Judgments

Decision Information

Decision Content

T-3203-76
The Queen (Plaintiff)
v.
Saskatchewan Wheat Pool (Defendant)
Trial Division, Smith D.J.—Winnipeg, December 6 and 30, 1977.
Jurisdiction — Action under Canada Grain Act for damages for delivery of infested wheat — Motion brought to ascertain Court's jurisdiction — Canada Grain Act, S.C. 1970-71-72, c. 7, ss. 2(11),(20), 61(1), 86, 89(1),(2), 93(1), 100(d) — Federal Court Act, R.S.C. 1970 (2nd Supp.), c. 10, s. 17(4)(a).
In an action to determine whether the delivery by the operator of a terminal elevator, into a vessel, of infested wheat, upon surrender of an elevator receipt issued by that operator and requiring a certain grade of wheat, constitutes fulfilment of the operator's obligation under the Canada Grain Act to deliver wheat of that grade, the plaintiff brings this motion to ascertain whether or not this Court has jurisdiction to hear and deter mine the issue.
Held, this Court has jurisdiction to hear and determine the question at issue: the statutory liability of the elevator operator under the Canada Grain Act. This case falls squarely within the Privy Council's decision in Consolidated Distilleries, as modi fied in the Quebec North Shore and McNamara cases. The Supreme Court did not mean in those cases that circumstances and statutory provisions such as exist here would leave this case outside the jurisdiction of this Court. Section 17(4)(a) of the Federal Court Act as it was validly interpreted in those cases, is effective to confer jurisdiction on this Court. A contrary view would come close to holding that this subsection has no valid effect, a position not taken by the Supreme Court.
Consolidated Distilleries Ltd. v. The King [1932] S.C.R. 419; [1933] A.C. 508, applied. Quebec North Shore Paper Co. v. Canadian Pacific Ltd. [1977] 2 S.C.R. 1054, applied. McNamara Construction (Western) Ltd. v. The Queen [1977] 2 S.C.R. 654, applied. London Passenger Transport Board v. Upson [1949] 1 All E.R. 6, considered.
APPLICATION. COUNSEL:
Henry B. Monk, Q.C., Edythe I. MacDonald, Q. C., and Deedar Singh Sagoo for plaintiff.
No one appearing for defendant.
SOLICITORS:
Deputy Attorney General of Canada for plaintiff.
Balfour, Moss, Milliken, Laschuk, Kyle, Vancise & Cameron, Regina, for defendant.
The following are the reasons for judgment rendered in English by
SMITH D.J.: The claim in this action is made under the Canada Grain Act, S.C. 1970-71-72, c. 7, for damages for delivery of wheat infested with rusty grain beetle larvae. The question to be determined in the action is whether the delivery, by the operator of a terminal elevator, into a vessel of wheat (593,978.4 bushels) infested with such larvae, upon surrender of an elevator receipt issued by that operator requiring wheat of the Grade No. 3 Canada Utility, constitutes fulfilment of the obligation of the operator under the Canada Grain Act to deliver to the holder of the elevator receipt, upon surrender of that receipt, wheat of the grade mentioned therein.
Questions having been raised in this Court as to its jurisdiction over issues arising in somewhat similar circumstances, the plaintiff has brought this motion (at the instance of the Court) to ascertain whether this Court has jurisdiction to hear and determine the question stated in the foregoing paragraph.
The jurisdiction of the Federal Court of Canada, like that of its predecessor, the Exchequer Court of Canada, is derived from statute. The Court has no inherent jurisdiction. It was created under the power given by section 101 of the Brit- ish North America Act, 1867, by the Federal Court Act, chapter 1 of the Statutes of Canada 1970-71-72, which is chapter 10 in the 2nd Sup plement to the Revised Statutes of Canada 1970. The Court may be given jurisdiction by other Acts of Parliament but in general its jurisdiction is found in sections 17 to 30 of the Federal Court Act, and the provision with which we are here concerned is subsection (4)(a) of section 17, which enacts:
17. ...
(4) The Trial Division has concurrent original jurisdiction
(a) in proceedings of a civil nature in which the Crown or the Attorney General of Canada claims relief; ..
The present motion is brought under Rule 474 of the Federal Court Rules, which authorizes the Court, upon application, if it deems it expedient so to do, to determine any question of law that may be relevant to the decision of a matter. The motion is not objected to by the defendant. In fact counsel for the defendant, by letter to counsel for the plaintiff, indicated that he agreed with the plain tiff's position that the Court had jurisdiction in the case and that he would not be appearing at the hearing of this motion. He did not appear. There is thus no dispute between the parties on the question of jurisdiction.
