Hilary Term [2017] UKSC 2 On appeals from: [2014] EWHC 2714 (QB) and [2015] EWCA Civ 843

JUDGMENT
Abd Ali Hameed Al-Waheed (Appellant) v Ministry
of Defence (Respondent)
Serdar Mohammed (Respondent) v Ministry of
Defence (Appellant)
before
Lord Neuberger, President
Lady Hale, Deputy President
Lord Mance
Lord Kerr
Lord Wilson
Lord Sumption
Lord Reed
Lord Hughes
Lord Toulson (1-4 Feb 2016)
Lord Hodge (26 Oct 2016)
JUDGMENT GIVEN ON
17 January 2017
Heard on 1, 2, 3 and 4 February 2016 and 26 October 2016
Appellant (Al-Waheed) Respondent
Richard Hermer QC James Eadie QC
Andrew Clapham Derek Sweeting QC
Ben Jaffey Karen Steyn QC
Alison Pickup James Purnell
Nikolaus Grubeck
(Instructed by Leigh Day) (Instructed by The
Government Legal
Department)
Respondent (S
Mohammed)
Appellant
Richard Hermer QC James Eadie QC
Andrew Clapham Sam Wordsworth QC
Ben Jaffey Karen Steyn QC
Alison Pickup Julian Blake
Nikolaus Grubeck
Julianne Kerr Morrison
(Instructed by Leigh Day) (Instructed by The
Government Legal
Department)
First Interveners
Shaheed Fatima QC
Paul Luckhurst
(Instructed by Public
Interest Lawyers)
Interveners 2-5 (Written
submissions only)
Jessica Simor QC
(Instructed Hogan Lovells
International LLP)
Interveners:
(1) Mohammed Qasim, Mohammed Nazim, Abdullah
(2) International Commission of Jurists
(3) Human Rights Watch
(4) Amnesty International
(5) The Open Society Justice Initiative
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LORD SUMPTION: (with whom Lady Hale agrees)
Introduction
1. The United Kingdom was an occupying power in Iraq from May 2003, and a
mandatory power acting in support of the Iraqi government from June 2004 until her
withdrawal in 2011. She was a mandatory power in Afghanistan between December
2001 and her withdrawal early in 2015. In both countries, the United Kingdom’s
international status depended throughout on successive resolutions of the United
Nations Security Council. Substantial numbers of British troops were engaged in
both theatres as part of separate multi-national forces, primarily in southern Iraq and
in the Afghan province of Helmand. They were required to deal with exceptional
levels of violence by organised armed groups. In the course of their operations,
prisoners were taken and detained in British military facilities for varying periods of
time.
2. These two appeals arise out of actions for damages brought against the United
Kingdom government by detainees, alleging unlawful detention and maltreatment
by British forces. They are two of several hundred actions in which similar claims
are made. In both cases, the claim is based in part on article 5(1) of the European
Convention on Human Rights, which provides that no one shall be deprived of his
liberty except in six specified cases and in accordance with a procedure prescribed
by law. They also rely on article 5(4), which requires that the detainee should be
entitled to take proceedings by which the lawfulness of his detention may be tested.
The appeals have been heard together with a view to resolving one of the more
controversial questions raised by such actions, namely the extent to which article 5
applies to military detention in the territory of a non-Convention state in the course
of operations in support of its government pursuant to mandates of the United
Nations Security Council.
3. Abd Ali Hameed Ali Al-Waheed was captured by HM forces at his wife’s
home in Basrah on 11 February 2007 during a search. The Secretary of State
contends that components for improvised explosive devices (IEDs) and explosive
charges and various other weaponry were found on the premises. He was held at a
British army detention centre for six and a half weeks. He was then released after an
internal review had concluded that a successful prosecution was unlikely, as there
was no evidence that he had personally handled the explosives. At a pre-trial review
before Leggatt J, it was common ground that so far as Mr Al-Waheed’s claim was
based on detention in breach of article 5(1) of the Convention, the judge and the
Court of Appeal would be bound to dismiss it by the decision of the House of Lords
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in R (Al-Jedda) v Secretary of State for Defence [2008] AC 332. The Appellate
Committee had held in that case that article 5(1) was displaced by the United Nations
Security Council Resolutions authorising military operations in Iraq. The judge was
therefore invited to dismiss the claim under article 5(1) by consent and grant a
certificate for a leap-frog appeal directly to the Supreme Court. A limited number of
facts have been agreed, but there are no findings.
4. Serdar Mohammed, whom I shall refer to as “SM”, was captured by HM
forces in Afghanistan on 7 April 2010. The Secretary of State contends that he was
captured in the course of a planned operation involving a firefight lasting ten hours
in which a number of men were killed or wounded, and that he was seen to flee from
the site, discarding a rocket-propelled grenade launcher and ammunition as he went.
He was brought into Camp Bastion at Lashkar Gah, which was the joint operating
base of the British army in Helmand. Intelligence is said to have identified him
shortly afterwards as a senior Taliban commander who had been involved in the
large-scale production of IEDs and was believed to have commanded a Taliban
training camp in 2009. SM was detained for a period of three and a half months in
British military holding facilities until 25 July 2010, when he was transferred to the
Afghan authorities. He was subsequently convicted by the Afghan courts for
offences relating to the insurgency and sentenced to ten years’ imprisonment. In his
case, the procedural history is more complicated. Leggatt J directed three
preliminary issues to be determined on the assumption that the circumstances of
SM’s capture and detention, as pleaded in the Secretary of State’s defence, were
true. One of the preliminary issues concerned the relationship between article 5 of
the Convention and the international law governing detention in the course of armed
conflict. In the result, the judge held that in Afghanistan HM forces had no power,
either under the relevant Security Council Resolutions or under customary
international law, to detain prisoners for any longer than was required to hand them
over to the Afghan authorities, and then for no more than 96 hours. He also found
that they had no greater power under the domestic law of Afghanistan. On that
footing, he considered that in detaining SM the United Kingdom was in breach of
article 5(1) and (4) of the Convention: see [2014] EWHC 1369 (QB). The Court of
Appeal, although differing from some aspects of the judge’s reasoning, reached the
same conclusion: see [2016] 2 WLR 247. These decisions, and the reasoning behind
them, have significant implications for the Ministry of Defence and for British
troops deployed to Iraq or Afghanistan and indeed other theatres to which they may
be deployed under UN mandates.
5. The Secretary of State formulated eight grounds on which he sought leave to
appeal to the Supreme Court in Serdar Mohammed. He received permission to
appeal, either from the Court of Appeal or from the Supreme Court on six of them,
the question of permission for the other two being deferred until the hearing. As a
result of directions given in the course of the appeals, the sole ground of appeal
before us at the opening of the hearing was the Secretary of State’s ground 4. In the
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statement of facts and issues in Serdar Mohammed, the parties agreed that ground 4
raised the following issues:
“(1) Whether HM armed forces had legal power to detain SM
in excess of 96 hours pursuant to:
(a) the relevant resolutions of the United Nations
Security Council; and/or
(b) International Humanitarian Law applicable in a
non-international armed conflict.
(2) If so, whether article 5(1) of the ECHR should be read
so as to accommodate, as permissible grounds, detention
pursuant to such a power to detain under a UN Security Council
Resolution and/or International Humanitarian Law.”
In Al-Waheed, the parties are agreed that the same issues arise, except that the
question is whether HM armed forces had power to detain Mr Al-Waheed at all,
there being no separate issue relating to the first 96 hours.
