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THIRD
SECTION
CASE OF KARLIN v. SLOVAKIA
(Application
no. 41238/05)
JUDGMENT
STRASBOURG
28 June
2011
This
judgment will become final in the circumstances set out in Article 44
§ 2 of the Convention. It may be subject to editorial
revision.
In the case of Karlin v. Slovakia,
The
European Court of Human Rights (Third Section), sitting as a Chamber
composed of:
Josep Casadevall,
President,
Corneliu Bîrsan,
Alvina
Gyulumyan,
Ján Šikuta,
Luis López
Guerra,
Nona Tsotsoria,
Mihai Poalelungi,
judges,
and Santiago Quesada,
Section Registrar,
Having
deliberated in private on 31 May 2011,
Delivers
the following judgment, which was adopted on that date:
PROCEDURE
- The
case originated in an application (no. 41238/05) against the Slovak
Republic lodged with the Court under Article 34 of the Convention for
the Protection of Human Rights and Fundamental Freedoms (“the
Convention”) by a Slovak national, Mr Gabriel Karlin (“the
applicant”), on 14 October 2005.
- The
applicant was represented by Mr J. Havlát,
a lawyer practising in Bratislava. The Government of the Slovak
Republic (“the Government”) were represented by their
Agent, Ms M. Pirošíková.
- The
applicant alleged, in particular, that the proceedings on his request
for release from pre-trial detention had not been “speedy”,
contrary to Article 5 § 4 of the
Convention, and that he had not had an enforceable right to
compensation in that respect, contrary to Article 5 §
5 of the Convention. The applicant also alleged that the
investigative measures adopted and implemented in the proceedings
against him and the underlying legal regime were incompatible with
his rights under Article 8 of the Convention.
- On
19 April 2010 the Court decided to give notice of the application to
the Government. It was also decided to rule on the admissibility and
merits of the application at the same time (Article 29 § 1).
THE FACTS
I. THE CIRCUMSTANCES OF THE CASE
- The
applicant was born in 1946 and lives in Veľký
Krtíš. At the time of the events complained of,
the applicant was a Member of the National Council of the Slovak
Republic (the Parliament).
A. Criminal proceedings
- Prior
to the commencement of any criminal proceedings against a specific
person in the present case, on 23 July 2003, a single judge of the
Bratislava Regional Court (Krajský
súd) issued a warrant authorising monitoring of the
applicant’s telephone communications. The details are described
at paragraph 37 below.
- On
6 August 2003 a long-time friend of the applicant, A., filed
a criminal complaint against the applicant.
In
the complaint, A. submitted (i) that his company had been successful
in public procurement for construction works for a municipality
and (ii) that he had subsequently been approached by the applicant
with a request that he pay a percentage of the price of the
contracted works to a person within the municipal administration
so as to ensure that the contract could be concluded with final
effect.
- Following
the complaint of 6 August 2003, on the same day, a criminal
investigation was commenced into suspected abuse of official powers
and receipt of bribes (Articles 158 and 160(a) of the Criminal Code)
by an unknown third person in connection with the events described
above.
- On
7 August 2003 the Prosecutor General ruled that the investigation
should be supervised by the Nitra Regional Prosecutor.
- On
25 November 2003 the applicant, A. and a third person met in the
offices of a political party. After A. had left, the premises were
raided and searched by the police. The applicant’s briefcase
was retained and the equivalent of 12,000 euros (EUR) in cash was
found inside.
- The
applicant was detained as a suspect (for details see below) and, on
27 November 2003, he was charged with accepting bribes.
- On
completion of the pre-trial stage of the proceedings, on
1 March 2004, the applicant consulted the case file. The
consultation revealed that investigative measures had been ordered
and applied in his case as mentioned at paragraph 6 above and
described in detail at paragraphs 37 to 43 below.
- On
5 April 2004 the Regional Prosecutor indicted the applicant to stand
trial in the Banská Bystrica District Court (Okresný
súd).
- On
9 May 2005 the applicant was convicted at first instance but the
judgment was quashed on appeal on 23 February 2006.
- On
28 September 2009 the District Court acquitted the applicant and on
29 April 2010 the Banská Bystrica
Regional Court dismissed an appeal by the public prosecution service.
The acquittal thereby became final and binding (právoplatné).
- The
courts concluded that it was not proven that the actions of which the
applicant stood accused had taken place.
B. Placement in custody, request for release and
related constitutional complaint
- After
the police raid at 2.50 p.m. on 25 November 2003, the applicant was
detained as a suspect.
- On
27 November 2003 the Regional Prosecutor requested that the applicant
be remanded in custody pending trial on the charge referred to in
paragraph 11 above. On the same day Parliament gave its consent to
the applicant’s prosecution and detention.
- At
9.30 a.m. on 28 November 2003 the applicant was brought before a
single judge of the Nitra District Court to be heard in connection
with the prosecutor’s request.
- At
11 a.m. on 28 November 2003 the District Court judge remanded the
applicant in custody pending trial.
Observing
that the applicant and his co-accused were known regionally and
nationally, and that further evidence had to be taken from four
witnesses, the District Court found that it was necessary to detain
the applicant under Article 67 § 1 (b) of the 1961 CCP to
prevent him from colluding with his co-accused and from interfering
with the course of justice.
- Immediately
after being remanded in custody on 28 November 2003, the applicant
orally lodged an interlocutory appeal (sťaZnosť). He
submitted the grounds for his appeal in writing on 4 December 2003.
