limits of the provincial authority. This is precisely the view which was advanced in the Board of Commerce Case [1922] 1 A.C. 191 and, indeed, is the view which was unsuccessfully put forward in the Montreal Street Railway Case [1912] A.C. 333 ... .
8 [1925] S.C.R. 434.
and Mignault, J., at page 457 of the same report, stated:
It suffices to answer that the subject matter of the Act is not agriculture but a product of agriculture considered as an article of trade. The regulation of a particular trade, and that is what this statute is in substance, cannot be attempted by the Dominion on the ground that it is a trade in natural products.
The subject matter of the legislation in the present case is labour relations and the product affected is fish. This product is sold and traded within the Province, and the legislation would control the relationship existing between the parties for the sale of fish in the Province. Parliament cannot enact legislation affecting labour relations between fishermen and fish processors in a province merely under the guise of its powers to regulate trade and commerce, nor does the mere fact that the legislation might possibly enure to the benefit of Canada as a whole displace the jurisdiction of provincial legislatures in this field afforded them by the property and civil rights provisions under section 92. There is, of course, no national emergency in this case which would authorize the Federal Government to legislate under its peace, order and good government powers. These principles were specifically dealt with by the Privy Council in Toronto Electric Commis sioners v. Snider and Others; Snider and Others v. Attorneys-General for Canada and Ontario. 9 The object of the federal Act in issue was to enable industrial disputes between any employ er in Canada and any one or more of his employees to be settled. The Act was held to be ultra vires although it might have been for the benefit of Canada as a whole and it was further held in that case that the peace, order and good government clause would be of no avail to Canada in that situation.
9 [1925] A.C. 396.
A further specific head of section 91, which might perhaps be considered as affording juris diction to Parliament notwithstanding section 92(13), is 91(10): "Navigation and Shipping."
The 1955 reference to the Supreme Court of Canada of the question of the validity of the Industrial Relations and Disputes Investigation Act 10 is of considerable assistance in this regard. (See Reference re Validity of Industrial Rela tions and Disputes Investigation Act (Can.) and Applicability in Respect of Certain Employees of Eastern Canada Stevedoring Co. Ltd.") The judgment on the reference held that federal legislation concerning labour relations of steve dores was intra vires the Parliament of Canada because the work of stevedores was so intimate ly connected with ships and shipping as to form an essential part thereof. The case is also inter esting in that it approved the principle laid down in Paquet and Another v. Corporation of Pilots For and Below the Harbour of Quebec 12 and City of Montreal v. Harbour Commissioners of Montreal; Tetreault v. Harbour Commissioners of Montreal; Attorney-General for Quebec v. Attorney-General for Canada 13 to the effect that the class of subjects falling within navigation and shipping is to be widely construed. It is also interesting because, although the case deter mines that the legislation is intra vires the Canadian Parliament, there is the clear indica tion that it would not necessarily apply to all stevedores and that those engaged in strictly provincial undertakings or services locally organized would not be subject to it, and that the question as to whether it actually applied, in any particular case, would depend on the cir cumstances of that case.
In Underwater Gas Developers Ltd. v. Ontario Labour Relations Board 14 , the Court of Appeal of Ontario dealt with the problem of whether labour relations affecting underwater offshore
'° R.S.C. 1952, c. 152. " [1955] S.C.R. 529. 12 [1920] A.C. 1029. 1J [1926] A.C. 299. 14 (1960) 24 D.L.R. (2d) 673.
drilling were to be subject to federal or to provincial jurisdiction. It was held that, although the boats were subject to the Canada Shipping Act and the work itself had to be federally approved under the Navigable Waters Protection Act, the employees themselves were subject to the Ontario Labour Relations Act and not subject to federal labour legislation as the work was purely local and the navigation and shipping aspects were purely incidental thereto. In my view, notwithstanding that the power to control the class of subjects falling within navigation and shipping is to be widely construed, to hold that Parliament would have jurisdiction over the labour relations between the fishermen and the processors by reason only of its jurisdiction over navigation and shipping would, as stated in the last-mentioned case, be attributing a tortured meaning to that head and to the provisions of the British North America Act regarding the division of powers between Canada and the provinces. I therefore conclude that the legislation cannot be supported under that head any more than under the head giving the power to control trade and commerce.
