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Queensland Information Commissioner |
Office of the Information Commissioner
(Qld)
Decision and Reasons for
Decision
Application Number:
210419
Applicant:
Mr Colin Candy
Respondent:
Environmental Protection Agency
Decision
Date:
25 November 2008
Catchwords: FREEDOM OF INFORMATION - section 22(b) of the Freedom of Information Act 1992 (Qld) - refusal of access - whether documents reasonably available for public inspection
FREEDOM OF INFORMATION - section 28A(1) of the Freedom of Information Act 1992 (Qld) - refusal of access to non-existent documents - whether reasonable grounds to believe documents exist - whether adequate searches conducted by agency
FREEDOM OF INFORMATION - section 29B of the Freedom of Information Act 1992 (Qld) - refusal to deal with application - previous application for same documents
FREEDOM OF INFORMATION - section 77(1)(a) of the Freedom of Information Act 1992 (Qld) - whether application for review is misconceived - whether Commissioner should decide not to further deal with application for review
FREEDOM OF INFORMATION - section 44(1) of the Freedom of Information Act 1992 (Qld) - matter concerning personal affairs - public interest balancing test
FREEDOM OF INFORMATION - scope - attempt to expand scope of external review application - whether within jurisdiction of review
Contents
REASONS FOR DECISION
Summary
1. In
this decision, I have made the following findings:
• the scope of this external review is limited to a review of the decision of the Environmental Protection Agency (EPA) on the documents sought in the Applicant’s freedom of information application (FOI Application) dated 30 August 2007
• section 22(b) of the Freedom of Information Act 1992 (Qld) (FOI Act) applies to the documents sought in Item 11 of the FOI Application
• section 28A(1) of the FOI Act applies to the documents sought in Items 4, 5, 9, 10, 14 and 15 of the FOI Application
• section 29B of the FOI Act applies to the documents sought in Items 1, 6, 12 and 13 of the FOI Application
• the External Review Application, to the extent that it concerns Item 7 of the FOI Application, is misconceived and should not be further dealt with pursuant to section 77(1)(a) of the FOI Act
• the matter in issue
in the four folios located by the EPA in response to Item 3 of the FOI
Application is exempt from
disclosure under section 44(1) of the FOI
Act.
Background
2. On
8 March 2001 officers of the Queensland Parks and Wildlife Service (QPWS)
removed a red kangaroo that the Applicant and his family had been caring for
since April 2000. The EPA removed the kangaroo on
the basis that it was a
‘protected animal’ under the Nature Conservation Act
1992 (Qld)[1] and that the
Applicant was prohibited from keeping it pursuant to section 88 of the
Nature Conservation Act.[2] The kangaroo died shortly after
it was removed from the Applicant’s care and while in the possession of an
approved wildlife
carer. The removal of the kangaroo, named Mitchell, has
been the subject of a number of legal actions instituted by the
Applicant.
3. By
email dated 30 August 2007 (FOI Application) the Applicant applied to the
EPA for access to documents as listed in Table 1 below:[3]
Table 1
|
Item No.
|
Documents sought
|
1
|
Details of the information that the Minister for Environment The Honourable
Dean Wells MP based his reasoning for producing the Media
Statement of
7th May 2001, in telling the world that Mitchell had
died?
|
2
|
Details of the Queensland Legislation which prohibits the keeping of
kangaroos in suburban backyards as in place at 7th May
2001?
|
3
|
Details of any reports of people ever being harmed or killed by red
kangaroos?
|
4
|
Details of any Reports of any Death Threats to the Carer involved in
Mitchell’s alleged demise as Reported in Ministerial Briefing
Note 8th May
2001?
|
5
|
Details of any Reports of the alleged death threats (as required at item
4), sent to Queensland Police Service?
|
6
|
Details of the photos taken on the 30th April 2001 of the carcass as
Reported in Ministerial Briefing Note 8th May 2001?
|
7
|
Details of a list of all protected animals in Queensland as at 2001 and
their respective Classifications?
|
8
|
Details of a list of native wildlife other protected wildlife as per
section 97, Nature Conservation Act 1992?
|
9
|
Details of the Declaration Order of the Bridled Nail-tailed Wallaby and the
Bilby as Declared by the Order of Governor in Council
to be Fauna for the
Purpose of the Fauna Conservation Act 1974?
|
10
|
Details of any and all Declarations as Ordered by the Governor in Council
which include the Red Kangaroo and the Swamp Wallaby as
named species of
wildlife in Queensland to this day?
|
11
|
Details of all Gazette Notices (including protection, pest and open season
classifications) which included the Red Kangaroo and the
Swamp Wallaby as named
species of wildlife to this day?
|
12
|
Details of Queensland Parks and Wildlife Service adherence to Q.NPWS
Procedure Guide Notice no. 009, Seizure of Wildlife (21st October
1998) at 34
Cypress St, Torquay Q, on the 8th March 2001 and 30th November 2001?
|
13
|
Details of the Queensland Parks and Wildlife Service adherence to Q.NPWS
Procedure Guide Notice no. 025, Permit to Keep Protected
Wildlife (26th August
1998) at 34 Cypress St., Torquay, Q, on the 8th March 2001 and 30th November
2001?
|
14
|
Details of Q.NPWS Procedure Guide, Entry and Search, Evidence of Offences,
as in place at 2001?
|
15
|
Details of Q.NPWS Procedure Guide, for Disposal of Wildlife etc, Not Owned
by the State as in place at 2001?
|
4. By
letter dated 15 October 2007, Mr L Clarke[4] informed the Applicant of the decision he had made on the FOI
Application (Original Decision). The
findings made in the Original Decision are set out in Table 2 below:
Table 2
|
Item No.