The
applicant argued, inter alia, that the Nitra District Court,
which had ordered his detention, could not be considered an
independent tribunal established by law because its territorial
jurisdiction had been unilaterally established by the Prosecutor
General when determining which prosecutor was to supervise the
investigation. According to the rules on territorial jurisdiction of
courts in the pre-trial phase of proceedings, the courts in the
judicial district of which the acting prosecutor had his or her seat
had jurisdiction. Had it not been for the decision of the Prosecutor
General, the investigation would have been supervised by the Banská
Bystrica District Prosecutor and, consequently, the case would have
fallen within the territorial jurisdiction of the Banská
Bystrica District Court.
- The
appeal was dismissed by the Nitra Regional Court on 11 December
2003 in private session (neverejné zasadnutie). As to
the territorial jurisdiction of the courts in matters concerning the
applicant’s pre-trial detention, the Regional Court noted that
it had followed the rules in Article 26 of the 1961 CCP. These rules
provided unequivocally that jurisdiction in the pre-trial phase of
the proceedings lay with the courts in the judicial district in which
the acting prosecutor had his or her seat. Moreover, the prosecution
service had had no influence on the assignment of the applicant’s
case to a specific judge at the District Court and to a chamber
at the Regional Court, both of which steps had occurred in full
compliance with the applicable rules.
- The
Regional Court considered that all the formal and substantive
requirements for detaining the applicant pending trial had been met,
and observed in particular that the applicant had been detained with
a suitcase containing the equivalent of EUR 12,000 in cash and that
fundamental differences between his version of events and that of
some witnesses had to be clarified by means of a confrontation
(konfrontácia).
- Under
domestic law, the order for the applicant’s detention became
final and binding on the day on which the Regional Court dismissed
his appeal, namely on 11 December 2003.
- The
decision of the Regional Court was served on the applicant and his
lawyer on 21 and 27 January 2004 respectively.
- On
19 January 2004 the applicant requested release with or without bail
and offered a pledge under Article 73 § 1 (b) of the 1961 CCP
that, if released, he would live in accordance with the law.
- By
law, the request fell to be determined first by the Regional
Prosecutor, who dismissed it and, on 19 January 2004, transmitted it
ex officio to the District Court for judicial determination.
- On
6 February 2004 the District Court dismissed the request. The
District Court observed that the applicant was still facing
prosecution on the charge mentioned above (see paragraph 11). The
investigator had continuously been taking procedural steps but there
were still a number of witnesses to be examined and a number of
steps to be taken in respect of A. and of the persons charged. If the
applicant was released, it was likely that he would seek to influence
witnesses and his co-accused, which would frustrate examination of
the case in a public hearing. The decision was served on the
applicant’s lawyer on 12 February 2004.
- On
16 February 2004 the applicant challenged the decision of 6 February
2004 by way of an interlocutory appeal.
- On
4 March 2004, in private session, the Regional Court granted the
appeal and ordered the applicant’s immediate release.
The
Regional Court acknowledged that there still was a well-founded
suspicion against the applicant. However, in view of the progress of
the investigation, there was no longer any tangible ground to fear
that the applicant would interfere with the course of justice. On the
same day the applicant was released.
- The
decision of 4 March 2004 was served on the applicant’s lawyer
on 9 March 2004.
- On
26 March and 18 May 2004 respectively the applicant lodged and
amended a complaint under Article 127 of the Constitution to the
Constitutional Court (Ústavný súd).
He
argued that his pre-trial detention had been unlawful and arbitrary,
that it had had not been ordered by an independent tribunal
established by law, that the decisions lacked adequate reasoning and
that the proceedings for the review of the lawfulness of his
pre-trial detention had lasted too long.
- On
9 March 2005 the Constitutional Court declared the complaint
inadmissible.
- So
far as the applicant’s placement in remand was concerned, the
Constitutional Court observed that the detention order against the
applicant had become final and binding on 11 December 2003 and that
the final decision had been served on the applicant on 21 January
2004. As the applicant had lodged his constitutional complaint on 26
March 2004, it failed to comply with the statutory two-month
time-limit for bringing a constitutional complaint in respect of
either of the above-mentioned dates.
- In
so far as the proceedings and decisions on the applicant’s
request for release were concerned, the Constitutional Court found
that the applicant was no longer a victim of a violation of any of
his substantive rights, in that his request had been granted and had
resulted in the applicant’s release. The complaint about the
length of the proceedings on the applicant’s request for
release was found to be manifestly ill-founded.
- The
decision of the Constitutional Court was served on the applicant on
14 April 2005.
C. Investigative measures and related constitutional
complaint
- The
warrant of 23 July 2003 (see paragraph 6 above) was issued under
section 4 of the Protection of Privacy from Unauthorised Use of
Technical Means of Secret Surveillance Act (Law no. 166/2003 Coll. -
“the Privacy Protection Act”). It was issued at the
request of the criminal police and valid for a period until 23
October 2003.
- On
21 August 2003 a single judge of the Nitra Regional Court issued
a warrant for A. to be involved in the investigation as an agent
under Article 88(b) §§ 1 and
5 of the 1961 CCP.
The
warrant was issued at the request of the Nitra Regional Prosecutor.
It was initially valid until 21 November 2003 but was on that day
extended until 14 February 2004.