The next specific head under section 91 of the British North America Act, where Canada might assume jurisdiction, is head 12 regarding "Sea Coast and Inland Fisheries." The limita tion to be applied to the rights of Parliament over fisheries was laid down in 1882 in the leading case on fisheries of The Queen v. Robertson 1 s where the Supreme Court of Canada unanimously upheld a previous decision of the former Exchequer Court. Chief Justice Ritchie, at pages 120 and 121 of the above-men tioned report, stated:
Such being the state of matters at the time of confedera tion, I am of opinion that the legislation in regard to "Inland and Sea Fisheries" contemplated by the British North America Act was not in reference to "property and civil rights"—that is to say, not as to the ownership of the beds
15 (1882) 6 S.C.R. 52.
of the rivers, or of the fisheries, or the rights of individuals therein, but to subjects affecting the fisheries generally, tending to their regulation, protection and preservation, mat ters of a national and general concern and important to the public, such as the forbidding fish to be taken at improper seasons in an improper manner, or with destructive instru ments, laws with reference to the improvement and increase of the fisheries; in other words, all such general laws as enure as well to the benefit of the owners of the fisheries as to the public at large, who are interested in the fisheries as a source of national or provincial wealth; in other words, laws in relation to the fisheries, such as those which the local legislatures were, previously to and at the time of confedera tion, in the habit of enacting for their regulation, preserva tion and protection, with which the property in the fish or the right to take the fish out of the water to be appropriated to the party so taking the fish has nothing whatever to do, the property in the fishing, or the right to take the fish, being as much the property of the province or the individual, as the dry land or the land covered with water. [The underlin ing is mine.]
And at page 123 he stated further:
To all general laws passed by the Dominion of Canada regulating "sea coast and inland fisheries" all must submit, but such laws must not conflict or compete with the legisla tive power of the local legislatures over property and civil rights beyond what may be necessary for legislating general ly and effectually for the regulation, protection and preser vation of the fisheries in the interests of the public at large.
The case, in my view, lays down a fairly strict limitation to the jurisdiction of the Parliament of Canada under this head. It limits the compe tence of Parliament in this field to the regula tion, protection and preservation of fisheries and excludes from its jurisdiction the rights of individuals in the fisheries themselves. It would seem to follow a fortiori that where the true nature of the subject matter is the right of individuals to contract as to the proceeds of the catch, it must be excluded as being too remote to be necessarily incidental to or effectively required for the general policing or supervisory powers afforded the federal authority by section 91(12) over fisheries. The principle in the Rob- ertson case, supra, limiting federal power to the supervision and regulation of fisheries was subsequently followed by the Supreme Court of Canada in a reference entitled In the Matter of
Jurisdiction over Provincial Fisheries 16 . Chief Justice Sir Henry Strong at page 519 of this report stated:
... and the legislative authority of Parliament under section 91, subsection 12, is confined to the conservation of the fisheries by what may conveniently be designated as police regulations. As this has already been decided by the case of The Queen v. Robertson, 6 Can. S.C.R. 52, which is binding upon me, I consider the decision in that case as settling the existing law. [The underlining is mine.]
The case of Attorney-General for the Domin ion of Canada v. Attorneys-General for the Provinces of Ontario, Quebec and Nova Scotia" makes it abundantly clear that, although section 91(12) confers extensive powers to legislate concerning the control of fish, which powers might fundamentally affect to a considerable degree the exercise of proprietary rights in rela tion to fisheries or their products, it does not, in any way, confer any proprietary right to Canada in relation to fisheries. (Refer pages 712 and 713 of the above-mentioned report of the case.)