6. In the course of the hearing the parties were invited to make written
submissions on two further questions arising in SM’s appeal about the scope of
article 5, which had been argued before Leggatt J and the Court of Appeal. This was
because it was considered to be unsatisfactory to examine the Secretary of State’s
ground 4 without regard to them. The additional questions substantially
corresponded to the Secretary of State’s grounds 5 and 6. They were:
“(3) Whether SM’s detention was compatible with article
5(1) on the basis that it fell within paragraph (c) of article 5(1)
of the Human Rights Convention (detention for the purpose of
bringing a suspect before a competent judicial authority) or
article 5(1)(f) (detention pending extradition); and
(4) Whether the circumstances of his detention were
compatible with article 5(4) of the Human Rights Convention
(if necessary, as modified).”
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7. These are complex appeals raising distinct issues, which were argued in
stages. They are also related to other appeals arising out of military operations in
Iraq and Afghanistan which were before the court at the same time. For these reasons
the argument has extended over an unusually long period, rather more than a year.
The retirement of Lord Toulson in July 2016 meant that he did not sit on the oral
argument on the procedural requirements of articles 5(1) and 5(4) of the Convention,
and has been concerned only with the other issues. Lord Hodge, who sat for the first
time on these appeals in October 2016 has been concerned only with those
procedural issues.
International and Non-International Armed Conflict
8. International humanitarian law is the modern name for what used to be called
the law of war and is still commonly called the law of armed conflict. It is a body of
international law based on treaty and custom, which seeks to limit for humanitarian
reasons the effects of armed conflict.
9. International humanitarian law distinguishes between international and noninternational armed conflict. An international armed conflict is an armed conflict
between states. A non-international armed conflict is an armed conflict between one
or more states on the one hand and non-state actors on the other. In theory, it is the
difference between an armed conflict of juridical equals and an armed conflict
conducted by a lawfully constituted authority against organised rebels or criminals.
The distinction is an ancient one. It dates back at least as far as Grotius (De Jure
Belli ac Pacis I.4, III.6.27), who limited certain belligerent rights to public wars, on
the ground that the rights of participants in civil wars were governed by municipal
law administered by the municipal judge. But the crude distinction proposed by
Grotius was never an adequate tool for dealing with the complex position of nonstate actors. As Vattel pointed out a century later (Droit des Gens, III.18.293), civil
wars break the bonds of society, leaving the parties without a common judge and in
the same practical position as two nations.
10. Vattel made this point in support of his argument that once a civil war
achieved a level of intensity on a par with an interstate war, the humanitarian
customs of war should be observed by both sides. But ever since his day, there has
been a tension between the desire of states to civilise the conduct of war by
extending humanitarian rules to all armed conflicts, and their desire to treat their
internal enemies as rebels and criminals rather than belligerents. International
humanitarian law treats the parties to international armed conflicts as juridically
equal and their rights and obligations as reciprocal. It proceeds on the basis that in
such a conflict members of the armed forces of a state are reciprocally entitled to
combatant immunity. They commit no offence by merely participating in the armed
conflict, but only by committing war crimes proscribed by international law. Their
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detention is authorised on the footing that it is a purely administrative measure with
no penal purpose, and must terminate when the armed conflict ends. However,
notwithstanding the persistent advocacy of the International Committee of the Red
Cross in favour of applying the same rules under both regimes, states have generally
been reluctant to accept that a non-international armed conflict can be reciprocal in
the same way as international armed conflicts. Their concern is that unless a special
regime is devised for such conflicts, the corollary would be a recognition of the
juridical equality of the participants and the immunity of non-state actors.
11. None the less, it is now accepted that the law of armed conflict cannot be
confined to wars waged between states. A non-international armed conflict is an
armed conflict for the purposes of international humanitarian law, albeit that it raises
more difficult problems of definition and classification than an international armed
conflict. The leading modern authorities are the decisions of the International
Criminal Tribunal for Yugoslavia, whose jurisdiction depends on the existence of
an armed conflict. They identify non-international armed conflicts by reference to
their duration, their intensity and the degree of organisation of the non-state actors
engaged. In its widely cited decision in Prosecutor v Duško Tadić (Jurisdiction of
the Tribunal) ICTY Case No IT-94-1-AR72 (2 October 1995), the Tribunal held
(para 70) that an armed conflict existed “whenever there is a resort to armed force
between states or protracted armed violence between governmental authorities and
organised armed groups or between such groups within a state”, provided that it
exceeds the “intensity requirements applicable to both international and internal
armed conflicts”. The intensity requirements were considered in greater detail in
Prosecutor v Ramush Haradinaj ICTY Case No IT-04-84-T (3 April 2008).
Indicative factors included (para 49):
“the number, duration and intensity of individual
confrontations; the type of weapons and other military
equipment used; the number and calibre of munitions fired; the
number of persons and type of forces partaking in the fighting;
the number of casualties; the extent of material destruction; and
the number of civilians fleeing combat zones. The involvement
of the UN Security Council may also be a reflection of the
intensity of a conflict.”
In short, the test is whether the operations conducted by non-state actors are
characteristic of those conducted by the armed forces of the state, as opposed to its
police force. It is common ground that British troops in Afghanistan were engaged
in an armed conflict.
12. The main distinction between international and non-international armed
conflict lies in the more limited provision made for the latter in the main relevant
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treaties. Although the earliest Geneva Convention was adopted in 1864, no attempt
was made to provide by treaty for non-international armed conflicts until the Geneva
Conventions of 1949. Article 21 of the Third Geneva Convention of 1949 in terms
confers on states a right to detain prisoners of war which they had long enjoyed as a
matter of customary international law, and comprehensively regulates the conditions
of their detention. Article 78 of the Fourth Geneva Convention confers on an
occupying power a right to detain civilians in cases where this is considered
“necessary for imperative reasons of security.” But these provisions apply only in
international armed conflicts: see common article 2. The International Committee
of the Red Cross had proposed that the Conventions of 1949 should apply in their
entirety in international and non-international armed conflicts alike. But this
proposal was rejected by most states. Instead, it was agreed to confer a more limited
measure of protection by common article 3, which unlike the rest of the Conventions
applied “in the case of armed conflict not of an international character occurring in
the territory of one of the High Contracting Parties.” Common article 3 does not in
terms confer a right of detention. But it provides for the humane and nondiscriminatory treatment of “persons taking no active part in the hostilities,
including members of armed forces who have laid down their arms and those placed
hors de combat by sickness, wounds, detention or any other cause”. It specifically
prohibits the practice against such persons of violence, killing, mutilation, cruelty,
torture, hostage-taking and outrages against their personal dignity, as well as the
infliction of penal sentences upon them otherwise than by the judgment of a
“regularly constituted court affording all the judicial guarantees which are
recognised as indispensable by civilised peoples.” Further provision for the
treatment of prisoners in non-international armed conflicts is made by Protocol II,
adopted in 1977 in cases where dissident armed forces or other armed groups control
part of the territory of a state so as to enable them “to carry out sustained and
concerted military operations and to implement this Protocol”: article 1.
13. In those circumstances, the existence of a legal right in international law to
detain members of opposing armed forces in a non-international armed conflict must
depend on (i) customary international law, and/or (ii) the authority of the Security
Council of United Nations.
14. To establish the existence of a rule of customary law, two things are required.
First, there must be a uniform, or virtually uniform practice of states conforming to
the proposed rule, reflected in their acts and/or their public statements; and,
secondly, the practice must be followed on the footing that it is required as a matter
of law (opinio juris). It follows that although the decisions of domestic courts may
be evidence of state practice or of a developing legal consensus, they cannot
themselves establish or develop a rule of customary international law: see Jones v
Ministry of the Interior of the Kingdom of Saudi Arabia [2007] 1 AC 270 at para 63
(Lord Hoffmann). Lord Reed has dealt fully in his judgment with the question
whether the detention of members of the opposing armed forces is sanctioned by
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customary international law in a non-international armed conflict. He concludes that
as matters stand it is not, and I am inclined to agree with him about that. But for
reasons which will become clear, I regard it as unnecessary to express a concluded
view on the point. It is, however, right to make certain observations about it which
bear on the construction of the relevant Security Council Resolutions.
