The COE Convention on Artificial Intelligence, Human Rights, Democracy and the Rule of Law. Is the Council of Europe losing its compass ?

by Emilio DE CAPITANI

When the Committee of Ministers of the Council of Europe decided at the end of 2021 to establish the Committee on Artificial Intelligence (CAI) with the mandate to elaborate a legally binding instrument of a transversal character in the field of artificial intelligence (AI), such initiative created a lot of hopes and expectations. For the first time, an international convention ‘based on the Council of Europe’s standards on human rights, democracy and the rule of law and other relevant international standards’ would regulate activities developed in the area of AI.  

The mandate of the CAI was supposed to further build upon the work of the Ad Hoc Committee on Artificial Intelligence (CAHAI), which adopted its last report in December 2021, presenting  ‘possible elements of a legal framework on artificial intelligence, based on the Council of Europe’s standards on human rights, democracy and the rule of law’. In this document, the CAHAI underlined the need for the future instrument to ‘focus on preventing and/or mitigating risks emanating from applications of AI systems with the potential to interfere with the enjoyment of human rights, the functioning of democracy and the observance of the rule of law, all the while promoting socially beneficial AI applications’. In particular, the CAHAI considered that the instrument should be applicable to the development, design and application of artificial intelligence (AI) systems, ‘irrespective of whether these activities are undertaken by public or private actors’, and that it should be underpinned by a risk-based approach. The risk classification should include ‘a number of categories (e.g., “low risk”, “high risk”, “unacceptable risk”), based on a risk assessment in relation to the enjoyment of human rights, the functioning of democracy and the observance of the rule of law’. According to the CAHAI, the instrument should also include ‘a provision aimed at ensuring the necessary level of human oversight over AI systems and their effects, throughout their lifecycles’.

So, a lot of hopes and expectations: some experts expressed the wish to see this new instrument as a way to complement, at least in the European Union, the future AI Act, seen as a regulation for the digital single market, setting aside the rights of the persons affected by the use of AI  systems[1]. In its opinion of 20/2022 on the Recommendation for a Council Decision authorising the opening of negotiations on behalf of the European Union for this Council of Europe convention, the EDPS considered that it represented ‘an important opportunity to complement the proposed AI Act by strengthening the protection of fundamental rights of all persons affected by AI systems’. The EDPS advocated that the convention should provide ‘clear and strong safeguards for the persons affected by the use of AI systems’.

Alas, those hopes and expectations were quickly dampened by the way the negotiations were organised, and, above all, by the content of the future instrument itself.

1- the organisation of the negotiations: the non-member States leading, the civil society out

The objective to open the future instrument to States which are not members of the Council of Europe was with no doubt an excellent initiative, considering the borderless character of AI, and the need to regulate this technology worldwide. Indeed, as noted by the CAHAI in its above mentioned report ‘The various legal issues raised by the application of AI systems are not specific to the member States of the Council of Europe, but are, due to the many global actors involved and the global effects they engender, transnational in nature’. The CAHAI therefore recommended that the instrument, ‘though obviously based on Council of Europe standards, be drafted in such a way that it facilitates accession by States outside of the region that share the aforementioned standards’. So, yes on a global reach, but provided that the standards of the Council of Europe are fully respected.

However, the conditions under which those non-member States have participated in the negotiations need be looked at a little more: not only have they been part of the drafting group sessions unlike the representatives of the civil society, but it seems that from the start they have played a decisive role in the conduct of negotiations. According to a report published in Euractiv in January 2023[2], the US delegation opposed the publication of the first draft of the Convention (the ‘zero draft’), refusing to disclose its negotiating positions publicly to non-country representatives.

At the same time, the organisation of the negotiations has set aside the civil society groups, who were only allowed to intervene in the plenary sessions of the meetings, while the text was discussed and modified in the drafting sessions. The next and-in principle- last plenary meeting from the 11th to the 14th of March should start with a drafting session and will end with the plenary session, which implies that the civil society representatives will have less than 24 hours to have a look at the revised version of the convention -if they can receive it on time- and make their last comments, assuming that their voices were really heard during the negotiations.

Yet, representatives of the civil society and human rights institutions have done their utmost to play an active part in the negotiations. In an email to the participating States, they recalled that the decision to exclude them from the drafting group went ‘against the examples of good practice from the Council of Europe, the prior practice of the drafting of Convention 108+, and the CoE’s own standards on civil participation in political decision-making[3]. During the 3rd Plenary meeting of 11-13 January 2023, they insisted on being part of the drafting sessions, but the Chair refused, as indicated in the list of decisions:

‘(…) –Take note of and consider the concerns raised by some Observers regarding the decision taken by the Committee at the occasion of its 2nd Plenary meeting to establish a Drafting Group to prepare the draft [Framework] Convention, composed of potential Parties to the [Framework] Convention and reporting to the Plenary.

– Not to revise the aforesaid decision, while underlining the need to ensure an inclusive and transparent negotiation process involving all Members, Participants and Observers and endorsing the Chair’s proposal for working methods in this regard’.[4]

Despite this commitment, the need of an ‘inclusive and transparent negotiation process’ has not been ensured in the light of the civil society statement of the 4th of July 2023, where again the authors ‘deeply regret(ted) that the negotiating States have chosen to exclude both civil society observers and Council of Europe member participants from the formal and informal meetings of the drafting group of the Convention. This undermines the transparency and accountability of the Council of Europe and is contrary to the established Council of Europe practice and the Committee on AI (CAI) own Terms of Reference which instructs the CAI to “contribute[…] to strengthening the role and meaningful participation of civil society in its work”.’[5]

The influence of non-member States has not been limited to the organisation of meetings. As detailed below, the American and Canadian delegations delegations, among others, threw their full weight behind the choice of systematically watering down the substance of the Convention.

2- A convention with no specific rights and very limited obligations

How should the mandate of the CAI be understood? According to the terms of reference, the Committee is instructed to ‘establish an international negotiation process and conduct work to finalise an appropriate legal framework on the development, design, use and decommissioning of artificial intelligence, based on the Council of Europe’s standards on human rights, democracy and the rule of law and other relevant international standards, and conducive to innovation, which can be composed of a binding legal instrument of a transversal character, including notably general common principles (…)[6].

The objective of including in the convention ‘general common principles’ has been interpreted by the Chair literally, who considered that ‘the AI Convention will offer an underlying baseline of principles in how to handle the technology, on top of which individual governments can then build their own legislation to meet their own specific needs’[7]. Indeed, the last publicly available version -dated 18 December 2023- of the draft Convention only refers to ‘principles’ and not to specific rights[8], even those already existing in the framework of the Council of Europe and beyond. In the context of AI, though, one could have hoped the recognition of certain rights, as the right to human oversight and the right to explanation for AI based decisions.

Such a choice has been criticized by the civil society‘s representatives. In a public statement of the 4th of July 2023, they recalled that ‘while including general common principles for AI regulation as indicated in the CAI Terms of Reference, the Convention should respect the rights established by other Conventions and not reformulate them as mere principles[9].

Unfortunately, the Convention, at least in the version of the 18th of December 2023, does not even expressly include the right to privacy and the right to the protection of personal data. Yet, if data are, as the Chair himself referred to, ‘the oil of the XX1st century’[10], the need to protect our rights in this area is critical.

If one compares the successive versions of the Convention which are publicly accessible, from the zero draft[11], to the version of the 18th of December, one can only deplore the constant watering down of its content. What about ‘prohibited artificial intelligence practices’ referred to in Article 14 of the zero draft? What about the definitions, which included in the zero draft the notion of ‘artificial intelligence subject’, defined as ‘any natural or legal person whose human rights and fundamental freedoms, legal rights or interests are impacted by decisions made or substantially informed by the application use  of an artificial intelligence system’? What about a clear presentation of the risk-based approach, with a differentiation of measures to be applied in respect of artificial intelligence systems posing significant and unacceptable levels of risk (see articles 12 and 13 of the zero draft)?

Moreover, in the version of the 18th of December 2023, a number of obligations in principle imposed on Parties might become simple obligations of means, since the possible -or already accepted- wording would be that each party should ‘seek to ensure’ that adequate measures are in place. It is in particular the case in the article dedicated to the ‘integrity of democratic processes and respect for rule of law’, as well as in the article on ‘accountability and responsibility’ and even in the article on procedural safeguards, when persons are interacting with an artificial intelligence system without knowing it.

According to an article published in Euractiv on 31 Jan 2024 and updated on 15 Feb 2024, even the version of the 18th of December 2023 seems to have been watered down: ‘Entire provisions, such as protecting health and the environment, measures promoting trust in AI systems, and the requirement to provide human oversight for AI-driven decisions affecting people’s human rights, have been scrapped’[12].

3- The worse to come?

One crucial element of the Convention still needs to be discussed: its scope. Since the beginning of the negotiations, the USA and Canada, but also Japan and Israel, none of them members of the Council of Europe, have clearly indicated their wish to limit the scope of the instrument to activities within the lifecycle of artificial intelligence systems only undertaken by public authorities[13]. Moreover, national security and defence should also be out of the scope of the convention.  The version of the 18th of December includes several wordings regarding the exemption of national security, which reflect different levels of exemption.

The issue of the scope has lead the representatives of the civil society to draft an open letter[14], signed by an impressive number of organisations calling on the EU and the State Parties negotiating the text of the Convention to equally cover the public and private sectors and to unequivocally reject blanket exemptions regarding national security and defence.

Today no one knows what the result of the last round of negotiations will be: it seems that the EU is determined to maintain its position in favour of the inclusion of the private sector in the scope of the Convention, while the Americans and Canadians might use the signature of the Convention as blackmail to ensure the exclusion of the private sector.

4- Who gains?

From the Council of Europe perspective, which is an organisation founded on the values of human rights, democracy and the rule of law. the first question that comes to mind is what are the expected results of the ongoing negotiations. Can the obsession to see the Americans sign the Convention justify such a weakened text, even with the private sector in its scope? What would be the gain for the Council of Europe and its member States, to accept a Convention which looks like a simple Declaration, not very far in fact from the Organisation for Economic Co-operation and Development’s Principles on AI[15]?

At this stage, it seems that neither the Americans nor the Canadians are ready to sign the Convention with the inclusion of the private sector, even if an opt-out clause were inserted in the text. The gamble of the Chair and the Secretariat to keep these two observer States on board at the price of excessive compromises might be lost at the end of the day. One should not forget that these States do not have voting rights in the Committee of Ministers.

The second question that comes to mind is why the Chair and the Secretariat of the CAI and, above them, those who lead the Council of Europe have made such a choice. Does it have a link with internal decisions to be taken in the next future, as regards the post of the General Secretary of the organisation, as well as the post of the Director General of Human Rights and Rule of Law? Does the nationality of the Chair have a role to play in this game? In any case, the future Convention might look like an empty shell, which might have more adverse effects than it seems prima facie, by legitimizing practices around the world which would be considered incompatible with the European standards.

NOTES


[1] See in particular ‘The Council of Europe’s road towards an AI Convention: taking stock’ by Peggy Valcke and Victoria Hendrickx, 9 February 2023: ‘Whereas the AI Act focuses on the digital single market and does not create new rights for individuals, the Convention might fill these gaps by being the first legally binding treaty on AI that focuses on democracy, human rights and the rule of law’. https://www.law.kuleuven.be/citip/blog/the-council-of-europes-road-towards-an-ai-convention-taking-stock/

[2] https://www.euractiv.com/section/digital/news/us-obtains-exclusion-of-ngos-from-drafting-ai-treaty/

[3] same article

[4] https://rm.coe.int/cai-2023-03-list-of-decisions/1680a9cc4f

[5] https://ecnl.org/sites/default/files/2023-07/CSO-COE-Statement_07042023_Website.pdf

[6] https://rm.coe.int/terms-of-reference-of-the-committee-on-artificial-intelligence-cai-/1680ade00f

[7] https://www.politico.eu/newsletter/digital-bridge/one-treaty-to-rule-ai-global-politico-transatlantic-data-deal/

[8] with the exception of ‘rights of persons with disabilities and of children’ in Article 18

[9] https://ecnl.org/sites/default/files/2023-07/CSO-COE-Statement_07042023_Website.pdf

[10] https://www.linkedin.com/pulse/data-oil-21st-century-ai-systems-engines-digital-thomas-schneider/

[11] https://www.statewatch.org/news/2023/january/council-of-europe-convention-on-artificial-intelligence-zero-draft-and-member-state-submissions/

[12] https://www.euractiv.com/section/artificial-intelligence/news/tug-of-war-continues-on-international-ai-treaty-as-text-gets-softened-further/

[13] same article

[14] https://docs.google.com/document/d/19pwQg0r7g5Dm6_OlRvTAgBPGXaufZrNW/edit

[15] https://legalinstruments.oecd.org/en/instruments/OECD-LEGAL-0449

The new proposal on the security of EU informations: transforming the EU “Bubble” in an EU “Fortress” ? (3)

3. How the INFOSEC proposal builds a wider, but still incomplete, legal framework for EU Classified informations (EUCI)

 “The core of the proposed Regulation on the security of EU information (hereafter the INFOSEC proposal) concerns the creation and management of EU classified information (EUCI). In doing so, it substantially modifies Article 9 of Regulation 1049/2001, which deals with public access (or not) to so-called “sensitive documents”.

According to that article:

“Sensitive documents are documents originating from the institutions or the agencies established by them, from Member States, third countries or International Organizations, classified as ‘TRÈS SECRET/TOP SECRET’, ‘SECRET’ or ‘CONFIDENTIEL’ in accordance with the rules of the institution concerned, which protect essential interests of the European Union or of one or more of its Member States in the areas covered by Article 4(1)(a), notably public security, defense and military matters.”

Paragraph 3 of the same article also makes clear that: “Sensitive documents shall be recorded in the register or released only with the consent of the originator.”

Paragraph 7 says: “The Commission and the Council shall inform the European Parliament regarding sensitive documents in accordance with arrangements agreed between the institutions.”

It should be noted that Article 9 of Regulation 1049/2001 was a “fast and dirty” solution for a problem which arose in July 2000: Javier Solana, newly appointed Secretary General of the Council, negotiated with the new NATO Secretary General, Mr Robertson, an administrative arrangement with NATO on the exchange of classified information with the Council of the EU. However, that arrangement was challenged before the Court by the European Parliament (EP) and the Dutch government, because they considered that it limited a citizen’s fundamental right of access to documents, and exceptions to such fundamental right should have been framed by law.

At the time, the negotiation of Regulation 1049/01 was under the pressure of a deadline established in the Treaty. The reference to “sensitive” documents was added at the end of the legislative procedure and, because of this, the EP and the Dutch government withdrew their case before the Court.

Unfortunately, it was a Pyrrhic victory – it soon became clear that Article 9 of Regulation 1049/2001 was (and still is) a rather elusive and patchy framework for EU classified information.

A number of points can be made in this regard:

a) It does not regulate how the information should be classified and declassified in the interests of the EU, as opposed to the interests of the originator (whether that be a member State, EU institution, agency or body). Quite the contrary – by transferring the definition of these aspects to the internal security of each institution it paved the way to different standards and the very well-known risk of over classification.

b) It foresees a very weak framework for parliamentary oversight. By making reference to interinstitutional agreements and not codifying in secondary law the EP’s constitutional right to oversee classified information, it places the institution in an ancillary position. It is unfortunate that the EP has not fought until now to obtain treatment comparable to the one reserved for national parliaments with regard to their governments.