The true position appears to be that the Court itself wishes to have its jurisdiction determined. The plaintiff also desires a decision on this matter, mainly because of the wide-spread repercussions a negative decision as to jurisdiction would have on litigation carried on by the Canadian Wheat Board. A decision on this purely legal point should shorten the trial in this case and afford guidance to the Board concerning what steps it should take in other cases now under consideration as well as others that may arise in the future. For these reasons I have deemed it expedient to hear the application, even though it is doubtful that the total proceedings in this action will be shortened.
The facts, in so far as related to this motion may be stated briefly. The Canadian Wheat Board, which is for all purposes an agent of the plaintiff, was the holder of terminal elevator receipts issued by the defendant and other operators of terminal elevators at Thunder Bay. On September 19, 1975 it gave written loading instructions to its agent, the Lake Shippers' Clearance Association, to cause to be loaded on the vessel Frankeliffe Hall at Thun der Bay for shipment to the Board at Mont- real or some other port on the St. Lawrence River, for export, 935,000 bushels of wheat, of which 594,000 bushels, of grade No. 3 Canada Utility Wheat, is the subject of this action. The Board authorized its said agent to surrender to the defendant and other terminal elevators at Thunder Bay, duly endorsed terminal elevator receipts for the grades and quantities of wheat specified there in, including the above amount of No. 3 Canada Utility Wheat.
These instructions were carried out. The defend ant and two other terminal elevator operators loaded a total of 593,978.4 bushels of purported No. 3 Canada Utility Wheat into 4 holds of the vessel. The wheat delivered from the defendant's terminal elevator No. 8 into holds 5 and 6, was found, on inspection of samples taken during load ing, to be infested by rusty grain beetle larvae. It was infested wheat as defined in the Canada Grain Act (section 2(20)).
The Canadian Grain Commission ordered the Board to have the wheat in holds Nos. 5 and 6 unloaded and fumigated and to have those holds cleaned and fumigated. The costs of carrying out this order, including the costs of nearly seven days delay to the vessel while the work was being done, amounting to $98,261.55, were paid by the Board. This action is brought to recover this sum as damages, the only basis of the claim being under the Canada Grain Act. No claim is made as to negligence.
Questions related to the extent of the power of Parliament to confer jurisdiction upon a Court created by it under section 101 of the B.N.A. Act have come before the courts in several cases, par ticularly in recent years. Before discussing some of these cases it will be useful to quote said section 101.
101. The Parliament of Canada may, notwithstanding any thing in this Act, from Time to Time provide for the Constitu tion, Maintenance, and Organization of a General Court of Appeal for Canada, and for the Establishment of any addition al Courts for the better Administration of the Laws of Canada.
The first case I turn to is Consolidated Distil leries Limited v. The King [1932] S.C.R. 419; [ 1933] A.C. 508. In that case the statutory provi sion in question was what was at that time section 30(d) of the Exchequer Court Act, which was similar in effect to the present section 17(4)(a) of the Federal Court Act. It reads as follows [R.S.C. 1970, c. E-11, s. 29(d)]:
29. The Court has and possesses concurrent original jurisdic tion in Canada
(d) in all other actions and suits of a civil nature at common law or equity in which the Crown is plaintiff or petitioner.
In the Consolidated Distilleries case the claim was to recover the amounts of bonds given by the appellants to the Crown in respect of liquors being exported. In the Supreme Court decision Anglin C.J.C. said at p. 421:
If authority to hear and determine such claims as these is not something which it is competent for the Dominion, under s. 101 of the British North America Act, to confer upon a court created by it for "the better administration of the law of Canada," I would find it very difficult to conceive what that clause in the B.N.A. Act was intended to convey.
That the Dominion Parliament intended to confersuch juris diction on the Exchequer Court, in my opinion, is clear beyond argument, the case probably falling within clause (a); but, if not, it certainly is clearly within clause (d) of s. 30 of the Exchequer Court Act.
And Duff J. said, at p. 422:
I find no difficulty in holding that the Parliament of Canada is capable, in virtue of the powers vested in it by section 101 of the British North America Act, of endowing the Exchequer Court with authority to entertain such actions as these. I do not doubt that "the better administration of the laws of Canada," embraces, upon a fair construction of the words, such a matter as the enforcement of an obligation contracted pursuant to the provisions of a statute of that Parliament or of a regulation having the force of statute. I do not think the point is suscept ible of elaborate argument, and I leave it there.