15. The first is that, whether or not it represents a legal right, detention is inherent
in virtually all military operations of a sufficient duration and intensity to qualify as
armed conflicts, whether or not they are international. As the International
Committee of the Red Cross has recently observed (Statement, 27 April 2015),
“deprivation of liberty is a reality of war. Whether detention is
carried out by states or by non-state armed groups, whether it
is imposed on military personnel or on civilians, it is certain to
occur in the vast majority of armed conflicts.”
The same view was expressed by the Supreme Court of the United States in holding,
in Hamdi v Rumsfeld 542 US 507 (2004), at p 10, that a power of detention was
implicitly conferred by a statute authorising the use of “all necessary and appropriate
force”:
“Detention of individuals falling into the limited category we
are considering [the Taliban and Al-Qaeda], for the duration of
the particular conflict in which they were captured, is so
fundamental and accepted an incident to war as to be an
exercise of the ‘necessary and appropriate force’ Congress has
authorized the President to use.”
It has been the practice of states to capture and detain members of the opposing
armed forces throughout the recorded history of war. That includes its recent history,
which has for the most part been a history of non-international armed conflicts. The
purpose of any state participating in an armed conflict is to overcome the armed
forces of the other side. At any time when the opposing forces are in the field, this
necessarily involves disabling them from fighting by killing them or putting them
hors de combat. The availability of detention as an option mitigates the lethal
character of armed conflict and is fundamental to any attempt to introduce
humanitarian principles into the conduct of war. In many cases, the detention of an
enemy fighter is a direct alternative to killing him, and may be an obligation, for
example where he surrenders or can be physically overpowered. As the majority of
the US Supreme Court observed in Hamdi, at p 11, citing the earlier decision in In
re Territo 156 F 2d 142, 145, (1946)
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“The object of capture is to prevent the captured individual
from serving the enemy. He is disarmed and from then on must
be removed as completely as practicable from the front, treated
humanely, and in time exchanged, repatriated, or otherwise
released.”
16. Second, if there is nevertheless an insufficient consensus among states upon
the legal right of participants in armed conflicts to detain under customary
international law, it is not because of differences about the existence of a right of
detention in principle. At their most recent international conference (Geneva, 8-10
December 2015), the constituent associations of the Red Cross and Red Crescent
approved a resolution by consensus which recited that states had the power to detain
“in all forms of armed conflict” and proposing measures to strengthen the
humanitarian protection available to detainees. The lack of international consensus
really reflects differences among states about the appropriate limits of the right of
detention, the conditions of its exercise and the extent to which special provision
should be made for non-state actors. There is no doubt that practice in international
and non-international armed conflicts is converging, and it is likely that this will
eventually be reflected in opinio juris. It is, however, clear from the materials before
us that a significant number of states participating in non-international armed
conflicts, including the United Kingdom, do not yet regard detention as being
authorised in such conflicts by customary international law.
17. Third, if there were a right of detention on whatever legal basis, there are
various conditions which might be imposed for its exercise. But if the right were to
have any reality, it would at least have to apply in a case where detention was
“necessary for imperative reasons of security”, the test which article 78 of the Fourth
Geneva Convention (1949) applies to the right of an Occupying Power to detain
civilians. This is the narrowest available test, and the one which has been proposed
by the International Committee of the Red Cross. On these appeals, the Secretary of
State does not contend for anything less.
The Security Council Resolutions
18. It is convenient to start with the position in Iraq.
19. At the time of Mr Al-Waheed’s detention, the relevant Security Council
Resolution was 1723 (2006). This extended the authority conferred by Resolution
1546 (2004), which had marked the point at which Britain ceased to be an occupying
power in Iraq and became a mandatory power acting in support of the newly formed
indigenous government of Iraq. Articles 9 and 10 of Resolution 1546 (2004)
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reaffirmed the authorisation conferred by earlier resolutions for the multinational
force to operate in Iraq, and conferred on it
“the authority to take all necessary measures to contribute to
the maintenance of security and stability in Iraq in accordance
with the letters annexed to this resolution expressing, inter alia,
the Iraqi request for the continued presence of the multinational
force and setting out its tasks, including by preventing and
deterring terrorism, so that, inter alia, the United Nations can
fulfil its role in assisting the Iraqi people as outlined in para 7
above and the Iraqi people can implement freely and without
intimidation the timetable and programme for the political
process and benefit from reconstruction and rehabilitation
activities.”
The attached letters included a letter of 5 June 2004 from the US Secretary of State,
which expressed the willingness of the United States to deploy forces to maintain
internal security in Iraq. Their activities, he said
“include activities necessary to counter ongoing security
threats posed by forces seeking to influence Iraq’s political
future through violence. This will include combat operations
against members of these groups, internment where this is
necessary for imperative reasons of security …”
20. R (Al-Jedda) v Secretary of State for Defence [2008] AC 332 arose out of the
detention of the applicant by HM forces in Iraq in October 2004. Article 103 of the
UN Charter provides that the obligations of members under the Charter should
prevail over their obligations under any other international agreement. The main
issue on the appeal was whether that meant that the Security Council Resolutions
authorising military operations in Iraq displaced article 5 of the European
Convention on Human Rights. This depended on whether detention in the course of
those operations was an obligation, or merely a power. The House of Lords held that
Resolution 1546 both authorised and required the exercise of a power of detention
where this was “necessary for imperative reasons of security”. Lord Bingham, with
whom the rest of the House agreed, gave three reasons for this. The first was that
British forces occupying Iraq before Resolution 1546 came into effect had been
authorised to intern persons for imperative reasons of security. This was because
detention in those circumstances was authorised by the Hague Regulations (1907),
and
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“if the occupying power considers it necessary to detain a
person who is judged to be a serious threat to the safety of the
public or the occupying power there must be an obligation to
detain such person.” (para 32)
Resolution 1546 was intended to continue the pre-existing security regime, not to
change it. Lord Bingham’s second reason was that although the resolution was
couched in permissive terms, this merely reflected the fact that the United Nations
can invite but not require states to contribute forces for purposes such as the security
of Iraq. Applying a purposive approach, and adopting the view of a substantial body
of academic writing, he considered the exercise of that authority to be an obligation
for those who accede to that invitation. The third reason was that those states which
contributed forces became bound by articles 2 and 25 of the UN Charter to carry out
the decisions of the Security Council so as to achieve its objectives. They were
therefore bound to exercise the power of detention where this was necessary for
imperative reasons of security. The decision of the Appellate Committee in Al-Jedda
was rejected by the European Court of Human Rights when the matter came before
them: Al-Jedda v United Kingdom (2011) 53 EHRR 23. I shall return to the
implications of this decision below. But it was rejected only insofar as it treated the
exercise of the power of detention as an obligation. It was not suggested that the
exercise of the power of detention was not even authorised by the Security Council
Resolution.
21. Turning to the position in Afghanistan, Security Council Resolution 1386
(2001) authorised the establishment of “an International Security Assistance Force
to assist the Afghan Interim Authority in the maintenance of security in Kabul and
its surrounding areas so that the Afghan Interim Authority … can operate in a secure
environment.” It called on the International Security Assistance Force (“ISAF”) to
“work in close consultation with the Afghan Interim Authority in the
implementation of the force mandate”, and on member states to contribute personnel
and resources to ISAF. Article 3 “authorised member states participating in the
International Security Assistance Force to take all necessary measures to fulfil its
mandate.” The mandate was subsequently extended by Resolution 1510 (2003) to
the provision of security assistance for reconstruction and humanitarian efforts
throughout Afghanistan.