The solutions may be different, and special procedures and perhaps even special parliamentary bodies may be needed, but a stronger EP role is more than necessary because this lack of oversight will not be covered at national level – governments will declare that they are barred from revealing the information because it is classified at “European” level! Moreover, the instrument of an “interinstitutional agreement/arrangement” as currently foreseen by Article 295 of the Lisbon Treaty has strong constitutional limitations. As the Council Legal Service itself recognized in 2018: “The wording of the provision (NDR art.295 TFEU), and notably the use of the term ‘arrangements’, points to the fact that IIAs are instruments for regulating the modalities of cooperation and not for the regulation of substantive policy areas.”

It is thus quite surprising that, since the first Interinstitutional Agreement in 2002, the European Parliament has not asked for a sturdier legal basis for its oversight power.

With the adoption of the INFOSEC Regulation the situation will become even worse, because the EP will be obliged to negotiate interinstitutional agreements with all the other EU institutions, agencies and bodies if access to classified information is necessary for fulfilling its own constitutional role. From the outside, 21 years after the first interinstitutional agreement, the fact that the EP is still negotiating the revision of the 2002 interinstitutional agreement on access to classified information in the Common Security and Defence Policy (CSDP) area instead of creating a true legislative legal basis for its oversight may look to some like a form of Stockholm syndrome. To exit from such an impasse would not be wise for the European Parliament to study the more suitable model by looking at the experience of the major EU Member States and, even of the USA ?

c) Article 9 recognises, albeit only in the domain of “sensitive” documents and information, the so-called “originator privilege” or “author rule.” This is an exception to the general philosophy of Regulation 1049/2001, as made clear in Article 4(5):

“A Member State may request the institution not to disclose a document originating from that Member State without its prior agreement.” The point was, and still is, that the EU institutions may only by bound by law and not by the will of an “author”, even if it were an EU member state, a point confirmed in the jurisprudence of the Court of Justice of the EU

What the INFOSEC proposal does is to transform the exception of the “originator principle” in a rule. But, by recognizing to each EU Institution, Agency and Body the power of classify information in the interest of the EU it does not establish a mechanism which may verify that the EU interest is adequately by the classification or if it has been abusively established. For instance, an oversight power may be recognized to the European Commission or to the Ombudsman to decide if a document/information created by the EU Agencies should be declassified.

Clear rules on this point at INFOSEC level, may prevent from happening, other “incidents”, such as the one which occurred between Europol, the Ombudsman and the Commission, in 2015  when the Ombudsman asked to inspect the report of Europol’s Joint Supervisory Body (JSB) on the implementation of the EU-US Terrorist Finance Tracking Programme Agreement ( see  https://www.ombudsman.europa.eu/fr/case/en/42114 )

d) It does not foresee a judicial oversight of classified information. Today it is still up to the originator to decide whether or not to give the Court of Justice access to classified information. This is not a rhetorical question: it has already happened that the Council did’nt answer positively to a Court of Justice request of having access to classified informations.  As Deirdre Curtin remind us in her essay Top Secret Europe: “…in the OMPI case (*) on the blacklisting of terrorists by the UN and within the EU context, the Court said clearly that the Council could not base its decision on information that is not revealed to the Court.” ( Case T-248/08, People’s Mojahedin Organization of Iran v Council (OMPI III) para 73). It is worth recalling that in some Countries such as the USA

e) It does not solve the problem of sharing of “sensitive information” between entities which have a legitimate “need to know.” Instead, as Article 9 is focused on the security of each author of “sensitive information” and does not refer to common legislative standards, this has been done until now by the Council. This institution remains the main creator and exchanger of classified information, and has imposed via bilateral agreements with all the other EU institutions, agencies and bodies its internal security rules which, in turn, mirror the NATO standards. It is because of the legal fragility of this “de facto harmonisation” that the Commission has decided to launch a legislative initiative establishing at secondary law level the principles which should be respected in this domain inside the EU.

However, the solution envisaged in the INFOSEC proposal still does not address the main weaknesses of Article9 of Regulation 1049/2001 nor the weaknesses of the Council Internal Security Rules which are proposed to become the common EU standard. . In fact, in some cases it makes the situation even worse.

A useful example can be seen in the EU security agreements with third countries and international organizations on the exchange of classified information foreseen by articles 55-68 of the INFOSEC proposal.

The proposal requires, as a rule, that these agreements be negotiated and concluded according to Article 218 of the Lisbon Treaty, which will finally give the possibility for the EP to give its consent and to be fully and timely informed of the agreements’ content. But INFOSEC foresees also the possibility of continuing with “executive” arrangements which can be negotiated not only by the Council but also by other EU Institutions, agencies and bodies without associating the EP.  That exclusion of the EP has been , unfortunately, until now the case and dozens of international agreements have been negotiated by the Council using Article 13 of its internal security rules as a legal basis.

Now, if the INFOSEC proposal is adopted not only the Council but also all the other EU Institutions Agencies and bodies will have a legal basis for negotiating and concluding these executive “arrangements”. It would be wise to make clear in the INFOSEC proposal that the arrangements shall foresee that, because of the EU’s constitutional framework, no veto can be exercised over the transmission of classified information to the EP and to the CJEU.

4. Summing up: by endorsing the INFOSEC legislative proposal is the EP shooting on its Foot ?

The new proposal on the security of EU informations: transforming the EU “Bubble” in an EU “Fortress” ? (2)

Notwithstanding all the shortcomings of the Commission’s legislative proposal, the challenge for the European Parliament (EP) and for the Council is now to bring some order to the information management inside the EU. This is particularly important given that the EU’s digital agenda provides the opportunity, as part of an increasingly-integrated public administration, to establish a virtual common working space, to categorise information to be shared, to establish different level of access and diffusion with the external world, within the EU institutions or to be exchanged with the member states.

However, to do so by respecting the principles of transparency, proportionality, efficiency and accountability requires the EP and the Council to share the same political vision. Notwithstanding the repeated public mantra invoking a more democratic and transparent EU, there is no way this requirement can be taken for granted. Suffice to recall that 23 years after the Regulation on access to documents came into force the Parliament, Council and Commission have not yet been able (or willing?) to establish a common platform displaying day by day the EU legislative process, and this is clearly not solely due to technical reasons.

The problem being political more than technical it should now be seen if the EP and the Council could find an interinstitutional agreement on such a complex issue in the next six months, given the political pressure of the end of the legislature. The Commission may have authored the proposal but, as co-legislators, the EP and Council bear all responsibility for its final content before EU citizens and before the Court of Justice.

This EP-Council legislative co-responsibility has been clearly framed at primary law level by the Treaty on European Union, according to which “The European Parliament shall, jointly with the Council, exercise legislative and budgetary functions,” (Article 14(1)) and: “The Council shall, jointly with the European Parliament, exercise legislative and budgetary functions” (Article 16(1)).

Revising and strengthening the Regulation on access to documents

The first issue on the agenda in negotiations on the security of information proposal should be how to strengthen, at the highest level, the aspects dealing with transparency and open administration, bearing in mind the different legislative “cultures” of the EP and the Council. This could be done by amending explicitly, and publicly, the Regulation on access to documents that the Commission is proposing to revise by stealth, through the information security proposal.

The first thing to do is to add to the legislative proposal a complementary legal basis of Article 15 TFEU, according to which the EP and the Council shall define “General principles and limits on grounds of public or private interest” governing the right of access to EU documents. Thereafter articles. 4, 9 and 12 of that Regulation should be amended by taking in account (at last!) the new constitutional situation arising from the entry into force of the Lisbon treaty and of the relevant CJEU jurisprudence in this domain.

The first set of amendments should enforce at secondary law level the fundamental notion of legislative transparency and its impact on legislative preparatory documents and debates.

It is worth recalling that the principle of legislative transparency (which is ignored by the information security proposal), has, since Lisbon, been imposed at primary law level by Article 15(2) TFEU, according to which: “The European Parliament shall meet in public, as shall the Council when considering and voting on a draft legislative act.” Regardless of the different legislative “culture” of the Council, the authors of the Lisbon Treaty also imposed specific obligations of legislative transparency even at the level of the definition of its meeting agendas with (Article 16(8) of the TEU).

With all these provisions, the EU legislative function becomes inherently intertwined with the obligation of transparency (as it should be in a democratic entity). This is consistent with the choice of the authors of the Lisbon Treaty, of modelling the EU legal order upon the constitutional principle of the separation of powers, adding to the administration and the judiciary (provided for by the previous rules in Article 17 and Article 19 TEU) the EU legislative power (Articles 14 and 16 TEU). Thus, the legislative function has become an institutional, democratic and autonomous prerogative of the European Union, directly governed by several principles and rules of EU primary law. Under this constitutional framework, being transparent when acting as legislator has become a self-standing obligation upon the institutions, the scope of which does not depend on the aleatory condition of whether or not an individual has requested access to a legislative preparatory document.

In a way, since Lisbon, the institutions’ obligation to be transparent when acting as co-legislator is a different, even if parallel, regime to the pre-Lisbon access to documents regime. Moreover, if legislative preparatory documents are already public, why should citizens ask for them?

The idea that legislative procedures should be more transparent than non-legislative procedures was already present in the 2001 access to documents Regulation, thanks to specific EP amendments to the original Commission proposal. But, at the time, the very notion of legislative activity was substantially different from the one framed by the Lisbon Treaty. Transposing into secondary law the principle of legislative transparency as required by Article 15(2) TFEU is a long overdue obligation.

This can be easily done through two simple amendments to the Regulation on access to documents.

The first should change title of Article 4, which should become “Exceptions applicable to non-legislative documents.” It is worth recalling that in December 2011 the European Parliament voted, as co-legislator, for just such an amendment. This would have strengthened the principle of legislative transparency, but the EP amendment was not taken on board by the Council. Twelve years later and some months before the European elections it would be timely to convince the Council to stick to its obligation of legislative transparency

The second should amend Article 12(2) so that it reads: “2. In particular, legislative preparatory documents shall be made directly accessible.” This amendment is consistent with the previous one. There should no longer be any reference to Article 4 exceptions, nor to Article 9 on classified information – this has a special regime, as is discussed below.

Strengthening the efficiency of the non-legislative decision making process by amending the text of art.4 of Regulation 1049/01  

The non-legislative decision making process is dealt with in recital 11 and Article 4 of the access to documents Regulation and it already foresees several general exceptions to protect the internal debates in a given institution, agency or body in cases where a document’s disclosure would undermine the protection of one of the protected interests.

Since the adoption of Regulation 1049/01 the Court of justice has already framed more strictly the conditions under which these exceptions should be interpreted.

To quote a recent judgement of CJEU (points 67-70 of Ruling T-163/21, emphasis added) :

“..Since such exceptions derogate from the principle that the public should have the widest possible access to the documents, they must be interpreted and applied strictly… Where an EU institution, body, office or agency to which a request for access to a document has been made decides to refuse to grant that request on the basis of one of the exceptions laid down in Article 4 of Regulation No 1049/2001, it must, in principle, explain how access to that document could specifically and actually undermine the interest protected by that exception, and the risk of that undermining must be reasonably foreseeable and not purely hypothetical

According to the case-law, the decision-making process is ‘seriously’ undermined, within the meaning of the first subparagraph of Article 4(3) of Regulation No 1049/2001 where, inter alia, the disclosure of the documents in question has a substantial impact on the decision-making process. The assessment of that serious nature depends on all of the circumstances of the case including, inter alia, the negative effects on the decision-making process relied on by the institution as regards disclosure of the documents in question…”

The simplest solution would be to stick to the CJEU jurisprudence and amend Article 4 as follows (the proposed amendments are in bold):

Article 4 Exceptions applicable to non-legislative documents

1. The institutions shall refuse access to a document where disclosure would undermine the protection of:

(a) the public interest as regards:

– public security,
– defence and military matters,
– international relations,
– the financial, monetary or economic policy of the Community or a Member State;

(b) privacy and the integrity of the individual, in particular in accordance with Community legislation regarding the protection of personal data.

2. The institutions shall refuse access to a document where disclosure would undermine the protection of:

– commercial interests of a natural or legal person, including intellectual property,
– court proceedings and legal advice,
– the purpose of inspections, investigations and audits,

unless there is an overriding public interest in disclosure.

The EU Institution, Agency or body must, in principle, explain how access to a requested document could specifically and actually undermine the interest protected by the exception at stake, and the risk of that undermining must be reasonably foreseeable and not purely hypothetical.

3. Access to a document, drawn up by an institution for internal use or received by an institution, which relates to a matter where the decision has not been taken by the institution, shall be refused if disclosure of the document would seriously undermine the institution’s decision-making process, unless there is an overriding public interest in disclosure.

4. Access to a document containing opinions for internal use as part of deliberations and preliminary consultations within the institution concerned shall be refused even after the decision has been taken if disclosure of the document would seriously undermine the institution’s decision-making process, unless there is an overriding public interest in disclosure.

The decision-making process is ‘seriously’ undermined, within the meaning of the first subparagraph of Article 4(3) of Regulation No 1049/2001 where, inter alia, the disclosure of the documents in question has a substantial impact on the decision-making process. The assessment of that serious nature depends on all of the circumstances of the case including, inter alia, the negative effects on the decision-making process relied on by the institution as regards disclosure of the documents in question.

4. As regards third-party documents, the institution shall consult the third party with a view to assessing whether an exception in paragraph 1 or 2 is applicable, unless it is clear that the document shall or shall not be disclosed.

5. A Member State may request the institution not to disclose a document originating from that Member State without its prior agreement.

6. If only parts of the requested document are covered by any of the exceptions, the remaining parts of the document shall be released.

7. The exceptions as laid down in paragraphs 1 to 3 shall only apply for the period during which protection is justified on the basis of the content of the document. The exceptions may apply for a maximum period of 30 years. In the case of documents covered by the exceptions relating to privacy or commercial interests and in the case of sensitive documents, the exceptions may, if necessary, continue to apply after this period.”

One fundamental aspect ignored in the Commission’s proposal is a minimal framework for implementing art.13.2 TEU according to which “The institutions shall practice mutual sincere cooperation.” at least in the most common and frequent cases of procedures associating several agencies or, even, EU institutions.

A sensible solution would be to define a first list of these procedures, describe in advance the possible workflow and, without prejudice to the “nuclear option” of launching judicial procedures before the CJEU in case of conflicts of interpretation or failure to act, to define a “mediation mechanism” preventing or solving the conflicts in a transparent and friendly way.

This issue should be further examined by the co-legislator. At first sight, in the case of EU Agencies the role of Mediator may be played by the European Commission and in the case of the EU institutions it may be the case of the EU Ombudsman.

In case of unsuccessful mediation the way to the CJEU will still be possible.

The new proposal on the security of EU informations: transforming the EU “Bubble” in an EU “Fortress” ? (1)

by Emilio DE CAPITANI

The Civil Liberties Committee (LIBE) of the European Parliament is currently working on a legislative proposal (2022/0084(COD)) dealing with information security in the institutions, bodies, offices and agencies of the Union. At first sight the 76 pages long text looks “technical”, but looking closer it is clear that it may have a huge impact, not only from an organizational point of view, but also in a more political perspective. If adopted as it stands it may even pave the way for the transformation of the “EU Bubble” in a sort of (Administrative) Fortress and substitute the principle of “Transparency by design” with the principle of “confidentiality by design”.

In principle the objective, as announced in the title of the proposal, is legitimate: granting a comparable level of protection in all the EU institutions, agencies and bodies, for information and documents, which, according to the law, should be protected. To do so a wide interinstitutional coordination group is proposed, as well as a network of security officials in all the EU entities and a securitized  informatic network (TEMPEST) is foreseen.

So far so good, and if the content of the proposal was limited to these organizational aspects it could, even, be an example of administrative cooperation which may be consistent with the chosen legal basis for this Regulation eg art.298 of the TFEU.