As to the jurisdiction of the Exchequer Court, in so far as that depends upon the construction of the Exchequer Court Act, something might be said for the view that these cases are not within the class of cases contemplated by subsection A of section 30; but that is immaterial because they are plainly within subsection D.
The judgment of the Privy Council, to which the decision of the Supreme Court was appealed, was delivered by Lord Russell of Killowen. At p. 520, after referring to the power of Parliament to estab lish courts given by section 101 of the B.N.A. Act, he said:
The Exchequer Court of Canada was constituted in the year 1875 in exercise of this power. It was conceded by the appel lants (and rightly, as their Lordships think) in the argument before the Board, that the Parliament of Canada could, in exercising the power conferred by s. 101, properly confer upon the Exchequer Court jurisdiction to hear and determine actions to enforce the liability on bonds executed in favour of the Crown in pursuance of a revenue law enacted by the Parlia ment of Canada. The point as to jurisdiction accordingly resolves itself into the question whether the language of the
Exchequer Court Act upon its true interpretation purports to confer the necessary jurisdiction.
And on pages 521 and 522 he said:
Their Lordships are anxious to avoid expressing any general views upon the extent of the jurisdiction conferred by s. 30, beyond what is necessary for the decision of this particular case. Each case as it arises must be determined in relation to its own facts and circumstances. In regard to the present case their Lordships appreciate that a difficulty may exist in regard to sub-s. (a). While these actions are no doubt "cases relating to the revenue," it might perhaps be said that no law of Canada is sought to be enforced in them. Their Lordships, however, have come to the conclusion that these actions do fall within sub-s. (d). It was suggested that if read literally, and without any limitation, that sub-section would entitle the Crown to sue in the Exchequer Court and subject defendants to the jurisdiction of that Court, in respect of any cause of action whatever, and that such a provision would be ultra vires the Parliament of Canada as one not covered by the power conferred by s. 101 of the British North America Act. Their Lordships, however, do not think that subs-s. (d), in the context in which it is found, can properly be read as free from all limitations. They think that in view of the provisions of the three preceding sub-sec tions the actions and suits in sub-s. (d) must be confined to actions and suits in relation to some subject-matter, legislation in regard to which is within the legislative competence of the Dominion. So read, the sub-section could not be said to be ultra vires, and the present actions appear to their Lordships to fall within its scope. The Exchequer Court accordingly had juris diction in the matter of these actions.
The effect of the Privy Council's judgment in that case was that if the jurisdiction granted by Parliament to a court established under section 101 was related to a subject matter over which Parliament had legislative competence, it was a valid grant of jurisdiction. This judgment was never overruled while appeals to the Privy Council continued to be possible. However, appeals to that body were abolished many years ago and in recent years decisions of the Supreme Court of Canada (the final court of appeal in Canada) have inter preted the effect of section 101 of the B.N.A. Act and the jurisdiction granted under it by sections 17(4)(a) and 23 of the Federal Court Act more narrowly.
The first of these recent cases is Quebec North Shore Paper Co. v. Canadian Pacific Ltd. [1977] 2 S.C.R. 1054.
In this case the question was whether section 23 of the Federal Court Act validly gave jurisdiction to hear an action between subject and subject for breach of contract, the contract being in relation to matters within works and undertakings extend-
ing beyond the limits of a province. The appeal to the Supreme Court was heard by the full Court of nine judges. The unanimous decision was given by Laskin C.J.C. At page 1063 the learned Chief Justice said, referring to the Consolidated Distil leries case:
Stress is laid, however, on what the Privy Council said in discussing the application of s. 30(d) of the Exchequer Court Act, the provision giving jurisdiction to the Exchequer Court in civil actions where the Crown is plaintiff or petitioner. I do not' take its statement that "sub-s. (d) must be confined to actions ... in relation to some subject matter legislation in regard to which is within the legislative competence of the Dominion" as doing anything more than expressing a limitation on the range of matters in respect of which the Crown in right of Canada may, as plaintiff, bring persons into the Exchequer Court as defendants. It would still be necessary for the Crown to found its action on some law that would be federal law under that limitation.
The final paragraph of the judgment, at pages 1065-66, is as follows:
It is also well to note that s. 101 does not speak of the establishment of Courts in respect of matters within federal legislative competence but of Courts "for the better administra tion of the laws of Canada". The word "administration" is as telling as the plural words "laws", and they carry, in my opinion, the requirement that there be applicable and existing federal law, whether under statute or regulation or common law, as in the case of the Crown, upon which the jurisdiction of the Federal Court can be exercised. Section 23 requires that the claim for relief be one sought under such law. This requirement has not been met in the present case and I would, accordingly, allow the appeal, set aside the judgments below and declare that the Federal Court is without jurisdiction to entertain the claims of respondents. The appellants are entitled to their costs throughout.
