Ministry of Health v Atkinson HC Auckland CIV-2010-404-000287

Case

[2010] NZHC 2401

17 December 2010

No judgment structure available for this case.

IN THE HIGH COURT OF NEW ZEALAND AUCKLAND REGISTRY

CIV-2010-404-000287

UNDER  PART 1A HUMAN RIGHTS ACT 1993

BETWEEN  MINISTRY OF HEALTH Appellant

ANDPETER ATKINSON (ON BEHALF OF THE ESTATE OF SUSAN ATKINSON & EIGHT OTHERS)

Respondents

Hearing:         13 - 24 September 2010

Court:             Asher J

Ms J Grant MNZM (lay member) Ms P Davies (lay member)

Counsel:         M Coleman, J Foster and R Hoare for Appellant

F Joychild and D Peirse for Respondents

Judgment:      17 December 2010 16:00:00

JUDGMENT OF ASHER J

MS J GRANT MNZM AND MS P DAVIES

This judgment was delivered by me on Friday, 17 December 2010 at 4pm pursuant to r 11.5 of the High Court Rules.

Registrar/Deputy Registrar

Solicitors/Counsel:
Crown Law office, PO Box 2858, Wellington 6140
F Joychild, PO Box 47947, Ponsonby, Auckland 1144

D Peirse, Human Rights Commission, PO Box 6751, Wellesley Street, Auckland 1141

MINISTRY OF HEALTH V PETER ATKINSON (ON BEHALF OF THE ESTATE OF SUSAN ATKINSON & EIGHT OTHERS) HC AK CIV-2010-404-000287 17 December 2010

Table of Contents

Para No

Introduction  [1] The context of the claim  [10] Home-based support services  [16] Individualised funding  [17] Contract board     [18] Supported independent living  [19]

The individual claims

The respondents  [20]

Susan, Peter and Imogen Atkinson – first and ninth respondents

(Peter Atkinson on behalf of the estate of Susan Atkinson)  [25] Gillian Bransgrove (second respondent)  [28] Jean Burnett (third respondent) and Stuart Burnett (eighth respondent)      [29] Laurence (Nick) Carter (fourth respondent)  [33] Peter Humphreys (fifth respondent)  [34] Clifford Robinson (sixth respondent)  [35] Linda Stoneham (seventh respondent)  [36]

The statement of claim and statement of reply  [37] The Tribunal’s decision  [44] Relevant statutory provisions and other instruments relating to

discrimination  [49]

Has there been an act or omission by the Ministry inconsistent with s 19(1)?

General approach  [61]

Background to comparator exercise  [75] Submissions as to appropriate comparator  [83] Conduct of comparator exercise  [85] The comparator exercise in this case  [89] The Ministry submission that there is no discriminatory impact                 [100] New Zealand authority  [104] Canadian decisions  [110] Our assessment on whether we should examine the nature of

the discrimination  [116] Conclusion on whether there is a breach of s 19  [127] Disadvantage  [136]

Is the policy a justified limitation under s 5?

The approach to the s 5 exercise  [140]

Deference  [143]

Tribunal’s view of its inquiry function  [148] First s 5 question – sufficiently important purpose?  [152] Witnesses and submissions on the policy  [155] Development of policy or practice  [159] Exceptions [184]

What is the policy?  [187] Reasons for the policy  [198] The social contract  [203] Are the other objectives are sufficiently important  [216]

Second s 5 question – Is the limiting measure rationally connected

with its purpose?  [221]

Third s 5 question – Is the restriction to the right from discrimination no more than is reasonably necessary?

The nature of the limiting measure  [231]

The balancing exercise  [239] Accident Compensation benefits for disabled persons  [244] Objective two – promoting equality of outcomes  [254] Objective three – to encourage the independence of disabled persons       [257] Objective four – avoiding the risk that families will become

financially reliant on the income  [260]

Objective five - support for the development of family relationships

in the same way as they develop for non-disabled people  [261]

Objective six - to avoid professionalising or commercialising

family relationships  [262]

Objective seven - to ensure that the delivery and quality of services

publicly funded can be monitored  [264] Objective eight – to be fiscally sustainable  [268] Conclusion on whether the right to freedom from discrimination has

been impaired as little as possible  [281]

Fourth s 5 question – is the limit in due proportion to the importance

of the objective?  [284]

Conclusion on s 5  [287]
Result  [293]

Introduction

[1]      This is an appeal against a decision of 8 January 2010 of the Human Rights Review Tribunal1 when it issued a declaration that the Ministry of Health‘s practice and/or policy of excluding specified family members from payment for the provision of funded disability support services is inconsistent with s 19 of the New Zealand Bill of Rights Act 1990 (―NZBORA‖).    The declaration stated that the practice and/or policy limits the right to freedom from  discrimination, both  directly and

indirectly, on the grounds of family status and is not, under section 5 of that Act, a justified limitation.  There is to be a further hearing on remedies.

[2]      The  declaration  was  issued  following  a  hearing  in  which  nine  plaintiffs (seven parents with adult disabled children and two adult disabled children) (―the respondents‖)  successfully alleged unlawful discrimination under Part 1A of the Human Rights Act 1993 (―the HRA‖) in relation to the practice and/or policy of the Ministry of Health (―the  Ministry‖)  of excluding specified family members.   The

parents claimed that the practice and/or policy, which for convenience we will refer

1      Atkinson & Ors v Ministry of Health [2010] NZHRRT 1.

to as ―the policy", excluded them unlawfully from payment for the provision of disability services to their disabled children.   The adult children claimed that they were discriminated against and that they were denied any choice of caregiver under the policy because persons giving that care were in a particular relationship with them.

[3]       The Ministry accepted that there was a policy as alleged by the respondents. It was described in the Tribunal decision in the following terms:2

…parents, spouses and other resident family members of the qualifying persons  are  excluded  from  being  paid  for  providing  disability  support services to their adult child, spouse or resident family member who qualifies for such support services.

[4]      The claim did not relate to general carers‘ allowances, wages or benefits. Nor was it a claim by family members for the amount of the costs of care for a person in residential care.   Rather, the claim related to specific support services which the Ministry makes available for disabled persons.

[5]      We are informed that the decision under appeal is the first where the Human Rights Review Tribunal (―the Tribunal‖)  has made a declaration of inconsistency under Part 1A of the HRA in relation to Government policy or practice, as opposed to an enactment.3

[6]      The hearing in the Tribunal took place between September and October 2008. There was three weeks of evidence and a further week of submissions.  The hearing before us took two weeks dedicated entirely to the presentation of submissions by the two parties.

[7]      All the respondents were parents or children of those parents.  There were no respondents who were spouses or other resident family members.  Thus the factual focus before the Tribunal and before us was on the policy as it applied to parents and children.  We will refer to ―family members‖ as a shorthand reference to the longer

description of ―parents, spouses and resident family members‖.

2 At [6].

3      The first declaration was Howard v Attorney-General (No 3) (2008) 8 HRNZ 378 which related to an enactment.

[8]      This appeal is governed by s 123 of the HRA.  Section 123(5) provides that in  determining  any  appeal  under  the  section,  the  High  Court  has  the  powers conferred on the Tribunal by ss 105 and 106 of the Act.  The appellant has the onus of satisfying the Court that it should differ from the decision under appeal.   The principles set out in Austin Nichols & Co Inc v Stichting Lodestar4  apply and this Court must make its own assessment of the issues.

[9]      We accept the Ministry‘s submission that this case is not about what the disability support system should provide.   That is a matter for Parliament.   The question in this appeal is whether in the context of the disability support services framework that is provided by Government, the refusal to fund the contracting of family members to provide those services is discriminatory.

The context of the claim

[10]     At the time of the hearing before the Tribunal, expenditure by the Ministry was between $2.5 and $2.8 billion a year.  This figure does not include the clinical services  such  as  hospital  care provided by District  Health  Boards  (―DHBs‖) or income support provided by Work and Income through benefits and allowances such as the domestic purposes benefit for carers, the invalids benefit and disability allowance.  Disabled persons are eligible for invalids‘ benefits and this is not at issue in this proceeding.

[11]     Of  the  Ministry‘s  expenditure,  approximately  $840  million  is  spent  on disability support  services.    The  Ministry  estimates  that  it  provides  services  to approximately 30,000 disabled persons, not including those who use only the equipment modification services.

[12]     It is important to note the disability support services for which the Ministry is not responsible.   Generally, disability support services for persons over 65 are provided by the DHBs.  Moreover, the Ministry does not provide disability support

services  for persons  whose disability was  caused  by  accident  or  injury.    These

4      Austin Nichols & Co Inc v Stichting Lodestar [2008] 2 NZLR 141 (SC).

services fall under the ambit of the Accident Compensation legislation.  It does not provide services for persons with psychiatric, addiction or age-related disabilities as these generally are the responsibility of the DHBs.  The Ministry‘s disability support services that are at issue are not entitlement based.  Rather, they are support services targeted at specific essential care needs of disabled persons.

[13]     The Ministry uses a ―needs assessment and service coordination‖  process, referred to as ―NASC‖, to allocate its disability support services.   This process is effectively the gateway through which individuals gain access to the Ministry‘s funded disability support services.   The Ministry contracts with 15 NASC organisations  to  assess  needs  and  coordinate services.    It  is  emphasised  by the Ministry, and not contested by the respondents, that NASCs in the course of their assessments have no expectation that, families will provide care, or that they will meet all or most of the disabled persons support needs.  The NASC system, which in its current form was ushered in from 1991, represented a move towards a targeted system of social assistance based on needs as determined by the Ministry.   The Ministry enters into Crown funding agreements with NASCs and other service providers.

[14]     Families are normally expected to provide basic family amenities like a bed, access to a shower and toilet, the ability to share in the family meal if one is being prepared (and is appropriate for the disabled person), or assistance getting to school or day activities if others are also heading out to school or work during the day. However, the Ministry has been at pains to emphasise that there is no minimum expectation of what a family may reasonably be expected to provide.  While it will encourage a family to provide support, it will work to fill in any gaps.  For instance, if a family is willing to help with personal care at the weekend but unable to do so during the week, the NASC process would work to fill that gap through home-based support services.  However, if the family is able to assist with all of the personal care needed through the weekend then no support services would be allocated for the weekend.   The Ministry has stated that the NASC would probably allocate carer support and/or respite days so that the family could have a break from caring.  When a disabled person does not want their family to provide their personal care, even if the family is able and willing to do so, the NASC will allocate outside services to

provide that support.  There is no set amount of dollars paid according to severity of disability and the system does not focus on compensation for levels of disability. The idea is to meet support needs on a case by case basis.