What is worrying is the fact that, in parallel with the definition of the physical security of EU information, this proposal on one side redefines the conditions of treatment, access and sharing of all kinds of information/document treated by the EU Institutions, Agencies and bodies and, on the other side does not frame adequately the conditions of interinstitutional / interagency cooperation.

On the first aspect the new proposal, unlike what is declared by the EU Commission, completely overlaps and modify Regulation 1049/01 on access to public documents but following a completely different logic. If the principle of Regulation 1049/01 is to frame the right to know of EU Citizens by granting that everything is public unless a specific exception is applicable, the logic of the new Commission proposal, which mirror the logic of the current Council internal security rules, is that almost all internal documents should be protected and shared only with people with a recognized “need to know” unless the document is marked as “public”.

By replacing the “right to know” foreseen at the Treaty with the a “need to know” mechanism the proposed Regulation turn upside down the EU transparency principle as defined by art.1 of  the TUE according to which “..decisions are taken as openly as possible and as closely as possible to the citizen” and by art.15.1 of the TFEU which states that “In order to promote good governance and ensure the participation of civil society, the Union’s institutions, bodies, offices and agencies shall conduct their work as openly as possible.” Last but not least the new proposed framework goes against the notion of openness echoed in art 298 TFEU which requires that the EU administration should not only be Independent and efficient but also “Open”. Recognizing, as the new proposal does, to each EU institution agency and body the possibility to “protect” its internal information/documents by invoking the very fuzzy notion of “harm” as described in the proposal (“to the legitimate public and private interests, measured as a combination of the likelihood of threats occurring and their impact”…) the new draft Regulation threatens in a fundamental way the right to access to legislative and non legislative information as required by art.15 of the TFEU and by Regulation 1049/01.

To put it short: with this new envisaged legal regime the Commission (by the endorsing at legislative level the Council internal security rules) is proposing to the EP to go back to the pre-Maastricht era when it was up to the EU institutions to decide if giving access to their internal documents. But since Amsterdam (with the art.255 of the TCE) and, even more, since Lisbon, this practice is no more compatible within an EU which is bound by the rule of law and where there should not be space for dark zones. It is therefore quite surprising that until now the EP has not proposed to the legislative proposal substantial amendments which may adequately preserve the Transparency principle in the EU institutional framework.  

On the second aspect this proposal is also failing short from implementing the principle of an independent and efficient administration as required by art.298 TFEU because by transforming each EU Institution agency and body in a sort of  sandbox it will make extremely difficult implementing the principle of sincere cooperation foreseen by art 13.2 of the TUE. In an European Union where in most cases interagency and interinstitutional cooperation is essential to achieve the missions foreseen by the Treaties it is highly problematic insisting on each EU entity independence without foreseeing by law mechanism of  a structured interinstitutional and interagency cooperation (outside the enhanced cooperation on protecting each other secrets).

Not providing legal procedures for arbitration and conflict prevention this proposal paves the way to a permanent  conflictual administrative framework. Referring to the fact that the Court of Justice may solve possible problems of interpretation of a badly designed legislation or solve potential cases of failure to act by all these EU entities is a very bad approach for a legislator which is deemed to be guided by the principle of granting legal certainty to EU Citizens and to the EU administration. Furthermore it is quite bizarre that the European Ombudsman has not been associated or consulted on the proposal at stake.

(to be continued)

National identity versus European identity: from the acquis communautaire to the European Union’s Rule of law

by Ezio PERILLO (former Judge of the EU General Court)

The acquis is the EU identity, but not only

No longer in fashion, the principle of the acquis communautaire is still an essential part of the Union’s legal order. It encompasses the entire EU legal legacy on which this order has been formed since its creation, including the judgments of the Court. The acquis contains, above all, the five cardinal principles of the European legal order, those ruled by the Van Gend & Loos and Costa/Enel famous judgments. The autonomy, the direct effect and primacy of its law, its uniform interpretation and, finally, its direct and effective judicial protection.  It was ahead of its time in the ’60!

This arsenal of European principles, rules and jurisprudence, constitutes, nowadays, the very identity of the European Union.

Already provided by Article 3 of the Treaty of Amsterdam (1999), the acquis is at present inserted, although no longer with its concise French formula, in Article 13 TEU, which states: “the Union shall have an institutional framework which shall aim to promote its values, advance its objectives, serve its interests, those of its citizens and those of the Member States, and ensure the consistency, effectiveness and continuity of its policies and actions“.  These same obligations are also incumbent on the Member States.  Article 2 of the last act of accession to the European Union, the Croatian one (2013), provides, along the same lines as the previous ones, that “from the date of accession, the provisions of the original Treaties and of the acts adopted by the institutions before accession [including the judgments of the Court of Justice] shall be binding on Croatia and shall apply in that State to the conditions laid down in those Treaties and in this Act”.

Therefore, in order to join and then legitimately stay in the Union, every Member State, old or new, must accept and comply with the binding nature of the acquis.

The acquis is also part of each Member State’s identity

Since its accession to the Union, each Member State has changed, treaty after treaty, its own legal profile, i.e. its constitutional identity, having unanimously assumed, in their legal order, the Treaties provisions, the principles and rules of the acquis communautaire.  Let’s consider, for instance, that national citizens are also, by law, European citizens. It follows that the national identity of each Member State is, nowadays, not only that inherent to their constitutional and political structures (see Art.4 TEU), but also, to a large extent, that deriving from their European affiliation.

Ultimately, the acquis communautaire constitutes, on the one hand, the identity of the European Union, and also, on the other hand, the identity of each Member State, although only in part.  After Lisbon, however, this famous French formula has disappeared from the Treaties provisions, even if it remains in those of the EU accession acts. I propose therefore to rename it here as the “European Rule of law” (or the “Rule of law of the European Union”).[1]

The European Rule of law

The reason of this name is quite simple. L’État de droit, das Rechtsstaat and the Rule of law, even if they are notions not exactly similar to one another, all refer to a national State dimension and not to a supranational or international dimension. Their main objectives are to guide every public authority towards a constitutional and correct exercise of their prerogatives and to prevent them from arbitrarily acting in the name of an alleged “sovereign” legal status.

Thus, when in a legal order, such as that of the European Union, its institutions have been charged, by the Masters of the Treaties, to “serve its interests, those of its citizens and those of the Member States”, this legal system must also have its own Rule of law, like any other legal order. In this perspective, what would have been called the acquis communautaire in the past, has now become the European Rule of law.

A principle or a value?

In a supranational order such as the European one, the values referred to in Article 2 TEU are not values belonging to the Union since its origin, simply because they have been “attributed” thereto, as a legal heritage, by the Masters of the Treaties.

Indeed, for the founding States of the Union, these values are irreplaceable, legal assets and guarantees too, strenuously acquired by their citizens through several, terrible wars. Values that are, today, solemnly engraved in their Constitutions or Fundamental Laws, also in those of the others Member States which joined the Union later. For these and other reasons, the Masters of the Treaties wanted the Union to be also founded on these values[2], which its institutions, like the national ones, must accept and promote (see Article 13 TEU, cited above).

That said, these universal values are not, legally speaking, the same thing as the principles of EU law, although the Masters of the Treaties use them without distinction, sometimes as values sometimes as principles (see, for instance, the second and forth whereas of the Preamble to the Treaties, or Article 21 TUE where it is stated that “ the Union’s action on the international scene shall be guided by the principles which have inspired its own creation, development and enlargement and which it seeks to advance in the wider world: democracy, the rule of law, the universality and indivisibility of human rights …” ).

By the way, according to the first whereas of the preamble to the EU Charter, the Union is, on the one hand, “founded on the indivisible, universal values of human dignity, freedom, equality and solidarity”, and is, on the other, “based on the principles of democracy and the rule of law”.

Therefore, values do found orders because they are fundamental legal assets that are not available to any public power, be it royal, republican, federal or European. Legal principles, instead, do ensure a legal basis to these orders, as they guide the public institutions’ actions and protect the citizens from any kind of arbitrary use of the State’s prerogatives.

But, above all, the difference between values and principles resides in how to legally control their compliance. As provided for in Article 7 TEU, breaches of the values referred to in Article 2 TEU can be determined only by the European Council, and the Council may, consequently, suspend certain of the European rights of the State concerned, including its voting rights. Therefore, the Court of Justice has no jurisdiction to review, on the merits, the legality of these decisions. Indeed, pursuant to Article 269 TFEU, the Court, in these cases, has jurisdiction solely to the extent that it shall check compliance with the procedural requirements provided for by the aforementioned Article 7 TFEU.  Ultimately, in the EU legal order, control over compliance with the founding values of the Union is a political prerogative, while supervising compliance with the EU legal principles is, needless to say, a jurisdictional remit.

Thus, in this legal frame, the ‘European Rule of law’ is, like its prior acquis communautaire, a binding principle of EU law, also for the Member States, and it is up to the Court of Justice to ensure its due and full legal control.  

National identity versus European identity: quid juris?

In its judgment of 22 February 2022, C-430/21 (Court of Appeal of Craiova, Rumania) the Court of justice ruled that if a Constitutional Court considers that an EU provision infringes its country’s national identity, it must stay the proceedings and make a preliminary reference to the Court of justice. Indeed, also in relation to article 4, §2, TUE, this Court has exclusive jurisdiction to declare an EU act invalid for non-compliance with one’s national identity. An EU act, by the way, that should be declared invalid only in the Member State concerned, in a sort of limited EU invalidity.

Still, in a National versus European identity case, the Court of Justice should be bound – I guess – by the description given by the referring Constitutional court as to the national identity at stake. The margins of appreciation become here very narrow.

Let’s then consider a different approach: in such cases, which of the two respective obligations comes first? Requiring the Union to comply with national identity or imposing to the country concerned to adhere to the EU’s identity?  

Well, could one argue that in order to claim the infringement of its own national identity, the country involved should first prove that it has fully respected EU’s identity, i.e. the European Rule of law, which has obviously priority over national law, i.e. over its internal Rule of law?  And if this is the case, shouldn’t the national jurisdiction, ruling on the dispute, disapply the internal provisions conflicting with the European Rule of law?

The answer? The answer is not blowing in the wind and can be given by the Court.

NOTES


[1] In similar terms, see, Olivier Audéoud, “ L’acquis communautaire, du mythe à la pratique, in, Revue d’études comparatives Est-Ouest, 2002, n. 33-3,  pp. 67-77.

[2] Article 2 TEU so provides. “The Union is founded on the values of respect for human dignity, freedom, democracy, equality, the rule of law and respect for human rights… These values are common to the Member States in a society in which pluralism, non-discrimination, tolerance, justice, solidarity and equality between women and men prevail”.

(EU LAW ANALYSIS) Temporary Protection for Ukrainians in the EU? Q and A

Professor Steve Peers, University of Essex

*updated March 2 2022 to include the Commission proposal for use of the temporary protection Directive, and guidance for applying EU external borders law.  

Among the many big developments over the last few days in response to the Russian invasion of Ukraine, there was an important potential asylum law measure – the possible use of the EU’s temporary protection Directive, a legal framework for mass influxes of people needing protection dating back to 2001 but never used.

According to the EU Council, there was ‘broad support’ for this idea among EU home affairs ministers meeting informally on February 27, and the Commission will propose doing so ‘without delay’. The Commission duly made this proposal on March 2. (I’ll update this blog post again when and if the Council adopts it). What does this mean for the hundreds of thousands – if not millions – of people now fleeing the invasion of Ukraine?

Which Member States does it apply to?

EU asylum law in principle applies to all Member States, except for the UK, Ireland and Denmark, which had an opt out from the Directive. The UK chose to opt in – although obviously this is now moot in light of Brexit. Ireland initially opted out, then opted in to the Directive in 2003. Denmark remains outside the scope of the Directive.

The parallel guidance on applying EU external borders law applies to all Member States except Ireland (because the other EU Member States that do not apply Schengen fully apply EU external borders rules in the meantime), and Schengen associates (Norway, Iceland, Switzerland and Liechtenstein). 

Note that EU Member States waived short-term visa requirements for Ukrainians back in 2017 already. This law applies to all Member States (and Schengen associates) except Ireland; and Ireland has recently waived short-term visa requirements for Ukrainians unilaterally.

Who is covered by temporary protection?

The Directive applies to a ‘mass influx’ of ‘displaced persons’. A ‘mass influx’ is defined as:

…arrival in the [EU] of a large number of displaced persons, who come from a specific country or geographical area, whether their arrival in the [EU] was spontaneous or aided, for example through an evacuation programme;

‘Displaced persons’ are defined as:

…third-country nationals or stateless persons who have had to leave their country or region of origin, or have been evacuated, in particular in response to an appeal by international organisations, and are unable to return in safe and durable conditions because of the situation prevailing in that country, who may fall within the scope of Article 1A of the Geneva Convention or other international or national instruments giving international protection, in particular:

(i) persons who have fled areas of armed conflict or endemic violence;

(ii) persons at serious risk of, or who have been the victims of, systematic or generalised violations of their human rights;

‘Article 1A of the Geneva Convention’ refers to the definition of ‘refugee’ under the UN Refugee Convention – ie a well-founded fear of persecution on grounds of race, religion, political opinion, nationality or particular social group – although note that the Directive does not necessarily apply only to those who fall within that refugee definition (‘who may fall within’). Those fleeing Ukraine can point to the ‘armed conflict’ ground of the ‘displaced persons’ definition in this Directive – although note that the list of the two groups who are covered by the Directive is not exhaustive (‘in particular’), meaning that other groups of people might meet the definition too.

Note also that the Directive only applies to those leaving ‘their country or region of origin’. This ought to cover both Ukrainian citizens and non-Ukrainians who can argue that their ‘origin’ is in Ukraine (‘origin’ is not further defined). That scope is broader than the Refugee Convention, which applies where a person is: ‘outside the country of his [or her] nationality and is unable or, owing to such fear, is unwilling to avail himself [or herself] of the protection of that country’ (or, if stateless, of their country of habitual residence).

Conversely, this means that the Directive does not apply to those whose ‘origin’ is not Ukraine. This might mean that it is interpreted to exclude non-Ukrainian citizens who have moved to Ukraine in recent years. But many of them still need to flee the invasion – and hopefully their need to flee and immediate humanitarian requirements will be recognised even if they technically fall outside the scope of the Directive.  

The scope of the Commission proposal is ‘the following categories of persons displaced as of 24 February 2022 following the military invasion by Russian armed forces on that date:’ 

(a) Ukrainian nationals residing in Ukraine; 

(b) Third-country nationals or stateless persons residing legally in Ukraine and who are unable to return in safe and durable conditions to their country or region of origin; The requirement of inability to return in safe and durable conditions to their country or region of origin shall not apply to third-country nationals or stateless persons who have been legally residing on a long-term basis in Ukraine. 

(c) family members of the persons referred to in points (a) and (b), regardless of whether the family member could return in safe and durable conditions to his or her country or region of origin.

The proposal defines family members as, ‘in so far as the family already existed in Ukraine at the time of the circumstances surrounding the mass influx’: 

(a) the spouse of a person referred to in points (a) or (b) of paragraph 1 or their unmarried partner in a stable relationship, where the legislation or practice of the Member State concerned treats unmarried couples in a way comparable to married couples under its law relating to aliens; 

(b) the minor unmarried children of a person referred to in points (a) or (b) of paragraph 1 or of his or her spouse, without distinction as to whether they were born in or out wedlock or adopted; 

(c) other close relatives who lived together as part of the family unit at the time of the circumstances surrounding the mass influx, and who were wholly or mainly dependent on a person referred to in points (a) or (b) of paragraph 1 at the time. 