The next case is McNamara Construction (Western) Ltd. v. The Queen [1977] 2 S.C.R. 654.
This action arose out of a contract between the Crown in right of Canada and a construction company for the construction of a Young Offend ers Institution in Alberta. The Crown sued for damages for breach of contract, both the construc tion company and the architects and engineers. A preliminary question was whether there was juris diction in the Federal Court to hear the cases under section 17(4)(a) of the Federal Court Act.
The appeal to the Supreme Court was heard by the same full court as was the Quebec North Shore
case, and again the judgment was unanimous and delivered by Laskin C.J.C.
On pages 658-59 there is the following statement:
It is not enough that the Parliament of Canada have legislative jurisdiction in respect of some matter which is the subject of litigation in the Federal Court. As this Court indicated in the Quebec North Shore Paper Company case, judicial jurisdiction contemplated by s. 101 is not co-extensive with federal legisla tive jurisdiction. It follows that the mere fact that Parliament has exclusive legislative authority in relation to "the public debt and property" under s. 91(1A) of the British North America Act and in relation to "the establishment, maintenance and management of penitentiaries" under s. 91(28), and that the subject matter of the construction contract may fall within either or both of these grants of power, is not enough to support a grant of jurisdiction to the Federal Court to entertain the claim for damages made in these cases.
At the bottom of page 659 and continuing on page 660 the learned Chief Justice said:
In the Quebec North Shore Paper Company case, this Court observed, referring to this provision, that the Crown in right of Canada in seeking to bring persons into the Exchequer Court as defendants must have founded its action on some existing federal law, whether statute or regulation or common law.
What must be decided in the present appeals, therefore, is not whether the Crown's action is in respect of matters that are within federal legislative jurisdiction but whether it is founded on existing federal law. I do not think that s. 17(4), read literally, is valid federal legislation under s. 101 of the British North America Act in purporting to give jurisdiction to the Federal Court to entertain any type of civil action simply because the Crown in right of Canada asserts a claim as plaintiff. The common law rule that the Crown may sue in any Court having jurisdiction in the particular matter, developed in unitary England, has no unlimited application to federal Canada where legislative and executive powers are distributed between the central and provincial levels of legislature and government and where, moreover, there is a constitutional limitation on the power of Parliament to establish Courts.
At page 662 he said:
What remains for consideration here on the question of jurisdiction is whether there is applicable federal law involved in the cases in appeal to support the competence of the Federal Court to entertain the Crown's action, both with respect to the claim for damages and the claim on the surety bond.
Laskin C.J.C. then stated that the fact that the Crown is a party to a contract on which it is suing as a plaintiff, is not enough to satisfy the require-
ment of applicable federal law, and proceeded to say [at page 662]:
The situation is different if Crown liability is involved because in that respect there were existing common law rules respecting Crown liability in contract and immunity in tort, rules which have been considerably modified by legislation. Where it is not the Crown's liability that is involved but that of the other party to a bilateral contract, a different situation prevails as to the right of the Crown to compel that person to answer process issued out of the Federal Court.
In the McNamara case there was also an alter native claim by the Crown against an insurance company on a surety bond issued by that company to the Crown in respect of the construction compa- ny's obligation under the construction contract. In respect of this claim the judgment of the Supreme Court states, at page 663:
I take the same view of the Crown's claim on the bond as I do of its claim against McNamara for damages. It was urged that a difference existed because (1) s. 16(1) of the Public Works Act, now R.S.C. 1970, c. P-38 obliges the responsible Minister to obtain sufficient security for the due performance of a contract for a public work and (2) Consolidated Distiller ies v. The King, supra, stands as an authority in support of the Crown's right to invoke the jurisdiction of the Federal Court where it sues on a bond. Neither of these contentions improves the Crown's position. Section 16(1) of the Public Works Act stipulates an executive or administrative requirement that a bond be taken but prescribes nothing as to the law governing the enforcement of the bond. The Consolidated Distilleries case involved an action on a bond given pursuant to the federal Inland Revenue Act and, as the Privy Council noted "the subject matter of the actions directly arose from legislation of Parliament in respect of excise": see [1933] A.C. 508 at p. 521.