[15]     There  are  four  particular  support  services  that  are  the  subject  of  the proceeding.  In relation to all four of the services at issue, it is common ground that family members cannot be paid for these services.  The services are as follows.

Home-based support services

[16]     This service covers two principal types of support.  The first is personal care which  includes  assistance  with  personal  hygiene  and  bathing,  dressing  and grooming, toileting,  feeding and transfers from bed to wheelchair,  and mobility around  the  home  and  elsewhere.    The  second  type  is  household  management designed to help the disabled person to maintain, organise and control their home environment.  This includes cleaning and laundry.  These services can be temporary, short term and even for just a night.  About 11,000 disabled people in New Zealand use home-based support services, not including those who receive those services as a part of support for independent living.

Individualised funding

[17]     This is an administrative scheme that allows the disabled person or their agent to hold and manage their own budget for the home-based support services they have been assessed as needing.  It is not a service as such but a personal entitlement to funds which gives the disabled person more control over who provides services, and some flexibility as  to when and how the services  are provided.   This is a relatively new service, which began in 2008.

Contract board

[18]     Contract board is a service where a disabled person moves in with a family that is different from the disabled person‘s own family, and so generally applies to family environments that do not feature relatives.  The service is primarily for people

with an intellectual disability.   Contract board families receive a reimbursement package to meet the costs of the individual that boards with them.   There are approximately 400 contract board arrangements.

Supported independent living

[19]     Supported  independent  living  provides  a  range  of  independent  support services to the individual disabled person.   Its aim is to  support persons living independently in the community.  It covers a range of supports including assisting a disabled person to find and establish appropriate living arrangements and develop new skills  and  providing personal  contacts  on  an individual  basis  to  assist  and support the person.   There are approximately 2,000 people receiving supported independent living services.

The individual claims

The respondents

[20]     All but two of the respondents are parents.  The two respondents who are not parents are Stuart Burnett and Imogen Atkinson.  They are adult disabled children whose choice of caregiver was their mother.   Their parents are also respondents. Another child, Jessica Raine, is not a respondent in her own right, but was a witness before the Tribunal.

[21]     Of  the  respondents  four  parents  have  adult  children  with  intellectual disabilities and very high disability support needs.  Three have adult children with physical disabilities and very high disability support needs.  All children are eligible for funded disability support.

[22]     All of the parent respondents would like to be paid from one of the four services  at  issue,  but  are  not  able  to  receive  payment  because  they  are  family members of the disabled person.

[23]     All but one parent has agreed to training if this is deemed necessary for payment by the Ministry.  Most have agreed that they should be subject to audit on the same basis as non-family providers of disability support services, should they receive payment.

[24]     It  is  not  possible  to  do  justice  to  the  entirety  of  the  evidence  of  the respondents.   However, some aspects of their evidence, which put the claims in context  from  the  respondents‘  perspective  and  have  some  relevance  to  the  s 5 assessment, are now noted.

Susan, Peter and Imogen Atkinson – first and ninth respondents (Peter Atkinson on behalf of the estate of Susan Atkinson)

[25]     Imogen Atkinson is diagnosed with spastic quadriplegic hypotonic cerebral palsy and suffers from dyslexia and dyspraxia.  She has very high disability needs. She is wholly reliant on wheelchair mobility and requires a personal caregiver for all the  activities  of  daily life,  including  feeding,  dressing,  showering,  toileting  and menstruation.  We set out part of Mrs Atkinson‘s description of Imogen‘s needs as an example of what can be involved in the care of a disabled person.

In relation to showering Imogen will wash as much of her body as she can with her left hand, she still needs help to shower and dry afterwards.  She cannot feel the heels of her feet due to nerve damage from frequent ulcers. Her feet therefore need to be monitored carefully.  She requires her meals to be cut up into small pieces and she can manage a spoon or fork herself but needs to be monitored carefully because of the risk of choking on her food.

Imogen cannot be left alone because she has a very strong ‗startle reflex‘ and is at risk of losing control of her wheelchair and of falls in some situations. She requires a full-body lift for all transfers, and cannot use a hoist instead. This is because a hoist puts her body into extreme ‗high tone‘ and she becomes very rigid.  It then take a long time to loosen her up again after the hoist has been used and this requires lots of massage.

The needs assessment marked B, carried out by Angela Hanson of Taikura Trust on 27 February 2004, summarises Imogen‘s disability support needs well on page 10.  She needs ‗Full assistance with all personal cares’.

[26]     Her mother Susan Atkinson, who is now deceased, provided an affidavit asserting that she had been unable to get satisfactory third party carers to look after Imogen.  Detailed examples were given with problems encountered with third party

carers.  She and Mr Atkinson allege that they were offered payment for work that they did but on the basis of it being ―under the table‖.   They declined to receive payments on that basis.

[27]     It  was  Imogen  Atkinson‘s  evidence,  and  that  of her parents,  that  it  was always her choice to live at home.  It was where she felt comfortable and safe and most free and independent.  She said that her mother was her choice of caregiver.

Gillian Bransgrove (second respondent)

[28]     Ms Bransgrove‘s daughter Jessie Raine has spina bifida with total paralysis from her armpit level down and total bladder and bowel incontinence.   She also suffers from spinal curvature and other disabilities.  Ms Bransgrove was originally employed  to  provide  home-based  support  services  for  Jessie.    The  plan  was continued for five years.  In May 2005, she was advised that she could no longer be paid because of the Ministry policy.   Ms Bransgrove recounted the difficulty in getting third party caregivers to adequately provide for Jessie‘s care.  Ms Bransgrove is a registered nurse and her daughter filed an affidavit in support of her position.

Jean Burnett (third respondent) and Stuart Burnett (eighth respondent)

[29]     Stuart Burnett suffers from spastic quadriplegia with athletosis and has very high disability support needs including the need to be fed.   He has experienced residential care, and prefers care from his mother.  He stated about residential care:

While the resident‘s basic personal and hygiene needs are met – their other needs as human beings are sometimes neglected, from my observations. They have much less mental stimulation and far fewer  opportunities for participation.  They are mostly cared for by transient caregivers.  They seem to lead restricted stifled lives with a loss of control over their own situation.

[30]     He prefers his ―safe and comfortable‖ home environment and the care of his mother to that of contracted caregivers who, he says, are generally untrained and do not understand his disabilities.  He owns half of the house with his mother and wants to continue living there.

[31]      Ms Burnett confirms her son‘s strong desire to remain living in the home. She understands his needs and is able to communicate with him despite his inability to verbalise because she can read his body language and hand signals.  She believes she is the best person to care for him and to help him continue to achieve success in his life.   She and Stuart Burnett want individual funding.   She was critical of the Ministry‘s refusal to fund her and had this to say about residential homes:

The community stops at the door.  People sit there – just sit for hours in their wheelchairs – wall gazing.   The community doesn‘t come to these people and their disabilities prevent them from participating in the community… There is no family atmosphere at most of these places that I have detected – no community involvement.  Just isolation.  Casual caregivers, who develop no bonds with them.

[32]     While being cared for by his mother at home, Stuart Burnett earned School Certificate in six subjects and Sixth Form Certificate.   He completed a course in computer science and graduated with an advanced certificate in business computing. He is an avid boccia player and has completed nationally and internationally and had roles in the local boccia association.

Laurence (Nick) Carter (fourth respondent)

[33]     Mr Carter‘s son Sven has serious intellectual disabilities.   He is autistic, epileptic and mute.   Mr Carter gave evidence of unsatisfactory experiences of institutional care for his son including physical abuse.

Peter Humphreys (fifth respondent)

[34]     Mr Humphreys‘ daughter Sian was born with Angelman syndrome and has very high disability support needs.   He gave evidence of the difficulty he had in getting persons with the appropriate skills to care for his daughter, both in terms of their turnover, their physical ability to cope, and their training.  Mr Humphreys was paid between 3 September 2001 and 7 April 2006 to care for her.  When payments were terminated, he was notified that he could not be paid because of the Ministry‘s policy in relation to family members.

Clifford Robinson (sixth respondent)

[35]     Mr  Robinson  has  two  intellectually  disabled  adult  children,  Johnny  and Marita Robinson.  He gave up his job as an engineer when the children were young and took them out of residential care.  He has cared for them himself since then.  He presently receives the old age pension.  The Ministry refused to pay him because he was a family member.   Then in September 2002 the Ministry commenced paying him $200 per week towards his childrens‘ care as a temporary measure.  This was renewed until February 2006 when it was increased to $800 per week. He thought that this was the consequence of the work he was doing.  At the hearing, it was put to him by the Ministry that the $800 per week was being paid to him by mistake and following the hearing this has been reduced back to $200 per week.

Linda Stoneham (seventh respondent)

[36]     Ms Stoneham‘s daughter Kelly is intellectually disabled.   For most of her childhood, her caregiving was organised by the Intellectually Handicapped Corporation (―IHC‖).  In 2000 Ms Stoneham took her daughter out of care and back home.   In her evidence she observes that she no longer has any legal obligations towards her non-disabled three children but considers that her obligations to Kelly are ongoing.  She asserts that she looks after virtually every aspect of her daughter‘s daily life but is not entitled to be paid for this work.

The statement of claim and statement of reply

[37]     The relevant third amended statement of claim of 14 August 2008 alleged that the policy of excluding specified family members of people who are eligible under its policies for paid disability support services, from payment for the provision of such services by reason of their family relationship to the eligible person, contravened the provisions of the HRA.

[38]     The  respondents  pleaded  that  the  Ministry‘s  policies  made  a  distinction between  persons  who  are  available  and  willing  providers  of  disability  support services to particular persons who are eligible for those services by excluding a

group  of  such  persons.    The  prohibited  ground  of  discrimination  is  defined  as follows:

The defendant makes a distinction between these two groups of persons by excluding one group of persons but not the other because the excluded group are particular relatives of the persons eligible for paid disability support services or are particular relatives of persons wanting to be provided with paid disability support services from them.

[39]     The relief sought was a declaration pursuant to s 92I(3)(a) of the HRA that the Ministry‘s practice and/or policy of excluding specified family members from payment was inconsistent with s 19 and various consequential orders.

[40]     The Ministry admitted the policy of excluding family members from being funded to provide disability support services to an adult child, spouse or resident family member who qualified for funding disability support services.  Indeed, it was clarified in submissions that the policy extended also to partners, whether they were resident or not.   It was admitted that the Ministry treated care provided through natural support from family members differently to disability support services.  The Ministry denied, however, that the care provided through natural support by family members was  the same  service as  that  provided  as  part  of a  disability support service.