However, the guidance on applying external borders law applies to others fleeing the invasion too.  It suggests that the usual criteria for entry across the external borders could be waived for anyone fleeing the conflict, and states that: 

Member States should ensure that non-Ukrainian third country nationals, other than those covered by the scope of the Temporary Protection Directive or who have a right to stay in the Union on the basis of other grounds, transit to their countries of origin or usual residence after entry. So as to avoid situations of illegal stay, Member States are encouraged to provide – if needed – assistance for their repatriation or regularisation, as appropriate. The Frontex Standing Corps can be deployed to support these assisted departures.

How is temporary protection set up?

The Directive is just a framework for a possible temporary protection system. A temporary protection regime is not established automatically, but only after the Council (ie Member States’ home affairs ministers), acting by a qualified majority on a proposal from the Commission, agrees that there is a mass influx of displaced persons.

The Council Decision setting up temporary protection has to be based on:

(a) an examination of the situation and the scale of the movements of displaced persons;

(b) an assessment of the advisability of establishing temporary protection, taking into account the potential for emergency aid and action on the ground or the inadequacy of such measures;

(c) information received from the Member States, the Commission, UNHCR and other relevant international organisations.

The European Parliament must be informed of the decision, but does not have a vote beforehand.

The Council decision must specifythe groups of persons covered, although Member States can extend the regime to other groups displaced for the same reasons and from the same country or region of origin. But if they do so, the financial support provided for in the Directive will not apply to such groups.

Also, the Council decision must set out when temporary protection takes effect; ‘information received from Member States on their reception capacity’; and ‘information from the Commission, UNHCR and other relevant international organisations’.

How many people will it apply to?

The numbers covered by temporary protection are not necessarily unlimited. Member States must ‘indicate – in figures or in general terms – their capacity to receive’ displaced persons. The Council decision setting up temporary protection must set out these numbers. Later on Member States ‘may’ declare that they have more reception capacity. The Commission proposal does not include numbers.

If the numbers who are ‘eligible for temporary protection’ is higher than the numbers that Member States have said they can accept, ‘the Council shall, as a matter of urgency, examine the situation and take appropriate action, including recommending additional support for Member States affected’.

If the numbers are exceeded, then (implicitly) Ukrainians not covered by temporary protection can still make asylum applications – but one could imagine that in this scenario, Member States would struggle to manage the numbers concerned.

How long will it last?

The starting point is that temporary protection is one year long, although it can be terminated early if the Council (ie Member States’ home affairs ministers) decides to end it, on a qualified majority vote on a proposal from the Commission, if the Council has established that conditions in the country of origin have improved sufficiently so ‘as to permit the safe and durable return’ of the beneficiaries.

It is automatically extended for further periods of six months to a two-year maximum. A further extension for up to a third year is possible, again on a qualified majority vote on a proposal from the Commission.

What rights do people covered by temporary protection have?

Member States must issue residence permits for the duration of temporary protection. For those not yet on the territory, they must issue visas to ensure that they can enter. If a person remains on or seeks to enter the territory of another Member State without authorization during the temporary protection period, Member States must take them back. 

Member States must permit temporary protection beneficiaries to take up employment or self-employment, but they may give priority to EU citizens and EEA nationals, as well as legally resident third-country nationals receiving unemployment benefit. The ‘general law’ regarding remuneration, social security, and other conditions of employment in each Member State applies.

As for social welfare and housing, Member States must ‘ensure that persons enjoying temporary protection have access to suitable accommodation or, if necessary, receive the means to obtain housing’, and ‘shall make provision for persons enjoying temporary protection to receive necessary assistance in terms of social welfare and means of subsistence, if they do not have sufficient resources, as well as for medical care’ – which ‘shall include at least emergency care and essential treatment of illness’. There is also an obligation to ‘provide necessary medical or other assistance to persons enjoying temporary protection who have special needs, such as unaccompanied minors or persons who have undergone torture, rape or other serious forms of psychological, physical or sexual violence.’

For education, Member States must give ‘access to the education system under the same conditions as nationals of the host Member State’ for those under 18, but may confine this to the state education system. Admission of adults to the general education system is optional.

Member States have to authorize entry of family members, ‘in cases where families already existed in the country of origin and were separated due to circumstances surrounding the mass influx’. But this only applies to ‘core’ family members:

(a) the spouse of the sponsor or his/her unmarried partner in a stable relationship, where the legislation or practice of the Member State concerned treats unmarried couples in a way comparable to married couples under its law relating to aliens; the minor unmarried children of the sponsor or of his/her spouse, without distinction as to whether they were born in or out of wedlock or adopted;

Admission of a broader group of family members is only optional, ‘taking into account on a case by case basis the extreme hardship which they would face if the reunification did not take place’:

(b) other close relatives who lived together as part of the family unit at the time of the events leading to the mass influx, and who were wholly or mainly dependent on the sponsor at the time.

Note that the Directive clarifies that Member States may adopt more favourable rules for persons covered by temporary protection.

Finally, there is a right to ‘mount a legal challenge’ to exclusion from temporary protection or family reunion. CJEU case law on other EU migration law makes clear that this means access to the courts. 

How does temporary protection relate to asylum applications?

Temporary protection ‘shall not prejudge’ refugee recognition under the Refugee Convention. It will be possible to apply for asylum ‘at any time’.* Any asylum application not processed by the end of the temporary protection period has to be processed afterwards.

Moreover, Member States can deter applications for asylum by providing that a person cannot hold temporary protection status simultaneously with the status of asylum-seeker (the reason that this would deter applications is that asylum-seekers usually have fewer rights than temporary protection beneficiaries would have). But if an application for asylum or other protection status fails, a Member State must continue to extend temporary protection status to the beneficiary.

Member States may exclude a person from the benefit of temporary protection on grounds identical to the Refugee Convention exclusion clauses (ie war crimes/crimes against humanity, serious non-political crimes, or acts against the principles and purposes of the UN), or the Refugee Convention clauses on exclusion from non-refoulement (ie ‘there are reasonable grounds for regarding him or her as a danger to the security of the host Member State or, having been convicted by a final judgment of a particularly serious crime, he or she is a danger to the community of the host Member State’). Exclusions ‘shall be based solely on the personal conduct of the person concerned’, and must be ‘based on the principle of proportionality’.

What happens once temporary protection expires?

Once the temporary protection regime ends, the ‘general laws’ on protection and on foreigners apply, ‘without prejudice’ to certain specific provisions in the Directive. Arguably the reference to the ‘general laws’ must now be understood as a reference not only to the relevant national legislation, but also to EU rules on asylum and the EU’s Returns Directive, which were adopted after the temporary protection Directive.

For those applying for asylum, that means that the definitions of refugee and subsidiary protection in the EU’s qualification Directive will apply, along with the procedural rules in the procedures Directive and the rules on the status of asylum seekers in the reception conditions directive. The EU’s Dublin rules will determine in which Member State an application is made, although the temporary protection Directive includes some (unclear) additional rules on that issue.  

It’s also possible that Ukrainians could obtain another form of legal status, under the national or EU laws on legal migration (EU law has partly harmonised national laws on this issue).

Those who do not obtain legal status via an immigration or asylum route will in principle have to leave. The specific rules in the temporary protection Directive concerning return first of all provide for rules on voluntary return. Many (but not all) Ukrainians would likely wish to return voluntarily anyway, if the situation improves; but it’s anyone’s guess if it will do.

There is an express possibility of enforced return of persons after the regime has ended, but such return must be ‘conducted with due respect for human dignity’, and Member States ‘shall consider any compelling humanitarian reasons which may make return impossible or unreasonable in specific cases’. They must also ‘take the necessary measures concerning’ residence status of former beneficiaries of temporary protection ‘who cannot, in view of their state of health, reasonably be expected to travel; where for example they would suffer serious negative effects if their treatment was interrupted’. Specifically, those persons ‘shall not be expelled so long as that situation continues.’ Finally on the issue of return, Member States have discretion over whether to let children complete their school year.

Comments

It remains to be seen if Member States agree to the Commission proposal to establish temporary protection, and if so what the details are – in particular, how many people are covered by it. When the Directive was adopted back in 2001, there was concern among asylum specialists that it might undercut the Refugee Convention, in particular providing a possibility for Member States to set up a system with a lower standard of protection instead of considering asylum applications.

In practice, the EU has since adopted two phases of asylum laws, and concern has turned to how they are applied in practice – in particular as regards pushbacks from the territory and collaboration with dubious non-EU countries like Libya, to keep asylum-seekers from reaching the EU. In contrast to this hostility, a temporary protection system may be welcome – although it would be in stark contrast with the often unpleasant and unjustifiable treatment of others fleeing war or persecution.

Photo credit: Leonhard Lenz, via Wikimedia Commons

*Corrected on Feb 28 2022 to drop the statement that ‘Member States may delay consideration of an application for Convention refugee status until the temporary protection has ended’. In fact the Directive does not explicitly provide for this as such – although as noted, if a Member State chooses not to permit the status of asylum seeker concurrently with that of temporary protection, in practice this is likely to deter asylum applications as long as temporary protection applies. 

(EP Research Service) The Commission’s Rule of Law Report and the EU Monitoring and Enforcement of art. 2 TEU Values.

by Prof. Laurent PECH; Senior Research Fellow, Petra BÁRD, Associate professor, Eötvös Loránd University, Faculty of Law; Researcher, CEU Department of Legal Studies and CEU Democracy Institute; Fernand Braudel Fellow, European University Institute

EXECUTIVE SUMMARY (LINK TO THE FULL REPORT)

Background

Rule of law backsliding represents a major, existential challenge for the EU as it structurally endangers the foundations of the EU as a Union based on the rule of law and fundamentally threatens the functioning of the EU’s interconnected legal order. To address the EU’s worsening rule of law crisis and more broadly, the unprecedented and spreading attempts by some national authorities to organise the systemic undermining of EU’s shared foundational values, the European Parliament proposed a new EU mechanism in 2016 to better monitor and enforce the values of democracy, the rule of law and fundamental rights (DRF mechanism).

Instead of embracing the European Parliament’s proposal, the Commission designed its own new annual European Rule of Law Mechanism. The European Rule of Law Mechanism provides an annual process for dialogue on the back of an Annual Rule of Law Report (ARoLR) which the Commission has presented as a new preventive tool. Launched for the first time in 2020, the ARoLR takes the form of twenty-seven country chapters and an umbrella report presenting an overview of the situation of the rule of law situation across the EU. To date, the ARoLR has focused on four “pillars”: (i) national justice systems; (ii) national anti-corruption frameworks; (iii) media pluralism; and (iv) other institutional checks and balances.

The Commission’s ARoLR differs in many respects from the European Parliament’s DRF proposal. Most importantly, the ARoLR foresees lesser involvement for other EU institutions and does not provide for any formal involvement of external experts. It is also narrower in the sense that its scope is more limited as it does not directly cover democracy and fundamental rights; does not (yet) include country specific recommendations and does not automatically lead to the adoption of specific Council conclusions and a Parliament resolution.

This study offers a critical assessment of the Commission’s ARoLR within the broader context of the EU’s DRF architecture, and formulates recommendations in order to address the ARoLR’s negative features identified by the present authors: the creation of false expectations; the use of euphemistic language; the lack of context and connected failure to see the wood for the trees; the denial of (autocratic) reality and resulting category errors; the emphasis on “dialogue no matter what”; and finally, the opportunity costs and possible displacement effect the ARoLR has had on enforcement. This is not to say that a number of positive features cannot be identified. The ARoLR can indeed be commended for offering a compelling definition of the rule of law; a clear outline of why the rule of law matters; a broadly suitable selection of relevant “pillars” and main sources of information; and increasing the political saliency of the rule of law.

Recommendations

This study’s main recommendations summarised below aim to remedy the ARoLR’s identified gaps and shortcomings in the short to medium term. On the long term, it is recommended that renewed consideration is given to

(i) the extension of the ARoLR’s scope so that all Article 2 TEU values are subject to annual monitoring given that these values must be viewed as interconnected, interdependent and mutually reinforcing;

(ii) the extensive involvement of an expert panel and

(iii) the adoption of automatic legal and/or financial actions when country specific recommendations (which the third edition of the ARoLR is expected to contain for the first time) are not fully and promptly addressed.

Considering the Commission’s continuing opposition to the adoption of a mechanism akin to the Parliament’s proposed DRF mechanism, this study has prioritised the elaboration of recommendations which can be actioned in the short to medium term with the view of improving the effectiveness of the ARoLR without fundamentally changing its current scope and structure.

Recommendations on methodology:

•        A better preparation and publication cycle should be organised and in particular, the same time window should be used each year so that planning can be done ahead of the timeline’s official publication in respect of the next edition of the ARoLR;

•        The Commission should promptly publish the input documents they receive from national governments so as to enable experts and civil society groups to fact check them as soon as possible;

•        The Commission should be mindful of deliberate attempts to deceive it by those engaged in the systemic dismantlement of checks and balances and their proxies, such as government-organised non-governmental organisations (GONGOs). In this respect, it is recommended that the Commission provides clearer details than currently regarding country visits and interviews; selection of stakeholders, information selection, as well as greater protection for government critiques, especially those based in countries subject to an ongoing Article 7 procedure;

•        The Commission should elaborate on the indicators taken into account for assessing the rule of law situation in each of the Member States and should aim to undertake a comprehensive assessment of the same elements based on the same indicators in all country chapters;

•        The Commission should seek to take better account of the data and findings from relevant indices such as the Worldwide Governance Indicators (WGI) project, the World Justice Project Rule of Law Index, or the Varieties of Democracy (V-DEM) project;

•        The involvement of an expert panel/network of external experts and/or the EU Fundamental Rights Agency should be considered if only at first to merely provide feedback to the Commission and help inter alia with methodological issues.

Recommendations on scope and structure:

•        As long as the ARoLR is not extended to cover other foundational values enshrined in Article 2 TEU, the Commission should at a minimum better link the ARoLR with the values of democracy and fundamental rights and connected EU action plans and other strategies, considering the interconnected and mutual reinforcing nature of Article 2 TEU values. Scrutiny over judicial independence for example could extend to the evaluation of fair trial rights, access to justice, equality before the law in national case law;

•        New civic space pillar: As long as the ARoLR does not fully encompass all the Article 2 TEU values, the Commission should also consider adopting a fifth pillar dedicated to monitoring national developments relating to civic space considering the crucial importance of civil society when it comes to maintaining and protecting a democratic and pluralist society as well as a proper functioning of public life;

•        New Article 7 section: The insertion of a new Article 7 TEU state of play section in the umbrella report is recommended so as to better highlight in a transversal way the evolution of the situation in the countries which have already been identified as being on an autocratisation pattern following the activation of one of the procedures laid down in Article 7 TEU;

•     New EU chapter: In addition to the country chapters, the publication of a new EU chapter is  recommended with the drafting of this report to be done either by the EU Fundamental Rights Agency and/or a new panel or network of academic experts.

Recommendations regarding effectiveness and follow up:

•        The ARoLR should better outline countries’ rule of law adherence over a sufficient long period of time and highlight cross-cutting trends at EU level. This could be done inter alia by taking into account and summarise key data and findings from relevant indices such as the Worldwide Governance Indicators (WGI) project, the World Justice Project Rule of Law Index, or the Varieties of Democracy (V-DEM) project;

•        In order to better identify threats and violations of the rule of law and make non-compliance with court judgments a recurrent, more salient and costly issue for relevant national authorities, in addition to the forthcoming new country specific recommendations, the ARoLR ought to include data and information regarding non-compliance (or bad faith implementation) with CJEU orders and judgments but also national and ECtHR orders and rulings which concern any issue relating to any of the ARoLR’s pillars;

•        To guarantee better follow up, the ARoLR (including the country-specific recommendations) should be more directly aligned with other rule of law tools and procedures, such as infringement procedures and the Rule of Law Conditionality Regulation 2020/2092, so that remedial action could be more swiftly, consistently and effectively organised in situations where national authorities ignore or violate relevant recommendations;

•        The adoption of urgent reports ought to be considered so as to allow for a prompt and formalised answer from the Commission in a situation where national rule of law related developments are indicative of a serious danger; if state action results in the violation of individual rights on a mass scale or if state action amounts to irreversible or systemic threat to or violation of the rule of law;

In addition to or alternatively to the suggested adoption of urgent reports, the Parliament should consider requesting the Commission to present a mid-year assessment of the state of compliance (or non-compliance) with the ARoLR’s country-specific recommendations, with the Commission to be also requested to specify how non-compliance will be dealt with.