22. At the time of SM’s detention, the most recent Security Council Resolution
was 1890 (2009), which extended the mandate by twelve months and reaffirmed its
earlier resolutions. Resolution 1890 contained a number of recitals which throw light
on the nature of ISAF’s role as it was then perceived to be and on the dangerous
character of its mission. The recitals recognised that the responsibility for providing
security and law and order resided with the government of Afghanistan, and that the
mandate of ISAF was to “assist the Afghan government to improve the security
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situation.” What was meant by the “security situation” appears from a subsequent
recital expressing the Security Council’s strong concern about
“the security situation in Afghanistan, in particular the
increased violent and terrorist activities by the Taliban, AlQaida, illegally armed groups, criminals and those involved in
the narcotics trade, and the increasingly strong links between
terrorism activities and illicit drugs, resulting in threats to the
local population, including children, national security forces
and international military and civilian personnel.”
The recitals go on to express concern about the high level of civilian casualties, and
“the harmful consequences of violent and terrorist activities by
the Taliban, Al-Qaida and other extremist groups on the
capacity of the Afghan Government to guarantee the rule of
law, to provide security and basic services to the Afghan
people, and to ensure the full enjoyment of their human rights
and fundamental freedoms.”
They condemned
“in the strongest terms all attacks, including Improvised
Explosive Device (IED) attacks, suicide attacks and
abductions, targeting civilians and Afghan and international
forces and their deleterious effect on the stabilization,
reconstruction and development efforts in Afghanistan, and
condemning further the use by the Taliban, Al-Qaida and other
extremist groups of civilians as human shields.”
They recorded the Security Council’s support for ISAF’s work in improving the
security situation in Afghanistan in the face of these threats, and welcomed ISAF’s
intention
“to undertake continued enhanced efforts in this regard
including the increased focus on protecting the Afghan
population as a central element of the mission, and noting the
importance of conducting continuous reviews of tactics and
procedures and after-action reviews and investigations in
cooperation with the Afghan Government in cases where
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civilian casualties have occurred and when the Afghan
Government finds these joint investigations appropriate.”
23. Under article 24 of the United Nations Charter, the Security Council has
“primary responsibility for the maintenance of international peace and security”, and
under article 25 the member states of the UN have a duty to carry out its decisions
in accordance with the Charter. The basis of the Security Council Resolutions in
Iraq and Afghanistan was Chapter VII (Action with respect to Threats to the Peace,
Breaches of the Peace and Acts of Aggression). This confers extensive powers on
the Security Council to deploy force on its own account or call on its members to do
so, and imposes on members corresponding duties to support these operations.
Measures taken under Chapter VII of the United Nations Charter are a cornerstone
of the international legal order. They are taken under a unique scheme of
international law whose binding force is now well established. In Legal
Consequences for States of the Continued Presence of South Africa in Namibia,
Advisory Opinion [1971] ICJ Rep 16, paras 115-116, the International Court of
Justice confirmed that these provisions are binding not only by treaty on members
of the United Nations but as a matter of customary international law on the small
number of states which are not members. In Kuwait Airways Corpn v Iraqi Airways
Co (Nos 4 and 5) [2002] 2 AC 883, at para 115, Lord Steyn described them as
embodying a “principle of international public policy”. At para 114 he summarised
their status in the following terms:
“Not only has the Charter of the United Nations been adhered
to by virtually all states, that is 189 states, but even the few
remaining non-members, have acquiesced in the principles of
the Charter: American Law Institute, Restatement of the Law,
The Foreign Relations of Law of the United States, 3d (1987),
Section 102, comment (h). It is generally accepted that the
principles of the United Nations Charter prohibiting the use of
force have the character of jus cogens, ie is part of peremptory
public international law, permitting no derogation: see
Restatement, p 28, para 102, comment (k). Security Council
Resolutions under Chapter VII of the Charter, and therefore the
resolutions in question here, were binding in law on all
members including the United Kingdom and Iraq … It would
have been contrary to the international obligations of the
United Kingdom were its courts to adopt an approach contrary
to its obligations under the United Nations Charter and under
the relevant Security Council Resolutions.”
24. These considerations are recognised in the jurisprudence of the European
Court of Human Rights in the same way as they are by other international courts and
by the domestic courts of England. In Behrami v France; Saramati v France,
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Germany and Norway (2007) 45 EHRR SE10 at paras 148-149, the Strasbourg
Court declined to review the compatibility of the acts of French, German and
Norwegian troops operating under direct United Nations command. In doing so it
drew attention to the significance of the UN’s functions in conducting peacekeeping
operations or authorising member states to conduct such operations, and to the
special legal framework within which these functions were performed.
“148. … the primary objective of the UN is the maintenance
of international peace and security. While it is equally clear that
ensuring respect for human rights represents an important
contribution to achieving international peace (see the Preamble
to the Convention), the fact remains that the UNSC has primary
responsibility, as well as extensive means under Chapter VII,
to fulfil this objective, notably through the use of coercive
measures. The responsibility of the UNSC in this respect is
unique and has evolved as a counterpart to the prohibition, now
customary international law, on the unilateral use of force.
149. … Since operations established by UNSC Resolutions
under Chapter VII of the UN Charter are fundamental to the
mission of the UN to secure international peace and security
and since they rely for their effectiveness on support from
member states, the Convention cannot be interpreted in a
manner which would subject the acts and omissions of
contracting parties which are covered by UNSC Resolutions
and occur prior to or in the course of such missions, to the
scrutiny of the Court. To do so would be to interfere with the
fulfilment of the UN’s key mission in this field including, as
argued by certain parties, with the effective conduct of its
operations. It would also be tantamount to imposing conditions
on the implementation of a UNSC Resolution which were not
provided for in the text of the Resolution itself. This reasoning
equally applies to voluntary acts of the respondent States such
as the vote of a permanent member of the UNSC in favour of
the relevant Chapter VII Resolution and the contribution of
troops to the security mission: such acts may not have
amounted to obligations flowing from membership of the UN
but they remained crucial to the effective fulfilment by the
UNSC of its Chapter VII mandate and, consequently, by the
UN of its imperative peace and security aim.”
25. A Security Council Resolution adopted in the exercise of these
responsibilities is not itself a treaty, nor is it legislation. But it may constitute an
authority binding in international law to do that which would otherwise be illegal in
Page 15
international law. Sir Michael Wood, a former Principal Legal Adviser to the
Foreign and Commonwealth Office, has made the point that Security Council
Resolutions are not usually drafted by the Secretariat, but within the various national
missions. For this reason they are not always clear or consistent either in themselves
or between one resolution and another: “The Interpretation of Security Council
Resolutions”, Max Planck Yearbook of United Nations Law [1998] 73. The meaning
of a Security Council Resolution is generally sensitive to the context in which it is
made. In its advisory opinion of June 1971 on the Legal consequences for states of
the continued presence of South Africa in Namibia (South West Africa)
notwithstanding Security Council Resolution 276 (1970) [1971] ICJ Rep 16, 53, para
114, the International Court of Justice observed:
“The language of a resolution of the Security Council should
be carefully analysed before a conclusion can be made as to its
binding effect. In view of the nature of the powers under article
25 [which requires member states to carry out decisions of the
Security Council], the question whether they have been in fact
exercised is to be determined in each case, having regard to the
terms of the resolution to be interpreted, the discussions leading
to it, the Charter provisions invoked and, in general, all
circumstances that might assist in determining the legal
consequences of the resolution of the Security Council.”