[41]     In relation to circumstances where some parents, spouses and resident family members had been paid to provide disability support services, it was stated that almost all of the arrangements including those  relating to the  respondents were entered into without its knowledge and in breach of its policy.

[42]     The Ministry pleaded ineligibility of family members and others, but in a pleading which captures the essence of its position on discrimination it asserted:

Funding from the defendant for paid disability support services is only available where essential disability support needs cannot be met through natural support, which includes, but is not limited to, family members;

And:

Where family members are not natural supports, those family members can be employed to provide disability support services with funding by the defendant.

[43]   The Ministry denies the respondents‘ pleading that they have been disadvantaged by the policy.  It asserts in relation to the parent plaintiffs that they do not provide disability support services, but rather provide care through natural family support.  Insofar as plaintiffs have been employed, it is stated that this was in breach of the policy.  The Ministry pleads that its policy and practice are justified.

The Tribunal’s decision

[44]     The Tribunal, having set out the basis of the claim, summarised the case for the respondents.  It considered the factual context in considerable depth.  It then set out the background to the policy and the framework for the Ministry‘s disability support  services,  and  summarised  the  services  that  were  the  subject  of  the proceedings and the policy in question.  The Tribunal also considered the decision of Hill v IHC NZ Inc5  and the policy review work which followed that and noted that following extensive Ministry review of the policy no ―clear cut position‖ on the topic was reached.6

[45]     Reference was made to the policy of the Accident Compensation Corporation (―ACC‖), which is to allow payments to parents and spouses of those who undertake the care of injured persons at home.   The Tribunal concluded the ACC example demonstrated that the payment of non-contracted family members to provide care is an integral part of the ACC strategy of caring for persons disabled by injury in the

home setting.7    It observed that it would appear from the experience of ACC that

there is insufficient evidence to suggest that excluding the parents of those with non- accidental disability from equivalent payment arrangements is a supportable policy

position.   The Tribunal also considered the New Zealand Disability Strategy and

5      Hill v IHC NZ Inc (2001) 6 HRNZ 449.

6 At [86].

7 At [101].

determined that on the surface, the policy would seem to be contrary to the objective and the policy of valuing families, whanau and people providing ongoing support.

[46]     The Tribunal considered the concept of ―natural support‖ put forward by the Ministry as a basis for distinguishing between support it would pay for and support it would not pay for.   It did not regard it as natural for the support required for an infant or child to be carried on into adolescence and adulthood with the expectation that this personal care should continue.   This was classified as disability support

rather than natural support.8    The Tribunal saw the test of ―reasonableness‖ as the

key to determining the level of personal care that family members could be expected to provide to a disabled family member.9

[47]    The Tribunal considered the financial evidence and believed that it was reasonable to assume that there would be some change to Ministry expenditure as a result of the change in financial support.10   It concluded that the likely potential cost increment if the policy was cancelled would be at the lower end of the range quoted by Ministry experts ($17 million) rather than the higher end ($593 million).   It considered the Ministry‘s submission that there was a social contract under which caring is accepted as a natural part of family life and undertaken as a familial duty. It was unable to discern such a social contract ―having the force contended for‖.11

[48]     The Tribunal went on to find that the respondents‘ proposed comparator should be applied and that there had been a disadvantage to the plaintiffs.  It held that there was prima facie discrimination.  It went on to consider whether the policy was justified under s 5 of the NZBORA.  It applied R v Hansen12  as interpreted in Child Poverty Action Group Inc v Attorney-General13  and having gone through the various steps referred to in that case found that the policy could not be justified in a

free and democratic society.

8 At [139].

9 At [146].

10 At [163].

11 At [182].

12     R v Hansen [2007] 3 NZLR 1.

13     Child Poverty Action Group Inc v Attorney-General HRRT Decision No 31/2008, 16 December

2008.

Relevant statutory provisions and other instruments relating to discrimination

[49]     The structure of the HRA and the NZBORA required the claim before the Tribunal to be brought under the HRA.  Section 20I, the first section in Part 1A of the HRA, provides:

20I  Purpose of this Part

The purpose of this Part is to provide that, in general, an act or omission that is inconsistent with the right to freedom from discrimination affirmed by section 19 of the New Zealand Bill of Rights Act 1990 is in breach of this Part if the act or omission is that of a person or body referred to in section 3 of the New Zealand Bill of Rights Act 1990.

[50]     The purpose of the relevant part of the Act is therefore to make an act or omission inconsistent with the right to freedom from discrimination a breach of Part 1A of the Act if it is an act or omission of a relevant person or body.

[51]     Section 20L of the HRA provides:

20L Acts or omissions in breach of this Part

(1)   An act or omission in relation to which this Part applies (including an enactment) is in breach of this Part if it is inconsistent with section 19 of the New Zealand Bill of Rights Act 1990.

(2)   For the purposes of subsection (1), an act or omission is inconsistent with section 19 of the New Zealand Bill of Rights Act 1990 if the act or omission—

(a)   limits the right to freedom from discrimination affirmed by that section; and

(b)   is not, under section 5 of the New Zealand Bill of Rights Act 1990, a justified limitation on that right.

(3)   To avoid doubt, subsections (1) and (2) apply in relation to an act or omission even if it is authorised or required by an enactment.

[52]     It can be seen therefore that s 20L(2) sets out the process for determining whether an act or omission is inconsistent with s 19 of the NZBORA.

[53]     Section 3 of the NZBORA provides:

3     Application

This Bill of Rights applies only to acts done—

(a)   By the legislative, executive, or judicial branches of the government of

New Zealand; or

(b)   By any person or body in the  performance of any public function, power, or duty conferred or imposed on that person or body by or pursuant to law.

[54]     Both parties have accepted that the actions in question of the Ministry of

Health are actions that fall within s 3.

[55]     Section 19 of the NZBORA provides:

19   Freedom from discrimination

(1)   Everyone has the right to freedom from discrimination on the grounds of discrimination in the Human Rights Act 1993.

(2)   Measures taken in good faith for the purpose of assisting or advancing persons or groups of persons disadvantaged because of discrimination that is unlawful by virtue of Part 2 of the Human Rights Act 1993 do not constitute discrimination.

[56]     Thus, s 19 by virtue of the express reference to it in s 20L sets out the relevant right to freedom from discrimination and refers back to the HRA by stating that the prohibited grounds for discrimination are those in the HRA.  Those are set out at s 21 of the HRA under the heading ―Prohibited grounds of discrimination‖. The relevant prohibited ground of discrimination is at s 21(l) which provides:

21   Prohibited grounds of discrimination

(l)    Family status, which means—

(i)    Having the responsibility for part-time care or full-time care of children or other dependants; or

(ii)  Having  no  responsibility  for  the  care  of  children  or  other dependants; or

(iii) Being married to, or being in a civil union or de facto relationship with, a particular person; or

(iv) Being a relative of a particular person:

[57]     Finally it is necessary to set out s 5 of the NZBORA which provides:

5     Justified limitations

Subject to section 4 of this Bill of Rights, the rights and freedoms contained in  this  Bill  of  Rights  may  be  subject  only  to  such  reasonable  limits prescribed by law as can be demonstrably justified in a free and democratic society.

[58]     Section 20L(2) specifically sets out a two stage consideration of whether an act or omission is discriminatory.  First, the act is discriminatory if it limits the right to freedom from discrimination affirmed by s 19.  Thus, the initial step must be a consideration of s 19 alone and whether there has been such a limit imposed.  The second question is whether under s 5 of NZBORA the act or omission is a demonstrably justified limitation on that right. Both parties accepted the two step approach.  However, within those two steps there were variances between them.  In particular they differed on the approach to whether there was discrimination, the Ministry urging an evaluative approach incorporating a consideration of whether, if an act was discriminatory under s 19 in the sense of distinguishing between groups, the act nevertheless had the necessary quality of discrimination.  The respondents did not accept that such an examination of the nature of the discriminatory act was appropriate.

[59]     The preamble to the HRA states:

An Act to consolidate and amend the Race Relations Act 1971 and the Human Rights Commission Act 1977 and to provide better protection of human rights in New Zealand in general accordance with United Nations Covenants or Conventions on Human Rights.

[60]     The Convention on the Rights of Persons with Disabilities adopted by the

United Nations14 and ratified by New Zealand in 200815 acknowledges the profound

14     Convention on the Rights of Persons with Disabilities adopted by the United Nations at the 61st

session in 2006.

15     United Nations Treaty Collection – located at disadvantages of persons with disabilities.   In its preamble the Convention provides:

(x) considering that the family is the natural and fundamental group unit of society and is entitled to protection by society and the State and that persons with  disabilities  and  their family  members  should  receive the  necessary protection and assistance to enable families to contribute towards the full and equal enjoyment of the rights of persons with disabilities.

(emphasis added)

Has there been an act or omission by the Ministry inconsistent with s 19(1)?

General approach

[61]     There has been little case law on s 19 of the NZBORA, given its ambit; far less  than  in  Canada  which  has  similar  provisions.     Important  cases  include McAlister v Air New Zealand,16 and Quilter v Attorney-General.17

[62]     Quilter is the appellate decision most directly on point.  It considered directly the purpose and scope of s 19.   The issue in that appeal was whether same-sex couples could marry.  The plaintiff couples argued that the absence of a definition of

―marriage‖ in the Marriage Act 1955 meant that there was no bar to interpreting that Act as permitting marriage between same-sex couples and that any other meaning would not be compatible with s 19.

[63]     The Court of Appeal ruled first (by a three to two majority) that a prohibition on  same-sex  marriage  did  not  amount  to  a  prima  facie  infringement  of  the appellant‘s right to be free from discrimination, and secondly (unanimously) given that the concept of marriage contemplated by the Marriage Act was the traditional female-male partnership it would not be right to interpret the Act as inconsistent with the right to be free from discrimination on the grounds of sexual orientation, as that would repeal the relevant sections contrary to s 4 of the NZBORA.   The judges

found different routes to reach this conclusion.

16     McAlister v Air New Zealand [2010] 1 NZLR 153 (SC).

17     Quilter v Attorney-General [1998] 1 NZLR 523 (CA).

[64]     Thomas J considered discrimination only on the basis of s 19, and because of what he considered to be the clear discrimination on a prohibited ground, did not consider it necessary to go on and consider s 5.  That approach is inconsistent with the two stage approach dictated by s 20L(2) (enacted after Quilter) and we do not follow it.