The federal authorities have no power to require a licence as a condition of the operation of a cannery. This was dealt with also by the Privy Council when it upheld the unanimous decision of the Supreme Court of Canada in a reference to the latter by the Governor General. The case before the Privy Council was entitled Attorney-General for Canada v. Attorney-Gener al for British Columbia ] $. At page 121 Their Lordships in their report to His Majesty stated:
Their Lordships are of opinion that the appellant's conten tion in this respect is not well founded. The fact that in earlier fishery legislation raising no question of legislative competence matters are dealt with not strictly within any ordinary definition of "fishery" affords no ground for put ting an unnatural construction upon the words "sea coast and inland fisheries." In their Lordships' judgment, trade processes by which fish when caught are converted into a commodity suitable to be placed upon the market cannot upon any reasonable principle of construction be brought within the scope of the subject expressed by the words "sea coast and inland fisheries." [The underlining is mine.]
16 (1896-7) 26 S.C.R. 444.
]7 [1898] A.C. 700.
18 [1930] A.C. 111.
From an analysis of these cases it seems clear that fish are property which fall within the prop erty and civil rights jurisdiction of the provinces and that any contract or arrangement between citizens for the disposal of the proceeds of the sale of that property is not, in any way, essential to, does not fundamentally relate to nor is it necessarily incidental to the policing or control of fisheries. Fish like grain in The King v. East ern Terminal Elevator Company (supra) are the product of the grounds on which they are har vested and the fact that Canada may control the fishing grounds does not necessarily give it con tinuing control after harvesting over the product itself which is the article of trade or over the marketing of the product within any province.
The fact that some of the operations and perhaps in some particular cases the greater part of the fishing operations may be carried on outside provincial territorial waters does not affect the situation. This point was specifically dealt with by the Court of Appeal of British Columbia in Mark Fishing Co. Ltd. v. United Fishermen & Allied Workers' Union 19 . In this case, on the question of legislative authority over the subject matter, Chief Justice Davey stated at page 647:
... I see no distinction between property rights in fisheries and the regulation of labour relations in the industry, because the legislative authority over both belongs to the provinces under s. 92(13), unless the right to regulate labour relations in the industry is an essential or vital part of the protection and preservation of the fisheries, a point I shall discuss later.
He then went on to state at page 649:
Since I am firmly of the opinion that head (12) does not by interpretation expressly extend to legislative control over labour relations between owners of fishing vessels and their crews, it becomes necessary to consider whether the power to regulate and control the fisheries in order to preserve and protect them must include the power to regulate the terms and conditions of employment of the fishing crews vis-à-vis their employers.
19 [1972] 3 W.W.R. 641.
He then concluded that it had not been estab lished in evidence that the power to regulate and control fisheries must include the power to regulate any terms or conditions of employ ment.
On this last-mentioned point, the evidence, in the present case before me, indicates that pro longed work stoppage in the fishing industry might have an adverse effect on the reproduc tion of fish by reason of over-abundance of fish in the spawning grounds. One cannot help but conclude, however, that a stoppage of work in the canneries themselves, or perhaps over the transportation system from the canneries or in the supply of containers, etc. to the industry, would result in fish purchases being halted and, therefore, would be just as likely to lead to an interruption of fishing. No one could seriously argue that this would give Parliament the power to legislate regarding labour relations in these last-mentioned areas. In any event, the above- quoted case of Mark Fishing Co. Ltd. v. United Fishermen & Allied Workers' Union specifically dealt with the matter and, although that decision is not binding on me, I certainly consider it good law. It may be stated here also that one cannot suppose that work stoppage would be more likely to occur or be more prolonged where labour relations are provincially controlled as opposed to being federally controlled, and it follows that one cannot reasonably conclude that provincial control of labour relations in this situation would be likely to hinder Canada's right to police and supervise the fishing grounds. For the above reasons I cannot accept the argument that head 12 of section 91 would, in the circumstances of the present case, over ride the jurisdiction afforded the Province in this matter under section 92(13).