26. The expression “all necessary measures”, as used in a Security Council
Resolution has, however, acquired a meaning sanctioned by established practice. It
authorises the use of the full range of measures open to the United Nations itself for
the purpose of maintaining or restoring international peace and security under
Chapter VII of the Charter. This will normally involve the use of force under article
42, but subject to the requirement that the measures should be necessary. What is
necessary depends primarily on the specific mandate, on the general context and on
any conditions or limitations laid down in the resolution.
27. In Gill & Fleck’s valuable Handbook of the International Law of Military
Operations (2010), at para 25.03, the opinion is expressed that although Security
Council Resolutions do not as a rule authorise operational detention in so many
words, “a mandate to use ‘all necessary means’ to achieve the assigned tasks
logically encompasses operational detention as one such means, if indeed
necessary.” A similar approach was adopted by the European Court of Human
Rights in Behrami v France; Saramati v France, Germany and Norway, supra. In
that case, the analysis of the legal responsibility of UN forces proceeded on the basis,
accepted by the Court, that Security Council Resolution 1244 (1999), authorising
military operations in Kosovo, implicitly authorised detention: see paras 124, 127.
There was no express authority to detain. But it was deduced from the authority
conferred on troop-contributing nations by article 7 to take “all necessary means” to
Page 16
fulfil certain responsibilities specified in article 9, including supporting the work of
the international civil presence. In my opinion, that inference was inevitable, just as
it is in relation to the corresponding operations in Iraq and Afghanistan. This point
is not dependent on the categorisation of the relevant armed conflict as international
or non-international.
28. In my opinion, it is clear that the authorisation given to troop-contributing
states in Afghanistan by Resolution 1386 (2001) to use “all necessary measures”
included the detention of members of the opposing armed forces when this was
required for imperative reasons of security. The nature of the mission, apparent from
the context recited in Resolution 1890 (2009), involved operations of two kinds. The
first entailed operations ancillary to the ordinary law enforcement processes of the
Afghan government, essentially heavy police work. The second entailed armed
combat with the forces of an organised insurrection, with a view to defending ISAF
and its contingent forces, protecting the civilian population against the continual
threat of violence, and creating a secure environment for the reconstruction of the
Afghan state and the country generally. The distinction between these two functions
broadly corresponds to the distinction made by UK military doctrine between (i)
military internment authorised either by the host state’s municipal law or by United
Nations Security Council Resolutions, and (ii) criminal detention in support of the
national police force: see Joint Doctrine Publication 1-10 (Prisoners of War,
Internees, Detainees, April 2006), at para 113. In performing functions in the former
category they must be authorised to employ methods appropriate to military
operations. In short, if detention is “imperative” for reasons of security, it is must be
“necessary” for the performance of the mission.
29. Leggatt J accepted this up to a point, but considered that it could authorise
detention only for a very short period. His reason was that once a prisoner had been
captured and disarmed, he no longer represented an imminent threat to the security
of HM forces or the civilian population. His continued detention thereafter could not
therefore be justified under the Security Council Resolutions. This seems a
surprising conclusion and it was rejected, rightly to my mind, by the Court of
Appeal. If a person is a sufficient threat to HM forces or the civilian population to
warrant his detention in the first place, he is likely to present a sufficient threat to
warrant his continued detention after he has been disarmed. Unless UK forces are in
a position to transfer him for detention to the civil authorities for possible
prosecution, the only alternative is to release him and allow him to present the same
threat to HM forces or the civilian population. This necessarily undermines the
mission which constitutes the whole purpose of the army’s operations.
30. I conclude that in both Iraq and Afghanistan, the relevant Security Council
Resolutions in principle constituted authority in international law for the detention
of members of the opposing armed forces whenever it was required for imperative
reasons of security. It was not limited to detention pending the delivery of the
Page 17
detainee to the Afghan authorities. I say that this was the position “in principle”,
because that conclusion is subject to (i) in the case of SM the question whether that
authority was limited to 96 hours by virtue of the detention policy of ISAF, and (ii)
in the case of both SM and Mr Al-Waheed, the question whether the authority
conferred by the relevant Security Council Resolutions was limited by article 5 of
the European Convention on Human Rights.
The alleged limitation of detention to 96 hours in Afghanistan
31. This issue arises from differences between the detention policy applied
generally by ISAF and that operated by United Kingdom forces and the forces of
certain other troop-contributing nations in their own areas of operation. Both Leggatt
J and the Court of Appeal concluded that although detention was in principle
authorised by the Security Council Resolutions for imperative reasons of security,
in Afghanistan the duration of that detention was limited to 96 hours by ISAF’s
detention policy. In order to address this question, it is necessary to say something
about the relationship between ISAF and the command structure of British forces in
Afghanistan.
32. Overall command of ISAF was exercised by its commander in Afghanistan
who was himself under the command of NATO at the relevant time. ISAF’s
detention policy was contained in its Standard Operating Procedures for detention
(SOP 362). Paras 4-8 of SOP 362 provided that the only grounds on which a person
might be detained were that detention was necessary for ISAF force protection, selfdefence of ISAF or its personnel or the accomplishment of the ISAF mission.
Detention was limited to 96 hours, after which the person must either be released or
transferred to the Afghan authorities. That period could be extended on the specific
authority of the ISAF commander or his delegate, or in a case where there were
logistical difficulties about effecting his release or transfer within the 96 hour period.
33. Across Afghanistan there was a regional command structure with distinct
task forces. Most British troops, including those who detained SM, were deployed
in Helmand as part of Task Force Helmand. They operated there under their own
national chain of command. British commanders in the field reported up their chain
of command to UK Permanent Joint Headquarters, which in turn reported to the
Ministry of Defence. The judge found that the conduct of operations in Afghanistan,
including detention policy, was regarded as United Kingdom “sovereign business”.
He described the relationship between the UK Detention Authority and the ISAF
chain of command as “one of liaison and coordination only”. The British position,
summarised in a military assessment report of September 2006, was that the United
Kingdom was responsible for complying with its domestic and international legal
obligations and that this required that responsibility for detention should rest with
British officials. The judge found (para 181) that ISAF headquarters tacitly accepted
Page 18
this, and that thereafter detention decisions continued to be taken by British officials
without involving ISAF. It was essentially for this reason that the judge and the
Court of Appeal found that the United Kingdom and not the United Nations was
responsible for SM’s detention, a conclusion which is no longer challenged.
34. It is clear from the recitals in the successive Resolutions of the Security
Council, culminating in Resolution 1890 (2009), that the level of violence increased
over time and that the threat to the force and the civilian population from suicide
attacks, improvised explosive devices and other extreme methods had become very
serious by 2009. The evidence is that Helmand was one of the most difficult
provinces. In these circumstances, the United Kingdom government became
concerned that the 96 hour limit was unsatisfactory, primarily because in some cases
it did not allow long enough for the prisoner to be interrogated with a view to
acquiring valuable intelligence which was judged essential for mission
accomplishment. This was unsatisfactory to the main detaining nations (identified
as the United States, the United Kingdom, Canada and the Netherlands), but it was
considered that agreement to a change would not be obtained from other detaining
nations or from non-detaining nations. For these reasons, the United Kingdom
decided in November 2009 to adopt its own detention policy. The UK policy was
announced in Parliament on 9 November 2009: see Hansard (HL (Written
Statements)), 9 November 2009, cols WS 31-32). The minister recorded that under
ISAF guidelines, detainees were either transferred to the Afghan authorities within
96 hours for potential prosecution, or released. He said that “in the majority of cases,
UK forces will operate in this manner.” However, “in the light of the evolving threat
to our forces”, they would detain for longer periods those prisoners who
“can yield vital intelligence that would help protect our forces
and the local population – potentially saving lives, particularly
when detainees are suspected of holding information on the
placement of improvised explosive devices.