|
Decision
|
Section of FOI Act relied on by decision-maker
|
1
|
Refused to deal with this request as this matter was previously addressed
in an earlier FOI application (no. 06/0042) which has been
the subject of a
completed external review
|
Section 29B of the FOI Act
|
2
|
Provided copy of section 88 of the Nature Conservation Act 1992
(Qld)
|
None - access provided
|
3
|
Located six folios comprising two copies of a briefing note dated 18 July
2006
- full access to two
folios
- partial access to
four folios
|
Section 44(1) of the FOI Act
|
4
|
No documents held
|
Section 21 of the FOI Act
|
5
|
No documents held
|
Section 21 of the FOI Act
|
6
|
Refused to deal with this request as this matter was previously addressed
in an earlier FOI application (no. 06/0042) which has been
the subject of a
completed external review
|
Section 29B of the FOI Act
|
7
|
Refused to deal with this request as this matter was previously addressed
in an earlier FOI application (no. 06/0042) which has been
the subject of a
completed external review
|
Section 29B of the FOI Act
|
8
|
Provided copies of relevant sections of the Nature Conservation Act 1992
(Qld)
|
None - access provided
|
9
|
No documents held
|
Section 21 of the FOI Act
|
No documents held
|
Section 21 of the FOI Act
|
|
11
|
Refused access as documents sought (Government Gazette Notices) are
publicly available
|
Section 22(b) of the FOI Act
|
12
|
Refused to deal with this request as this matter was previously addressed
in an earlier FOI application (no. 06/0042) which has been
the subject of a
completed external review
|
Section 29B of the FOI Act
|
13
|
Refused to deal with this request as this matter was previously addressed
in an earlier FOI application (no. 06/0042) which has been
the subject of a
completed external review
|
Section 29B of the FOI Act
|
14
|
No documents held
|
Section 21 of the FOI Act
|
15
|
No documents held
|
Section 21 of the FOI Act
|
5. By
email dated 13 November 2007 the Applicant applied to the EPA for internal
review of the Original Decision (Internal Review Application).
6. By
letter dated 20 December 2007, Mr P Arthur[5] informed the Applicant that he had decided to affirm the
Original Decision (Internal Review Decision).
7. By
email dated 24 December 2007 the Applicant applied to this Office for external
review of the Internal Review Decision
(External Review
Application).
Decision under review
8. The decision which is the subject of this external review is the Internal Review Decision of Mr P Arthur dated 20 December 2007.
Steps taken in the external review process
9.
Following receipt of the External Review Application, this Office obtained, from
the EPA, copies of the FOI Application,
Original Decision, Internal Review
Application and Internal Review Decision.
10. By letter dated 29
January 2008, I:
• informed the Applicant that the Internal Review Decision would be reviewed by this Office
• confirmed the scope of the External Review Application
• requested the
Applicant to provide submissions in support of his contention that further
documents relevant to the
FOI Application should be in the possession or under
the control of the EPA.
11. By email dated 6 February
2008 the Applicant provided this Office with further submissions concerning the
existence of
additional documents. In that correspondence, the Applicant
also indicated that he wanted to expand the scope of his FOI Application
as
follows:
...in this instance I would like to amend my request to encompass all
documents surrounding the disappearance of Mitchell, ie any
EPA request’s
[sic] as to why Mitchell’s alleged remains were not frozen as
required by the then NQPWS seizure procedure guide?
12. On 12 February 2008, the
Applicant provided this Office with additional submissions and documents in
support of his contentions.[6]
13. On 24 June 2008 a staff
member of this Office informed the EPA that it was not entitled to rely on
section 21 of the FOI
Act in refusing the Applicant access to the documents
sought in Items 4, 5, 9, 10, 14 and 15 of the FOI Application. In
response,
the EPA explained that it had intended to rely on section 28A of the
FOI Act in refusing access to the documents sought in those
items of the FOI
Application.
14. On 1 October 2008, the
EPA confirmed that it specifically relied on section 28A(1) of the FOI Act in
refusing the access
to the documents sought in Items 4, 5, 9, 10, 14 and 15 of
the FOI Application.
15. By letter dated 13
October 2008, I conveyed to the Applicant the preliminary view which I had
formed with respect to the
issues raised in this review (Preliminary
View), as follows:
• the EPA was entitled to refuse access to the documents sought in Item 11 of his FOI Application on the basis of section 22(b) of the FOI Act
• the EPA was entitled to refuse access to the documents requested in Items 4, 5, 9, 10, 14 and 15 of his FOI Application on the basis of section 28A(1) of the FOI Act
• the EPA was entitled to refuse to deal with Items 1, 6, 12 and 13 of the FOI Application on the basis of section 29B of the FOI Act
• Item 7 of the FOI Application should not be further dealt with pursuant to section 77(1)(a) of the FOI Act because it is misconceived
• the matter deleted from the four folios located in response to Item 3 of the FOI Application is exempt from disclosure under section 44(1) of the FOI Act
• the scope of this
external review is limited to a review of the EPA’s decision only in
respect of the documents
sought in the FOI Application dated 30 August
2007.
16. In my letter dated 13
October 2008, I asked the Applicant to inform me, by 27 October 2008,
if he accepted the Preliminary
View. In the event that he did not accept
the Preliminary View, I invited him to provide submissions in response.
17. By email dated 15 October
2008, submissions were made to this Office in response to the Preliminary View
by Mr Michael
Charman, on behalf of the Applicant.[7]
18. By email dated 27 October
2008, the Applicant provided submissions in response to the Preliminary View and
supporting
documents. The Applicant’s submissions primarily focus on
his contentions regarding the existence of further documents.
19. By email dated 28 October
2008, I informed the Applicant that I:
• had accepted his email dated 27 October 2008 and Mr Charman’s email dated 15 October 2008 as his submissions in response to the Preliminary View
• would consider those
submissions prior to making my final decision in this review.