An argument was advanced at the hearing to the effect that, by reason of Canada's treaty- making powers regarding fisheries and the reciprocal protection of fisheries and Canada's obligation to implement such treaties, the Canadian Parliament possesses ipso facto juris diction over the labour relations of fishermen.
As to distribution of treaty-making powers, the subject was fully dealt with and settled by the Privy Council in Attorney-General for Canada v. Attorney-General for Ontario 20 . In that case, Their Lorships, after clarifying cer tain doubts which had arisen by reason of some ambiguous wording in what is referred to as the Aeronautics case [1932] A.C. 54 and certain obiter dicta used in what is known as the Radio case [1932] A.C. 304, went on to state at page 351 as follows:
Their Lordships are satisfied that neither case affords a warrant for holding that legislation to perform a Canadian treaty is exclusively within the Dominion legislative power.
For the purposes of ss. 91 and 92, i.e., the distribution of legislative powers between the Dominion and the Provinces, there is no such thing as treaty legislation as such. The distribution is based on classes of subjects; and as a treaty deals with a particular class of subjects so will the legislative power of performing it be ascertained. No one can doubt that this distribution is one of the most essential conditions, probably the most essential condition, in the inter-provincial compact to which the British North America Act gives effect.
And also at page 352:
It follows from what has been said that no further legisla tive competence is obtained by the Dominion from its accession to international status, and the consequent increase in the scope of its executive functions. It is true, as pointed out in the judgment of the Chief Justice, that as the executive is now clothed with the powers of making treaties so the Parliament of Canada, to which the executive is responsible, has imposed upon it responsibilities in connec tion with such treaties, for if it were to disapprove of them they would either not be made or the Ministers would meet their constitutional fate. But this is true of all executive functions in their relation to Parliament. There is no existing constitutional ground for stretching the competence of the Dominion Parliament so that it becomes enlarged to keep pace with enlarged functions of the Dominion executive. If the new functions affect the classes of subjects enumerated in s. 92 legislation to support the new functions is in the competence of the Provincial Legislatures only. If they do not, the competence of the Dominion Legislature is declared by s. 91 and existed ab origine. In other words, the Domin ion cannot, merely by making promises to foreign countries, clothe itself with legislative authority inconsistent with the constitution which gave it birth. [The underlining is mine.]
In view of the above, it seems established law that the treaty-making powers of Canada exist ing by reason of its control over sea coast and
20 [1937] A.C. 326.
inland fisheries cannot give the Canadian Parlia ment any more jurisdiction than it possesses by virtue of the very head in section 91 which is the source of that treaty-making power on the subject, namely, in this case, head 12 pertaining to "Sea Coast and Inland Fisheries."
A very comprehensive argument was also made on behalf of the interveners Native Broth erhood based on Canada's exclusive right to legislate regarding native Indians and their lands, to the effect that the federal authority for this reason did have jurisdiction in the present case. The jurisdiction of the Federal Govern ment over native Indians is found in head 24 of section 91 which reads as follows: "Indians and Lands reserved for the Indians."
At the same time, the argument was also made that by reason of the Royal Proclamation of 1763, which it is alleged is in force in British Columbia, or alternatively, by reason of aborigi nal rights to engage in fishing, which native Indians have enjoyed from time immemorial and which rights cannot be removed or regulat ed directly or indirectly by provincial legisla tion, the federal authority has exclusive right to legislate regarding labour relations between fish ermen and the processors since labour relations in this special area can intimately affect the rights of Indians and since fishing is one of their main occupations in British Columbia.
As to the aboriginal rights of Indians in Brit- ish Columbia, or those existing by virtue of the Royal Proclamation of 1763, it seems that, in view of the split decision of the Supreme Court of Canada in the case of Calder v. Attorney- General of British Columbia 21 , the courts of British Columbia (but not this Court) are now bound by the unanimous decision of the Court of Appeal of that Province in the Calder case reported in (1971) 13 D.L.R. (3d) 64. That
21 [1973] S.C.R. 313.