Given the ongoing threat faced by our forces and the local
Afghan population, this information is critical, and in some
cases 96 hours will not be long enough to gain that information
from the detainees. Indeed, many insurgents are aware of the
96 hours policy and simply say nothing for that entire period.
In these circumstances the Government have concluded that
Ministers should be able to authorise detention beyond 96
hours, in British detention facilities to which the ICRC has
access. Each case will be thoroughly scrutinised against the
relevant legal and policy considerations; we will do this only
where it is legal to do so and when it is necessary to support the
operation and protect our troops.”
Page 19
The new policy was notified to NATO, which made no objection. The judge found
that it was also accepted by ISAF headquarters.
35. The detention policy applied by HM forces in Afghanistan was contained in
UK Standard Operating Instructions (SOI) J3-9 (Stop, Search and Detention
Operations in the Herrick JOA), issued on the authority of UK Permanent Joint
Headquarters. It was originally issued in 2006. At the time of SM’s capture, the
version in force was Amendment 1, issued on 6 November 2009. This was replaced
on 10 April 2010, three days after SM’s capture, by Amendment 2, which was issued
to forces in the field two days later on 12 April. Since Amendment 2 was in force
for substantially the whole of the period when the judge found SM’s detention to
have been unlawful, I shall refer throughout to this version.
36. SOI J3-9 authorised British troops to “conduct stops, search, detention and
questioning procedures in accordance with [Security Council Resolutions] for
reasons of force protection, mission accomplishment and self-defence.” The
introduction sets out in general terms the principles governing detention policy. It
provided:
“6. Detention Criteria. UK Forces are authorised to
conduct stop, search, detention and question procedures in
accordance with Reference A for reasons of Force Protection,
Mission Accomplishment and Self-Defence. ISAF authorises
detention for up to a maximum of 96 hours following the point
of detention …
7. Post-detention requirements. Within 96 hours
detainees will in most cases be either handed over to the
Afghan Authorities in accordance with [the UK/Afghan
Memorandum of Understanding] or released. Detention and
evidence-gathering processes must be managed as a capability
to ensure that they support the collection of tactical intelligence
and assist the Afghan criminal justice system in achieving
lawful convictions. In almost all cases, ‘Afghan Authorities’ in
this context refers to the National Directorate of Security
(NDS) and it is to the NDS that transfers will normally be made
… Detainees should only ever be detained beyond 96 hours in
exceptional circumstances as follows:
a. On medical or logistic grounds, with HQ ISAF
authorisation (and ministerial authority where
appropriate) …
Page 20
b. With PJHQ and ministerial authority …”
37. Part I of SOI J3-9 dealt with the initial capture of a detainee. It provided:
“8. As in the case of stop and search, a person must only be
detained if it is deemed necessary to do so. If items found
during the search of the individual or any other factors indicate
that he may be a threat to mission accomplishment, the callsign or wider force protection, he should be detained. If items
found relate purely to criminal conduct and do not threaten the
accomplishment of the mission, there are no grounds for UK
FE to detain. In such circumstances the individual should be
released and his details passed to the ANP … Force protection
must always be the primary concern in such situations.
9. Decision to Detain. UK FE can detain persons only if:
a. The person is a threat to force protection; and/or
b. The person is a threat to mission
accomplishment; and/or
c. It is necessary for reasons of self-defence.”
38. The view of the courts below was, in effect, that the United Kingdom had no
power under the Security Council resolutions to adopt its own detention policy so
far as that policy purported to authorise detention for longer than was permitted by
ISAF’s practice, even in the exceptional circumstances envisaged in SOI J3-9. This
was because they considered that the Security Council Resolutions conferred the
authority to take all necessary measures on ISAF and not on troop-contributing
nations. It followed that although British forces had their own chain of command
leading ultimately to ministers in London, compliance with ISAF’s detention policy
was a condition of any authority to detain conferred by the Security Council
Resolutions. In my opinion they were mistaken about this. The Security Council
Resolution has to be interpreted in the light of the realities of forming a multinational
force and deploying it in a situation of armed conflict. ISAF is simply the expression
used in the Resolutions to describe the multinational force and the central
organisation charged with co-ordinating the operations of its national components
(“liaison and co-ordination”, to use the judge’s phrase). Resolution 1386 (2001)
provides for the creation of that force, but article 3 (quoted above) expressly confers
authority to take “all necessary measures” on the member states participating in it.
Page 21
Both practically and legally, the British government remained responsible for the
safety of its forces in Afghanistan and the proper performance of their functions, as
the United States Supreme Court has recognised in the case of American forces
participating in multinational forces under United Nations auspices: Munaf v Geren
(2008) 533 US 674. ISAF was not authorised, nor did it purport to serve as the
delegate of the Security Council for the purpose of determining what measures
should prove necessary. It follows that the United Kingdom was entitled to adopt its
own detention policy, provided that that policy was consistent with the authority
conferred by the relevant Security Council Resolutions, ie provided that it did not
purport to authorise detention in circumstances where it was not necessary for
imperative reasons of security.
39. For these reasons, I conclude that the authority conferred by the Security
Council Resolutions on Afghanistan to detain for imperative reasons of security,
was not limited to 96 hours. I would have reached the same conclusion even if I had
thought that the power to detain was conferred by the Security Council Resolutions
on ISAF, as opposed to the troop-contributing nations. This is because, in agreement
with Lord Mance and for the same reasons, I consider that the unchallenged
evidence, accepted by the judge, shows that ISAF tacitly accepted the United
Kingdom’s right to adopt its own detention policy within the limits allowed by the
Resolutions.
Impact of the European Convention on Human Rights
40. All international human rights instruments include provisions which
potentially affect the conduct of military operations in an armed conflict. Those
which protect the rights to life and liberty are the most likely to be relevant. In the
European Convention on Human Rights, these rights are protected by articles 2 and
5. Article 5 provides, so far as relevant:
“(1) Everyone has the right to liberty and security of person.
No one shall be deprived of his liberty save in the following
cases and in accordance with a procedure prescribed by law:

(c) the lawful arrest or detention of a person effected
for the purpose of bringing him before the competent
legal authority on reasonable suspicion of having
committed an offence or when it is reasonably
Page 22
considered necessary to prevent his committing an
offence or fleeing after having done so.

(f) the lawful arrest or detention of a person to
prevent his effecting an unauthorised entry into the
country or of a person against whom action is being
taken with a view to deportation or extradition.

(3) Everyone arrested or detained in accordance with the
provisions of paragraph 1(c) of this article shall be brought
promptly before a judge or other officer authorised by law to
exercise judicial power and shall be entitled to trial within a
reasonable time or to release pending trial. Release may be
conditioned by guarantees to appear for trial.
(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.”