20. In making this decision,
I have taken the following material into account:
• FOI Application
• Original Decision
• Internal Review Application
• Internal Review Decision
• External Review Application
• Applicant’s submissions to this Office dated 6 February 2008, 12 February 2008, 15 October 2008[8] and 27 October 2008
• records of telephone conversations held between this Office and the EPA dated 24 June 2008 and 1 October 2008
• documents containing matter to which the EPA refused the Applicant access on the basis of section 44(1) of the FOI Act
• the decision I made in External Review No. 210439 on 17 June 2008
• parts of the Applicant’s FOI Application dated 12 July 2006[9]
• relevant sections of the FOI Act
• relevant sections of the following:
o Nature Conservation (Wildlife) Regulation 2006 (Qld)[10]
o Nature Conservation (Wildlife Management) Regulation 2006 (Qld)[11]
• previous decisions of
the Information Commissioner of Queensland and decisions from other Australian
jurisdictions.
Matter in issue
21. The issues raised by the
External Review Application are:
(i) does section 22(b) of the FOI Act apply to the documents sought in Item 11 of the FOI Application
(ii) does section 28A(1) of the FOI Act apply to the documents requested in Items 4, 5, 9, 10, 14 and 15 of the FOI Application on the basis of section 28A(1) of the FOI Act
(iii) does section 29B of the FOI Act apply to Items 1, 6, 7, 12 and 13 of the FOI Application
(iv) is the matter in issue in the
four folios located by the EPA in response to Item 3 of the FOI Application
exempt from disclosure under section 44(1) of the FOI Act.
22. Issue (ii) also requires
analysis of the sufficiency of the EPA’s searches.
23. The scope of documents
sought in the FOI Application is also in issue in light of the Applicant’s
submission to
this Office dated 6 February 2008.
24. It is clear from the
Applicant’s submissions that he is extremely dissatisfied with the actions
of the EPA in relation
to the seizure of Mitchell and his subsequent dealings
with that agency. It appears that the Applicant wishes to establish that
the red kangaroo was not a ‘protected’ species under
the Nature Conservation Act at the time Mitchell was seized. In the
civil proceedings instituted by the Applicant in the Supreme Court he attempted
to establish
that the red kangaroo is not a protected animal and
accordingly, the EPA was not entitled to seize Mitchell and other animals from
the Applicant’s residence.
The Applicant did not succeed in
establishing that point in the Supreme Court proceeding.[12]
25. The Applicant also seeks
to have the EPA create documents that he appears to accept do not presently
exist, but maintains
should have been created by the EPA.
26. In this review, the
jurisdiction of the Information Commissioner is limited by the terms of the FOI
Act, to determining
the six issues set out in paragraphs 21-23 of this
decision. The Applicant has been advised on several occasions by this
Office
of the issues which are the subject of this
review.
Findings
Scope of this
external review
27. The terms of the FOI
Application are set out in Table 1 above.
28. In his submissions to
this Office dated 6 February 2008, the Applicant indicated that in addition to
the documents requested
in his FOI Application he also wanted to seek access to
‘all documents surrounding the disappearance of Mitchell’.
29. The Applicant’s
request for access to ‘all documents surrounding the disappearance of
Mitchell’ was not set out in the FOI Application, nor was it the
subject of the decision under review.
30. In Robbins and
Brisbane North Regional Health Authority[13], the Information Commissioner stated as follows with respect
to the scope of an external review
application:
It is not possible for an applicant to unilaterally extend the terms of an
FOI access application at the external review stage. The
terms in which
the FOI access application was framed will already have set the parameters for
an agency's response under Part 3 of
the FOI Act, and in particular set the
direction of the agency's search efforts to locate all documents of the agency
which fall
within the terms of the FOI access application ... Section
25(2) provides that an FOI access application must provide such information
concerning the document sought as is reasonably necessary to enable a
responsible officer of the agency or the Minister to identify
the
document. (There would appear to be no impediment to the terms of an FOI
access application being extended by agreement, and
there is, of course, nothing
to prevent an applicant from making a fresh application for access to matter
which falls outside the
scope of an earlier FOI access
application.)[14]
31. Based on the Information
Commissioner’s reasoning in Robbins as set out above, I am
satisfied that the scope of this external review is limited to a review of the
EPA’s decision only with
respect to the specific documents sought in the
FOI Application dated 30 August 2007.
Does section 22(b) of the FOI Act apply to the documents
sought in Item 11 of the FOI Application?
32. The EPA refused access to
the documents sought in Item 11 of the FOI Application pursuant to section 22(b)
of the FOI
Act on the basis that Government Gazette Notices can be accessed by
inspection in a public library.
Section 22 of the FOI
Act
33. This section relevantly
provides:
22 Documents to which access may be refused
An agency or Minister may refuse access under this Act to—
...
(b) a document that is reasonably available for public inspection
under the Public Records Act 2002 or in a public library ...
34. The State Library of
Queensland (State Library) online catalogue[15] confirms that Government Gazette Notices from 1859[16] to current are held by the State
Library and available for inspection.[17]
35. On that basis, I am
satisfied that the Government Gazette Notices to which the Applicant seeks
access in Item 11 of the
FOI Application are reasonably available for public
inspection at a public library, namely the State Library.
36. Accordingly, I find that
the EPA was entitled to refuse access to those documents on the basis of section
22(b) of the
FOI Act.
Does section 28A(1) of the FOI Act
apply to the documents requested in Items 4, 5, 9, 10, 14 and 15 of the FOI
Application on the
basis of section 28A(1) of the FOI
Act?
37. In the Original Decision
and Internal Review Decision, the EPA incorrectly relied on section 21 of the
FOI Act in refusing
access to the documents sought in items 4, 5, 9, 10, 14 and
15 of the FOI Application. During this review, the EPA submitted that
it
had intended to rely on section 28A(1) of the FOI Act in refusing the Applicant
access to those documents.