Court upheld the decision of the Trial Judge, who dismissed the action for a declaration that the aboriginal or Indian title to ancient tribal territories was never lawfully extinguished.
It would be useful under the circumstances to have the matter reconsidered by the Supreme Court of Canada, especially in view of the fact that it seems certain that the present case will ultimately reach that Court, but I for one, fail to see how the issue is relevant to the present case. The mere fact that the control of labour rela tions between fishermen and fish processors might affect the rights of many Indians by reason of the fact that there are a good many of them among the crews of fishing vessels is not, in my view, a factor which would give Canada jurisdiction. Even if it were ultimately decided that the Indians did possess certain territorial rights by virtue of either aboriginal rights or the Royal Proclamation of 1763, I fail to see how it would follow that they have any exclusive right to fishing, especially in the sea or the coastal areas. Nothwithstanding that the native Indians might possibly possess ancient rights regarding fishing and hunting or certain territorial rights, they certainly do not possess an exclusive right over either the inland fisheries of British Columbia, the coastal fisheries or those on the high seas.
The legislation in issue does not purport to affect the rights of native Indians as such; it is not directed at them either expressly or implicit ly. It is in substance as well as in form, general legislation designed to regulate and control the relationship existing between fish processors and all fishermen who fall under the definition of employee as stated in section 107(1)(b) above quoted. Since it is truly labour legislation affect ing all citizens who fall under its terms, the mere fact that some native Indians who, as members of crews of fishing vessels choosing to contract with fish processors, are affected by it, cannot give Parliament jurisdiction to enact this type of legislation any more than the fact that they might form a substantial part of the people
engaged in any other particular business, trade, calling or profession would clothe Parliament with jurisdiction over labour legislation in any such field. Furthermore, the fact that the par ticular trade or calling involved happens to be fishing, which is obviously a trade, or calling in which all Canadian citizens may participate without distinction as to race, cannot in any way alter this aspect of the situation. The enjoyment by native Indians of any ancient privileges or rights not enjoyed by others cannot change or override any province's right to legislate gener ally as to property and civil rights for the gener al benefit of the residents of that province. Should the native Indians indeed possess such ancient aboriginal or treaty rights and should any particular provision of any such legislation infringe those rights, such provision would not be binding upon or operative against native Indi- ans, but this certainly does not mean that the Province would lose its jurisdiction to pass the legislation in the first place and that jurisdiction in the matter would pass to Parliament by reason of any such native rights.
It is therefore unnecessary to decide whether aboriginal or treaty rights exist for the purpose of determining the question in issue and, for the reasons above mentioned the fact that the crews of fishing vessels comprise native Indians cannot affect jurisdiction in this case.
The second ground raised by the processors for objecting to jurisdiction is that the Act by its very terms does not purport to apply to the present situation. As stated previously, the rele vant section is 108 of the Canada Labour Code (supra). "Federal work, undertaking or busi ness" is fully defined in section 2 of the Canada Labour Code and means:
. any work, undertaking or business that is within the legislative authority of the Parliament of Canada .. .
In other words the word "federal" is not limited to a work or undertaking in which the Federal
Government is actually engaged as such, but a work or undertaking or business over which the Federal Parliament has authority to legislate. Section 108 states that the provisions of that part of the Canada Labour Code apply when the employees (which include the fishermen in our case) are "employed upon or in connection with the operation of any such work, undertak ing or business." The fishermen are certainly not employed "upon" the operation of any such work, etc. The question is therefore whether they might be considered as being employed "in connection with" the operation of same.