41. The enforcement of human rights has from its inception been a significant
part of the United Nations’ mission under its Charter. It is therefore appropriate to
construe Security Council Resolutions on the footing that those acting under their
authority will respect the human rights of those with whom they deal, so far as that
is consistent with the proper performance of the functions entrusted to them. But
that qualification is important. In the first place, although it is axiomatic that under
a resolution authorising “all necessary measures”, the measures must be necessary,
ie required for imperative reasons of security, military operations will in the nature
of things interfere with rights such as the right to life, liberty and property. Secondly,
most if not all schemes of human rights protection assume a state of peace and basic
standards of public order. This is particularly true of provisions protecting liberty,
which are generally directed to penal and police procedures. They assume not just
minimum levels of public order, but a judiciary with effective criminal jurisdiction
and a hierarchy of state officials with a chain of responsibility. The rights which they
protect cannot be as absolute in a war zone in the midst of a civil war, where none
of these conditions necessarily obtains. Thirdly, Security Council Resolutions such
as those authorising peacekeeping operations in Iraq and Afghanistan are addressed
Page 23
to every country in the world. They must be taken to mean the same thing
everywhere. This means that they cannot be construed by reference to any particular
national or regional code of human rights protection, such as the European
Convention on Human Rights. The United Kingdom is a member of the Council of
Europe and a party to the European Convention, but about 50 countries participated
in ISAF many of which were not.
42. These considerations are particularly important when it comes to article 5 of
the European Convention, which is unique among international codes of human
rights protection in containing an exhaustive list of six grounds on which the law
may authorise a deprivation of liberty. No other major international human rights
instrument has this feature. In particular it is not a feature of the corresponding
provision, article 9, of the International Covenant on Civil and Political Rights. The
Covenant, which is an expansion in treaty form of the Universal Declaration of 1948,
has been ratified by 167 states to date and may be regarded as the paradigm
statement of internationally recognised human rights. Article 9.1 provides:
“Everyone has the right to liberty and security of person. No
one shall be subjected to arbitrary arrest or detention. No one
shall be deprived of his liberty except on such grounds and in
accordance with such procedure as are established by law.”
The rest of article 9 is concerned with procedural safeguards. These include
provisions for judicial supervision and a right of resort to a court to challenge the
detention. No attempt is made to prescribe exhaustively the grounds on which the
law may authorise detention, provided that those grounds do not amount to a licence
for arbitrary detention. The attempt by the draftsmen of article 5 of the European
Convention to codify the exceptions more precisely makes it unusually inflexible if
applied according to its literal meaning in a situation of armed conflict. In some
circumstances, some of the six grounds may adventitiously accommodate military
detention. But as the Strasbourg court recognised in Hassan v United Kingdom
(2014) 38 BHRC 358, para 97, they are not designed for such a situation and are not
well adapted to it.
43. When the Security Council calls upon member states of the United Nations
to participate in an armed conflict, the relevant source of human rights protection as
far as the Security Council is concerned is not some particular code of human rights,
let alone a national or regional one. It is the body of principle which applies as a
matter of international law in armed conflicts. The laws of armed conflict are lex
specialis in relation to rules laying down peace-time norms upon the same subjects.
In the case of a non-international armed conflict, this includes Common Article 3 of
the Geneva Conventions and, where it applies, Additional Protocol II. In Legality of
the Threat or Use of Nuclear Weapons, Advisory Opinion [1996] ICJ Rep 226, the
Page 24
International Court of Justice considered the interrelation between international
humanitarian law and international human rights law, taking the International
Covenant on Civil and Political Rights as the measure of the latter. Article 6 of the
International Covenant on Civil and Political Rights provides that no one may be
arbitrarily deprived of his life. At para 25 of its advisory opinion, the Court observed
that
“the protection of the International Covenant of Civil and
Political Rights does not cease in times of war, except by
operation of article 4 of the Covenant whereby certain
provisions may be derogated from in a time of national
emergency. Respect for the right to life is not, however, such a
provision. In principle, the right not arbitrarily to be deprived
of one’s life applies also in hostilities. The test of what is an
arbitrary deprivation of life, however, then falls to be
determined by the applicable lex specialis, namely, the law
applicable in armed conflict which is designed to regulate the
conduct of hostilities. Thus whether a particular loss of life,
through the use of a certain weapon in warfare, is to be
considered an arbitrary deprivation of life contrary to article 6
of the Covenant, can only be decided by reference to the law
applicable in armed conflict and not deduced from the terms of
the Covenant itself.”
Referring to these observations in Legal Consequences of the Construction of a Wall
in the Occupied Palestinian Territory, Advisory Opinion, [2004] ICJ Rep 136, the
International Court of Justice said, at para 106:
“As regards the relationship between international
humanitarian law and human rights law, there are thus three
possible situations: some rights may be exclusively matters of
international humanitarian law; others may be exclusively
matters of human rights law; yet others may be matters of both
these branches of international law. In order to answer the
question put to it, the Court will have to take into consideration
both these branches of international law, namely human rights
law and, as lex specialis, international humanitarian law.”
Cf Armed Activities on the Territory of the Congo (Democratic Republic of the
Congo v Uganda) Judgment, [2005] ICJ Rep, 168, para 216. As a study group of the
United Nations International Law Commission has observed, “when lex specialis is
being invoked as an exception to the general law, then what is being suggested is
that the special nature of the facts justifies a deviation from what otherwise would
Page 25
be the ‘normal’ course of action”: Fragmentation of International Law: Difficulties
Arising from the Diversification and Expansion of International Law (2006)
A/CN.4/L.682. These observations, which were made in the context of article 6 of
the International Covenant on Civil and Political Rights, are equally true of the
prohibition in article 9 of the Covenant of arbitrary detention or detention otherwise
than in accordance with law. Article 9, like article 6, applies in hostilities. But the
question what is arbitrary or in accordance with law in an armed conflict cannot be
answered in the same way as it would be in peacetime.
44. International humanitarian law does not specifically authorise detention in a
non-international armed conflict. But, as I have explained, the relevant Security
Council Resolutions did authorise detention, and international humanitarian law
regulates its consequences on the assumption that it is an inevitable feature of state
practice. In that respect, the Resolutions served the same function in a noninternational armed conflict as the authority to detain under article 21 of the Third
Geneva Convention does in an international armed conflict. It conferred an authority
in international law to detain in circumstances where this was necessary for
imperative reasons of security.
45. The next question is how these considerations can live with the European
Convention when troops are contributed to a United Nations multinational force by
a member state of the Council of Europe. The European Convention is not easy to
apply to military operations outside the national territory of a contracting state.
Article 2(2)(c) provides that the right to life is not infringed when it results from
necessary action taken to quell an insurrection, but there is no corresponding
provision for killing in the course of an international armed conflict. Article 5 of the
European Convention, as I have observed, lists the permissible occasions for a
deprivation of liberty in terms which take no account of military detention in the
course of an armed conflict, whether international or non-international. In the case
of an armed conflict on the national territory of the member state concerned, these
problems may be resolved by resort to article 15, which permits derogation from
(among others) article 2 in respect of deaths resulting from lawful acts of war and
from article 5 generally. But derogation under article 15 is permitted only “in time
of war or other public emergency threatening the life of the nation”. Like Lord
Bingham of Cornhill in R (Al-Jedda) v Secretary of State for Defence [2008] AC
332, para 38, I am inclined to think that “the nation” in article 15 means the nation
seeking to derogate. It cannot, as Leggatt J suggested, mean Iraq or Afghanistan. It
is of course theoretically possible that an armed conflict outside the United Kingdom
might threaten the life of the British nation. The fighting in France in 1939-40 could
no doubt have been so described. But it is difficult to imagine any circumstances in
which this would be true of an armed conflict abroad in which UK armed forces
were engaged as part of a peacekeeping force under the auspices of the United
Nations.
Page 26
46. In Bankovic v Belgium (2001) 44 EHRR SE5, the European Court of Human
Rights rejected an argument that a Convention state’s obligation under article 1 to
secure to “everyone within their jurisdiction” the rights and freedoms secured by
Section I, could apply to those affected by military operations conducted abroad,
unless they occurred in the territory of another Convention state or in a nonConvention territory where a Convention state exercised effective governmental
control. Two features of the reasoning are particularly significant for present
purposes. The first was the Court’s view that the rights protected by Section I of the
Convention were a total package. It could not be “divided and tailored in accordance
with the particular circumstances of the extra-territorial act in question” (para 73).