Section 28A of the
FOI Act
38. This section relevantly
provides:
28A Refusal of access—document nonexistent or unlocatable
(1) An agency or Minister may refuse access to a
document if the agency or Minister is satisfied the document does not
exist.
...
39. In applying section
28A(1) of the FOI Act, the following two questions relating to the issue of
‘sufficiency of
search’ require consideration:
(i) are there reasonable grounds to believe that the requested documents exist and are documents of the agency as that term is defined in section 7 of the FOI Act
and if so
(ii) have the search efforts made by the agency to
locate such documents been reasonable in all the circumstances
of the
review.[18]
Reasonable grounds
40. In determining whether
there are reasonable grounds to believe that additional relevant documents are
in the possession
or under the control of an agency, the Information
Commissioner has previously indicated[19] that an applicant will ordinarily need to:
• explain fully their grounds for believing that the respondent agency holds additional responsive documents
• disclose any relevant
documentary or other evidence which tends to support the existence of reasonable
grounds for
such a belief.
41. I have examined the
submissions the Applicant made to the EPA during the processing of his FOI
Application and to this
Office during this review. In summary, the
Applicant made the following submissions:
• death threats were made by the carer involved in ‘Mitchell’s alleged demise’ to another individual which were allegedly reported to the Tin Can Bay police station and therefore, the EPA must hold reports relating to those threats
• on the basis that some Orders in Council exist (which the Applicant has in his possession) in relation to the bridled nail-tailed wallaby, the bilby, the red kangaroo and swamp wallaby, the EPA must hold more Orders in Council relevant to those animals
• he has not been provided with a document titled ‘Entry and Search, Evidence of Offences’ which is referred to in the QPWS Procedure Guide Notice No. 009 21/10/98
• he has not been
provided with a document titled ‘Disposal of Wildlife etc, Not Owned by
the State’ which is referred to in the QPWS Procedure Guide Notice No.
009 21/10/98.
42. In his submissions to
this Office dated 27 October 2008, the Applicant contends that ‘...the
law requires that an Order in Council is published and gazetted,
informing the community of which species are specified, prescribed and
declared’.
43. The Applicant’s
submissions do not address the requirements set out by the Information
Commissioner in Ainsworth in terms of establishing reasonable grounds to
support a belief that further documents exist. Notwithstanding, I have
taken the Applicant’s
submissions into account and note as follows in
response:
• there is no evidence before me regarding death threats that were made by Mitchell’s carer. If the Applicant is seeking access to police reports, such documents (if they exist) would be held by the Queensland Police Service
• the mere existence of certain Orders in Council does not raise reasonable grounds to believe further Orders in Council relating to the bridled nail-tailed wallaby, bilby, red kangaroo and swamp wallaby are in the possession or under the control of the EPA[20]
• the reference in the QPWS Procedure to ‘Entry and Search, Evidence of Offences’ is not a reference to a document but to a section of the Nature Conservation Act[21]
• the reference in the
QPWS Procedure to ‘Disposal of Wildlife etc, Not Owned by the
State’ is not a reference to a document but to a section of the
Nature Conservation Act[22]
44. On the basis of the
information before me in this review, I am satisfied that the Applicant has not
raised any reasonable
grounds to believe that the documents sought in Items 4,
5, 9, 10, 14 and 15 of the FOI Application are in the possession or under
the
control of the EPA.
45. In light of my finding
that there are no reasonable grounds to believe further documents exist, the
principles in Shepherd[23] do
not require me to examine the searches conducted by the agency. However, I
have set out the searches undertaken by the EPA below
for
completeness.
Searches
undertaken by the EPA
46. In an effort to locate
the documents sought by the Applicant in items 4, 5, 9, 10, 14 and 15 of the FOI
Application, the
EPA undertook searches in the following locations:
• Southern Regional Queensland Parks and Wildlife Services Office
• Executive Services Unit
• Conservation Services
Division.
47. In light of the extensive
and thorough searches undertaken by the EPA for the purpose of this FOI
Application, I am satisfied
that the searches undertaken by the EPA for
documents relating to the FOI Application have been reasonable in the
circumstances of
this case.
Summary
48. Based on my analysis
of:
• the submissions the Applicant made to the EPA during the processing of his FOI Application and to this Office during this review
• the searches undertaken by the EPA in processing the FOI Application
• the explanations
provided by the EPA as to why the documents sought in the FOI Application do not
exist
I am satisfied that, with respect to the documents sought in Items 4, 5, 9,
10, 14 and 15 of the FOI Application:
• there are no reasonable grounds to believe that those documents are in the possession or under the control of the EPA
• the searches undertaken by the EPA have been reasonable in the circumstances of this review
• section 28A(1) of the
FOI Act applies to those documents.
Does section 29B of the FOI
Act apply to Items 1, 6, 7, 12 and 13 of the FOI Application?
49. In the Original Decision,
Mr Clarke refused to deal with Items 1, 6, 7, 12 and 13 of the FOI Application
on the basis
of section 29B of the FOI Act because the documents sought in those
items were ‘...previously addressed in [the Applicant’s]
previous Freedom of Information application Reference Number
06/0042...’
50. The Internal Review
Decision affirmed the reliance on section 29B of the FOI Act and further
explained that the ground
upon which the refusal to deal was based was section
29B(4)(a)(ii) of the FOI Act because the previous FOI Application had been the
subject of a completed review under Part 5 of the FOI Act.
Section 29B of the FOI Act
51. This section relevantly provides:
29B Refusal to deal with application—previous application for same documents
(1) This section applies if an applicant applies to an agency or Minister (the later application) for access to documents that have been the subject of an earlier application made by the same applicant to the same agency or Minister (the earlier application).
...
(3) The agency or Minister may, to the extent the later application relates to documents sought under the earlier application, refuse to deal with the later application on a ground mentioned in subsection (4) if—
(a) the agency or Minister is satisfied the documents sought under the later application are the documents sought under the earlier application; and
(b) the later application has not disclosed any reasonable basis for again seeking access to the documents.