- On
20 September 2003 a single judge of the Nitra Regional Court issued a
warrant under Article 88(e) §§ 1,
2 and 4 of the 1961 CCP authorising covert audio and video recordings
of A.’s meetings with the suspects.
The
warrant was valid for a period until 21 November 2003 but was
extended on 20 November 2003 until 14 February 2004. It was
issued at the request of the Nitra Regional Prosecutor.
- On
13 November 2003 a single judge of the Nitra Regional Court issued a
warrant under Article 88 §§ 1 and
2 of the 1961 CCP for monitoring of the applicant’s telephone
communications.
The
warrant was valid for a period from 14 November 2003 until
14 February 2004. It was issued at the request of the Nitra
Regional Prosecutor.
- The
warrants of 23 July and 13 November 2003 were executed by tapping the
applicant’s mobile phone. Transcripts of the calls were
included in the case file.
- The
warrants of 21 August and 21 November 2003 were executed in that A.
acted as an agent and subsequently testified in court as a witness.
- The
warrants of 20 September and 20 November 2003 were executed in that
meetings between the applicant and A. on 21 and 25 November 2004
were audio and video recorded.
- Audio
recordings that were a part of the case file were played in court at
a hearing on 27 January 2005, from which the public was excluded.
- On
3 May 2004 the applicant lodged a complaint with the Constitutional
Court, contesting these investigative measures and their legislative
framework. He argued in particular that the Privacy Protection Act
did not define adequately the target persons and offences and did not
contain sufficient safeguards against abuse. He raised similar
arguments in respect of the measures under the 1961 CCP. In addition,
the applicant argued that the judges who had authorised those
measures could not be considered a tribunal established by law as
their territorial jurisdiction had been set up by a unilateral
action of the public prosecution service. Lastly, the applicant
submitted that nothing was known to him to justify such measures.
- On
16 March 2005 the Constitutional Court declared the complaint
inadmissible. It observed that the impugned measures had been carried
out on the authority of the ordinary courts and that it was for them,
as courts with full jurisdiction, and not for the Constitutional
Court, to review the legality of these measures and of the evidence
obtained thereby (if any).
The
decision was served on the applicant on 4 May 2005.
II. RELEVANT DOMESTIC LAW AND PRACTICE
A. Code of Criminal Procedure
- At
the relevant time and until 31 December 2005, criminal procedure in
Slovakia was governed by the 1961 CCP.
With
effect from 1 January 2006, the 1961 CCP was replaced by the Code of
Criminal Procedure of 2005 (Law no. 301/2005 Coll.) (“the 2005
CCP”).
- Article
26 of the 1961 CCP governed the territorial and functional competence
of courts at the pre-trial stage of criminal proceedings. Under
paragraph 1 of that Article, procedural actions at the pre-trial
stage of the proceedings fell within the competence of the court in
the judicial district of which the acting prosecutor had his or her
seat.
- Eavesdropping
and recording of telephone communications, the use of an agent and
covert audio and video recordings were governed by Articles 88,
88b and 88e of the 1961 CCP respectively.
- Decisions
(uznesenie) concerning persons detained pending trial were to
be announced to them and their lawyers (Article 137 §
2 of the 1961 CCP). Decisions concerning detention pending trial were
in principle subject to interlocutory appeal (Article 74 §
1 of the 1961 CCP), which in principle had no suspensive effect
(Article 74 § 2 of the 1961 CCP).
An interlocutory
appeal against a decision concerning detention pending trial was
subject to a time-limit of three days of the day when the impugned
decision was announced to the detained or the lawyer, whichever took
place later (Article 143 of the 1961 CCP). In principle, there was no
specific time limit for a decision on the appeal.
B. Privacy Protection Act
- The
Act entered into force on 21 May 2003. It replaced previous
regulation, embodied, inter alia, in sections 35, 36(2), 37
and 38 of the Police Act (see Kvasnica v. Slovakia, no.
72094/01, § 42, 9 June 2009).
- The
Act governs the use of technical means of secret surveillance
(“TMSS”) without the prior consent of the person
concerned. It does not extend to the use of such means in the context
of criminal proceedings, which is governed by the CCP (section 1).
- Section
2 defines TMSS as electro-technical, radio-technical,
photo technical, optical, mechanical, chemical and other
technical means and devices or sets of such means and devices that
are used in a covert way, inter alia, for eavesdropping and
recording telecommunication activities (subsection 1).
The
authorities entitled to use such means comprise the police corps, the
Slovak Intelligence Service, the Military Intelligence Service, the
railway police, the prison and justice guards corps and the Customs
Administration) (subsection 2).
The
devices used must be secured against tampering. The staff involved in
using the devices must undergo a lie-detector test at intervals fixed
by the head of the authority concerned (subsection 6).
- Section
3 allows for use of TMSS only where it is necessary in a democratic
society in order to ensure the safety or defence of the State,
prevention or investigation of crime or to protect the rights and
freedoms of others. The information thus obtained cannot be used for
a purpose other than one of those enumerated above.
- Pursuant
to section 4, TMSS can only be used subject to prior approval by a
judge within whose jurisdiction the case falls. Their use should be
limited to the period which is strictly necessary and should not
exceed six months unless the judge grants an extension. The judge
involved is obliged to examine on a continuing basis whether the
reasons for the use of such devices persist. Should TMSS be used in
places that are not accessible to the public, the relevant judge is
to determine whether the approval extends to their use in such
places.