The Court held that there was no existing feder al law that could form a basis for the Crown's suit in the Federal Court. The appeal was allowed.
Two other cases came before the Trial Division of this Court in the spring of 1977 and were decided by Cattanach J. in May of that year. These cases are:
The Queen v. Rhine [1978] 1 F.C. 356 and The Queen v. Prytula [1978] 1 F.C. 198.
In both of these cases Cattanach J. came to the conclusion that there was no federal law on which jurisdiction in the Federal Court could be based. Both actions were dismissed. Counsel for the
Crown in the present case stated that both cases were under appeal. In Cattanach J.'s view, in both cases the elements to be considered were the same as those in the McNamara case. With respect to the effect of the McNamara case, he said, at page 203 of the Prytula case:
My appreciation of the decision in the McNamara case is that for the Federal Court to have jurisdiction there must be an existing and applicable federal law which can be invoked to support the proceedings and that the proceedings must be "founded" upon that law. It is not enough that the Crown is a party to a contract on which it sues as plaintiff.
The solicitor for the plaintiff in his letter dated April 13, 1977 submits that the plaintiff's action is founded upon the Canada Student Loans Act and Regulation 21(1) thereunder. While I accept without question that this is federal legislation, I do not accept the contention that the action is "founded" upon this legislation in the sense that the word "founded" is used by the Chief Justice in the McNamara case.
He continued [at pages 203-204]:
It is true that the Minister is subrogated to the rights of the bank on an unrepaid loan for which loss the Minister holds the bank harmless but that does not bestow upon the Minister any rights different from those of the bank in whose stead he stands.
It is clear from the statement of claim that what the plaintiff is suing upon is a breach of the agreement between the bank and the student to which agreement the plaintiff is subrogated.
It is not enough that the liability arises in consequence of the statute and regulations thereunder.
While the statute authorizes a bank to make a loan to a student and prescribes the conditions of that loan and that the bank is guaranteed against any loss by the Minister who, if he makes good any loss by the bank, is then subrogated to the rights of the bank, the statute does not, in itself, impose a liability and there is no liability except that of the borrower which flows not from the statute but from the borrower's contractual promise to repay the loan. The liability is based on the agreement and the action is founded upon a breach of the agreement, not upon a liability imposed by the statute as is the case under the Income Tax Act, customs and excise legislation and like federal legislation.
It is arguable that in these decisions Cattanach J. has gone further in interpreting the effect of section 101 of the B.N.A. Act and section 17(4)(a) of the Federal Court Act than the Supreme Court of Canada did in the Quebec North Shore Paper case and the McNamara case, and in so doing has accorded to the Federal Court a more restricted jurisdiction than was expressed by Laskin C.J.C. in those cases. In my discussion of the law as applied to the case before me I shall be guided by
the Supreme Court judgments in those two cases. In those judgments the Supreme Court held that the provisions of section 101 of the B.N.A. Act make it a prerequisite to the exercise of jurisdic tion by the Federal Court that there be existing and applicable federal law, whether under statute or regulation or common law which can be invoked to support the competence of the Court in any proceedings before it.
The question to be answered is therefore wheth er there is such existing and applicable federal law. The source in which such law is to be sought is the Canada Grain Act, S.C. 1970-71-72, c. 7 and Regulations made in accordance therewith. The issue in this case is the liability of an elevator operator. Section 61(1) describes the duty of an operator in delivering grain from his elevator. It reads:
61. (1) Where the holder of an elevator receipt for grain issued by the operator of a licensed terminal elevator or a licensed transfer elevator who may lawfully deliver grain referred to in the receipt to another elevator or to a consignee at a destination other than an elevator
(a) requests that the grain be shipped,
(b) causes to be placed at the elevator to transport the grain a conveyance that is capable of receiving grain discharged out of the elevator and to which the grain may lawfully be delivered, and
(c) surrenders the elevator receipt and pays the charges accrued under this Act in respect of the grain referred to in the receipt,
the operator of the elevator shall, subject to subsection (7) of section 70, forthwith discharge into the conveyance the identi cal grain or grain of the same kind, grade and quantity as the grain referred to in the surrendered receipt, as the receipt requires.
I note that on surrender of the elevator receipt and payment of charges the elevator operator is required to deliver into the conveyance (in this case a particular ship) grain of the same kind, grade and quantity as the grain referred to in the receipt.
I note also that the elevator receipt, which is on a form prescribed by Regulations made under the Act is defined by subsection (11) of section 2, the interpretation section, as meaning
2....