(4) The grounds are as follows—
(a) the agency’s or Minister’s decision on the earlier application—
(i) is the subject of a review under part 5 and the review is not complete; or
(ii) has been the subject of a completed review under part 5;
...
Application of section 29B of the FOI
Act
52. For the EPA to be
entitled to refuse to deal with items 1, 6, 7, 12 and 13 of the FOI Application
on the basis of section
29B(4)(a)(ii) of the FOI Act, the following must be
established:
(i) the documents sought under the later application are the documents sought under the earlier application
(ii) the later application has not disclosed any reasonable basis for again seeking access to the documents
(iii) the EPA’s
decision on the earlier application has been the subject of a completed
review
under Part 5 of the FOI Act
53. I have examined each of
these requirements below. However, I have not examined the application of
section 29B of the
FOI Act to Item 7 of the FOI Application because I have found
that the Applicant’s request for access to documents in that
item is
misconceived and should not be further dealt with on the basis of section
77(1)(a) of the FOI Act. My reasons for making
that finding are set out in
paragraphs 65-76 of this decision.
(i) Documents sought under the later application are the
documents sought under the earlier application
54. This external review concerns the later application for the purpose of section 29B of the FOI Act. The relevant requests for access in the FOI Application are set out in the table below:
55.
Table 3
|
|
Item No.
|
Document sought
|
1
|
Details of the information that the Minister for Environment the Honourable
Dean Wells MP based his reasoning for producing the Media
Statement of 7 May
2001, in telling the world that Mitchell had died
|
6
|
Details of the photos taken on the 30 April 2001 of the carcass as Reported
in Ministerial Briefing Note 8 May 2001
|
12
|
Details of Queensland Parks and Wildlife Service adherence to Procedure
Guide Notice no. 009, Seizure of Wildlife (21 October 1998)
at 34 Cypress St,
Torquay Q, on the 8 March 2001 and 30 November 2001
|
13
|
Details of the Queensland Parks and Wildlife Service adherence to Procedure
Guide Notice no. 025, Permit to Keep Protected Wildlife
(26 August 1998) at 34
Cypress St., Torquay, Q, on the 8 March 2001 and 30 November 2001
|
56. The earlier
application dated 12 July 2006 (which became external review no. 210102)
sought access to:
All documents held by the EPA in relation to [the Applicant] or
[the Applicant’s] daughter Emma, regarding the keeping of kangaroos
or wallabies.
57. The documents sought in
Items 1, 6, 12 and 13 of the later application are not specifically
identified by the terms of the earlier application. However, I
consider that the documents responsive to Items 1, 6, 12 and 13 as set out in
the table above, are captured by the broad
terms of the earlier
application.
58. In response to the
earlier application, the EPA located 5656 folios and released 3751 folios
to the Applicant. On the basis that items 1, 6, 12 and 13 of the later
application relate to the Applicant’s keeping of kangaroos or
wallabies and the EPA’s involvement therein, I am satisfied
that:
• documents relating to those items are encompassed by the terms of the earlier application
• the requirement in
section 29B(3)(a) of the FOI Act is satisfied.
(ii) The later application failed to disclose any
reasonable basis for again seeking access to the documents
59. In the later
application, the Applicant raised the following to support his requests for
access to documents in Items 1, 6, 12 and 13 of the FOI Application:
• Item 1: the only information which has been provided by the EPA to the Applicant in relation to the Minister’s advice that Mitchell had died is a Ministerial Briefing Note dated 8 May 2001
• Item 6: the photos provided by the EPA of Mitchell’s remains are of an age far greater than three weeks post-mortem whereas the Applicant seeks access to photos ranging between one and six days post-mortem
• Item 12: the relevant QPWS Procedure Guide advises that when a seizure notice is issued, the remains of dead protected wildlife are frozen to adequately preserve the evidence. The EPA has incorrectly assumed that the Applicant surrendered Mitchell to the QPWS so a seizure notice was not required, but in fact, a seizure notice should exist
• Item 13: the
Applicant had ‘humanised Mitchell and ... he was reliant upon [the
Applicant] for survival’ and therefore, he should have been issued
with a permit to keep the animal.[24]
60. I have carefully examined
the Applicant’s submissions. I note that his submissions with
respect to Items 1, 6 and
12 raise the issue of sufficiency of search, that is,
he contends that further documents should exist in relation to those
items.
I note that in the earlier application, the Applicant raised
the ground of sufficiency of search on internal review. Sufficiency of
search was also dealt with on the external
review concerning the earlier
application. However, no further documents were located by the EPA
with respect to the earlier application at either stage of
review.
61. Accordingly, I am
satisfied that:
• the grounds raised by the Applicant do not disclose any reasonable basis for him to again be seeking access to the documents to which he has previously sought access in the earlier application
• the Applicant has not
raised any reasonable grounds to believe that any further responsive documents
would have been
created by the EPA between the dates of the earlier
application and the later application.
62. Accordingly, I find that:
• the later application fails to disclose any reasonable basis for again seeking access to the documents sought in the earlier application
• the requirement of
section 29B(3)(b) of the FOI Act is satisfied.
(iii) The EPA’s decision on the earlier application has
been the subject of a completed review under Part 5 of the FOI
Act.
63. The earlier
application was the Applicant’s FOI application to the EPA dated
12 July 2006 that resulted in external review number 210102.
That review
was completed on 27 January 2007 by virtue of the
Applicant’s acceptance of a preliminary view in resolution of the
review.
64. Accordingly, I am
satisfied that the requirement in section 29B(4)(a)(ii) of the FOI Act is
satisfied.
Conclusion
65. In light of my findings set out in paragraphs 52-64 of this decision, I conclude that:
• the requirements of section 29B of the FOI Act are satisfied
• the EPA was entitled
to refuse to deal with items 1, 6, 12 and 13 of the FOI Application on the basis
of section 29B
of the FOI
Act.