[65]     The issue of the meaning of discrimination in the NZBORA was directly addressed by Tipping J.  He noted that it was not defined by the HRA, but that some guidance could be found in s 65 of the HRA.18     That section refers to indirect discrimination,  conduct  which  has  the  ―effect  of  treating  a  person  or  group  of persons differently on one of the prohibited grounds of discrimination‖.  He stated:19

The section does not expressly identify the person or group with whom the necessary  comparison  is  to  be  made,  but  that  must  be  either  persons generally or another group as treatment is logically relevant to the person or group alleging discrimination.

The essence of discrimination lies in difference of treatment in comparable circumstances.  For discrimination to occur one person or group of persons must be treated differently from another person or group of persons.   Of course difference of treatment will not necessarily in itself amount to discrimination; and not all discrimination will be unlawful. …

(emphasis added)

[66]      Gault J observed on the concept of discrimination:20

[T]o differentiate is not necessarily to discriminate.   It is necessary to distinguish between permissible differentiation and impermissible differentiation amounting to discrimination.  This is a definitional question and is to be considered before any issue of the possible application of s 5 of the Bill of Rights Act arises.

[67]      Keith J in discussing the concept of discrimination observed:21

Rather the purpose is only to suggest that applications of the principle of equality  or  of  the  prohibition  on  discrimination  will  often  have  to  take careful account of the context and competing principles and interests.

[68]     Richardson P did not discuss the concept of discrimination, and Thomas J did

so in the context of assessing the difference in treatment against the ―fundamental

18     At p 573.

19     Ibid.

20     At p 527.

21     At p 557.

purpose of preventing the infringement of essential human dignity.‖22   The different decisions have been subjected to different commentary in the two leading texts,23 and some criticism.  The absence of any agreement among the members of the Court on the concept of discrimination is noted by the authors.24

[69]     The various approaches in Quilter were not considered in depth in the later

Supreme Court decision of McAlister as that decision involved the application of s

104 of the Employment Relations Act 2000, which contained a detailed definition of discrimination.    There  is,  therefore,  limited  appellate  guidance  on  the  correct approach to s 19, and none of the various approaches in Quilter can be treated as conclusive.

[70]     Before the Tribunal, and in this appeal, it was admitted by the Ministry that there was a policy of excluding specified family members from payment for the provision of services by reason of their family relationship.  We do not understand the Ministry to deny that there was a point of distinction in the treatment of family members such as the respondents, as against other persons seeking to be paid.

[71]   The thrust of the Ministry‘s submission was that the policy was not discriminatory, despite this distinction.  The Ministry submitted that the reason for the  difference  in   treatment  must  be  shown  to  be  a  prohibited  ground  of discrimination.   It asserted that the reason for the difference in treatment was not based on a prohibited ground, but for other reasons arising from its legitimate policies.  The Ministry submitted that it is not discriminatory to treat those who are in different situations differently.

[72]     The essence of the Ministry‘s submission was that the respondents were in a different situation to other persons who were under the Ministry policy eligible for payment.    The  Ministry  argued  that  if  a  comparison  was  made  to  a  correctly identified comparable group, it could be seen that there was no discrimination.  In

carrying out that comparison exercise, it submitted that it was necessary to consider

22     Egan v Canada (1995) 124 DLR (4th) 609 at 676; Quilter at p 533.

23     New Zealand Bill of Rights, Rishworth pp 377–380; Butler & Butler, The New Zealand Bill of

Rights Act: A commentary 17.9.22–17.9.23.

24     Rishworth at 380; Butler at para 17.9.

the four different types of relevant services provided by the Ministry.  Ms Coleman, for the Ministry, also submitted that s 19 was aimed at substantive and not formal equality.   She submitted that even if there were distinctions made on prohibited grounds, only those distinctions that have the effect of perpetuating group disadvantage or imposing disadvantage on the basis of prejudice or stereotyping are prohibited under s 19.  They must not only be based on a prohibited ground, but have a discriminatory impact.  Ms Coleman submitted that the distinction made in relation to the policy was not discriminatory.  It was a considered and developed policy that had arisen from expert views, and which was in fact designed to assist disabled people and their families.

[73]     She submitted that a finding that there was a discriminatory policy would have widespread implications for DHBs which provide support to approximately twice as many disabled persons as the Ministry, and operate the same policy.  She submitted that any other finding would challenge much of New Zealand‘s system of income support and social assistance, together with other areas such as home schooling, all of which are predicated on treating those within a family unit as a unit.

[74]     Ms Joychild for the plaintiffs took a very different position on the appropriate comparator group to that of Ms Coleman.  Also, as we understood her submission, she did not accept that an evaluative approach to the type of distinguishing actions was necessary, and supported an approach that required any such exercise to be in the second s 5 step.

Background to comparator exercise

[75]     The Ministry admits in its pleading in reply that its policy excludes parents and family members from providing the services in question.  The prohibited ground of discrimination on the basis of family status includes discrimination on the grounds of being a relative of a particular person (s 21(l)(iv)).   A parent is a relative.   It follows that the Ministry policy turns on whether a person is a relative of a particular person.  So there is at least a distinction made by the Ministry in its policy between family and non-family members.

[76]     However, that factor alone does not prove discrimination and take us to the s 5 exercise of whether the discrimination is justified.   If all citizens were treated exactly the same we would live in a very different society from today.   It is a fundamental tenet of our social structure that people of different ages, abilities and circumstances are treated differently.  Distinctions must be made.  It would be unjust to persons with certain disadvantages if that were not so.   By treating different people differently we remedy inbuilt inequalities.

[77]     For instance, the domestic purposes benefit, available only to solo parents, involves a distinction based on family status, being the relationship of the parent to a child and the absence of a type of relationship with another person.  Other benefits vary depending on whether a person lives alone or with a partner, or are determined by age.  If governance is to be effective and provide for the inevitable differences that arise between people, distinctions must be made.   We are satisfied that it is necessary for there to be something more than a difference in treatment for a policy to be discriminatory.

[78]     All reference to equality was deliberately omitted from the NZBORA despite the fact that the Canadian Charter of Rights and Freedoms (―the Canadian Charter‖) at s 15(1) expressly records the right of every individual to be equal before and under the law before stating the right to the protection and benefit of the law without discrimination.   Nevertheless, it is inescapable that the concept of discrimination involves the concept of equality, in the sense of not treating like people equally.  For there to be discrimination not only must one person or group of persons be treated differently from another person or group of persons, but there must be similarities between those differently treated groups that make the different treatment unfair. The key is that the decision must involve the making of a distinction in the treatment of otherwise like persons on the prohibited ground.  The difference in treatment can only be discriminatory if that difference in treatment is of persons in comparable

circumstances.   As Tipping J observed,25  the essence of discrimination lies in the

difference of treatment to persons in ―comparable circumstances‖.

[79]     The question then arises, how is the Court in a principled way to determine whether  there  is  discrimination  when  there  is  a  difference  in  treatment?    The

25     At p 573.

Canadian Courts have developed an approach of carrying out a comparison exercise with others in a like group to the plaintiffs, to test the discriminatory aspect of the policy or  provision.    That  was  the  approach  adopted by the Supreme  Court  in McAlister26  in the context of s 104(1)(a) of the Employment Relations Act where a comparison exercise is required.   Discrimination is defined in some detail in that section,  and  there  is  discrimination  if  by  reason  of  a  prohibited  ground  of

discrimination an employer refuses or omits to offer or afford an employee the same terms of employment as are made available for other employees of the ―same or substantially similar qualifications, experience, or skills employed in the same or substantially similar circumstances …‖.   This section was based on s 15 of the Human Rights Commission Act 1977, the predecessor to the present HRA.  Elias CJ made this comment about the application of comparators in that context:

[34]  In cases of alleged discrimination the choice of a comparator is often critical.   We were referred to a number of decisions from senior courts in different jurisdictions which were said to provide guidance. For the most part, we did not find them especially helpful. Unless there are distinct similarities in the statutory scheme and in the type of discrimination which is being alleged, what is said in another jurisdiction about how to arrive at a comparator is of limited assistance.

[80]     The Court of Appeal in Quilter did not explicitly carry out a comparator exercise.   However, as Tipping J observed,27  the essence of discrimination lies in difference of treatment to persons in comparable circumstances.   We are satisfied that the use of a comparator is a helpful exercise in assessing whether there has been discrimination.  In doing so we note the observation of L‘Heureux-Dubé J in Miron v Trudel:28

Comparison is only a fruitful exercise when carried out between groups that possess sufficient analogous qualities to make the exercise of the comparison meaningful  in  respect  of  the  distinction  being  examined.    Thus,  in  the present case, the only appropriate comparison is between married persons and unmarried persons who are in a relationship analogous to marriage (i.e. of some degree of publicly acknowledged permanence and interdependence). In other words, with all things being roughly equal, the latter group is denied the equal benefit of the law for essentially one reason: the fact they are not married.

26 At [34].

27     At p 573.

28     Miron v Trudel [1995] 2 SCR 418 at [8].

[81]     As this statement indicates, the carrying out of a comparator exercise can assist because it requires the Court to focus on the exact reason for the difference in treatment.  In this regard, it is the process of arriving at the comparator as much as the comparator itself which is the fruitful exercise.  As Priestley J stated in Claymore Management Ltd v Anderson:29

There must be a consideration of the effect on a comparative person or group so that the differential of discrimination on a prohibited ground (if there is one) can be assessed. …

[82]     In  the  absence  of  any  obligation  in  the  relevant  sections  to  carry out  a comparison of the type that there is in s 104(1)(a) of the Employment Relations Act, we are reluctant to treat any comparator exercise as the conclusive test for discrimination.  Rather, the carrying out of a comparator exercise will assist in the process of determining whether the difference in treatment is in fact discriminatory. We will treat it as a tool only in that regard, and go on to assess whether there has been discrimination after having carried out that comparator exercise.  We have no doubt that in assessing whether there has been discrimination, a central consideration is the effect on a comparable group.   Thus, like the Tribunal, we commence our analysis by carrying out a comparison exercise.

Submissions as to appropriate comparator

[83]     The Ministry submitted to the Tribunal that the appropriate comparator was

―someone  who  does  not  provide  natural  support  and  who  has  not  personally indicated they are unwilling or unable to perform the work‖.   In written submissions in this Court it was submitted that in respect of home-based services, the proper comparator is someone who is employed to meet gaps in support that families and other natural supports are not able to meet, and is able to give families a break from care.   In the course of oral submissions there was an emphasis on the comparator

group being those who could meet the ―unmet needs‖ of the disabled person.

29     Claymore Management Ltd v Anderson [2003] 2 NZLR 537 (HC) at [147].

[84]     The respondents argued that the appropriate comparator was ―everyone else able  and  willing  to  provide  disability  support  services  to  the  same  particular persons‖.  The Tribunal accepted the respondent‘s submission.