(LINK TO THE FULL REPORT)

(EUROPEAN LAW BLOG) EU/US Adequacy Negotiations and the Redress Challenge: How to Create an Independent Authority with Effective Remedy Powers (2)

16 FEBRUARY 2022/ BY THEODORE CHRISTAKISKENNETH PROPP AND PETER SWIRE

Can the U.S. Government create, by non-statutory means, an independent redress authority capable of providing an effective remedy for a European person who believes that her or his rights have been infringed by an intelligence service? In this article we put forward a novel non-statutory solution that could resolve the “redress” problem in the EU/US adequacy negotiations. This solution is based on three “building blocks” inspired by methods utilized in U.S. administrative law. First, the U.S. Department of Justice should issue a binding regulation creating within that executive agency an independent “Foreign Intelligence Redress Authority” (FIRA). Second, the President should issue a separate Executive Order providing the necessary investigative powers and giving FIRA’s decisions binding effect across the intelligence agencies and other components of the U.S. government. Finally, European individuals could obtain judicial review of an independent redress decision by using the existing Administrative Procedure Act.

Our first article, published on January 31, concentrated on whether the U.S. Congress would necessarily have to enact a new statute in order to create an adequate redress mechanism. We examined political, practical, and U.S. constitutional difficulties in enacting such a statute. Based on careful attention to EU law, we concluded that relying on a non-statutory solution could be compatible with the “essential equivalence” requirements of Article 45 of the EU’s General Data Protection Regulation (GDPR), if the requisite substantive protections for redress were put into place.

This article examines, from both a U.S. and a European law perspective, measures that could address the substantive requirements, notably the deficiencies highlighted by the Court of Justice of the European Union (CJEU) in its Schrems II judgment: independence of the redress body; its ability to substantively review the requests; and its authority to issue decisions that are binding on the intelligence agencies. We discuss only the redress issues highlighted by the CJEU. We do not address here the other deficiency cited by the Court — whether U.S. surveillance statutes and procedures sufficiently incorporate principles of “necessity and proportionality” also required under EU law.

Part I of this article explains how the U.S. executive branch could create an independent administrative institution to review redress requests and complaints. The institution, which we call “FIRA”, would be similar in important ways to what in Europe is considered as an independent administrative authority, such as the several surveillance oversight/redress bodies operating in Europe and listed in the EU Agency for Fundamental Rights’ (FRA) 2017 comparative study on surveillance (p. 115 – in France, for example, the National Commission for Control of Intelligence Techniques, CNCTR). We submit that, in the U.S., such an institution could be based on a binding regulation adopted by the Department of Justice (DOJ). Despite being created by the executive branch, the independence of FIRA will be guaranteed, since leading U.S. Supreme Court precedent considers such a regulation to have binding effect and to protect members of the redress authority from interference by the President or the Attorney General. 

Next, Part II of this article assesses how the U.S. executive branch could provide the necessary investigatory powers for FIRA to review European requests and complaints and to adopt decisions binding upon intelligence agencies. This could be done through a Presidential Executive Order that the President may use to limit executive discretion. 

Finally, Part III of this article discusses the important question of whether the ultimate availability of judicial redress is necessary under EU law and whether there is a path under U.S. law to achieve it, despite the 2021 Supreme Court decision in the TransUnion case limiting standing in some privacy cases. We examine reasons why judicial review of decisions by the independent FIRA may not be required under EU law. Nonetheless, we describe a potential path to U.S. judicial review based on the existing Administrative Procedure Act.  

I. Creating an Independent Redress Authority

Based on our discussions with stakeholders, the most difficult intellectual challenge has been how a redress authority can be created within the executive branch yet have the necessary independence from it. We first present the EU criticisms of the Privacy Shield Ombudsperson approach, and then explain how a binding regulation issued by DOJ can address those criticisms satisfactorily. 

1. Identifying the problems of independence with the previous Privacy Shield mechanism

Four criteria for independence of the redress body have been identified by EU authorities in their critiques of the Ombudsperson approach included in the 2016 Privacy Shield. 

a) Protection against dismissal or revocation of the members of the redress body

A crucial measure of independence under EU law, is protection against removal of any member of the independent body. In Schrems II, the CJEU noted there was “nothing in [the Privacy Shield Decision] to indicate that the dismissal or revocation of the appointment of the Ombudsperson is accompanied by any particular guarantees” (§195), a point previously made in 2016 by the Article 29 Working Party (WP29) when it observed “the relative ease with which political appointees can be dismissed” (here, p. 51). Protection against removal is also recognized under U.S. law and a key indicator for independence.(1) 

b) Independence as protection against external intervention or pressure

Protection against external intervention is a major requirement for a redress authority, as stated by the Advocate General in his 2019 Schrems II Opinion

“The concept of independence has a first aspect, which is external and presumes that the body concerned is protected against external intervention or pressure liable to jeopardise the independent judgment of its members as regards proceedings before them” (note 213).  

By contrast, the Ombudsperson in the original Privacy Shield was “presented as being independent of the ‘intelligence community’, [but] (…) not independent of the executive” (§ 337). 

c) Impartiality

In the same opinion, Advocate General Saugmandsgaard Øe stressed (and the CJEU endorsed), the importance of impartiality: “The second aspect of [independence], which is internal, is linked to impartiality and seeks to ensure a level playing field for the parties to the proceedings and their respective interests with regard to the subject matter of those proceedings” (note 213, emphasis added). 

d)  Relationship to the intelligence community 

In its 2015 study on surveillance, FRA noted that there is a “Goldilocks” challenge concerning the ties between redress bodies and intelligence agencies: “While ties that are too close may lead to a conflict of interest, too much separation might result in oversight bodies that, while independent, are very poorly informed” (p. 71).  In 2016, the WP29 found that the Privacy Shield solution did not appropriately respond to this challenge:

“The Under Secretary is nominated by the U.S. President, directed by the Secretary of State as the Ombudsperson, and confirmed by the U.S. Senate in her role as Under Secretary. As the letter and the Memorandum representations stress, the Ombudsperson is ‘independent from the U.S. Intelligence community’. The WP29 however questions if the Ombudsperson is created within the most suitable department. Some knowledge and understanding of the workings of the intelligence community seems to be required in order to effectively fulfil the Ombudsperson’s role, while at the same time indeed sufficient distance from the intelligence community is required to be able to act independently.” (p.49)

2. How the creation of FIRA by DOJ Regulation could fix these problems 

To date, despite insightful discussions of the challenges, we have not seen any detailed public proposals for how the U.S. executive branch might create a redress institution to meet the strict EU requirements for independence.(2) One innovation, which we understand that the parties might now be considering, could be a binding U.S. regulation, issued by an agency pursuant to existing statutory authority, to create and govern FIRA. Crucially, leading U.S. Supreme Court cases have given binding effect to a comparable regulation, even in the face of objections by the President or Attorney General.

a) Binding DOJ regulation to ensure independence of the FIRA 

The Department of Justice could issue a regulation to create FIRA and guarantee its independent functioning.  It could guarantee independence for the members of FIRA, including protections against removal, in the same fashion.

Under the U.S. legal system, such an agency regulation has the force of law, making it suitable for defining the procedures for review of redress requests and complaints. DOJ regularly issues such regulations, under existing statutory authorities, and pursuant to established and public procedures. To protect against arbitrary or sudden change, modifying or repealing the regulation would require following the same public procedural steps as enacting the regulation in the first place did.  In Motor Vehicles Manufacturers Association vs. State Farm Mutual Automobile Insurance Co., the Supreme Court held that since a federal agency had the discretion to issue a regulation initially, it would have to utilize the same administrative procedures to repeal it.

In an EU/U.S. framework for a new Privacy Shield, the U.S. Government unilaterally could commit to maintain this DOJ regulation in force, and the European Commission could reference the U.S. commitment as a condition of its adequacy decision. This would provide both to the EU and to members of FIRA a guarantee against revocation of the regulation ensuring that the authority would act independently. 

b) Supreme Court precedents protect against external intervention or pressure 

During the Watergate scandal involving then-President Richard Nixon, the Department of Justice issued a regulation creating an independent “special prosecutor” (also called “independent counsel”) within that department. The special prosecutor was designed to be independent from Presidential control, with the regulation stipulating that he could not be removed except with involvement by designated members of Congress. 

Acting within the powers defined in the regulation, the special prosecutor issued a subpoena for audio tapes held by the White House. The President, acting through the Attorney General, objected to the subpoena.  In a unanimous 1974 Supreme Court decision, United States v. Nixon, it was held that the special prosecutor’s decision to issue the subpoena had the force of law, despite the Attorney General’s objection.  The Court noted that although the Attorney General has general authority to oversee criminal prosecutions, including by issuing a subpoena, the fact that the special prosecutor had acted pursuant to a binding DOJ regulation deprived the Attorney General of his otherwise plenary power over subpoenas. 

The Supreme Court observed that “[t]he regulation gives the Special Prosecutor explicit power” to conduct the investigation and issue subpoenas, and that “[s]o long as this regulation is extant, it has the force of law” (emphasis added).  The Court concluded: 

“It is theoretically possible for the Attorney General to amend or revoke the regulation defining the Special Prosecutor’s authority. But he has not done so. So long as this regulation remains in force, the Executive Branch is bound by it, and indeed the United States, as the sovereign composed of the three branches, is bound to respect and to enforce it.”

In sum, as supported by clear Supreme Court precedent, a DOJ regulation can create a mechanism within the executive branch, so that the members of the administration must comply with its terms, even in the face of contrary instructions from the President or Attorney General. And, as stated earlier, the lasting character of the DOJ regulation creating FIRA could be guaranteed by the US Government in the EU/US agreement and be identified by the European Commission in its subsequent adequacy decision as a condition for maintaining this decision in force.

c) Impartiality

We are not aware of significant U.S. constitutional obstacles to ensuring impartiality in FIRA. DOJ appoints Administrative Law Judges (ALJ), such as for deciding immigration matters, and “[t]he ALJ position functions, and is classified, as a judge under the Administrative Procedure Act.” 

U.S. law concerning ALJ’s, including those located in DOJ, states that they are “independent impartial triers of fact in formal proceedings”.(3) In Nixon the Supreme Court reaffirmed the lawfulness of an independent adjudicatory function located within the DOJ.(4) A DOJ FIRA regulation could similarly offer guarantees in terms of the impartiality and expertise of members.

d) Relationship to the intelligence community 

Furthermore, the DOJ appears to be the executive agency best-suited to resolve the “Goldilocks” problem, mentioned above, by combining knowledge and understanding of the intelligence agencies with sufficient distance to judge their conduct independently. 

As noted, EU bodies questioned whether the Department of State, a diplomatic agency, was a “suitable department” for the redress role. The DOJ is more suitable in part because of its experience with the Watergate independent counsel and, for instance, with Immigration Judges as independent triers of fact. 

At the same time, a FIRA located within the DOJ would be well-placed to have knowledge about the intelligence community. The DOJ provides extensive oversight of intelligence activities through its National Security Division, including by issuing regular reports concerning classified activities of the Foreign Intelligence Surveillance Court. Other DOJ components, such as the Office of Privacy and Civil Liberties, also have access to classified information including Top Secret information about intelligence agency activities. In addition, an Executive Order could empower the DOJ to enlist other agencies, such as the Office of the Director of National Intelligence, to gain information from the intelligence community.

II. Creating Effective Powers for the Independent Redress Authority

A DOJ regulation creating an independent redress authority within that executive department must be accompanied by additional government-wide steps for effectively investigating redress requests and for issuing decisions that are binding on the entire intelligence community. The DOJ-issued regulation would define the interaction of FIRA with other parts of that Department.  For the overall mechanism to be effective in other parts of the U.S. government, however, the key legal instrument would be a separate Executive Order issued by the President. In issuing an EO, the President would act within the scope of his overall executive power to define legal limits, such as by requiring intelligence agencies to be bound by FIRA decisions. 

1. Identifying the problems of effectiveness concerning the previous Privacy Shield mechanism

To meet the EU requirement of effective remedial powers, the new redress system would need to have two types of effective powers that the Privacy Shield Ombudsperson lacked. 

a) Investigative Powers 

The WP29 wrote in 2016: 

“concerns remain regarding the powers of the Ombudsperson to exercise effective and continuous control. Based on the available information (…), the WP29 cannot come to the conclusion that the Ombudsperson will at all times have direct access to all information, files and IT systems required to make his own assessment” (p. 51).

In 2019, the European Data Protection Board (EDPB) likewise stated: 

“[T]he EDPB is not in a position to conclude that the Ombudsperson is vested with sufficient powers to access information and to remedy non-compliance, (…)” (§103). 

b) Decisional Powers 

In Schrems II, the CJEU stated:  

Similarly, (…) although recital 120 of the Privacy Shield Decision refers to a commitment from the US Government that the relevant component of the intelligence services is required to correct any violation of the applicable rules detected by the Privacy Shield Ombudsperson, there is nothing in that decision to indicate that that ombudsperson has the power to adopt decisions that are binding on those intelligence services and does not mention any legal safeguards that would accompany that political commitment on which data subjects could rely” (§196).

The EDPB similarly concluded in 2019:

“Based on the available information, the EDPB still doubts that the powers to remedy non-compliance vis-à-vis the intelligence authorities are sufficient, as the ‘power’ of the Ombudsperson seems to be limited to decide not to confirm compliance towards the petitioner. In the understanding of the EDPB, the (acting) Ombudsperson is not vested with powers, which courts or other similarly independent bodies would usually be granted to fulfil their role” (§102).

2. How a Presidential Executive Order Could Confer These Powers upon FIRA 

These passages describe key EU legal requirements for a new redress system. President Biden could satisfy them by issuance of an Executive Order (EO).  The American Bar Association has published a useful overview explaining that an EO  is a “signed, written, and published directive from the President of the United States that manages operations of the federal government.” EOs “have the force of law, much like regulations issued by federal agencies.”  Once in place, only “a sitting U.S. President may overturn an existing executive order by issuing another executive order to that effect.”

As a general matter, the President has broad authority under Article II of the Constitution to direct the executive branch. In addition, the Constitution names the President as Commander-in-Chief of the armed forces, conferring additional responsibilities and powers with respect to national security. The President’s powers in some instances may be limited by a properly enacted statute, but we are not aware of any such limits relevant to redress.

Not only does the President enjoy broad executive powers, but he or she also may decide to limit how he or she exercises such powers through an EO which, under the law, would govern until and unless withdrawn or revised. Thus, the President would appear to have considerable discretion to instruct the intelligence community, by means of an EO, to cooperate in investigations and to comply with binding rulings concerning redress.