- A
request for judicial approval for the use of TMSS must be made in
writing and must specify the type of TMSS, the place and time of its
use and the person to be targeted. It also must specify the reasons
and contain information concerning previous unsuccessful or
substantially impeded detection and documentation of the activities
to be monitored (section 4(3)).
- In
exceptional cases, specified in section 5, the police may use TMSS
without the prior consent of a judge. In such cases, the judge must
be notified within one hour after the use of the devices has started
and a request for authorisation of such use must be submitted
within 6 hours. In the event of dismissal of the request or if no
judicial approval is granted within twelve hours of such
interference, the data obtained must immediately be destroyed and the
judge must be informed of the destruction immediately.
- Under
section 6, the agency involved is obliged to examine on a continuing
basis whether the reasons for the use of TMSS persist. Should they
cease, the use of TMSS has to be discontinued immediately and the
relevant judge must be informed immediately. The agency involved has
a duty to keep a record of warrants issued and requests denied.
- Sections
7 and 8 govern the use and disposal of data obtained and the
liability of the State in the event of failure by the authorities
concerned to comply with the law. Information obtained under the
Act cannot be transmitted to anyone other than the bodies before
which it may be used as evidence in official proceedings. Should
information have been obtained through the use of TMSS in
contravention of the Act, it cannot be used as evidence in any
proceedings before any body and must be destroyed in the presence of
the relevant judge within twenty-four hours. Recordings made under
the Act that prove to be of no value must also be immediately
destroyed in the presence of the judge.
Unlawful
use of TMSS under the Act gives rise to State liability for “wrongful
official action” under the State Liability Act, individual
criminal liability of the persons who have breached the law and to a
claim for protection of personal integrity under Articles 11 et seq.
of the Civil Code.
- Pursuant
to section 9 Parliament shall examine at its plenary meeting, twice a
year, a report by a parliamentary committee set up for the purpose of
supervising the use of information technology devices. The report
must indicate any unlawful use of TMSS. The report may be made
available to the media. The authorities entitled to use TMSS must
make available to the above committee all relevant information within
ten working days of a request by the committee.
C. Police Act
- The
Police Act (Law no. 171/1993 Coll., as amended) governs the
organisation and powers of the police.
Section
2 (1) defines the tasks of the police. These include, inter alia,
working (a) to protect fundamental rights and freedoms, life,
health, personal safety and property, and (b) to detect criminal
offences and to identify culprits.
- Under
section 36, the police are entitled to use TMSS when discharging
their tasks, inter alia, for the purpose of detecting certain
types of criminal offences, which include accepting and offering
bribes and indirect corruption, and in establishing culprits and
searching for them.
The
preceding provision however does not apply to contacts between
an accused person and his or her defence counsel.
- Sections
69 et seq. deal with police information systems and databases. The
police are entitled to set up and operate information systems and
databases containing information about persons and facts which are
relevant for their work (section 69 (1)). The police have a duty to
protect the data stored in such systems from disclosure, abuse,
damage and destruction (section 69 (2)). If data are no longer
needed, they must be destroyed or stored in such a manner that they
are not accessible to anyone except a court (section 69 (3)).
- Under
section 69c everyone has a right of access to personal data about
himself or herself that has been processed by the police. Upon
a written request, the latter is to provide such data within 30
days and to destroy or correct without delay and free of charge
any such data that is untruthful.
D. State Liability Act and practice of the ordinary
courts
- The
relevant statutory provisions and judicial practice are summarised in
Michalák v. Slovakia (no. 30157/03, § 92, 8
February 2011); Michalko v. Slovakia (no. 35377/05, §§
48 to 64, 21 December 2010); Osváthová v. Slovakia
(no. 15684/05, §§ 37 to 46, 21 December 2010);
Pavletić v. Slovakia (no. 39359/98, §§ 50
to 52, 22 June 2004), and Havala v. Slovakia ((dec.), no.
47804/99, 13 September 2001).
E. Code of Civil Procedure
- Article
250v provides for an action in court by anyone whose rights or
legally recognised interests have been curtailed by an unlawful
interference, other than a decision, where such interference is
directly aimed or directly executed against such a person by a public
body, if the interference persists or if there is a risk that it will
recur. The action is admissible upon exhaustion of ordinary remedies
and can be aimed at obtaining a judicial order for termination of the
interference and restoration of the state of affairs prior to the
interference.
THE LAW
I. ALLEGED VIOLATION OF ARTICLE 5 §§ 4 AND 5 OF
THE CONVENTION
- The
applicant complained that the proceedings for review of the
lawfulness of his pre trial detention had taken too long and
that he effectively had no enforceable right to compensation.
The
applicant relied on Article 5 §§ 4 and 5 of the Convention,
which provide:
“4. Everyone who is deprived of his
liberty by arrest or detention shall be entitled to take proceedings
by which the lawfulness of his detention shall be decided speedily by
a court and his release ordered if the detention is not lawful.
5. Everyone who has been the victim of arrest
or detention in contravention of the provisions of this Article shall
have an enforceable right to compensation.”
A. Admissibility
1. “Speediness” of the proceedings in
respect of the applicant’s interlocutory appeal against
detention and enforceable right to compensation in that respect
- The
applicant complained that his interlocutory appeal against detention
had not been determined “speedily” and that he did not
have an enforceable right to compensation in that respect.
- The
Government objected that the applicant had failed to comply with the
requirement of Article 35 § 1 of the Convention to exhaust
domestic remedies, in that he had failed to assert his claim before
the Constitutional Court within the applicable time-limit and to
claim compensation from the State under the State Liability Act.