Conduct of the comparator exercise

[85]     The Chief Justice noted in McAlister30  that under s 19 the Court was left to formulate its own concept of discrimination.   This is in contrast to s 104 of the Employment Relations Act which applied in McAlister, which prohibited discrimination on a prohibited group if, by reason of that ground the employer failed or refused to make work available as was available to other employees of ―the same or substantially similar qualifications, experience, or skills …‖.    It was stated in McAlister31 by the Elias CJ for the majority:

The task of a court is to select the comparator which best fits the statutory scheme in relation to the particular ground of discrimination which is in issue, taking full account of all facets of the scheme, including particularly any defences made available to the person against whom discrimination is alleged. A comparator which is appropriate in one setting may produce a completely  inapt  result  in  another.  It  will  certainly  do  so  do  so  if  it effectively deprives part of the statutory scheme of its operation.

[86]      It was further observed by Tipping J:32

[T]he most natural and appropriate comparator is likely to be a person in exactly the same circumstances as the complainant but without the feature which is said to have been the prohibited ground.

[87]     It is necessary in arriving at the appropriate comparator to consider all facets of the scheme.  The characteristics put into the comparator must be those relevant to the grant or refusal, apart from the personal characteristic that is said to be the ground of wrongful discrimination.33

[88]      It is helpful to consider the approach of the House of Lords in Lewisham

London Borough Council v Malcolm.34    Mr Malcolm had a mental health disability

30 At [33].

31 At [34].

32 At [52].

33     Hodge v Canada [2004] 3 SCR 357 at [1].

34     Lewisham London Borough Council v Malcolm [2008] 1 AC 1399 (HL).

and sublet his tenancy in breach of the Council rules during a psychotic episode.  He was ejected from his flat as a consequence.  He claimed discrimination on the basis of his disability.   Lord Neuberger of Abbotsbury observed that there can be two linguistically defensible constructions of comparator groups in such a situation.  The question was whether the disabled person‘s treatment should be compared simply with that of a non-disabled tenant who had done the same thing, or whether the comparison should be with a tenant who had not sublet at all.  Lord Neuberger chose the narrower construction.  While there was a powerful argument in favour of the wider construction  given the need to  apply an  anti-discrimination statute in the manner that was benevolent towards intended beneficiaries, the wider construction

would have produced a ―highly invasive‖ result.35   As was commented in relation to

that case in McAlister:36

What His Lordship was doing was balancing the pros and cons of the adoption of the alternative comparators in the context of the whole of the statutory scheme, including such checks and balances as did, or would in the future, exist.  That, it seems to us, is the right approach, best calculated to lead to a nuanced result.

The comparator exercise in this case

[89]     We consider the two proposed comparators taking into account the whole of the context in which the disability support services operate.

[90]     Ms Coleman in her submissions emphasised the fact that at the heart of the Ministry‘s comparator was the fact those who would be eligible for payment were only available to meet the needs of the disabled person that were not met by the family and immediate support group, and that family members and the immediate support group were not available to meet unmet needs.  This involves importing into the comparator all the assumptions on which the Ministry is arguing its case.  At the heart of this proposed comparator is the Ministry‘s assumption of the applicability of

what it calls the social contract37  which means that the disabled person‘s needs are

―met‖ by family members thus making them ineligible.  Defining the comparator as

someone who is employed to meet gaps in support that families and other natural

35 At [142].

36 Elias CJ at [35].

37 See [203]–[215].

supports are not able to meet, and is able to give families a break from the care, is to build into the comparator highly artificial qualifications that incorporate the Ministry‘s policy decision as to why support should not be made available.  It makes the value judgment that family members meet the needs of their disabled family members without payment.

[91]     However, as the Ministry policy itself recognises, families do not necessarily meet the needs of family members.  They will provide paid contract support when families refuse or are unable to provide it.   When family members do  provide support, as in the case of the parent plaintiffs in this case, they sometimes meet all the needs of the disabled person.  Indeed, as a matter of fact at least two of the parent plaintiffs receive no benefits or payments at all, all the disabled child‘s needs being met by family members.  They just want to be paid for doing so.  The concept of

―unmet needs‖ is in this context a concept invented by the Ministry.  The comparator exercise becomes circular and the inevitable answer is favourable to the Ministry. Such an analysis involves the application of the very Ministry philosophy that it is said is discriminatory.   We therefore do not accept that the Ministry‘s comparator should be applied.

[92]     Further, the Ministry‘s comparator gives rise to the objection articulated in McAlister38  that there is no work for the comparator to do.   Once the Ministry‘s assumptions are built in, the answer is inevitable.  There is no discrimination on a prohibited ground, because the prohibited ground is neutralised by the building in of the contested assumptions which lead to the Ministry‘s desired result.

[93]     The issue arose in the course of presentation of the submissions, whether the appropriate comparator is persons who make themselves available for services to disabled people purely for payment, and not because of love and affection for a particular person.  This is the aspect of the Ministry comparator definition, when it submitted that the right comparator is persons ―who do not provide natural support‖. They are persons who make themselves available for services to disabled people for monetary reward, and not for the ―natural‖  reason of love and  affection for the

disabled person.

38 Elias CJ at [37].

[94]     On reflection we consider such a distinction far too simplistic.   It involves accepting the Ministry‘s premise that family support of disabled persons is ―natural‖ and presumably that non-family support is not.  We do not accept the premise that there  is  a  clear  distinction  between  ―natural‖  and  ―non-natural‖  support  for  the reasons we set out later when we reject the Ministry‘s submission that there is a social contract under which it is accepted that family members provide support for

disabled persons through the lifetime of those persons.39    Moreover, while all the

respondents in this proceeding are driven by love and affection, it is perfectly conceivable that a relative who wishes to care for a disabled person could be a perfectly adequate carer, but not in fact be driven by love and affection.  It is equally possible that a paid worker who is not related may be driven by love and affection. The Ministry‘s comparator requires acceptance of the proposition that parents will support their disabled children whatever their age as a truism.  We do not think it right to do so.  As a matter of fact it is clear that there is no attempt by the Ministry to judge whether the offer of support by a family member is actually driven by

―natural‖ reasons of love and affection, or by a wish for payment.  The application of the policy is automatic, if the applicant is a family member, and the member‘s actual motivation is irrelevant.

[95]     The respondents propose that the group against which the discriminatory impact must be assessed is everyone else able and willing to provide disability support services to the particular persons.  The question is, is this the group of ―like‖ people to whom those that are subject to the policy can be fairly compared?   The persons to be compared are those in our community who will do work for the Ministry to support disabled persons, for payment.

[96]     The evidence showed that the range of background skills, ages, and general circumstances of the respondents is considerable.  With some exceptions they have no formal training in caring for disabled persons.  But nor do carers generally when they start in this sort of work for the Ministry.  It is clear that the doing of the work of a paid carer under any of the four services cannot be described as ―professional‖ in the sense that it requires a course or degree as a training pre-requisite.  The work

is open to persons from all backgrounds, and training is not required.  There would

39 See [203]–[215].

seem to be no reason why any competent person of any age or background, of good character properly motivated, could not successfully apply.

[97]     We  are  driven  to  the  conclusion  that  this  comparator  proposed  by  the plaintiffs and accepted by the Tribunal is right.  It is all persons who are able and willing to provide disability support services to the Ministry.   There should be no qualifications to ―able and willing‖.

[98]     This conclusion is consistent with the Canadian British Columbia Human Rights Tribunal decision of Hutchinson v BC (Ministry of Health)40  upheld in the Supreme Court of British Columbia41 where the claim was by a severely disabled 27 year old whose 71 year old father was providing all her care, and had done so since the daughter was 13.  The defendant‘s assistance programme had a policy in similar terms to that of the Ministry, which did not allow payments to family members like

her father.  The Tribunal held that the comparator group to Ms Hutchinson was the defendant‘s clients who were not restricted by the blanket prohibition either because they did not wish to or need to hire a family member.42    The claim that there was discrimination  on  the basis  of family status  was  upheld  on  appeal  to  the State Supreme Court.

[99]     Thus, the comparator exercise indicates that the policy is discriminatory.

The Ministry submission that there is no discriminatory impact

[100]   The Ministry submitted that whatever the result of a comparator exercise there is no discrimination as the policy does not have the effect of perpetuating a group advantage or imposing a disadvantage on the basis of prejudicial stereotyping. It points to the fact that the policy is not based on actual prejudiced views in the traditional  sense  such  as  racial  or  religious  discrimination,  or  on  any  historical pattern of discrimination.   It was submitted that the context in which the claim is made is important, and that the nature of the prohibited ground in question must be

factored into the analysis.

40     Hutchinson v BC (Ministry of Health) (2004) BCHRT 58.

41     R v Hutchinson (2004) 261 DLR (4th) 171; [2004] BCSC 1536.

42     Hutchinson v BC (Ministry of Health) (2004) BCHRT 58 at [101].

[101]  The Ministry referred to Alberta (Ministry of Human Resources and Employment) v Weller43  which concerned a claim that the ineligibility of a social assistance recipient for a shelter allowance to assist with payment of rent because he was living with his mother, was discrimination on the grounds of family status.  The Alberta Court of Appeal stated that the issue was not whether the recipients of social welfare  had  suffered  historic  disadvantage,  but  whether  Mr Weller  had  been subjected to discrimination because of family status.  It was stated:44

Family status has, on occasion, been the cause of pre-existing disadvantage, for example, illegitimate children and single mothers historically have suffered discrimination in some instances.  However, in this case the family status is merely that of being in a parent and child relationship.  Being in a parent and child relationship in  general has not been subject of historic patterns of discrimination or prejudicial views.

[102]   The Ministry submitted that distinctions on the ground of family status do not have the same association with historical disadvantage and marginalisation as other more traditional grounds of discrimination.  A number of Canadian cases were relied on to support the submission that parents of disabled adult children are not a disadvantaged group.45     It emphasised that the Ministry‘s policy did not involve discrimination born of prejudice, and family status was not a traditional basis for illegitimate distinctions.

[103]   If the Ministry is right, then it is necessary to adopt what is sometimes called a ―purposive‖ approach to whether there is discrimination.   Can the policy or enactment be regarded as not discriminatory, even if there is prima facie a distinction made between like persons, and on a prohibited ground?  There is support for this approach in some New Zealand dicta and commentaries, and as submitted by the

Ministry, in Canadian decisions.