As with the DOJ regulation, the U.S. Government could commit in the EU/US adequacy arrangement to maintain this EO in force. But how could the EU and the general public have confidence that the EO is actually being followed by intelligence agencies? First, FIRA will be able to assess whether this is the case, backed by an eventual provision in the Presidential EO fixing penalties for lack of compliance with its orders (similarly as legislation in European countries fixes penalties for failure to comply with the orders of equivalent redress bodies – for an example see art. L 833-3 of the French surveillance law). Furthermore, U.S. intelligence agencies are already subject to parliamentary oversight, including on classified matters, by the Senate Select Committee on Intelligence and the House Permanent Select Committee on Intelligence. Oversight might also be performed by other governmental actors that have access to classified materials, such as an agency official called the Inspector General or the Civil Liberties and Privacy Office, or by the independent Privacy and Civil Liberties Oversight Board (whose new Director, Sharon Bradford Franklin, recently confirmed by the Senate, is known for her commitment to strong surveillance safeguards and oversight). Oversight may be performed at the Top Secret or other classification level, with unclassified summaries released to the public

III. Creating Judicial Review of the Decisions of the Independent Redress Authority

Finally, we turn to whether and how decisions of FIRA may be reviewed judicially. We first explain why judicial review in these circumstances may not be required under EU law.  Nonetheless, to minimize the risk of invalidation by the CJEU, we set forth possible paths for creating U.S. judicial review.

1. Reasons that judicial redress is not necessarily required 

There are at least four reasons to believe that EU law does not necessarily require judicial redress if FIRA is independent and capable of exercising the quasi-judicial functions described above by adopting decisions binding on intelligence agencies.

First, as explained in our earlier article, Article 13 of the European Convention on Human Rights (ECHR) may be the appropriate legal standard for the European Commission to use in deciding upon the “essential equivalence” of third countries for international data transfer purposes.  Article 13 only requires an independent “national authority,” thus a non-judicial body could suffice.

Second, the Advocate General in Schrems II seemed to give the impression that judicial review should only be required in a case where the redress body itself is not independent: 

“in accordance with the case-law, respect for the right guaranteed by Article 47 of the Charter thus assumes that a decision of an administrative authority that does not itself satisfy the condition of independence must be subject to subsequent control by a judicial body with jurisdiction to consider all the relevant issues. However, according to the indications provided in the ‘privacy shield’ decision, the decisions of the Ombudsperson are not the subject of independent judicial review.” (§340, emphasis added)

Since FIRA, unlike the Ombudsperson, will not only enjoy independence but also will exercise quasi-judicial functions by adopting decisions binding on intelligence agencies, separate judicial redress may not be required.

Third, this is exactly what seems to be happening in practice in EU Member States themselves. FRA noted in its 2017 comparative study on surveillance that, in most European countries, redress bodies are non-judicial bodies. It also observed that such non-judicial remedies appear better than judicial ones, because their procedural rules are less strict, proceedings are faster and cheaper, and non-judicial avenues generally offer greater expertise than judicial mechanisms. Furthermore, FRA found that “across the EU only in a few cases can decisions of non-judicial bodies be reviewed by a judge” (ibid., p.114 – and table pp.115-116). Requiring the U.S. to provide judicial redress would thus be more than what exists in many Member States.(5) 

Fourth, these observations are even more relevant when one focuses on international surveillance. In France, for instance, an individual may file complaints with the Supreme Administrative Court (Conseil d’Etat) on the basis of the domestic surveillance law of July 2015. There is no possibility to do so under the international surveillance law of November 2015, however, since that law gives only the CNCTR, an administrative authority, the power to initiate (under some conditions) proceedings in the Conseil d’Etat – but does not confer this right directly upon an individual.(6)

Of course, actual practice under Member States law does not necessarily mean that a third country’s similar practices meet the “essential equivalence” standard of EU fundamental rights law, since the relevant comparator seems to be European Law standards – not Member States’ practices which do not always necessarily meet these standards.(7) Nonetheless, demanding from the U.S. a much more elaborate process than what already exists for international surveillance in most EU Member States might be complicated, particularly if there is an effective independent administrative regime in the U.S. exercising quasi-judicial functions.

2. Ultimate judicial redress will however help ensure meeting CJEU requirements

Despite these indications that European law may not require judicial redress, we acknowledge that the position of the CJEU on this point remains ambiguous.  

As indicated in our first article, the CJEU in Schrems II expressly used the term “body,” giving the impression that an independent national administrative authority (in conformity with the requirements of Art. 13 ECHR) could be enough to fulfill the adjudicatory function. As we explained, this is how the EDPB seems to have read Schrems II in its 2020 European Essential Guarantees Recommendations. Long-time EU data protection official Christopher Docksey concurs as well. 

However, it is also true that the Schrems II judgment contains multiple references to judicial redress. It refers to “ the premiss [sic] that data subjects must have the possibility of bringing legal action before an independent and impartial court ” (§194); “the right to judicial protection” (ibid.); “data subject rights actionable in the courts against the US authorities” (§192); “the judicial protection of persons whose personal data is transferred to that third country” (§190); and “the existence of such a lacuna in judicial protection in respect of interferences with intelligence programmes” (§191). It is not clear whether these statements should also apply (following the Advocate General’s logic) to an independent redress body such as FIRA capable of exercising quasi-judicial functions, in contrast to the Ombudsperson examined by the CJEU. Nevertheless, the CJEU judgment might be read as requiring at least some form of ultimate judicial control of a redress authority’s decisions. This also appears to be the interpretation of a senior Commission official. 

In light of these statements, it would be prudent for the U.S. to provide for some form of ultimate judicial review of FIRA decisions, to increase the likelihood of passing the CJEU test in an eventual Schrems III case.  

3. A path to ultimate judicial review of FIRA decisions

As we explained in our first article, the U.S. constitutional doctrine of standing poses a major hurdle in creating a pathway to judicial redress. In the 2021 TransUnion case, the Supreme Court held that plaintiffs incorrectly identified by a credit reporting agency as being on a government terrorism watch list had not shown the required “injury in fact”. This lack of injury in fact, and thus lack of standing, existed even though the underlying statute appeared to confer the right to sue. While one might find this U.S. constitutional jurisprudence unduly restrictive, any new Privacy Shield agreement must take it into account.

There might be, however, another way to provide an individual with judicial redress. An unsatisfied individual could appeal to a federal court an administrative disposition of a redress petition on the grounds that FIRA has failed to follow the law. In such a case an individual would not be challenging the surveillance actions of intelligence agencies (for which injury in fact may be impossible to satisfy) as such; instead, the suit would allege the failure of an independent administrative body (FIRA) to take the actions required by law.  

As Propp and Swire have written previously, one useful precedent is the U.S. Freedom of Information Act (FOIA), under which any individual can request an agency to produce documents, without first having to demonstrate that he or she has suffered particular “injury in fact”. The agency is then required to conduct an effective investigation and to explain any decision not to supply the documents. After the agency responds, the individual may appeal the decision to federal court. The judge then examines the quality of the agency’s investigation to ensure compliance with law, and the judge can order changes in the event of mistakes by the agency.

Analogously, a European individual, unsatisfied by FIRA’s investigation and decision, could bring a challenge in court. Taking into consideration that FOIA concerns a distinct question,  the appeal against FIRA’s decisions would be based upon the umbrella U.S. Administrative Procedure Act (APA). The APA provides generally for judicial review of an agency action that is “arbitrary, capricious, an abuse of discretion, or otherwise not in accordance with law.” Since both a regulation and an Executive Order have the force of law, an APA-based appeal could examine whether the FIRA decision and its implementation was “in accordance with law.” Since the APA applies generally, it could operate in these circumstances without need for an additional federal statute. In addition, U.S. federal courts deciding APA-based appeals already have methods for handling classified national security information. For instance, they access classified information under the Classified Information Procedures Act (CIPA).

Including judicial review under the APA would be a good faith effort by the U.S. government to respond to ultimate EU law concerns. However, since the FIRA approach has not been judicially tested, some legal uncertainty concerning standing to bring the APA suit in federal court would remain. FOIA practice provides a good legal basis for meeting the standing requirement through challenging agency action itself, but TransUnion highlighted the level of privacy injuries which must be shown to enable a decision in federal court.  

Conclusion

In these two articles, we have sought to examine rigorously and fully the requirements of EU law with respect to redress. We also have examined U.S. constitutional law, explaining both the difficulties surrounding some solutions (for instance the problem of standing for judicial redress) and the opportunities created by some precedents (such as the protection offered to independent investigative bodies by decisions of the U.S. Supreme Court).

We are not aware of any other published proposal that wrestles in such detail with the complexity of EU and U.S. law requirements for foreign intelligence redress. We hope that our contribution helps fill this gap and presents a promising path permitting resolution of the “redress challenge” in the EU/US adequacy negotiations.

Much will depend on the details of construction and implementation for this protective mechanism. What our articles contribute is the identification of three fundamental building blocks on which a solid and long-lasting transatlantic adequacy agreement could stand. We have shown that there is a promising way to create, by non-statutory means, an independent redress authority and to provide the necessary investigative and decisional powers to respond to redress requests by European persons. We also suggest a way to successfully address the problem of standing and thereby to provide for an ultimate possibility of judicial control. Using these building blocks to create an effective redress mechanism could enable the U.S. and the EU not only to establish a solid transatlantic adequacy regime capable of resisting CJEU scrutiny but also to advance human rights more broadly.

Notes

(1) In 2020, as discussed here, the Supreme Court addressed the President’s removal power in the Siela Law LLC case, finding unconstitutional Congress’ establishment of independence for an agency head. At the same time, the Court reaffirmed that protections against removal can exist for “inferior officers” (roughly, officials appointed through a civil service process rather than by the President) and for multi-member bodies. Either or both of these categories may apply to FIRA members. In 2021, the Supreme Court, in U.S. v. Arthrex, struck down a system of independent Administrative Patent Judges. The approach in our article would be different since the President here issues an executive order, and thus the President serves as the “politically accountable officer” required by the Supreme Court in Arthrex.

(2) More specifically, there have been proposals for providing redress for surveillance conducted pursuant to Section 702 FISA, such as here and here. However, an additional “thorny issue is whether international surveillance, conducted by US intelligence agencies outside the territory of the US on the basis of Executive Order 12333 (EO 12333) should be (or not) part of the adequacy assessment.” Although arguments exist under EU law that redress for EO 12333 surveillance might be excluded from the assessment, this article proceeds on the understanding that the current negotiations will only succeed if EO 12333 surveillance is covered as well. We are not aware of any published proposal that would do so, and seek in this article to present such an approach. For example, the proposal here would apply to requests for redress concerning surveillance conducted under EO 12333, such as programs recently declassified by the U.S. government.

(3) It appears that terms such as “adjudication” and “court” may be understood somewhat differently in the U.S. compared with the EU, creating a risk of confusion in proposals concerning redress. Under U.S. law, many federal agencies, including the Federal Trade Commission and Department of Justice, routinely conduct what is called “adjudication.” Many federal agencies have Administrative Law Judges, defined by the U.S. government as “independent impartial triers of fact in formal proceedings.”  By contrast, in Europe, “courts” and “judges” generally exist outside of the Executive. Therefore, our discussion of FIRA avoids words such as “adjudication” that may be understood differently in different legal systems.

(4) In the 1954 case, Accardi v. Shaughnessy, the Attorney General by regulation had delegated certain of his discretionary powers to the Board of Immigration Appeals. The regulation required the Board to exercise its own discretion on appeals for deportation cases. As noted in U.S. v. Nixon, the Supreme Court in Accardi had held that, “so long as the Attorney General’s regulations remained operative, he denied himself the authority to exercise the discretion delegated to the Board even though the original authority was his and he could reassert it by amending the regulations.”

(5) For a recent description of the German system, see here by Daniel Felz.

(6) This finding was confirmed in a June 2018 decision by the Conseil d’Etat following a request introduced in this court by the Member of the European Parliament Sophie In ’t Veld (analysis here). The Court also rejected the possibility for the claimant to challenge indirectly an alleged misuse of power resulting from the failure of the chairman of the CNCTR to refer the matter to the Council of State. However, as stated by the CNCTR (here, at 46) this is one of the points appearing in the (no less than) 14 challenges currently pending at the ECHR against the French surveillance laws.

(7) See for instance this study by I. Brown and D. Korff arguing that “the EU institutions should stand up for the rule of law and demand the member states and third countries bring their practices in line with those standards”  (at 111).

(EUROPEAN LAW BLOG) EU/US Adequacy Negotiations and the Redress Challenge: Whether a New U.S. Statute is Necessary to Produce an “Essentially Equivalent” Solution (1)

31 JANUARY 2022/ BY THEODORE CHRISTAKISKENNETH PROPP AND PETER SWIRE

Must the U.S. Congress change statutory law to solve the major issue of “redress” in the EU-US adequacy negotiations? This is a crucial question, especially since a series of political, pragmatic and even legal/constitutional difficulties mean that the U.S. might not be able to come up with a short-term statutory solution for redress. In this article we analyse this question for the first time in detail, and argue that, provided the U.S. is able to address the deficiencies highlighted by the Court of Justice of the European Union (CJEU) in its Schrems II judgment (independence of the redress body; ability to substantively review the requests; and authority to issue decisions that are binding on the intelligence agencies), then relying on a non-statutory solution could be compatible with the “essential equivalence” requirements of Article 45 of the EU’s General Data Protection Regulation (GDPR). In a second, forthcoming article, we set forth specific elements of a novel non-statutory solution and assess whether it would meet the substantive European legal requirements for redress.

The CJEU issued its Schrems II judgment in July, 2020, invalidating the EU/U.S. Privacy Shield and creating uncertainty about the use of Standard Contractual Clauses (SCCs) for transfers of personal data to all third countries (see analysis herehereherehere and here). In light of the legal uncertainty and the increasing tensions concerning transatlantic data transfers resulting from the intensification of enforcement actions by European data protection authorities (DPAs) since Schrems II (such as this and this), there is both strong reason to reach a new EU/U.S. agreement and also a stated willingness of both sides to do so.  The European Commission, understandably, has emphasized though that there is no “quick fix” and that any new agreement must meet the full requirements of EU law.

This article focuses on one of the two deficiencies highlighted by the CJEU: the need for the U.S. legal system to provide a redress avenue accessible to all EU data subjects. We do not address here the other deficiency– whether U.S. surveillance statues and procedures sufficiently incorporate principles of ‘necessity and proportionality’ also required under EU law.

We concentrate our inquiry, from both a U.S. and a European law perspective, on whether the U.S. Congress would necessarily have to enact a new statute in order to create an adequate redress mechanism. Part I of this article explains the pragmatic and political reasons why it would be difficult to adopt a new U.S. statute, and especially to do so quickly. Part II examines the U.S. constitutional requirements for “standing”, and explains the legal difficulties and uncertainty concerning proposals, such as the one advanced by the American Civil Liberties Union (ACLU), to provide redress through an individual action in U.S. federal courts. Part III then addresses European law concerning whether a statute is necessary, concluding that the substance of the protections of fundamental rights and respect of the essence of the right to an effective remedy are the key considerations, rather than the form by which an independent and effective redress mechanism would be created.

This article will be followed by a second article exploring whether a non-statutory solution for redress is capable of satisfying the strict substantive standards required by EU law.

I. Political Difficulties of an Immediate Statutory Approach to Redress

There are important advantages to enacting a new U.S. statute to provide redress:

  • There is greater democratic legitimacy if the legislature passes a statute.
  • A law can set limits on Executive discretion that only may be changed by a subsequent statute.
  • A law can fix in a stable, permanent and objective way the rules and procedures for the appointment of the members of the redress body, the duration of their mandate, and guarantees concerning their independence.

However, there are strong pragmatic and political reasons why it would be difficult to enact a new statute in the short term to create a new redress mechanism.