Item 7 of the FOI Application
66. In Item 7 of the FOI
Application the Applicant sought access to:
Details of a list of all protected animals in Queensland as at 2001 and
their respective Classifications.
67. This request is similar
to requests the Applicant has made in several previous FOI applications he has
made to the EPA
for access to lists of protected animals and wildlife.[25] I dealt with those requests
for access in External Reviews No. 210218 and 210439 and issued a decision in
both reviews.[26]
68. In my decision in
External Review No. 210439, I conducted a thorough analysis of the relevant
legislative scheme as it
applied to the Applicant’s requests for
documents. I have extracted the relevant parts of that decision and set
them out below:
I have undertaken a thorough review of the [Nature Conservation Act] and the [Wildlife Regulation] and the [Wildlife Management Regulation] (the NC Scheme). I have sought submissions from the EPA, and, after considering [the Applicant’s] submissions, those made by the EPA and the relevant legislation, have concluded that:
• the object of the [Nature Conservation Act] is the conservation of nature through an integrated and comprehensive conservation strategy, including the protection of native wildlife and its habitat.
• the [Wildlife Regulation] and the [Wildlife Management Regulation] both operate to further the object of the [Nature Conservation Act]. The purpose of the [Wildlife Regulation] is to prescribe the classifications of wildlife and state the declared management intent for each classification, while the [Wildlife Management Regulation] provides for the management of wildlife that is not in a protected area.
• Native Wildlife is defined in the Schedule of the [Nature Conservation Act] as any taxon or species of wildlife indigenous to Australia. The Schedule states that wildlife indigenous to Australia is wildlife that was not originally introduced to Australia by human intervention or a migratory animal that periodically or occasionally migrates to Australia.
• one of the means utilised in the NC Scheme to protect native wildlife and its habitat is to declare certain animals as protected animals.
• the [Nature Conservation Act] defines protected animals as:
protected animal means an animal that is prescribed under this Act as threatened, rare, near threatened or least concern wildlife, but does not include a processed product that—
(a) is made or derived from a protected animal; and
(b) is declared under a regulation or conservation plan for the protected animal to be a processed product that is not included in this definition.
• I note that the [Nature Conservation Act] in force as at 9 February 2001 used the term “common wildlife” and that this term was later changed to “least concern wildlife”
• threatened, rare and common wildlife are also defined in the [Nature Conservation Act] Schedule as those animals that have been prescribed as such for the purpose of the [Nature Conservation Act]. The prescription of such wildlife occurred by way of regulation, namely the [Wildlife Regulation] and the [Wildlife Management Regulation]
• the [Wildlife Regulation] prescribes the categories of extinct in the wild wildlife, endangered wildlife, vulnerable wildlife, rare wildlife, near threatened wildlife, least concern wildlife, international wildlife and prohibited wildlife.
• the [Wildlife Management Regulation] prescribes the categories of domestic animals, exempt animals, controlled animals, commercial animals, recreational animals and restricted animals.
• there is no comprehensive list of ‘common’ or ‘least concern’ wildlife in either of those regulations
• rather the [Wildlife Regulation] lists in the schedules extinct, endangered, vulnerable, rare and near threatened wildlife and defines ‘common’ or ‘least concern’ wildlife in schedule 6 as animals indigenous to Australia that are not captured in the classification of extinct, endangered, vulnerable, rare or near threatened (with some listed exceptions that are dealt with differently under the [Nature Conservation Act] and Regulations)
• Schedule 3 of the [Wildlife Management Regulation] lists exempt, controlled, commercial, recreational and restricted wildlife, and Schedule 4 defines these terms by reference to Schedule 3.
Thus, in relation to the operation of the scheme, it is clear that lists
of the type being sought by [the Applicant] are contained in the NC
scheme, to the extent that the [Nature Conservation Act], the
[Wildlife Management Regulation] and the [Wildlife Regulation]
contain “lists” or “prescriptions” of animals.
69. In my decision in
External Review No. 210439, I found that the application was misconceived, and
pursuant to section 77(1)(a)
of the FOI Act I decided not to deal with the
application for review.
Section 77 of the FOI Act
70. Section 77 of the FOI Act
relevantly provides:
77 Commissioner may decide not to review
(1) The commissioner may decide not to deal with, or not to further deal with, all or part of an application for review if—
(a) the commissioner is satisfied the application, or the part of the application, is frivolous, vexatious, misconceived or lacking substance; or
...
71. In McGlade v Human
Rights and Equal Opportunity Commission and Another[27], Carr J set out the requirements
which must be satisfied to support a finding that a matter or application is
misconceived. His
Honour relevantly stated as
follows:
What needed to be demonstrated was what Ormiston JA described in
Rabel as “...facts which would undoubtedly deny the complainant
relief, that the complaint is so hopeless that it should be summarily
brought to
an end”.[28]
72. In order to determine
whether the External Review Application, to the extent it concerns Item 7 of the
FOI Application,
is misconceived, I must be satisfied that the facts are such
that the Applicant would not obtain any relief from the external review
process
and that therefore, the review with respect to Item 7 should not
proceed.
73. Mr Charman submitted, on
the Applicant’s behalf that the Applicant’s request in Item 7 of the
FOI Application
is ‘...not “misconceived” -- it is a
legitimate question and one that must be properly answered’. Mr
Charman’s submissions focus on the alleged failure of the Minister (and
the EPA) to comply with requirement under section 133(1)(c) of the Nature
Conservation Act to keep a register of protected wildlife.