43     Alberta (Ministry of Human Resources and Employment) v Weller 273 DLR 4th ed 116, leave to appeal to Supreme Court denied: Director of the Human Rights and Citizenship Commission v Alberta (Ministry of Human Resources and Employment) 432 AR 395 SCC.

44 At [53].

45     Newfoundland v Newfoundland (1995) 127 DLR (4th) 694 at [65]; Hutchinson v British

Columbia (2004) BCHRT 58 at [142]; Wynberg v Ontario (2006) 269 DLR (4th) 435; and Harris v Canada [2009] 4 FCR 330 at [62].

New Zealand authority

[104]   Thomas J in Quilter quoted the Canadian decision of Egan v Canada in asserting  that46    ―[t]he  existence  of  discrimination  or  otherwise  can  only  be determined or otherwise by ‗assessing the prejudicial effect of the distinction against…the  fundamental  purposes  of  preventing  the  infringement  of  essential human dignity‘.‖ (emphasis added)  He was of the view that the exclusion of persons from marriage on the grounds of sexual orientation was very clearly discriminatory. He appeared to have no doubt that the provision infringed essential human dignity. He decided that a s 5 exercise could make no difference.47   So he did not turn to s 5 in considering the policy issues relating to difference in treatment.

[105]    Gault J in Quilter, although he took the opposite view to that of Thomas J as to whether there was discrimination, concluding that there was not, also appeared to consider that a purposive approach to whether there was discrimination should be adopted.  He observed:48

It is necessary to distinguish between permissible differentiation and impermissible differentiation amounting to discrimination.   This is a definitional question and is to be considered before any issue of the possible application of s 5 of the Bill of Rights Act arises.  Discrimination generally is understood to involve differentiation by reference to a particular characteristic (classification) which characteristic does not justify the difference.   Justification for differences frequently will be found in social policy resting on community values.

(emphasis added)

[106]   However, the other three Judges did not, at least expressly, adopt such an approach in the sense of considering whether the difference in treatment was an affront to human dignity, or justified on community values.  Tipping J in particular centred his analysis on whether there was a difference in treatment between persons

who were in comparable circumstances,49 and did not seek to analyse further issues

of human dignity and community values.   Also Richardson P and Keith J, while requiring  more  than  a  difference  in  treatment,  focussed  rather  on  difference  of

46     At p 532.

47     At p 540.

48     At p 527.

49     At p 573.

treatment in comparable circumstances.  There was no purposive assessment of the nature of the discrimination.

[107]   We do not regard the majority in Quilter, therefore, as requiring us to embark on a subjective analysis of the nature of the discrimination, to see if there is a breach of s 19.   We do not overlook Tipping J‘s observation that the spirit of the Bill of Rights and Human Rights Act ―suggests a broad and purposive approach to these problems‖.50    However, this remark was made in the context of him referring to the impact of the conduct, rather than the nature of it.  He observed later that he would prefer to define the right to be free from discrimination with the purpose of anti- discrimination laws in mind ―and then consider whether any suggested limitation is

justified or otherwise lawful rather than circumscribe the content of the right at the

outset‖.51    He observed:52

…if restrictions which may be legitimate or justified in some circumstances are built into the right itself the risk is that they will apply in other circumstances when they are not legitimised or justified.

[108]   In Rishworth, The New Zealand Bill of Rights53  the Canadian approach is noted to be likely to result in a denial of the protection of a right in a variety of circumstances in which complaints might reasonably be made.  However, the learned authors do advocate a purposive interpretation of the right.  In Butler & Butler, The New Zealand Bill of Rights Act: A Commentary54 a purposive approach is not supported.   Reservations are expressed about  an evaluative  consideration of the nature of the discrimination.    Rather,  a two-step  approach  at  the  s  19  stage is advocated.  The first stage is whether the impugned act treats two comparable groups

differently by reason of one of the prohibited grounds of discrimination, and the second is whether the different treatment involves disadvantage to the disfavoured

group.55

50     At p 575.

51     At p 576.

52     Ibid.

53     Rishworth et al The New Zealand Bill of Rights at p 385.

54     At 17.9.22–17.9.23.

55     Butler & Butler, The New Zealand Bill of Rights Act: A commentary at 17.9.40.

[109]   The Tribunal in its decision did not engage in a purposive analysis of whether there was discrimination.   Nor did the Tribunal in Child Poverty Action Group v Attorney-General Human Rights Review Tribunal.56

Canadian decisions

[110]   The Canadian cases relied on by the Ministry showed the Courts carrying out a  substantive  analysis  of  whether  there  has  indeed  been  discrimination.    Four volumes containing 29 Canadian decisions were produced, and there were also some further decisions that were relied on.   In addition, a number of United Kingdom decisions were referred to.

[111]   The respondents urged caution in considering the Canadian decisions.  They pointed out that there are significant differences in the wording of the relevant provisions.  The equivalent of s 19 of the NZBORA is s 15 of the Canadian Charter . Section 15 provides:

Every individual is equal before the law and under the law and has the right to the equal protection and equal benefit of the law without discrimination and in particular, without discrimination based on race, national or ethnic origin, colour, religion, sex, age or mental or physical disability.

[112]   As noted,57 there is no equality guarantee in s 19 of the NZBORA as there is in s 15 of the Canadian Charter.  The wording of s 1 of the Canadian Charter is much closer to  the wording of the equivalent  NZBORA  provision  at  s  5.   Section  1 provides:

The Canadian Charter of Rights and Freedoms guarantees the rights and freedoms set out in it subject only to such reasonable limits prescribed by law as can be demonstrably justified in a free and democratic society.

[113]   In the Canadian Charter there is a non-exclusive list of prohibited grounds of discrimination set out within the section itself.  In s 19 of the NZBORA there is no such statement.  Rather, the HRA states that acts or omissions inconsistent with s 19

are in breach of Part 1A of that Act.   Section  21 then goes on  to set out the

56     Child Poverty Action Group v Attorney-General Human Rights Review Tribunal HRRT

16 December 2008 at [116]–[142].

57 At [78].

prohibited  grounds  of  discrimination  in  considerable  detail  in  a  definitive  list. Family status is expressly referred to under s 21(1)(l) as a prohibited ground of discrimination, whereas there is no explicit reference to family status in s 15(1) of the Canadian Charter.  However, the Canadian courts have treated family status as a prohibited ground of discrimination by analogy.

[114]   We recognise the differences in the New Zealand and Canadian provisions. In particular, we note that in New Zealand there is no equality guarantee such as the equality guarantee in s 15 of the Canadian Charter.  That omission was a deliberate action by the drafters of the bill.58

[115]   In support of its submission that discrimination under s 19 required the perpetuation  of  group  disadvantage  or  opposing  disadvantage  on  the  basis  of prejudice or stereotyping, the Ministry relied on the leading decision of Andrews v Law Society of British Columbia59 and other Canadian cases.60   In Law v Canada the Supreme Court held unanimously that the protection of the right to freedom from discrimination   was   limited   to   distinctions   that   undermine   human   dignity. Iacobucci J explained human dignity as follows:61

Human dignity means that an individual or group feels self-respect and self- worth.   It is concerned with physical and psychological integrity and empowerment.  Human dignity is harmed by unfair treatment premised upon personal traits or circumstances which do not relate to individual needs, capacities, or merits.  It is enhanced by laws which are sensitive to the needs, capacities and merits of different individuals, taking into account the context underlying their differences.  Human dignity is harmed when individuals and groups are marginalised, ignored, or devalued, and is enhanced when laws recognise  the  full  place  of  all  individuals  and  groups  within  Canadian society.

58     A Bill of Rights for New Zealand: A White Paper, para 10.82.

59     Andrews v Law Society of British Columbia [1989] 1 SCR 143 at 174.

60     Miron v Trudel [1995] 2 SCR 418; Battlefords and District Co-operative v Gibbs [1996] 3 SCR

566 at [37]; Nova Scotia (Workers’ Compensation Board) v Martin [2003] 2 SCR 504 at [1], [5], [86] and [88]; Gosselin v Quebec [2002] 4 SCR 429 at [22]; Law v Canada (Minister of Employment and Immigration) [1999] 1 SCR 497.

61     Law v Canada [1999] 1 SCR 497 at [53].

Our assessment on whether we should examine the nature of the discrimination

[116]   In the Bill of Rights for New Zealand White Paper it was observed:62

The word ‗discrimination‘ in this article [s 19] can be understood in two senses  –  an  entirely  neutral  sense  synonyms  with  ‗distinction‘,  or  an invidious sense with the implication of something unjustified, unreasonable or irrelevant.  However, the result would seem to be much the same on either interpretation because of the application of Article 3 [now s 5] which authorises reasonable limitations prescribed by law on the rights guaranteed by the Bill.

[117]   This  statement  indicates  that  the  debate  on  whether  the  discriminatory conduct is ―invidious‖  is best left to the s 5 ―justified  limitations‖  second stage. While not every distinction is discriminatory and there must be different treatment of like persons or groups, the evaluation of the type of different  treatment of like persons is to be left to the s 5 exercise.

[118]   It  is  also  observed  in  para  10.82  in  explaining  why  the  phrase  ―equal protection of the law‖ was not included in s 19, that such a phrase was open and uncertain and would:

…enable the courts to enter into many areas which would be seen in New Zealand as ones of substantive policy.  A multitude of statutes treat different categories of persons in different ways.  The equal protection provision in the United States has been interpreted as giving the courts power to decide whether there is a ‗rational basis‘ for any particular legislative classification or distinction…

[119]   We take this to indicate a lack of enthusiasm for judicial attempts to analyse discriminatory acts at the s 19 stage in terms of social policy.

[120]   Section 20L(2) of the HRA gives an indication.   It specifies a two-stage approach, first a consideration of discrimination and secondly, if there is discrimination, a consideration of whether s 5 applies.  Section 21 of the HRA sets out ―prohibited grounds of discrimination‖  without qualification.   No evaluative process is indicated.   It goes against its unqualified language for there to be an enquiry into the quality and nature of the prohibited discrimination at the s 19 stage,

after a prima facie breach is established.

62     A Bill of Rights for New Zealand: A White Paper [1985] 1 AJHR A6, para 10.78.

[121]   In  McAlister  the  Supreme  Court,  having  found  following  a  comparator exercise that there was discrimination, did not go further and consider policy aspects but rather referred the case back to the Employment Court for a consideration of whether Air New Zealand had a defence under s 30 of the Employment Relations Act.   There was no evaluation of the qualities of the discriminatory conduct, that being left for the further hearing, akin to a s 5 hearing.