In
the Government’s submission, in view of the existence of these
remedies, the complaint of an alleged lack of an enforceable right to
compensation was manifestly ill-founded.
- In
reply, the applicant argued that he had submitted his constitutional
complaint in time and that the State Liability Act was inapplicable
in the circumstances of his case.
- The
Court reiterates at the outset that a complaint under Article 127 of
the Constitution is normally considered to be one of the remedies
that an applicant is required to exhaust for the purposes of
Article 35 § 1 of the Convention in respect of individual
complaints under Article 5 § 4 (see Štetiar and Šutek
v. Slovakia, nos. 20271/06 and 17517/07, § 119, 23 November
2010; Michalko v. Slovakia, cited above, § 134;
and Osváthová v. Slovakia, cited above, §
59).
- The
Court observes that a remedy before the Constitutional Court was in
fact the very course of action chosen by the applicant in the present
case.
The
applicant’s constitutional complaint was however rejected on
account of his failure to observe the applicable time-limit.
Accordingly, it has to be ascertained first whether, in the
circumstances, the applicant can be considered as having properly
exhausted the remedy he has chosen.
- To
that end, the Court reiterates that in order to exhaust domestic
remedies as required by Article 35 § 1 of the Convention,
applicants should use the remedies available in compliance with the
formal requirements and time limits laid down in domestic law,
as interpreted and applied by the domestic courts (see Akdivar and
Others v. Turkey, 16 September 1996, § 66, Reports
of Judgments and Decisions 1996-IV).
- The
Court further observes that a complaint under Article 127 of the
Constitution is subject to a two-month time limit and that,
pursuant to section 53(3) of the Constitutional Court Act, that
time-limit starts to run on the date on which the decision in
question has become final and binding or when the measure in question
has been notified or notice of other interference with the
complainant’s interests has been given (see Michalko v.
Slovakia, cited above, § 46).
- As
regards decisions concerning detention, a question arises as to
whether the decisive moment is the date of service of such decisions
on the detainee or on his or her lawyer. The Court reiterates that it
has already examined this question in its judgment in Michalko
(cited above, §§ 136 to 139). In
that judgment, in the light of existing judicial practice, the Court
accepted that the decisive moment was the date of service of the
decision on the detainee.
- The
Court has found no reason to reach a different conclusion in the
present case. It notes in particular that there had been at least two
inadmissibility decisions by the Constitutional Court before the
applicant lodged and amended his constitutional complaint on 26 March
and 18 May 2004; in those decisions the Constitutional
Court had explained in legal terms and congruently decided that the
decisive date was the date of service of the impugned decision on the
detainee (see Michalko v. Slovakia, cited above, § 66).
- Observing
that the applicant was at all times represented by a lawyer,
Court considers that he could and should have known about the
existing practice and that the risk inherent in using the remedy at
the time in question was for the applicant to assume (see Michalko
v. Slovakia, cited above, § 139).
- The
decision on the applicant’s interlocutory appeal against
detention was served on him 21 January 2004. He lodged his
constitutional complaint on 26 March 2004. On 9 March 2005 the
Constitutional Court declared the relevant part of the complaint
inadmissible as belated.
In
view of the above considerations, the Court concludes that the
applicant has failed to exhaust properly the remedy that he opted
for. It is therefore unnecessary to examine separately whether he was
or was not required to seek redress under the State Liability Act.
- It
follows that the applicant’s complaint under Article 5 §
4 of the Convention in respect of the alleged lack of “speediness”
of the proceedings on his interlocutory appeal against detention is
inadmissible for non exhaustion of domestic remedies and that
his complaint under Article 5 § 5
of the Convention concerning an alleged lack of an enforceable right
to compensation in that respect is manifestly ill-founded.
The
relevant part of the application must accordingly be rejected under
Article 35 §§ 1, 3 and 4 of the Convention.
2. “Speediness” of the proceedings in
respect of the applicant’s request for release and enforceable
right to compensation in that respect
- The
applicant complained that his request for release had not been
determined “speedily” and that he did not have an
enforceable right to compensation in that respect.
- The
Government objected that the applicant had failed to comply with the
requirement under Article 35 § 1 of the Convention to exhaust
domestic remedies in that he had failed to claim compensation under
the State Liability Act.
In
particular, relying on the Court’s judgment in N.C. v. Italy
([GC], no. 24952/94, ECHR 2002 X), the Government claimed that,
as the applicant had eventually been acquitted, he could by law have
claimed damages in respect of his pre-trial detention without having
to establish any actual unlawfulness or arbitrariness.
- The
Government also submitted that, in view of the possibility for the
applicant to claim compensation under the State Liability Act, the
applicant’s complaint concerning the alleged lack of an
enforceable right to compensation was manifestly ill-founded.
- In
reply, the applicant disagreed and considered that there were no
solid grounds supporting the Government’s contention that he
could have obtained compensation under the State Liability Act in
respect of the lack of “speediness” of the proceedings in
question.
In
particular, the applicant emphasised that even the Constitutional
Court had examined his case without requiring him, under the rule of
exhaustion of ordinary remedies, to exhaust first the remedy now
advanced by the Government.
- The
Court reiterates that it has recently examined a similar objection by
the Government in the case of Osváthová v. Slovakia
(cited above, §§ 59 to 64).