... a document in prescribed form issued in respect of grain delivered to an elevator ... and, subject to any conditions
contained therein or in this Act, entitling the holder of the document
(a) to the delivery of grain of the same kind, grade and quantity as the grain referred to in the document, or
One additional point about the elevator receipt is noted. By section 93 (1) the receipt and the rights arising under it, may be transferred from holder to holder by the endorsement and delivery thereof to the transferee. Thus it is a negotiable instrument.
The wheat actually delivered onto the Frank- cliffe Hall in this case, about which this action is brought was infested with rusty grain beetle larvae.
By subsection (20) of section 2 "infested" means containing any injurious, noxious or troublesome insect or animal pest.
Next, I turn to section 86, which provides in part:
86. No operator of a licensed elevator shall
(c) except under the regulations or an order of the Commis sion, receive into or discharge from the elevator any grain, grain product or screenings that is infested or contaminated or that may reasonably be regarded as being infested or contaminated; or
And section 100 provides, in part:
100. The Commission may make orders
(d) seizing infested or contaminated grain or requiring the operator of an elevator to treat or dispose of infested or contaminated grain in a manner approved by the Commission.
Finally, the order requiring the Canadian Wheat Board to have the wheat in holds Nos. 5 and 6 unloaded and fumigated and to have those holds cleaned and fumigated, compliance with which order occasioned the costs of $98,261.55 that are claimed in this action, was an order of the Canadian Grain Commission under authority vested in it by or under the Act.
The result of the foregoing provisions of the Canada Grain Act is that practically everything concerning the rights of the holder of an elevator receipt, the obligations of the elevator operator, the prohibition on delivery from the elevator of
infested grain and what is to be done with infested grain when found in an elevator or vessel, is deter mined by specific provisions of the Canada Grain Act. Further under section 89(2), the general penalty section of the Act, penalties of fine and/or imprisonment may be invoked for discharging infested grain from an elevator, at least where the discharging is done with knowledge. The opening words of that subsection are:
89....
(2) Every person who violates or fails to comply with any provision of this Act, other than section 59 [for breach of which section heavier penalties are provided], or of the regulations or any order of the Commission, other than an order for the payment of any ... loss, is guilty of an offence and ... .
The balance of the subsection sets out the penal ties that may be invoked.
The only relevant matter not covered by the Act is that of civil remedies for a person who suffers loss or damage from a breach of the statutory obligations and duties of the elevator operator under the Canada Grain Act. A person claiming to be injured thereby, in this case the plaintiff through its agent the Canadian Wheat Board, is left to seek the common law remedy of damages.
I emphasize that the issue in this case is the statutory liability of an elevator operator under the Canada Grain Act. It is not to be confused with a case where the issue is negligence (not claimed in this case), nor, in my opinion, for the purpose of determining the jurisdiction of the Federal Court, with one where the issue is simply one of breach of contract between persons. On the distinctive nature of statutory rights it will be useful to quote the words of Lord Wright in the House of Lords in London Passenger Transport Board v. Upson [1949] 1 All E.R. 60 at p. 67:
I think that the authorities such as Caswell's case (Caswell v. Powell Duffryn Associated Collieries, Ltd. [1939] 3 All E.R. 722), Lewis v. Denye ([1940] 3 All E.R. 299) and Sparks' case (Sparks v. Edward Ash, Ltd. [1943] 1 All E.R. 1) show clearly
that a claim for damages for breach of a statutory duty intended to protect a person in the position of the particular plaintiff is a specific common law right which is not to be confused in essence with a claim for negligence. The statutory right has its origin in the statute, but the particular remedy of an action for damages is given by the common law in order to make effective for the benefit of the injured plaintiff his right to the performance by the defendant of the defendant's statu tory duty. It is an effective sanction. It is not a claim in negligence in the strict or ordinary sense.
In my opinion this case falls squarely within the decision of the Privy Council in the Consolidated Distilleries case (supra), as interpreted and modi fied by the Supreme Court in the Quebec North Shore Paper and McNamara cases. I do not think the Supreme Court meant by what was said by the Chief Justice in those cases that circumstances and statutory provisions such as exist here would leave this case outside the jurisdiction of the Federal Court of Canada. In my view section 17(4)(a) of the Federal Court Act as its validity was interpret ed in those cases, is effective to confer jurisdiction on this Court. A contrary view would come close to holding that this subsection has no valid effect, a position not taken by the Supreme Court.
 You are being directed to the most recent version of the statute which may not be the version considered at the time of the judgment.