74. In the decision I gave in
External Review No. 210218, I made the following findings:
• there is no list of named or specified wildlife other than that which is listed in the Nature Conservation Act and the Wildlife Regulation
• there is no requirement under the Nature Conservation Act that an advisory committee create a list of ‘named, specified wildlife’
• contrary to the Applicant’s assertion, the FOI Act does not oblige the EPA to create a list to satisfy his request for information
• the relevant provisions of the Nature Conservation Act and the Wildlife Regulation provided by the EPA is the only material held by the EPA which satisfies the terms of the Applicant’s application and that material was provided to him by the EPA
• there are no reasonable grounds to believe that other lists exist in relation to the classification of wildlife that have not already been disclosed to the Applicant
• the only lists are those
that appear in the definitions section of the Nature Conservation Act and
the Wildlife Regulation.
75. In the decision I gave in
External Review No. 210439, I made the following findings:
• the Applicant was seeking the same or similar lists as those sought in External Review No. 210218, in addition to other lists
• lists of the type that were sought by the Applicant exist in the Nature Conservation Act, the Wildlife Regulation and the Wildlife Management Regulation to the extent that those pieces of legislation “list” or “prescribe” animals
• the reasons given by the EPA as to the existence/non-existence of the documents being sought by the Applicant were consistent with my conclusions with respect to the relevant legislative scheme and were otherwise cogent
• there was no
likelihood that the Applicant’s external review application would succeed
on its merits and on
that basis, the application for review was misconceived.
76. As set out above, in
External Review No 210218, I found that the documents to which the Applicant
sought access were contained
within the relevant legislation, namely,
“lists” of animals and wildlife. In External Review No.
210439, I found that
the Applicant’s request for the same documents was
misconceived and should not be dealt with pursuant to section 77 of the
FOI
Act.
77. My decisions in those
reviews demonstrate that “lists” of animals and wildlife are
contained in the Nature Conservation Act and corresponding regulations
and that applications by the Applicant for access to such documents are
misconceived because those
documents are publicly available within the
legislation or do not exist in the form that the Applicant seeks access.
78. The documents to which
the Applicant seeks access in Item 7 of the FOI Application are substantially
the same as those
documents sought in his FOI applications which were the
subject of External Reviews No. 210218 and 210439. On that basis, it is
clear that the Applicant will not obtain any relief from the external review
process with respect to Item 7 of the FOI Application
because those documents
will be publicly available or will not exist in the form that the Applicant
seeks access.
79. Accordingly, I am
satisfied that the External Review Application, to the extent that it concerns
Item 7 of the FOI Application,
is misconceived. I therefore, decide not to
further deal with that item pursuant to section 77(1)(a) of the FOI
Act.
Is the matter in issue in the four folios
located by the EPA in response to Item 3 of the FOI Application exempt from
disclosure under
section 44(1) of the FOI Act?
80. The EPA refused access to parts of documents located in response to Item 3 of the FOI Application[29] on the basis that certain matter in those documents:
• concerns the personal affairs of other individuals
• is exempt from
disclosure under section 44(1) of the FOI
Act.
Section 44(1) of the FOI Act
81. This section
provides:
44 Matter affecting personal affairs
(1) Matter is exempt matter if its disclosure would
disclose information concerning the personal affairs of a person, whether living
or dead, unless its disclosure would, on balance, be in the public
interest.
82. The test for whether
matter qualifies for exemption under section 44(1) of the FOI Act comprises two
parts, as follows:
(i) would disclosure of the matter in issue disclose information that is properly characterised as information concerning the personal affairs of a person?
if (i) is answered affirmatively,
(ii) a public
interest consideration favouring non-disclosure is established and the matter in
issue will be prima facie exempt. However, if the public interest
considerations favouring disclosure outweigh all identifiable public interest
considerations
favouring non-disclosure, a finding that disclosure of the matter
in issue would, on balance, be in the public interest, is
warranted.
83. In Stewart and
Department of Transport[30] the
Information Commissioner discussed the meaning of the phrase
‘personal affairs of a person’ as it
appears in the FOI Act.[31] In
particular, the Information Commissioner said
that:
• information concerns a person’s personal affairs if it concerns the private aspects of a person's life
• there is a substantial grey area within the ambit of the phrase ‘personal affairs’, but that phrase has a well-accepted core meaning which includes matter relating to:
o family and marital relationships
o health or ill health
o relationships and emotional ties with other people
o domestic responsibilities or
financial obligations.
84. Whether or not
information contained in a document comprises information concerning an
individual's personal affairs is
a question of fact, to be determined according
to the proper characterisation of the information in question.
Application of section 44(1) of the FOI Act
85. I have examined the
matter which the EPA claims is exempt from disclosure under section 44(1) of the
FOI Act. That matter
consists of the names and personal details of
individuals who were the subject of, or otherwise involved in, attacks by
kangaroos
in the Ripley area.
86. I am satisfied that the
matter in the briefing notes concerns the personal affairs of other individuals
and is prima facie exempt from disclosure under section 44(1) of the FOI
Act.
Public interest balancing
test
87. On account of the way
that section 44(1) of the FOI Act is worded and structured, the mere finding
that information concerns
the personal affairs of a person other than the
applicant for access must always weigh against disclosure of that
information.
88. The weight afforded to
such a finding varies from case to case depending on:
• the weight of relevant privacy interests (which favour non-disclosure) attaching to the information
• the existence of relevant public interest considerations favouring disclosure
• the particular
circumstances of the case.
89. If there are no public
interest considerations in favour of disclosure, a finding in support of
non-disclosure will be
made.
90. In general terms, a
matter of public interest must be a matter that concerns the interests of the
community generally.
However, it has been recognised that ‘the
public interest necessarily comprehends an element of justice to the
individual’.[32] In
this regard, the Information Commissioner has previously stated as follows:
Thus, there is a public interest in individuals receiving fair treatment
in accordance with the law in their dealings with government,
as this is an
interest common to all members of the community. Similarly, the fact that
individuals and corporations have, and are
entitled to pursue, legitimate
private rights and interests can be given recognition as a public interest
consideration worthy of
protection, depending on the circumstances of any
particular case.[33]
91. Accordingly, it is
necessary for me to examine whether there are any public interest considerations
favouring disclosure
of the matter in folios 3, 6 and 7, which I have found is
prima facie exempt, and if there are, whether they outweigh the interest
in maintaining the privacy of the other individuals.