  • First, it is no secret that the U.S. Congress currently finds it difficult to pass legislation generally, with partisan battles and procedural obstacles slowing passage of even essential legislation. As Politico recently reported, “it is increasingly unlikely that Congress will pass any digital-focused bills before lawmakers shut down ahead of November’s midterms”.
  • Second, legislative reform of U.S. surveillance laws is a particularly complex and contentious issue. The national security community in the U.S. has little appetite for sweeping reforms, and even a strong push from the White House may not be sufficient to move such legislation through Congress. In Europe as well, substantial reform of surveillance laws requires a lot of time to seek the necessary political consensus (see for instance this).[i]
  • Third, the international dimensions of a redress reform make legislation even more difficult. If a new redress mechanism benefits only EU data subjects, then it is hard to explain to Congress why they should get greater rights than Americans. On the other hand, if redress rights were also to be conferred on U.S. data subjects, then a novel and complex set of institutional changes to the overall U.S. surveillance system would be needed.
  • Fourth, it would be difficult for U.S. legislators to vote for a statute without knowing in advance whether the CJEU will accept it as good enough.
  • Fifth, Congress historically has been reluctant to regulate in great detail how the President conducts foreign policy and protects national security. For instance, Congress has adopted detailed statutes (such as the Foreign Intelligence Surveillance Act, FISA)) concerning “compelled access”, e.g. how intelligence agencies can request data from service providers. By contrast, it has rarely enacted any statute that applies to “direct” surveillance conducted outside of the U.S. under the standards of Executive Order (EO) 12,333. Furthermore, specific actions under that Executive Order have never, so far as we know, been subject to review by federal judges.

For these reasons, we believe at a pragmatic level that it would be extremely difficult for Congress to promptly pass legislation to provide redress to EU persons. By contrast, if an adequate fix to the redress problem can be created at least in large part without new legislation, then it would be considerably easier for Congress subsequently to enact a targeted statute ratifying the new mechanism, perhaps adding other provisions to perfect an initial non-statutory approach. That sort of legislation is far easier to enact than writing a law in Congress from a blank page.

II. Constitutional Difficulties for a U.S. Statutory Approach to Redress: The Problem of Standing

These political and pragmatic reasons alone would justify U.S. government and European Commission negotiators seeking to address the redress deficiencies highlighted in Schrems II through a non-statutory solution. But, in addition, there is a constitutional dimension. The U.S. Constitution establishes a “standing” requirement as a prerequisite to a case being heard before judges in the federal court system. Any new U.S. redress mechanism must be consistent with the U.S. Constitution, just as it must meet EU fundamental rights requirements.

U.S. standing doctrine derives from Article III of the U.S. Constitution, which governs the federal court system. The federal judicial power extends only to “cases” and “controversies” – meaning that there has to be an “injury in fact” in order to have a case heard. A related doctrine is the ban on issuance of “advisory opinions” by federal judges, a position of the Supreme Court dating back to the first President, George Washington, and defined most clearly in Muskrat v. United States. In sum, a statute that creates a cause of action in the federal courts is unconstitutional unless it meets the requirements of standing and injury in fact, and does not violate the prohibition on advisory opinions.

The ACLU in 2020 called for a “standing fix” to enable suit in federal court “where a person takes objectively reasonable protective measures in response to a good-faith belief that she is subject to surveillance.” However, since the right to redress under European law also exists for individuals who did not take protective measures, the proposal seems too narrow to meet the CJEU requirements.

A second difficulty with the ACLU approach is that the Supreme Court made standing related to privacy injuries even more difficult to establish in its TransUnion LLC v. Ramirez decision in June, 2021. As discussed here, the majority in that case made it significantly more difficult for privacy plaintiffs henceforth to sue in federal court. The Court restated its 2016 Spokeo case that a plaintiff does not automatically satisfy “the injury-in-fact requirement whenever a statute grants a person a statutory right and purports to authorize that person to sue to vindicate that right.” More bluntly, the Court stated: “An injury in law is not an injury in fact”. [ii] The majority in TransUnion found “concrete harm” for some plaintiffs but not others. Even individuals whose credit histories were badly mistaken – stating they were on a government list as “potential terrorists” – did not enjoy a right of action created by statute. In sum, there would be substantial legal uncertainty surrounding a U.S. statute conferring upon EU data subjects the right to go straight to U.S. courts to get redress (for a similar conclusion see here).

The standing objection applies only to direct access to federal courts, and not to an independent non-judicial redress authority. However, Congress might be reluctant to intervene ex nihilo in a field such as “direct” foreign surveillance conducted under EO 12,333, which traditionally belongs to the Executive power under the U.S. Constitution. Congress might be more willing to act and endorse by statute an effective redress mechanism if, as a first step, the Executive branch itself had first created such an independent non-judicial redress authority within the Executive branch. In any case, such a statute does not appear to be a necessary precondition under U.S. law for creating a redress system

III. Is a Non-Statutory Approach to Redress Compatible with European Law?

Since the U.S. government might not be able to produce a short-term statutory solution for redress, the question then arises as to whether a non-statutory approach would be acceptable under EU law. In order for the European Commission to be able to issue an adequacy decision under Article 45 of the GDPR, the U.S. must ensure an “adequate” level of protection.

If the U.S. is able to address by non-statutory means the deficiencies highlighted by the CJEU in Schrems II (mentioned above), then such a solution could be compatible with the “essential equivalence” requirements of Article 45 of the GDPR. We defer for now the question of whether a non-statutory path would indeed be able to address these substantive issues, instead focusing only on whether a non-statutory approach in principle is compatible with European law.

A. The Starting Point: The Right to Effective Remedy Under European Human Rights Law

What we call “redress” in the context of transatlantic adequacy negotiations corresponds to the “right to effective remedy” under European law. Article 47(1) of the Charter of Fundamental Rights of the European Union (“Charter”) states that:

“Everyone whose rights and freedoms guaranteed by the law of the Union are violated has the right to an effective remedy before a tribunal in compliance with the conditions laid down in this Article.”

The official explanations of Article 47 make clear that this article is “based on Article 13 of the European Convention of Human Rights” (ECHR), according to which:

“Everyone whose rights and freedoms as set forth in this Convention are violated shall have an effective remedy before a national authority notwithstanding that the violation has been committed by persons acting in an official capacity.”

A comparison of the two articles reveals that in EU law the protection is more extensive than in ECHR law, since the former guarantees the right to an effective remedy before a “tribunal” while the latter only refers to a “national authority”. The term “tribunal” seems to refer to a judicial body, as the official explanation suggests. This is confirmed by reference to non-English language versions of Article 47(1), which translate the word “tribunal” as “court” (e.g.“Gericht” in German and “Gerecht” in Dutch). It is also evident that neither Article 47(1) of the Charter nor Article 13 of the ECHR require that a redress body be created by statute.

 However, Article 47 (2) of the Charter adds additional, complicating requirements.:

“Everyone is entitled to a fair and public hearing within a reasonable time by an independent and impartial tribunal previously established by law. Everyone shall have the possibility of being advised, defended and represented”.

As the official explanations point out, this second paragraph “corresponds to Article 6(1) of the ECHR”, which reads as follows:

“In the determination of his civil rights and obligations or of any criminal charge against him, everyone is entitled to a fair and public hearing within a reasonable time by an independent and impartial tribunal established by law. Judgment shall be pronounced publicly but the press and public may be excluded from all or part of the trial in the interests of morals, public order or national security in a democratic society, where the interests of juveniles or the protection of the private life of the parties so require, or to the extent strictly necessary in the opinion of the court in special circumstances where publicity would prejudice the interests of justice”.

Both Article 47(2) of the Charter and Article 6(1) of the ECHR thus require “an independent and impartial tribunal established by law”. Yet, what is the exact relationship between the provisions on “effective remedy” (Article 47(1) of the Charter and Article 13 of the ECHR), and those on “a fair and public hearing by independent and impartial tribunals established by law” (Article 47(2) of the Charter and Article 6(1) of the ECHR)?

A restrictive analysis would regard the two sets of articles as entirely interlinked, in which case redress bodies would always have to be “established by law”.

A second more flexible and plausible interpretation would maintain that this latter set of requirements constitutes lex specialis in relation to the former; in other words, the “right to effective remedy” (“redress”) is broader than the “right to a fair trial”. This interpretation finds support in the ECHR, which textually separates the two sets of rights and requirements (Articles 13 and 6(1)). It is also confirmed by the official guide to Article 13 which states that “Article 6 § 1 of the Convention is lex specialis in relation to Article 13” (here, at 41), and by the fact that Article 6(1) is limited in scope to civil rights and criminal charges. It therefore would be difficult to merge the obligation of states to put in place an “effective remedy” with the established by law” requirement, as this latter requirement only concerns the right to a fair trial before a “tribunal” under Article 6(1) – and not the broader right of redress before a “national authority” under Article 13. It seems then that, at least under the ECHR, a redress body need not always be a judicial body nor be “established by law”, provided that it satisfies the substantive requirements of the “right to effective remedy”. As we will see, the standards of the ECHR have always been particularly relevant for the European Data Protection Board (EDPB) in assessing the “essential equivalence” of “redress” mechanisms under Article 45 of the GDPR.

B. Flexibility Introduced by the “Essentially Equivalent” Standard of EU Data Protection Law

A flexible interpretation of the “effective remedy” requirement is also supported by the “essential equivalence” standard of the GDPR for third countries.

In Schrems I, the Court clearly acknowledged that “the means to which [a] third country has recourse, [… ] for the purpose of ensuring such a level of protection may differ from those employed within the European Union, [… ] those means must nevertheless prove, in practice, effective in order to ensure protection essentially equivalent to that guaranteed within the European Union” (§74 of the October 6, 2015 judgment, emphasis added).

The CJEU Advocate General emphasised in his 2019 Schrems II Opinion that the “essentially equivalent” standard “does not mean that the level of protection must be ‘identical’ to that required in the Union”. He explained that:

“It also follows from that judgment, in my view, that the law of the third State of destination may reflect its own scale of values according to which the respective weight of the various interests involved may diverge from that attributed to them in the EU legal order. Moreover, the protection of personal data that prevails within the European Union meets a particularly high standard by comparison with the level of protection in force in the rest of the world. The ‘essential equivalence’ test should therefore in my view be applied in such a way as to preserve a certain flexibility in order to take the various legal and cultural traditions into account” (§§ 248-249, emphasis added).

The EDPB previously had endorsed this flexible interpretation of the elements for adequacy. In its 2016 Opinion on Privacy Shield, for instance, the EDPB’s predecessor (WP29) emphasised that:

“the WP29 does not expect the Privacy Shield to be a mere and exhaustive copy of the EU legal framework […]. The Court has underlined that the term ‘adequate level of protection’, although not requiring the third country to ensure a level of protection identical to that guaranteed in the EU legal order, must be understood as requiring the third country in fact to ensure, by reason of its domestic law or its international commitments, a level of protection of fundamental rights and freedoms that is essentially equivalent to that guaranteed within the European Union [… ]” (p. 3).

It is precisely this flexible approach that allowed EU authorities to set aside the requirement that a redress body should be a “tribunal” – despite clear terms to the contrary in Article 47(1) of the Charter. As the EDPB noted in its Recommendations 02/2020 on the European Essential Guarantees for surveillance measures of November 10, 2020 (§47): “an effective judicial protection against such interferences can be ensured not only by a court, but also by a body which offers guarantees essentially equivalent to those required by Article 47 of the Charter” (emphasis added). The EDPB noted that the CJEU itself “expressly” used the word “body” in §197 of Schrems II. Indeed, in all its extant positions on U.S. redress mechanisms, the EDPB has recognised that the applicable standards equate with those in Article 13 of the ECHR, which “only obliges Members States to ensure that everyone whose rights and freedoms are violated shall have an effective remedy before a national authority, which does not necessarily need to be a judicial authority” (ibid, §46, emphasis added).

Therefore, provided that the U.S. redress mechanism meets the substantive requirements of Article 13 ECHR as cited in Schrems II and the EDPB opinions, a judicial body will not be necessarily required, and an “established by law” standard need not be applied in order to meet the “essential equivalence” test. As the astute European legal observer Chris Docksey concluded:

“This could be an opportunity for the CJEU to give meaning to the difference between essential equivalence and absolute equivalence mentioned above when deciding on the standard of individual redress to be applied in the specific case of international transfers. If the content of the right under Article 47 is ensured, then the form should not be an obstacle” (emphasis added).

C. Interpreting “Law” in a Substantive, Not Formal, Sense

European human rights law seems, in fact, to prioritise substance over form even in situations that go beyond an “essential equivalence” assessment. This can be shown by examining interpretations of the “in accordance with the law” requirement found in the ECHR, the Charter and several fundamental EU data protection sources of law, including the GDPR.

ECHR articles concerning human rights, including Article 8 (right to privacy), stipulate that some restrictions to these rights may be acceptable provided they are “in accordance with the law” and “necessary in a democratic society” in order to protect certain legitimate interests (such as national security, public safety, or the prevention of disorder or crime). Similarly, Article 52 of the Charter requires that: “Any limitation on the exercise of the rights and freedoms recognised by this Charter must be provided for by law (…)”.

Both the Convention and the Charter, however, interpret the term “law” in a flexible way. The ECtHR, for instance, has emphasised on multiple occasions that:

“[A]s regards the words “in accordance with the law” and “prescribed by law” which appear in Articles 8 to 11 of the Convention, the Court observes that it has always understood the term “law” in its “substantive” sense, not its “formal” one; it has included both “written law”, encompassing enactments of lower ranking statutes and regulatory measures (…), and unwritten law” (Sanoma Uitgevers B.V. v. the Netherlands, 2010, § 83, emphasis added). See also Sunday Times (No. 1) v. the United Kingdom, 1979, §47).

Similarly, in EU data protection law, both the Law Enforcement Data Protection Directive (LED) and the GDPR also understand the term “law” in its substantive sense. According to Recital 33 of the LED, for instance:

“Where this Directive refers to Member State law, a legal basis or a legislative measure, this does not necessarily require a legislative act adopted by a parliament, without prejudice to requirements pursuant to the constitutional order of the Member State concerned (…)” (emphasis added).

Further, Recital 41 of the GDPR provides:

“Where this Regulation refers to a legal basis or a legislative measure, this does not necessarily require a legislative act adopted by a parliament, without prejudice to requirements pursuant to the constitutional order of the Member State concerned. However, such a legal basis or legislative measure should be clear and precise and its application should be foreseeable to persons subject to it, in accordance with the case-law of the [CJEU] and the European Court of Human Rights” (emphasis added).

This flexible interpretation of the term “law” in the data protection context for assessing the incursion of state interests on fundamental rights is formally separate from the requirement in Article 47(2) of the Charter that a tribunal be “previously established by law”. However, this analytic flexibility is consistent with how EU bodies have interpreted the “essentially equivalent” standard, including in the context of the Privacy Shield. It therefore supports the conclusion that a U.S. decision to put in place an independent and effective redress mechanism for surveillance would satisfy the requirements of European law even if it does not involve the adoption of a statute. This conclusion is also supported by the European DPAs previous positions concerning the Privacy Shield Ombudsperson.

D. The CJEU and EU DPAs Did Not Object to Non-Statutory Redress

The fact that the Privacy Shield Ombudsperson was not created by statute did not seem to be a primary concern for either the CJEU or the EDPB in assessing whether this mechanism offers  “essentially equivalent” protection to European law.

In Schrems II the Court did not identify as a deficiency that the Ombudsperson mechanism was not created by statute. Rather, the problems detected were that there was “nothing in [the Privacy Shield Decision] to indicate that the dismissal or revocation of the appointment of the Ombudsperson is accompanied by any particular guarantees” and, also, that there was “nothing in that decision to indicate that the ombudsperson has the power to adopt decisions that are binding on those intelligence services (…)” (§§ 195-196). Thus, provided there is a way to fix these deficiencies by non-statutory means, the new redress solution could pass the “essential equivalence” test.