The meaning and application of the words "in connection with" were considered by almost all the Justices of the Supreme Court of Canada in a 1955 reference to that Court of the 1952 Industrial Relations and Disputes Investigation Act 22 to which I have previously referred in these reasons. The words "in connection with" were used in section 53 of that Act which was so similar to section 108 of the Canada Labour Code as to be almost identical to it. The relevant part of section 53 reads as follows:
53. Part I applied in respect of employees who are employed upon or in connection with the operation of any work, undertaking or business that is within the legislative authority of the Parliament of Canada including, but not so as to restrict the generality of the foregoing,
As to the words "in connection with" Tas- chereau J. (as he then was) stated at page 542 of the report:
The words "in connection with" found in s. 53, must not of course be given too wide an application. But, I think it quite impossible to say in the abstract, what is and what is not "in connection with". It would be overweening to try and foresee all possible cases that may arise. I can imagine no general formula that could embrace all concrete even tualities, and I shall therefore not attempt to lay one down, and determine any rigid limit. Each case must be dealt with separately.
22 Reported in [1955] S.C.R. 529.
Kellock J. had this to say about the expression at page 556:
Apart from Government employees, the application of Part I is provided for by s. 53, which it is not necessary to restate. In my view, the words "in connection with" in the second line of s. 53, as well as in paragraph (a), are not to be construed in a remote sense but as limited to persons actually engaged in the operation of the work, undertaking or business which may be in question. Just what are the proper limits in this connection of the word "employees" in the section must be left for determination in particular cases as they arise. For example, persons performing merely casual services upon or in connection with a Dominion "undertaking" would not necessarily fall within the ambit of that word as used in s. 92(10).
Rand J. stated at pages 548 and 549:
The tests of the scope of dominion powers as they touch incidentally upon civil rights are difficult of precise formula tion. In Grand Trunk Railway Company v. Attorney General of Canada (supra) Lord Dunedin asks whether the dealing with a civil right there was "truly ancillary to railway legislation". The fact that the prohibition would tend, as argued by the company, to negligence on the part of employees, was taken, if true, to be conclusive that the prohibition was ancillary. Other expressions have been used: "necessarily incidental" in the Local Prohibition case [1896] A.C. 348 at 360: "incidentally": Ladore v. Bennett, [1939] A.C. 468. These phrases assume that legislation on a principal subject matter within an exclusive jurisdiction may include as incidents subordinate matters or elements in other aspects outside that jurisdiction. The instances in which this power has been upheld seem to lead to the conclusion that if the subordinate matter is reasonably required for the pur poses of the principal or to prevent embarrassment to the legislation, its inclusion to that extent is legitimate. This may be no more than saying that the incidental has a special aspect related to the principal. Actual necessity need not appear as the contracting out case shows; it is the appropri ateness, on a balance of interests and convenience, to the main subject matter or the legislation. I do not construe the words "in connection with" in the opening paragraph of s. 53 as to local matter to go beyond what can be annexed to federal legislation within the meaning of these phrases. [The underlining is mine.]
Kerwin C.J.C. stated at page 535:
... therefore, the Act before us should not be construed to apply to employees who are employed at remote stages, but only to those whose work is intimately connected with the work, undertaking or business.
Estey J. stated at page 566:
Mr. Magone particularly emphasized the words "upon or in connection with" in the opening words of s. 53 and "on for or in connection with" as they appear in s. 53(a). He contended that these words are so wide and comprehensive as to include not only matters which may form an integral part or be necessarily incidental to a work, undertaking or business over which the Parliament of Canada has legisla tive jurisdiction, but would extend to any activity, however slightly or remotely it may be connected with a given work, undertaking or business. It may be conceded that in their widest import there is much in such a contention, but these words must be read and construed in association with the other language of the section and, indeed, with that of the Act as a whole. When so read I do not think they could be construed to include more than that which would form an integral part or be necessarily incidental to the work, under taking or business that was within the legislative compe tence of Parliament.