92. After careful
consideration of this issue, I consider that the following public interest
considerations in support of
disclosure may be relevant in the circumstances:
• accountability of the EPA in dealing with and reporting animal attacks
• openness and transparency and increased public understanding of government processes
• fair treatment of
individuals in accordance with the law in their dealings with government
agencies
93. However, I am satisfied
that disclosure of the personal affairs information concerning the other
individuals referred
to in the briefing notes will not further the above public
interest considerations as it is the information about the attacks themselves,
not the individuals’ names which demonstrates whether the agency had an
obligation to act and discharged that obligation appropriately.
Accordingly, those considerations should be afforded little weight in the
circumstances, whereas, the weight that should be afforded
to protecting the
privacy of those individuals is significant.
94. On balance, I am
satisfied that the public interest considerations favouring disclosure do not
outweigh the public interest
considerations favouring non-disclosure of the
matter in issue in the briefing notes.
95. Accordingly, I am
satisfied that the matter in issue in the briefing notes
• concerns the personal affairs of other individuals
• disclosing it would not, on balance, be in the public interest
• is exempt from
disclosure under section 44(1) of the FOI
Act.
DECISION
96. I vary the decision under
review, being the Internal Review Decision, and find as follows:
• the scope of this external review is limited to a review of the EPA’s decision on the documents sought in the FOI Application dated 30 August 2007
• section 22(b) of the FOI Act applies to the documents sought in Item 11 of the FOI Application
• section 28A(1) of the FOI Act applies to the documents sought in Items 4, 5, 9, 10, 14 and 15 of the FOI Application
• section 29B of the FOI Act applies to the documents sought in Items 1, 6, 12 and 13 of the FOI Application
• the External Review Application to the extent that it concerns Item 7 of the FOI Application is misconceived and should not be further dealt with pursuant to section 77(1)(a) of the FOI Act
• the matter in issue
in the four folios located by the EPA in response to Item 3 of the FOI
Application is exempt from
disclosure under section 44(1) of the FOI
Act
97. I have made this decision as a delegate of the Information Commissioner, under section 90 of the FOI Act.
________________________
Assistant Commissioner Corby
Date: 25 November 2008
[1] Referred to as the
Nature Conservation Act in this decision.
[2]
The Applicant did not hold a permit under the Nature
Conservation Regulation 1994 (Qld) at the time the kangaroo was removed by
the QPWS. Although a rescue permit had previously been issued to the
Applicant with
respect to the kangaroo, it was only valid for the period 30
September 2000 to 30 October 2000.
[3] I have set out the
requests for documents in the terms used by the Applicant in the FOI
Application.
[4] Senior FOI Officer at the
EPA.
[5]
Corporate Counsel at the EPA.
[6]
The Applicants submissions were sent to this Office in two separate
emails, both dated 12 February 2008.
[7] I accepted that email
as the Applicant’s submissions in response to the Preliminary
View.
[8]
Authored by Mr Michael Charman.
[9] That FOI Application
became External Review No. 210102.
[10] Referred to as the
Wildlife Regulation in this decision.
[11] Referred to as the
Wildlife Management Regulation in this
decision.
[12] See Candy v Thompson & Ors [2005] QSC 111; SC No
10684 of 2004, 9 May 2005 approved on appeal in Candy v Thompson & Ors
[ 2005] QCA 382 ; Appeal No 4579 of 2005, 14 October 2005.
[13]
[1994] QICmr 19; (1994) 2 QAR 30. Referred to as Robbins in this
decision.
[14] Robbins at paragraph 17.
[15] Available at www.slq.qld.gov.au.
[16] The first published Gazette is
dated 10 December 1859.
[17] The Gazettes are held on microfilm on level 3 of the
State Library.
[18] Shepherd and Department of Housing, Local Government and Planning [1994] QICmr 7; (1994) 1 QAR 464 at paragraphs 18-19. Referred to as Shepherd in this decision.
[19] In Ainsworth; Ainsworth Nominees Pty Ltd and Criminal Justice Commission; A (Third Party); B (Fourth Party) (1999) 9 QAR 284 at paragraph 46. Referred to as Ainsworth in this decision.
[20] In any event, Orders in Council must be notified or published in the Queensland Government Gazette (section 10 of the Statutory Instruments Act 1992 (Qld)) and therefore, any such documents would be available for inspection in the State Library and the EPA would be entitled to refuse access under section 22(b) of the FOI Act.
[21] The heading of Section 146 of the Nature Conservation Act is Entry and search—evidence of offences.
[22] The heading of Section 172 of the Nature Conservation Act is Disposal of wildlife etc. not owned by the State.
[23]
Set out in paragraph 38 of this decision.
[24] The Applicant concedes that such
permits are only issued for protected wildlife despite his contention that
Mitchell did not fall
within this category.
[25] Those applications became
External Review No. 210218 and 210439.
[26] Decisions dated 30 January
2008 and 17 June 2008, respectively.
[27] [2000] FCA 1477; [2000] 180 ALR
507.
[28]
At page 516.
[29] Those documents are two versions (a draft and a file
copy) of a briefing note dated 18 July 2006.
[30] [1993] QICmr 6; (1993) 1 QAR 227. Referred
to in this letter as Stewart.
[31] See paragraphs 79-114 of
Stewart.
[32] Attorney-General (NSW) v Quin (1990) 64 ALJR
627) per Mason CJ.
[33] Eccleston and Department of Family Services and Aboriginal and Islander Affairs [1993] QICmr 2; (1993) 1 QAR 60 at paragraph 55.
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