- As
in Osváthová v. Slovakia, the Court reiterates
that where there is a choice of remedies, the exhaustion requirement
must be applied to reflect the practical realities of the applicant’s
position, so as to ensure the effective protection of the rights and
freedoms guaranteed by the Convention. Moreover, an applicant who has
used a remedy which is apparently effective and sufficient cannot be
required also to have tried others that were available but probably
no more likely to be successful (see Adamski v. Poland
(dec.), no. 6973/04, 27 January 2009, with further references).
- In
the present case, in respect of his complaint that the proceedings in
his request for release had not been “speedy”, the
applicant had sought protection of his fundamental rights before the
Constitutional Court under Article 127 of the Constitution.
- The
Constitutional Court, as the supreme authority for the protection of
human rights and fundamental freedoms in Slovakia, had jurisdiction
to examine the applicant’s complaint and to afford him
redress if appropriate (see, mutatis mutandis, Lawyer
Partners A.S. v. Slovakia, nos. 54252/07, 3274/08, 3377/08,
3505/08, 3526/08, 3741/08, 3786/08, 3807/08, 3824/08, 15055/08,
29548/08, 29551/08, 29552/08, 29555/08 and 29557/08, § 45, ECHR
2009-..., with further references).
- The
Court further notes that the course of action chosen by the applicant
in this case is normally considered to be effective for the purposes
of the domestic-remedies rule under Article 35 § 1 of the
Convention. Moreover, the Constitutional Court entertained the
applicant’s complaint without requiring him first to exhaust
the remedy now relied on by the Government.
In
these circumstances, the Court cannot but find that the applicant’s
course of action as to the remedies used was reasonable and
appropriate (see Osváthová v. Slovakia, cited
above, § 59, and Michalák v.
Slovakia, cited above, § 106).
- Moreover,
the Court notes that, in its decision of 9 March 2005, the
Constitutional Court found the applicant’s complaint about the
alleged lack of “speediness” of the proceedings in issue
manifestly ill-founded (see paragraph 35 above).
- The
Court also notes that an ordinary court, if called on to exercise
jurisdiction in the present case under the State Liability Act in
respect of alleged wrongful official action with regard to the
applicant’s complaint that the proceedings in question had not
been “speedy”, would have been confronted with the same
question as the Constitutional Court when it ruled on the applicant’s
constitutional complaint.
The
Court has not found any reason to conclude that there was any
realistic prospect that an ordinary court would have arrived at
conclusions contrary to those of the Constitutional Court (see
Štetiar and Šutek v. Slovakia, cited above,
§ 75; Osváthová v.
Slovakia, cited above, § 62;
Michalko v. Slovakia, cited above, §
95, and Aydemir v. Slovakia, no. 44153/06, § 52, 8
February 2011).
- Accordingly,
the applicant was not required to have recourse to the remedy
referred to by the Government. The Government’s objections to
the admissibility of the present complaint, both under paragraphs 4
and 5 of Article 5 of the Convention, must therefore be rejected.
- The
Court notes that the relevant part of the application is not
manifestly ill-founded within the meaning of Article 35 § 3 of
the Convention. It further notes that it is not inadmissible on any
other grounds. It must therefore be declared admissible.
B. Merits
1. “Speediness” of the proceedings in
respect of the applicant’s request for release
- The
Government considered that the time taken by the District Court and
the Regional Court to determine the applicant’s request and his
interlocutory appeal against the dismissal of his request were
acceptable.
The
Government also pointed out that, irrespective of when the final
decision was served on the applicant, he had effectively learned of
it on the day that the decision had been taken, since he had been
released on that very day.
- In
reply, the applicant disagreed and pointed out that it had taken
forty-five days for his request to be resolved and for the final
decision with reasons to be served on him.
- The
Court has recently summarised its case-law relevant to the issue at
hand in its judgment against Slovakia in the cases of Štetiar
and Šutek (cited above, § 128), Gál
(cited above, § 62), Michalko (cited above, § 167)
and Osváthová (cited above, § 69).
- In
the present case the applicant lodged his request for release with
the prosecution service on 19 January 2004. On the same day the
prosecution service dismissed it and transmitted it to the District
Court for judicial determination. The District Court ruled on the
matter on 6 February 2004 and the written version of the
decision was served on the applicant’s lawyer on 12 February
2004.
The
applicant lodged an interlocutory appeal on 16 February
2004. The appeal was granted on 4 March 2004 by the Regional Court in
private session and the applicant was released on that very day.
The
written version of the decision with reasons was served on the
applicant on 9 March 2004.
- The
Court reiterates that, according to its case-law, the period under
consideration for the purposes of Article 5 § 4 of the
Convention begins with the lodging of the application with the
domestic authorities and, in the absence of a public
pronouncement of the decision, ends on the day the decision is
communicated to the applicant or to his representative (see, mutatis
mutandis, Koendjbiharie v. the Netherlands, 25 October
1990, Series A no. 185-B, § 28; Singh v. the Czech Republic,
no. 60538/00, § 74, 25 January 2005; and Cabala v.
Slovakia, no. 8607/02, § 68, 6 September 2007).
- The
applicant requested that the lawfulness of his detention be decided
by lodging a request for release on 19 January 2004. The decision to
release him was taken forty-four days later, on 4 March 2004.