Cartwright J. (as he then was) stated at page 582:
With this in mind the words "in connection with" appearing in the second line of the section must be understood as meaning "connected in such manner with the operation of the work, undertaking or business referred to that the legis lation contained in Part I of the Act when applied to the employees so described is in substance legislation in relation to the operation of such work, undertaking or business or necessarily incidental (to use the words of Lord Watson in Attorney-General for Ontario v. Attorney-General for Canada, [1896] A.C. 348 at 360) or truly ancillary (to use the words of Lord Dunedin in Grand Trunk Railway v. Attorney-General for Canada [1907] A.C. 65 at 68) thereto." The words "in connection with" in the second line of clause (a) must be similarly construed ... .
and Fauteux J. (as he then was) stated at page 587:
... the employment therein referred to would then be employment upon such work, undertaking or business that is within the legislative authority of the Parliament of Canada or employment as to part of or necessarily connected with the operation of such work, undertaking or business. Hence the effectiveness of the limitation is unaffected by the words "in connection with"" appearing in the governing provision of the section ... .
It seems clear from this case that if the words "in connection with" were not given the restric tive meaning of being "necessarily incidental to" then the statute, being labour legislation, would be ultra vires the Parliament of Canada in accordance with the previous decision of the Privy Council in the Toronto Electric Commis-
sioners v. Snider (supra) as being general prop erty and civil rights legislation.
In considering the words "in connection with" in the light of the particular circumstances of the case at Bar, in order to decide whether the statute would be operative in the case of the processors and the fishermen, one must deter mine whether there is a federal work, undertak ing or business in connection with the operation of which the fishermen are employed.
According to the authorities previously quoted, the federal undertaking or business over which Parliament has legislative authority in this case is fisheries in the limited sense of the policing or the controlling of the exploitation of fisheries. Are fishermen employed in connec tion with the operation of that particular undertaking?
The decision would not be difficult if the federal authorities were legally engaged in the trade or business of fishing. The employment in which the fishermen are in fact engaged is undoubtedly fundamentally and directly affect ed by the controls or regulations which Canada might, from time to time, legally impose on the fisheries, but that is an entirely different matter from saying that they are employed in any way in connection with the undertaking of effective ly imposing or carrying out the controls them selves. They are subject to policing and control ling activities imposed by the Canadian statutes affecting fisheries but they are not employed in connection with the operation of those activi ties, namely, the policing and control of fisheries.
It might be otherwise also if Parliament had legislative jurisdiction over the business, trade or undertaking of fishing. It does not, in my view, possess any such jurisdiction. Its jurisdic tion is limited to the policing of fisheries them selves and does not, as stated previously, even enjoy property rights over these fisheries. The fact that it could by its regulatory powers in some instances completely prevent any fishing whatsoever from taking place does not clothe it with the jurisdiction over fishing as a business.
Any interference with actual fishing is merely a direct consequence on provincial property and civil rights, of the exercise by Canada of its jurisdiction in a field reserved to it and does not thereby extend the jurisdiction of Parliament over the provincial civil rights field which has been so affected by the federal legislation. Par liament would possess jurisdiction in this latter field only if such additional jurisdiction were essential to or reasonably required for the proper exercise of jurisdiction in the field reserved to it. I cannot find any such essential requirement, for Canada may continue as it has up to the present time, to effectively control the fisheries without controlling the labour relations of the fishermen. It follows that the fishermen cannot be considered as employed "in connec tion with" any federal work, undertaking or business.
I therefore conclude that the terms of section 108 of the Canada Labour Code do not purport to render the Act applicable to labour relations between fishermen and the processors in the circumstances of the case before me, but in any event if they do, then the Act is in that respect unconstitutional and ultra vires the Parliament of Canada in that it purports to deal with a matter specifically reserved to the provinces under head 13 of section 92 of the British North America Act.
The applicants in this motion will therefore be entitled to the relief claimed and a writ of prohi bition will issue as requested.
The fact that, as stated previously, I have been assured by all of the applicants and both respondents that my decision, whatever it may be, will be appealed should not deter me from applying the generally accepted principle that costs normally follow the event. Accordingly, the applicants shall have their costs against the respondents.
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