[122]   Essentially the Ministry is asking the Court to make a value judgment about the type of discrimination at the s 19 stage, and that judgment will have a sudden death  outcome  as  to  the  success  or  failure  of  the  appeal.    We do  not  think  it appropriate for such a judgment to be made at the first s 19 stage.  In the Canadian decisions relied on there is no distinct two-stage approach mandated by the legislation, as there is in s 20L(2).

[123]   While the concept of discrimination on the basis of family status set out as a prohibited ground of discrimination in s 21 is not one of the historical types of prejudice or stereotyping normally associated with discrimination, Parliament has included it.   The Ministry submission, if accepted, would require us to add to the prohibited grounds of discrimination at s 21(1)(l) the qualification that prejudice or stereotyping or some other pejorative feature must be present.  We do not consider that   such   the   addition   of   such   qualifications   to   the   prohibited   ground   of discrimination was the intention of Parliament.   We consider it best to assess arguments of this type in the s 5 exercise, if it arises.

[124] We do not agree that family status should be treated as a ground of discrimination that is less discriminatory than more traditional types of discrimination.  We should not distinguish between a type of discrimination once it is proved in s 21 of the HRA.  Family status is a prohibited ground of discrimination with  the  other  more  traditional  grounds.    We are  not  prepared  to  discount  our consideration of whether the policy is discriminatory, because it is not one of those traditional grounds.

[255]   This submission again involves the circular logic that the policy is designed to fill the gaps in family provided care, which rests in turn on the validity of the concept of the social contract.  We have rejected that as a valid concept.  We do not consider that there is any basis for the proposition that the policy is necessary to promote equality of outcomes.  As a matter of fact, the parent respondents are not unwilling or unable to provide the care provided.  They are well able to do so, as the evidence shows.  They just want to get paid.

[256]   The ACC experience does not indicate any difference in outcomes, whether caregivers are family members or outside contracted parties.   We are not satisfied that it has been shown that the outcome of revoking the policy and contracting family members will be any worse than designing a policy where they can be paid if certain criteria are met.  While we do not go as far as concluding, as the Tribunal did,158 that there is the potential for better outcomes for family provided care where this is subject to the NASC process, we accept that there is nothing to suggest a

difference in outcomes.

158   At [225](c).

Objective three – to encourage the independence of disabled persons

[257]   The Tribunal noted that there was no research presented to it which supported the proposition that disabled persons could be discouraged from becoming independent if family members cared for them.159    We agree that the personal case histories that were presented to the Tribunal would tend to indicate the contrary.  We recognise, however, that rationally it could be the case that on occasions the presence of family members as caregivers could discourage disabled persons from becoming

independent.  However, if there is any such risk, we would expect it to be able to be mitigated by the appropriate training of family members and rigorous monitoring.

[258]   We note that in the 8 November 2006 draft report of ODI to the Cabinet Social Development Committee, it was not accepted that the payment of family caregivers might serve as an incentive to keep the disabled person dependent in order to attract the wage.   This was considered to be rare and it could be mitigated by regular support needs reviews, the establishment of support facilitators and circles of support and the use of an independent disability advocate.  It was also observed that the risk of a client capture was no greater within a family than it is with an external service provider, and that caregiver payments produce no greater disincentive to enter the full time paid workforce and become financially independent than exists with any other part time employment.

[259]   Our  assessment  of  the  evidence  and  the  ACC  experience  is  that  with appropriate training and monitoring this objective can be met without the application of the discriminatory policy.  Its application is not reasonably necessary to meet this objective.

Objective four – avoiding the risk that families will become financially reliant on the income

[260]   There is some support for this concern, observed in the ACC experience and referred to by the Tribunal.160   However, we see no reason why this risk could not be

159   At [225](d).

160   At [225](e).

met by a careful initial assessment of those family members with whom contracts are made, training, and then ongoing support and monitoring.   The policy is not reasonably necessary to meet this objective.

Objective five – support for the development of family relationships in the same way as they develop for non-disabled people

[261]   We are far from convinced that this is a major concern.  The Tribunal did not see it as a rational or convincing link.161   Any such concern should be able to met by a careful assessment of family members with whom contracts are entered, by initial training, and by ongoing monitoring.  It is not a reason for a blanket discriminatory policy.

Objective six – to avoid professionalising or commercialising family relationships

[262]   This is closely aligned to the previous concern.  It seems extreme to assume that where a family member is paid, there is a professionalisation or commercialisation of family relationships.   There is no reason why a family relationship  cannot  survive  payments  to  a  family  member,  as  is  shown  by  the example of the sixth respondent Mr Robinson.   He was paid for a period and his relationship with Johnny and Marita appears to be unaffected.

[263]   In  any  event,  again  a  proper  selection  process,  training,  and  monitoring should control any problems in this area.

Objective seven – to ensure that the delivery and quality of publicly funded services can be monitored

[264]   The Tribunal noted that the Ministry of Health and the ACC had plans to extend and develop their current auditing and monitoring processes.162    Given the ACC experience, and comments within the Ministry itself about the ability to audit, we do not see this issue as insurmountable.  Indeed, we see a process of proper initial

interviewing and vetting of applicants, then of training, then of careful and sustained

161   At [225](f).

162   At [225](h).

monitoring, as an answer to most of the Ministry‘s concerns about the consequences of making payments to family members.

[265]   We have accepted the Ministry has a legitimate concern to ensure that quality standards are met and to properly monitor contractors.  There is force in Ms King‘s concern about the difficulties paying family members would present to quality assurance and evaluation, and the fact that disabled persons might find it difficult to criticise family members, and feel pressure not to report inadequate care or abuse. As we have already indicated, it is difficult to see why the Ministry could not make it a term and condition of any payment that carers had to agree to be trained and audited on a professional basis.  While it must be the case that when care is being provided by non-family members existing family members can provide something of a check and balance to ensure standards are maintained, there seems to be no reason why adequate and independent audit arrangements could not adequately monitor the services provided by family members.   Most of the respondents indicated a willingness to be audited if that was  a  requirement.   Dr Mary Butler, a health professional called by the respondents, stated:

Most families caring for someone with a serious disability with high support means, appreciate accountability in a way unimaginable for the professional because they have to bear the full consequences of any breach of care.

[266]   Ms Coleman emphasised the difficulty of effective monitoring and urged deference to the Ministry‘s assessment.  However, we are unable to discern in the Ministry papers any formal decision that effective monitoring is not possible.   No real effort appears to have been put into devising a draft selection or monitoring policy document, even on a discussion basis only.

[267]   There is no indication that adequate monitoring is seen as an insuperable hurdle in relation to the ACC policy.   There is in relation to ACC a system of safeguards where disabled persons or concerned non-resident family members can seek assistance.   Part of any audit policy could be to ensure that families do not become financially reliant on income and to thoroughly investigate the financial circumstances of the family before agreeing to payment.  It could be a condition of the grant of a payment that certain family members continue to work.  There could be strategies and counselling put in place to ensure that family relationships are not

damaged by payment arrangements.  There is no reason why family members, if they were paid, should end up carrying more unsustainable care burdens and being more socially isolated than family members who provide these services without pay presently sustain.   Indeed, with proper monitoring there is no reason why the care burden should be unsustainable by family members.   It could be a requirement of payment that certain breaks be taken.  We do not of course presume to dictate how any selection and audit policy should work, but we are entirely unpersuaded that adequate policies cannot be devised.

Objective eight – to be fiscally sustainable

[268]   It  is  the  general  submission  of  the  Ministry  that  there  would  be  an unacceptable fiscal impact if a policy was not in existence.  The Ministry‘s expert was Mr Jean-Pierie de Raad.  He is the chief executive of the New Zealand Institute of Economic Research.   He summarised the costs of an estimated change at being between $17 million and $593 million over the four services.   The figures were given as ranges as he stated that it was impossible to predict with accuracy what the response of disabled persons and their families would be to a change in policy.

[269]   He  noted  first,  that  a  portion  of  disabled  persons  who  receive  disability support services provided by non-family members will choose to have their services provided instead by family.  This would theoretically not cost the Ministry any more. There might even be a saving as the payment for services for family members might be lower than that for contracted providers.

[270]   Secondly, a portion of disabled persons living in the community who receive disability support from services but also from family members might choose to receive their support thereafter from paid family members, increasing demand for paid support.

[271]   Thirdly, a portion of disabled persons with severe disabilities who receive no service from the Ministry could choose to have their immediate family paid.  This is an area of potential and significant cost estimated by Mr de Raad as involving increased costs from $10.4 million, assuming a 10 percent switch, to $258.1 million,

assuming a 90 percent switch.  A portion of those disabled persons receiving only minimal services could seek funding for unpaid care.

[272]   Finally, a number of disabled people who currently live in residential care could choose to move back to the family home to be cared for by paid family members.  This could involve significant increases in costs.   In the unlikely event that 50 percent switched, the increased costs would be $243.3 million.

[273]   The respondents called Dr Brian Easton, an independent economist.  He did not agree with Mr de Raad‘s evidence.  He thought his upper bounds were too high. His conclusion was that if a sum had to be taken into account by the Tribunal in making its decision, in the absence of further evidence, the amount of $32–$64 million should be taken as the maximum net fiscal cost.  However, he observed that the ―likely out turn‖ would be less.

[274]   The Tribunal was critical of the Ministry‘s financial projections, but believed that it was likely that there would be some change as a result of the policy changing.163      It  was  unable  to  put  a  precise  dollar  figure  on  the  change,  but considered the potential increment to be at the lower end of the range quoted by Mr de Raad.   It observed that there would be a number of strategies available to control  the  exposure  to  fiscal  implications,  and  one  example  would  be  for  the Ministry to permit the payment of a parent or spouse to be treated as an exception. The criteria for approval could include the personal and family circumstances of the

applicant, the carer‘s qualities and preparedness to be trained and the willingness to be monitored.  Approval could be given on a case by case basis.  The level of the approval  could  be influenced  by the budgetary allocation  available.164     Another control could be through the individualised funding option with each applicant being assessed as to the applicant‘s ability to take up the option and the applicant‘s ability to administer the payment obligations.  The Tribunal expressed its intuitive view that

the financial impact was not likely to be great within the disability sector.165

163 At [165].

164 At [171].

165 At [229].

[275]   The  Ministry  submissions  were  critical  of  this  view  expressed  by  the Tribunal.  Ms Coleman put forward the observation of the Alberta Court of Appeal in Weller that it is reasonable to assume that family members will want payment if it is available.166     The Ministry submitted that it would be unfair if policies were invalidated simply because there had not been an exhaustive investigation on the cost of the policy being changed.