- The
Court observes that the decision of 4 March 2004 was not pronounced
publicly and that it was served on the applicant through the
intermediary of his lawyer at a later point, on 9 March 2004. It
recognises that a detained person has a legitimate interest in
learning the detailed reasons for the termination of his or her
detention (see Osváthová
v. Slovakia, cited above, §
73).
However,
in circumstances such as those obtaining in the present case, the
Court finds it more appropriate to examine the specific delays
imputable to those involved rather than make an abstract finding as
to when the period under consideration ended.
The
proceedings under examination lasted at least forty-four days, in
which period the applicant’s request for release was judicially
examined at two levels.
- The
Court has found nothing to justify a conclusion that the case in
respect of the applicant’s detention was of any particular
complexity and that the length of the proceedings in his request for
release was in any way imputable to the applicant.
- As
to the conduct of the authorities, however, the Court notes that it
took the District Court eighteen days from 19 January to 6 February
2004 to decide on the applicant’s request and further six
days to have its decision served on the applicant on 12 February
2004.
The
Court further notes that it took the Regional Court seventeen days,
from 16 February 2004 to 4 March 2004, to determine the applicant’s
interlocutory appeal and a further five days to have the decision
served on the applicant.
- The
period imputable to the courts therefore amounts at least to
forty-one days.
- Regard
being had to the Court’s case-law on the subject (see the
summary in Štetiar and Šutek v. Slovakia (cited
above, § 131); Gál v. Slovakia (cited above,
§ 69); Michalko v. Slovakia (cited above, § 171, and
Osváthová v. Slovakia (cited above, § 77)),
the foregoing considerations are sufficient to enable the Court to
conclude that there has been a violation of Article 5 § 4 of the
Convention on account of the lack of a speedy determination of the
applicant’s request for release.
2. Alleged lack of enforceable right to compensation in
respect of the lack of “speediness” of the proceedings on
the applicant’s request for release
- The
Court reiterates that Article 5 § 5 of the Convention is
complied with where it is possible to apply for compensation in
respect of a deprivation of liberty effected in conditions
contrary to paragraphs 1, 2, 3 or 4. The right to compensation set
forth in paragraph 5 therefore presupposes that a violation of one of
the other paragraphs has been established, either by a domestic
authority or by the Convention institutions (see N.C. v. Italy,
cited above, § 49, and also Pavletić v. Slovakia,
no. 39359/98, § 95, 22 June 2004).
- In
the present case the Court has found a violation of Article 5 §
4 of the Convention (see paragraph 103 above).
It
must therefore establish whether or not the applicant had or now has
an enforceable right to compensation for the breach of Article 5
§ 4 of the Convention.
- The
Court observes first of all that the applicant’s complaint
under Article 127 of the Constitution in that regard was unsuccessful
on the merits (see paragraph 35 above) (see Boris Popov v. Russia,
no. 23284/04, § 84, 28 October 2010) and that the applicant
was not required, for the purposes of Article 35 § 1, to test
the other remedy advanced by the Government because of the lack of
realistic prospects of success (see paragraph 90 above; see also
Sakık and Others v. Turkey, cited above, § 59). At
the same time, there is no support in the domestic legislation for
making a compensation claim in a domestic court based on
findings reached by the European Court.
- The
foregoing considerations are sufficient to enable the Court
to conclude that neither before nor after a finding by the
European Court has the applicant had an enforceable right to
compensation for the violation of his rights under Article 5 § 4
of the Convention (see paragraph 103; see also Brogan and Others
v. the United Kingdom, 29 November 1988, § 67,
Series A no. 145-B; Michalko v. Slovakia, cited above, §
77; Osváthová v. Slovakia, cited
above, § 84, and Michalák
v. Slovakia, cited above, § 207).
There
has accordingly also been a violation of Article 5 § 5 of the
Convention.
II. ALLEGED VIOLATION OF ARTICLE 8 OF THE CONVENTION
- The
applicant complained of a violation of rights protected under Article
8 of the Convention, which – in so far as relevant –
provides:
“1. Everyone has the right to respect
for his private ... life ... and his correspondence.
2. There shall be no interference by a public
authority with the exercise of this right except such as is in
accordance with the law and is necessary in a democratic society in
the interests of national security, public safety or the economic
well-being of the country, for the prevention of disorder or crime,
for the protection of health or morals, or for the protection of the
rights and freedoms of others.”
- In
his original application, without providing any further information
or argumentation, the applicant simply alleged that the investigative
measures in the proceedings against him and their implementation (see
paragraphs 37 to 43 above) had violated his rights under Article 8 of
the Convention.
- In
his observations of 4 November 2010, in reply to those of the
Government, the applicant extended his complaint, and contended that
the applicable legal regime for monitoring telephone communications,
covert audio and video recordings and the use of an agent, namely the
regulations under the Privacy Protection Act and the 1961 CCP, fell
short of the safeguards required under the Convention.
- The
Court observes, firstly, that the applicant’s initial complaint
under Article 8 of the Convention, which concerned the specific
measures applied against him, was wholly unsubstantiated and, as
such, is manifestly ill-founded.
- The
Court further observes that, in so far as the applicant seeks by
means of his submission of 4 November 2010 to challenge the legal
regime on the monitoring of telephone communications, covert audio
and video recordings and the use of police agents under the 1961 CCP,
that Code was replaced by a new 2005 Code of Criminal Procedure that
took effect from 1 January 2006. The relevant part of the
application has therefore been introduced out of time.