The EDPB also seems to support this argument. In its 2016 Opinion on Privacy Shield, the WP29 began by stating that:

“in addition to the question whether the Ombudsperson can be considered a ‘tribunal’, the application of Article 47 (2) Charter implies an additional challenge, since it provides that the tribunal has to be ‘established by law’. It is doubtful however whether a Memorandum which sets forth the workings of a new mechanism can be considered ‘law’” (p. 47).

The WP29 therefore seemed to link Articles 47(1) and 47(2). However, it did not appear to consider the legal form by which the Ombudsperson was created as an insuperable obstacle. It stated:

“As a consequence – with the principle of essential equivalency in mind – rather than assessing whether an Ombudsperson can formally be considered a tribunal established by law, the Working Party decided to elaborate further the nuances of the case law as regards the specific requirements necessary to consider ‘legal remedies’ and ‘legal redress’ compliant with the fundamental rights of Articles 7, 8 and 47 Charter and Article 8 (and 13) ECHR” (ibid., emphasis added).

The WP29 then went on to analyse the requirements of European law concerning the “right to effective remedy”, focusing primarily on the case law of the ECtHR, and concluded that the Ombudsperson did not meet these requirements, essentially for the same reasons mentioned by the CJEU in the Schrems II Judgment.

In their subsequent assessments of Privacy Shield, the WP29 and the EDPB arrived at the same conclusion. They did not consider that the means by which the Ombudsperson was created represented an obstacle to passing the “essentially equivalent” test. On the contrary, the EDPB “welcomed the establishment of an Ombudsperson mechanism as a new redress mechanism” (see for instance here, §99) and repeated that “having analysed the jurisprudence of the ECtHR in particular”, it “favored an approach which took into account the powers of the Ombudsperson” (see here, p.19).

Similarly, the European Data Protection Supervisor (EDPS) did not oppose the creation of the Ombudsperson on the grounds that it was done in a non-statutory way. On the contrary he argued that “in order to improve the redress mechanism proposed in the national security area, the role of the Ombudsperson should also be further developed, so that she is able to act independently not only from the intelligence community but also from any other  authority” (here, at 8, emphasis added). 

Conclusion

In sum, European law is flexible in interpreting whether the United States must adopt a new statute to meet redress requirements, especially when the question is viewed through the “essential equivalence” prism of data protection. Substance prevails over form. It remains true that a statutory approach would in abstracto be the easiest way for the United States to establish a permanent and independent redress body for effectively reviewing complaints and adopting decisions that bind intelligence services. However, when one takes into consideration the political, practical and constitutional difficulties confronting negotiators, it makes sense to achieve the same results in a different way.

In a second article, to be published shortly, we will detail specific elements of a non-statutory solution and assess whether it would meet the substantive European requirements on redress.

[i] As this report shows even in a country like Germany, particularly sensitive to intelligence law questions, its major Signals Intelligence (SIGINT) reform did not provide any judicial redress options for non-Germans: “There is no legally defined path for foreign individuals, such as journalists abroad, who want to find out if their communications have been collected in SIGINT operations and, if so, to verify whether the collection and processing of their data was lawful. What is more, the legislators opted to explicitly waive notification rights for foreigners regarding the bulk collection of their personal data.” (p. 63)

[ii] The European Court of Human Rights has developed jurisprudence that is more flexible than U.S. standing law in terms of who may bring a suit. European human rights law accepts since Klass and Others v. Germany case (1978) that an individual may, under certain conditions, claim to be the victim of a violation occasioned by the mere existence of legislation permitting secret measures of surveillance, without having to allege that such measures were in fact applied to him or that that he has been subject to a concrete measure of surveillance (the famous theory of “potential victim” of a human rights violation, see here, paras 34-38 and here, p. 15 for an updated analysis). Notwithstanding this greater flexibility in European law, we reiterate that the limits on U.S. standing are a matter of U.S. constitutional law, which cannot be overruled by a statute enacted by Congress.

(European Parliament Study) Ensuring the rights of EU citizens against politically motivated Red Notices

Possibilities under EU law to establish a platform for the exchange of information between the EU and the Member States to address the problem of abusive or politically motivated Interpol notices against EU citizens

LINK TO THE FULL STUDY

Abstract

This paper, commissioned by the European Parliament’s Policy Department for Citizens’ Rights and Constitutional Affairs at the request of the Committee on Civil Liberties, Justice and Home Affairs, analyses Interpol’s system of Red Notices and the EU-based mechanisms to safeguard citizens against political abuse of Interpol’s system. Recent reforms of Interpol are significant but many problems remain unaddressed. The paper discusses existing and possible platforms, including the European Search Portal, as ways to ensure a more effective enforcement of EU-based legal limits and fundamental rights on a European level.

AUTHOR Rasmus H. Wandall, PhD, Research fellow, University of Lund. Manuscript completed in February 2022 © European Union, 2022

EXECUTIVE SUMMARY

Background

In 2014, the European Parliament issued a resolution with recommendations on the matter (2013/2109(INL)) and since then, it has followed up with debates and further questions, most recently in 2021 concerning the candidacy for the Presidency of Interpol. In 2019, the DROI Committee of the European Parliament published a commissioned study on the misuse of Interpol Red Notices, putting forward a number of recommendations for Interpol reform. Also in 2019, the LIBE Committee and subsequently the European Parliament passed a resolution responding to the Russian Federation’s targeting of Lithuanian judges, prosecutors and investigators, and calling on EU Member States and Interpol to desist from assisting in the targeting (2019/2938(RSP)).

The Parliamentary Assembly of the Council of Europe issued a resolution in 2017 (2161/ 2017) and again in 2019 (2315/2019) both with recommendations for Interpol reform and with recommendations for its Member States. Numerous articles and civil society organisations continue to document abuse and express concern over the exploitation of Interpol and the further need for reform. The leadership of Interpol and the composition of it have attracted considerable attention in this regard.

On the European level, the Court of Justice of the European Union has in recent case-law addressed Member States’ obligations under EU law to limit the use of arrest warrants and extraditions to third countries – also in regard to Red Notices. On this basis, the study analyses recent reform efforts of Interpol with a view to politically motivated Red Notice requests and the possibilities under EU law to establish a platform for the exchange of information between the EU and the Member States to address this problem for EU citizens.

Aim

The aim of the study is to 1) describe Interpol, its organisational setup, its financial foundation, and the practice of the notice system, 2) discuss the recent reforms of Interpol, 3) give an overview of the recent case-law development of the Court of Justice of the European Union, and identify what information is necessary to share for Member States to ensure EU citizens against politically motivated Red Notices, and 4) discuss possible platforms on which EU Member States and the EU may exchange information to address the problem. Finally, the aim is to 5) give recommendations for possible action.

Key findings : The Interpol Organisation

A Red Notice is a request to have a person arrested. It is issued through Interpol’s global notice system. Interpol is governed by its General Assembly made up by its 194 members. The President and the Executive Committee Members are elected. A General Secretariat manages the daily operations. Financially, the largest donors to the Interpol are the European Union, the Interpol Foundation for a Safer World (fully funded by the United Arab Emirates), the United States of America, Canada, and Norway.

The General Secretariat coordinates and manages all Interpol’s activities. National Central Bureaus in member countries operate within domestic authorities and carry out part of Interpol’s work. The National Central Bureaus are managed by staff of the domestic authorities.

Red Notice requests are communicated by the National Central Bureau to the General Secretariat with a view to circulation worldwide. A task force in the General Secretariat reviews the requests prior to circulation. If approved, the notice is circulated and possibly publicised. Diffusion orders to arrest are not formal notices and are sent directly to other members of Interpol.

In 2020, Interpol issued 11,094 Red Notices and had more than 66,000 Red Notices in circulation. There has been a significant increase in numbers of Red Notices and Diffusion Orders since 2010.

Within the General Secretariat, a Secretary granted independence is appointed to support the Interpol Commission of the Control of Files. The commission handles individual complaints and performs both a supervisory and advisory role.

Interpol Rules governing the system of notices

Interpol activities, including the processing of Red Notices, must respect Interpol rules and must be consistent with the laws of the jurisdictions engaged by the acts in question.

Interpol is obliged not to assist or aid members that act in violation of international human rights law, and to respect the principle of neutrality stipulated in art. 3 in its Constitution.

The rule forbids the organisation to undertake any intervention or activity of a political, military, religious or racial character. Furthermore, a Red Notice must concern a serious ordinary-law crime and must pass a specific penalty threshold for the notice to be considered.

The National Central Bureaus and subsequently the General Secretariat’s task force review requests to ensure that all thresholds and rules are respected.

Interpol rules on data protection apply alongside overlapping regional and national data protection rules. In the area of the European Union, the Law Enforcement Directive, EU Fundamental Rights laws, and the case law of the Court of Justice of the European Union apply equally in every Member State. Since 2015, Interpol appointed a Data Protection Officer overseeing and developing data protection practice and organisation of Interpol. Each National Central Bureau equally appoints data protection officers.

Recent reforms of the Interpol Red Notice system

Politically motivated Red Notices allow governments to persecute political and other opponents abroad with significant consequences for those affected.

Despite the rights-based limitation of Interpol’s mandate to communicate Red Notices, the risk of politically motivated Red Notices is real. Moreover, observing that democracies are under pressure and that many countries have developed in an authoritarian direction, there is a strong argument that the risk has increased.

Interpol has carried out significant reforms since 2013. The review of Red Notice requests has been strengthened and a complaint mechanism under the Commission of the Control of Files has been enforced. Interpol has assigned a Data Protection Officer and implemented learning and knowledge sharing programmes to support the legal frameworks and good practices of all parts of the Interpol organisation.

Regardless, a number of legal tools continue to be lacking and there is a substandard transparency in the processing of Red Notices. Furthermore, more fundamental problems remain.

First, considering the increasing number of notices in circulation and considering the current setup, proper legal safeguards cannot be expected to be sufficiently enforced in the near future. Second, decentralised National Central Bureaus under the authority of domestic authorities represent a structural problem that is not sufficiently addressed through Interpol’s knowledge management organisation.

Third, the use of national databases to store and update Red Notices means that Interpol updates are ineffective on a global scale and leave inaccurate notice information in circulation on a significant level.

An EU-based platform for exchanging information

The Court of Justice of the EU has developed rights-based boundaries of its Member States’ use of arrest warrants – both in regard to extradition to Member States and to third countries.

The Council of the EU has subsequently affirmed initiatives to enforce these boundaries. Member States must consider fundamental rights as grounds for refusing arrest warrants and extraditions. Verifying that there is a real risk, the executing authority must find that the person in question is subjected to such real risk considering the specific circumstances of the case. If affirmative, a decision to extradite must be deferred. If the risk cannot be discounted, the authority must reach a decision itself or terminate the proceedings. In making this risk evaluation, information that is “objective, reliable, specific and properly updated” must be relied upon.

In its judgment in C-505/19, the Court extended the restrictions to the Member States’ use of Interpol Red Notices. In a case concerning a ne bis in idem violation and violation of the freedom of movement, the Court of Justice of the EU held that a) the mere possibility of a violation of the ne bis in idem principle is not enough to bar a preliminary arrest of the person in question. Only if it has been established “in a final judicial decision taken in a Contracting State or in a Member State” arrest and extradition are prohibited. The Court also held that it is not unlawful to process data in a Red Notice if the ne bis in idem principle may apply. If, however, it is established that the principle does apply and there are no grounds for a criminal process against the person, there is no longer basis for data processing and the person can legitimately require the Member State to erase the data on the Red Notice.

On all accounts, the Member State must effectively communicate the limitation in a note, thus making sure that the individual is not subjected to future arrests on the same grounds elsewhere.

Both within and outside the European Union, digital and professional network-based platforms are applied to facilitate the exchange of information across borders. Technically, European Union institutions have established digital software platforms to facilitate effective exchange of general and case specific information in the area of justice and security. Schengen Information System II, eEDeS (E-Evidence Digital Exchange System) , and e-Justice are important examples. The European Search Portal that provides a single point of entry to searching in several relevant databases simultaneously provides a strong case for a future platform.

Legally, all Member States may exchange information in their own capacities and can process personal data in Red Notices within the legal framework of the Law Enforcement Directive. To some extent the European Search Portal already provides legal and institutional mandate to some necessary data. However, several specific data needs further legal mandate and institutional framework for EU-institutions and EU Member States to share them.

Furthermore, effective exchange of information in the field of justice and security continue to require support from professional human-based networks. In the European area, the European Judicial Network is sigificant, establishing contact points in each Member State and integrating EU-based digital platforms.

Key recommendations

With regard to modelling an effective review and redress mechanism in Interpol for the future:

The European Parliament should call on the EU Commission to include the production of a forecast analysis and modelling that account for high volume cases and decentralised review & update process in the negotiations with Interpol as an area of collaboration.

With regard to procedural and substantive improvements (in prioritised order):

(1) the European Parliament could call on the EU Commission to include in the legal tools currently under development to support the European Arrest Warrant system, the processing of Red Notice requests. This should include step-by-step guidelines for all EU Member States on how to handle Red Notice requests (deciding on, communicating, updating, erasing, inserting notes).

(2) the European Parliament could call on the EU Commission to include in the negotiations with Interpol an item to have Interpol produce, update and make available procedural and substantive tools on the legal handling – including rights-based boundaries – of Red Notices, ensuring consistent and transparent processing of requests, reviews, challenges, corrections and deletions.

(3) the European Parliament could call on the EU Commission to include in the negotiations with Interpol an item to have Interpol produce yearly statistical data on processing of requests for Red Notices with data on country of request, criminal offence category, review outcome, reasons for denial, and the use of available sanctions against member countries. If this is not achieved, the European Parliament could call on the EU Commission to ensure that statistical data on EU Member States’ handling of requests for Red Notice arrests is developed for all Member States.

(4) based on the statistical data, the European Parliament could call on the EU Commission to include in the negotiations with Interpol an item to have Interpol develop public risk profiles of Red Notice requesting countries. This is necessary to evaluate the risk of abuse associated with the requesting countries and to evaluate the effectiveness of the enforcement mechanisms of Interpol.

(5) the European Parliament could call on the EU Commission to include a mechanism for EU to formulate and monitor the agenda of reform initiatives with regard to Red Notices, in the current negotiations for a collaboration agreement with Interpol.

Recommendations with regard to institutional support of platforms for exchange of necessary information:

Both digital platforms and professional human-based networks to facilitate the information exchange already exist. The most important actions are to support and further develop the proper functioning and synergies of these platforms. The European Search Portal provides an optimal starting point.

 (1)      the European Parliament could call on the EU Commission to further develop the legal and institutional framework of the European Search Portal to include a database on final judicial decisions related to existing Red Notices and prior decisions on arrest and extraditions related to an existing Red Notice, as well as a repository with relevant and updated human rights information on requesting countries.

(2) the European Parliament could call on the EU Commission to take the necessary steps to develop and administrate databases on final judicial decisions related to existing Red Notices, and prior decisions on arrest and extraditions related to an existing Red Notice, as well as a repository with relevant and updated human rights information on requesting countries.

(3) to support access and exchange of data, the European Parliament could call on the EU Commission to involve the European Judicial Network in the design of best practices when connecting to other authorities in Member States and when exchanging information concerning Red Notice warrants.

(4) the European Parliament could call on the EU Commission to establish an office to support the update of relevant data, the administration of the databases, and to coordinate the update and prepare procedural and legal guidelines to ensure fundamental rights of citizens going forward.

LINK TO THE FULL STUDY