[276]   The Ministry papers reveal that there was far from certainty in the Ministry itself about fiscal consequences.  The draft 8 November 2006 policy considered the issue of the cost of a change of policy in some detail.  It noted a very real risk that paying  family  caregivers  for  services  that  they  have  traditionally  provided  for nothing could result in significant increases in expenditure which would need to be addressed by the injection of additional funding.  However, it went on to say that its expectation was that this would not be extensive and could be managed in the same way that increases in demand for any service are currently managed.  It noted that a payment regime involving intrusion into privacy, and administrative hurdles, could be a disincentive to applying for payment.   It observed that New Zealand could follow the United Kingdom where there is a trend towards individualised budget holding, not dissimilar to the approach used by ACC.   A disabled person could choose whom they purchase services from who may or may not be a family member, and this would be an incentive for family members to provide unpaid care.   It concluded:

46There is potential financial risk for government in agreeing to the recommendations in this paper.   Where budget holding is in place expenditure is expected to stay within the agreed budget, and will therefore be cost neutral.   In the case of providers employing or contracting family caregivers, the financial impact does not change where   services   would   have   been   purchased   from   someone. However, there is a risk that family members currently providing services for free will seek to be paid for those services.   Our expectation is that this will not be extensive, and that it can be managed in the same way that increases in demand for any service are currently managed.

[277]   Throughout, we have been cautious about placing too much weight on the views expressed in this withdrawn draft paper.   The Ministry did not explain its

166   Weller at [64].

background, or reveal who was involved in drafting it or withdrawing it.  However, as we have indicated, we have found it to contain what appears to be a careful and thoughtful analysis.  There is some corroboration for the observations in the paper in other Ministry material.  In the paper of 22 July 2004, Treasury officials are recorded as indicating that funding parameters for a change of policy would be in the ―fives of millions‖  category.   In the 20 October 2006 report to the Minister for Disability Issues from the Director of the Office for Disability Issues, it was commented that the floodgates argument was genuine, albeit often overstated.   Nowhere in the Ministry material that we have read is there any hard conclusion about unsustainable extra costs should the policy be changed.

[278]   We are of the view that more could have been done to provide some data as to the costs.  There is no indication that there has been any endeavour to do a sample survey of disabled persons to see what the take up would be of a new policy.  As it is, we are short on hard facts in relation to fiscal impact.  We note again the need for deference, but it is to be observed that the Ministry and related departments seem to be uncertain as to the significance of any fiscal impact.  In general terms it was for the Ministry to make out its claim of an unsustainable fiscal impact.  It was for the Ministry to show that costs of paying family members was a significant and valid reason for the discriminatory policy and that its policy was the minimum response. In this regard, we note the statement in Grismer adopted in R v Hutchinson that a Government department seeking to justify a submission of unsustainability or undue

hardship   should   provide   ―scientific   evidence‖167.      As   was   made   clear   in

Hutchinson168 ―impressionistic evidence of increased expense will not suffice‖.

[279]   If   changes   were   initiated   cautiously,   with   training   and   monitoring requirements, the take up could be relatively modest.  We were left unsatisfied that any change would constitute a major extra drain on Government resources.  If it did constitute a major drain on Government resources, the policy could be reviewed again.  Doing the best we can, our assessment is that the extra cost is at the bottom of the estimate of Mr de Raad of $17–$593 million.  That also was the Tribunal‘s view.

We appreciate of course that this alone would be a significant sum.   However, in

167   R v Hutchinson (2004) BCHRT 58 at [228].

168 At [214].

relation to a Government Ministry of the size and significance of the Ministry of Health, some modest extra costs should be able to be accommodated without other groups necessarily having to suffer.

[280]   At times the Ministry‘s submissions came close to suggesting that in the face of a decision by a Government department of fiscal unsustainability, a Court should with proper deference accept that the limitation is justified.  However, we think that the Act requires the Tribunal to do more than simply accept an assessment put forward by a defendant.   Some extra cost will very often be the consequence of a finding of a breach of s 19 by a Government department.   Such a consideration, while entirely relevant, is not conclusive.   A Court must endeavour to assess cost against the importance of the right, the importance and rational connection of the objectives and  carry out a proportionality exercise recognising the need for the minimum impairment.  Cost is only a factor to be considered in the mix.

Conclusion on whether the right to freedom from discrimination has been impaired as little as possible

[281]   We have considered whether there is any material in the available research in overseas jurisdictions on family members caring for disabled persons that provides assistance in assessing a reasonably necessary impairment to the right to freedom from discrimination.   In the end we do not have any data of sufficient clarity and detail to be of use.

[282]  The Ministry‘s objective of running a sound and principled scheme for payments for the support of disabled persons that is fiscally sustainable could well be met by a policy where family members can claim and be paid, although only on condition  that  they must  go  through  an  interview  process,  (where  some  family members will be rejected as unsuitable) a training regime (which some will not complete), and accept various conditions imposed on them in relation to ongoing training and monitoring (which will not be acceptable to all).  They would have to accept that their contracts could be terminated if they failed to meet monitoring standards, in the same way as any other independent contractor.  It is our tentative view  that  the  ODI  recommendation  in  the  draft  8 November  2006  paper  that

contracted service providers be able to employ or contract with family caregivers, and that guidelines be drafted to ensure the consideration of potential benefits and risks in appropriate employment and contracting procedures, is the way forward.

[283]   For the reasons we have set out, the Ministry has not satisfied us that the limiting measure has impaired the right of freedom no more than was reasonably necessary for sufficient achievement of the purpose.   The single ―no exceptions‖ blanket prohibition in our view goes too far and cannot be justified.

Fourth s 5 question – is the limit in due proportion to the importance of the objective?

[284]   This issue is closely linked to the previous issue.  In considering whether the impairment was no more than was reasonably necessary we inevitably entered into what was to an extent a proportionality exercise, evaluating the policy response to the objectives of the Ministry.  However, a somewhat different approach is dictated by this last issue.  It requires the decider to stand back and make a broad assessment. Is the discrimination in due proportion to the importance to the tenable Ministry objectives as outlined?

[285]   We  are  not  in  any  way  convinced  that  the  blanket  prohibition  is  a proportionate response to the importance of the objective.   The objectives are attainable if the policy is cancelled, and a new policy designed which incorporates those goals without banning family members.  The previous analysis is the key.169

The blanket  prohibition  is  a disproportionate response to  the importance of the objectives.  There are more moderate ways to meet them.  The ACC has managed to find a way to contract with family members to care for disabled persons.  We do not presume to dictate the key features of a policy that does not ban family members from  being  paid  caregivers,  but  nevertheless  the  development  of  criteria  which govern paid family care would be a starting point, and those criteria could be based

on the legitimate Ministry objectives already discussed.170     A selection process,

training, monitoring and the retention by the Ministry of a right to cancel for a

169   See third s 5 question [231]–[283].

170 See [216]–[220].

failure to meet the criteria should assist the Ministry to meet its objectives.  Another factor which could be relevant is the extent of the disability.   Ms Joychild in her submissions noted the possibility of a policy based on exceptions to a general policy. It may well be that a policy of ―tailored exceptions‖ of the type proposed in Hutchinson171  taking into account the above mentioned factors could be the way forward, but we express no view on that.

[286]   Various Ministry personnel in the course of the reports that we have read have expressed the view that a blanket prohibition may not necessary.  We accept that it is to be expected that there will be conflicting views within an organisation such as the Ministry as it seeks to work out policy.  It would be wrong to place too much weight on individual statements made in the course of that debate.  However, the doubts that we have already referred to in the papers about a blanket prohibition, and the fact that there is no final paper or policy, and the discussion documents are all drafts, indicate that a blanket prohibition is disproportionate to the importance of the objectives.  We have accepted that the objectives are important, but a complete prohibition is not justifiable.  This finding of disproportionality is supported by the

ACC experience, where family members are allowed to receive payments for care.172

Conclusion on s 5

[287]   The Ministry has failed to demonstrate that the infringement on the right to freedom from discrimination constituted by the policy is justified in a free  and democratic society.

[288]   We return to the New Zealand Disability Strategy of April 2001 which sets out as an objective that individual needs are to be treated flexibly, that disabled persons are at the centre of service delivery, that there should be an improvement in the support and choices for those who support disabled people, and that family whanau and those who support disabled people are given the opportunity to have input into decisions effecting their disabled family member.  It seems to us that the

rigid policy put forward by the Ministry in these proceedings is at odds with these

171   At [209]–[211].

172   See discussion at [244]–[253].

flexible objectives, focusing as they do on the needs and wishes of disabled persons and their families.   It also does not reflect the acknowledgement in the United Nations ratified Convention on the Rights of Persons with Disabilities, that persons with disabilities and family members should receive the necessary ―protection and assistance‖ to enable families to contribute to the full and actual enjoyment of the rights of persons with disabilities.  To the contrary, it is a policy which in relation to certain services prohibits assistance to family members.

[289]   We have disagreed with the Tribunal on aspects of its decision.  In particular, we disagree with its conclusion that the policy is not sufficiently important to justify curtailment of the right and not rationally connected with its purpose.  We have seen the concerns and conclusions it reached in relation to importance and rational connection as more appropriately considered when examining minimum impairment and proportionality.  But in broad terms we have not disagreed with any particular aspect of its reasoning.    Our difference with the Tribunal is more in categorisation than the analysis of fact.

[290]   We agree with the Tribunal‘s conclusion in the end that the policy is against the accepted objectives of the New Zealand Disability Strategy.  We conclude that the  Tribunal  was  right  to  conclude  that  the  policy  breached  the  rights  of  both disabled parents and disabled children to freedom from discrimination on the basis of family status.  The breach of that right is not justified under s 5.

[291]   We have considered whether some modification of the Tribunal‘s order is required.  However, the Tribunal has at this stage just made a declaration.  It states that the policy is inconsistent with s 19 of the NZBORA in that it limits the right to freedom from discrimination.  Ms Joychild argues that it could have added that the Ministry thereby breached s 20L of the HRA, but there has been no cross-appeal and we do not propose modifying the declaration.

[292]   We do not consider that the Ministry has acted in bad faith.  Given that the formulation of a policy and the administration of it are formidable challenges, the Ministry must be given time to prepare a new policy informed, we hope, by the five year process of participating in these proceedings, and the decade of consideration

that has already taken place.   Any remedies that the Tribunal ultimately grants should give the Ministry time to finalise a considered, non-discriminatory policy. However, the details of this are a matter for the Tribunal at the next hearing.

Result

[293]   The appeal is dismissed.

[294]   Costs are reserved for further submissions, if necessary.

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Asher J

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J Grant MNZM

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P Davies

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R v Hutchinson [2014] ACTCA 29