- The
remainder of the applicant’s Article 8 complaint concerns the
legal regime on the monitoring of telephone communications under the
Privacy Protection Act, a piece of legislation that is still in
force. The Court observes however that, to the extent this complaint
has been substantiated, it has no factual link to the alleged
instances of actual interference with the applicant’s Article 8
rights by the impugned investigative measures and goes beyond the
scope of the original application. In these circumstances, the Court
has found no need for examining the existing legislative framework in
abstracto in the context of the present individual application
under Article 34 of the Convention (for contrast and comparison, see
Klass and Others v. Germany, 6 September 1978, Series A no.
28; Malone v. the United Kingdom, 2 August 1984, Series A no.
82; and Weber and Saravia v. Germany (dec.), no.
54934/00, ECHR 2006 XI).
- It
follows that the Article 8 complaint must be rejected in accordance
with Article 35 §§ 1, 3 and 4 of the Convention.
III. REMAINING COMPLAINTS
- The
applicant alleged a violation of his rights under Article 5 §§
1 (c), 3, 4 and 5 of the Convention, in that (i) his pre-trial
detention had been unlawful, arbitrary and not decided upon by
an independent tribunal established by law; (ii) the decisions
in respect of his pre-trial detention lacked adequate reasoning; and
(iii) he effectively had no enforceable right to compensation. He
also alleged a violation of Article 13 of the Convention in
connection with the Constitutional Court’s decision of 9 and 16
March 2005 and a violation of Article 14 of the Convention in
connection with the former decision by the Constitutional Court.
- The
Court observes first of all that this part of the application is
largely unsubstantiated. Moreover, and in any event, for similar
reasons to those set out above (see paragraphs 71 to 78), any
complaints in relation to the applicant’s placement in
detention on remand must be rejected for non exhaustion of
domestic remedies.
- In
conclusion, in the light of all the material in its possession, and
in so far as the matters complained of are within its competence, the
Court finds that they do not disclose any appearance of a violation
of the rights and freedoms identified by the applicant.
Therefore,
in so far as domestic remedies have been exhausted, the reminder of
the application is manifestly ill-founded. It must accordingly
be rejected in accordance with Article 35 §§ 1, 3 and
4 of the Convention.
IV. APPLICATION OF ARTICLE 41 OF THE CONVENTION
- Article 41 of the Convention provides:
“If the Court finds that there has been a
violation of the Convention or the Protocols thereto, and if the
internal law of the High Contracting Party concerned allows only
partial reparation to be made, the Court shall, if necessary, afford
just satisfaction to the injured party.”
A. Damage
- The
applicant claimed EUR 30,000 in respect of non pecuniary damage.
- The
Government contested the claim as exaggerated.
- The
Court awards the applicant EUR 4,000 in respect of non pecuniary
damage.
B. Costs and expenses
- The
applicant claimed EUR 5,113.97 for legal costs before the
Constitutional Court and the Court, submitting itemised invoices from
his lawyer.
The
applicant also claimed EUR 150 and EUR 50, respectively, for
administrative and postal expenses incurred before the domestic
courts and before the Court.
- Relying
on the Court’s judgment of 18 October 1982 in the case of
Young, James and Webster v. the United Kingdom ((former
Article 50) Series A no. 55, § 15), the Government considered
that the claims in respect of legal fees were exaggerated. They
objected that the claims concerning administrative and postal
expenses were not supported by evidence.
- In
accordance with the Court’s case-law, an applicant is entitled
to the reimbursement of costs and expenses only in so far as it has
been shown that these have been actually and necessarily incurred and
were reasonable as to quantum (see, for example, Iatridis v.
Greece (just satisfaction) [GC], no. 31107/96, § 54, ECHR
2000-XI).
In
the present case, regard being had to the violations found (see
paragraphs 103 and 107 above), the documents in its possession and
the above criteria, the Court considers it reasonable to award the
sum of EUR 850 to cover legal representation both at the
national level and before the Court.
C. Default interest
- The
Court considers it appropriate that the default interest should be
based on the marginal lending rate of the European Central Bank, to
which should be added three percentage points.
FOR THESE REASONS, THE COURT
- Declares unanimously admissible the complaints
under Article 5 §§ 4 and 5 of the
Convention concerning the alleged lack of a speedy determination
of the lawfulness of the applicant’s detention in the
proceedings concerning his request for release and the alleged lack
of an enforceable right to compensation in that respect;
- Declares by a majority inadmissible the
remainder of the application;
- Holds unanimously that there has been a
violation of Article 5 § 4 of the
Convention;
- Holds unanimously that there has been a
violation of Article 5 § 5 of the
Convention;
- Holds unanimously
(a) that
the respondent State is to pay the applicant, within three months
from the date on which the judgment becomes final in accordance with
Article 44 § 2 of the Convention, EUR 4,000 (four
thousand euros), plus any tax that may be chargeable, in respect of
non-pecuniary damage and EUR 850 (eight hundred fifty euros), plus
any tax that may be chargeable to the applicant, in respect of
costs and expenses;
(b) that
from the expiry of the above-mentioned three months until settlement
simple interest shall be payable on the above amounts at a rate
equal to the marginal lending rate of the European Central Bank
during the default period plus three percentage points;
- Dismisses unanimously the remainder of the
applicant’s claim for just satisfaction.
Done in English, and notified in writing on 28 June 2011, pursuant to
Rule 77 §§ 2 and 3 of the Rules of Court.
Santiago Quesada Josep
Casadevall
Registrar President