The Convention could not therefore be applied in a non-Convention territory where
the Convention state in question was not in a position to apply it as a whole. The
second significant feature of the reasoning concerned the relationship between the
Convention and international law generally. In Behrami v France; Saramati v
France, Germany and Norway (2007) 45 EHRR SE10 at para 122, the Court cited
the decision in Bankovic in support of the broader proposition that
“the principles underlying the Convention … must … take into
account relevant rules of international law when examining
questions concerning its jurisdiction and, consequently,
determine state responsibility in conformity and harmony with
the governing principles of international law of which it forms
part, although it must remain mindful of the Convention’s
special character as a human rights treaty.”
The principle thus stated corresponds to the ordinary principle on which treaties are
interpreted, taking into account any relevant rules of international law: see Vienna
Convention on the Law of Treaties, article 31(3)(c).
47. In Al-Skeini v United Kingdom (2011) 53 EHRR 18, the Grand Chamber
adopted what was widely regarded as a radically different approach. The Convention
was held to apply, so far as relevant, to extra-territorial military operations in any
case where the agents of a Convention state exercised control and authority over an
individual, even if they did not exercise governmental powers in the place where the
relevant operations occurred. The procedural requirements of article 2 were
accordingly applied to the deaths of Iraqi citizens in the course of firefights with
British troops. The implications of this for the conduct of military operations were
apparent from the Grand Chamber’s judgment in Al-Jedda v United Kingdom (2011)
53 EHRR 23, which was delivered on the same day as Al-Skeini. The Strasbourg
court, rejecting the prior decision of the House of Lords, held that in the absence of
a derogation under article 15 military detention in the course of an armed conflict
outside the national territory of a Convention state contravened article 5, because it
could not be brought within any of the six permitted occasions for detention in article
5(1). It rejected the submission that under article 103 of the UN Charter, UN member
Page 27
states had an obligation to give effect to resolutions of the Security Council which
prevailed over obligations under the European Convention. This was because the
relevant Security Council Resolution left the choice of methods to the multinational
force in Iraq. In the absence of sufficiently specific language the Security Council’s
authorisation to use “all necessary measures” did not therefore create an obligation
to detain even if it created a power to do so. The Strasbourg court reached a similar
conclusion in two cases arising out of Security Council Resolutions imposing
sanctions on specified individuals: Nada v Switzerland (2012) 56 EHRR 18, and AlDulimi and Montana Management Inc v Switzerland (Application No 5809/08)
(judgment delivered 21 June 2016). In both cases article 103 of the United Nations
Charter was held to be inapplicable because the sanctions resolutions left enough
discretion to member states to fall short of an obligation.
48. In equating the application of physical force with the exercise of jurisdiction,
the decision of the Strasbourg court in Al-Skeini was consistent with the opinion of
the United Nations Human Rights Committee, which has treated extraterritorial
kidnappings as exercises of state jurisdiction: see Lopez Burgos v Uruguay (Case
No C-52/79) (1981) 68 ILR 41 and Lilian Celiberti de Casariego v Uruguay (Case
No C-56/79) (1981) 68 ILR 29. The principle in Al-Skeini was also adopted by this
court in Smith v Ministry of Defence [2014] AC 52, in the admittedly rather different
context of the state’s duties to its own soldiers. But it goes substantially further than
the jurisprudence of the International Court of Justice, which has thus far recognised
the extraterritorial application of human rights treaties only in cases where
governmental powers are exercised by a state in the course of a military occupation
of foreign territory: see Legal Consequences of the Construction of a Wall in the
Occupied Palestinian Territory, Advisory Opinion, [2004] ICJ Rep 136, para 109;
Armed Activities on the Territory of the Congo (Democratic Republic of the Congo
v Uganda) Judgment, [2005] ICJ Rep 168, para 216. It also gives rise to serious
analytical and practical difficulties, when applied to a state’s treatment of enemy
combatants outside its own territory, because the practical effect is to apply the
Convention to any extra-territorial exercise of force. This is not consistent with the
essentially regional character of the Convention. It goes well beyond the ordinary
concept of extra-territorial jurisdiction in international law, which is generally
confined to territory where the state is the governmental authority or occupying
power and to enclaves of national jurisdiction such as ships, aircraft, military
establishments or diplomatic premises. It thereby requires a Convention state to
apply its terms in places where it has no effective administrative control and no legal
right to effective administrative control. It brings the Convention into potential
conflict with other sources of international law such as the Charter and acts of the
United Nations, as well as with the municipal law of the territory in question. It
requires the application of the Convention to the conduct of military operations for
which it was not designed and is ill-adapted, and in the process cuts across
immunities under national law which may be fundamental to the constitutional
division of powers, as they arguably are in the United Kingdom. The ambit of article
1 of the Convention is a matter of particular sensitivity to any Convention state. At
Page 28
the level of international law, by defining the extent of the Contracting Parties’
obligation to give effect to its provisions, it identifies the limits of what they have
agreed in an altogether more fundamental sense than the following articles which
set out the rights protected. At the level of municipal law, the authority of the courts
to apply the Convention is a creature of the Human Rights Act 1998. It is ultimately
a matter for the courts of the United Kingdom to decide the territorial ambit of the
obligation of public authorities under section 6 to act compatibly with the
Convention. In doing so it will in accordance with established principle assume that
the legislature intended to act consistently with the United Kingdom’s treaty
obligations. It will not depart from the interpretation of those obligations by the
European Court of Human Rights without very good reason. But it cannot in the last
resort be bound by the view of the Strasbourg court on that question if it is satisfied
that that view goes beyond what Parliament has enacted. As Lord Neuberger and
Lord Mance observed of the European Communities Act 1972 in R
(Buckinghamshire County Council) v Secretary of State for Transport [2014] 1
WLR 324, para 207, there may be fundamental principles, whether contained in
other constitutional instruments or recognised at common law, whose abrogation
Parliament neither contemplated nor authorised.
49. The particular application of the principle in Al-Skeini by the Strasbourg court
in Al-Jedda gives rise to further difficulties of its own. It caused consternation
among those concerned with the enforcement of international humanitarian law,
because it appeared to undermine its role in armed conflicts as well as the efficacy
of international peacekeeping operations. In an influential article in the International
Review of the Red Cross (“The European Court of Human Rights’ Al-Jedda
judgment: the oversight of international humanitarian law”, (2011) 93 IRRC 837),
Jelena Pejic, the Legal Adviser in the Legal Department of the International
Committee of the Red Cross and a distinguished authority in this field, criticised the
decision on the grounds (i) that it required authority to detain in armed conflicts to
be specifically conferred by the language of a Security Council Resolution, when
the relevant lex specialis in international law was the Geneva Conventions; and (ii)
that to make detention an obligation of powers participating in an armed conflict
would restrict their discretion in a way which would be operationally counterproductive and “hardly a human-rights-friendly outcome” (pp 847-848). “For the
moment”, she concluded (p 851),
“Al-Jedda casts a chilling shadow on the current and future
lawfulness of detention operations carried out by ECHR states
abroad. In addition, their ability to engage with other, nonECHR, countries in multinational military forces with a
detention mandate currently remains, at best, uncertain.”
50. It is, however, unnecessary to explore these problems any further in the
present case, because of the relatively narrow basis on which Al-Jedda was argued
Page 29
and decided and because of the development of the jurisprudence of the Strasbourg
court since it was decided. Al-Jedda was presented as a case of conflicting
obligations. The argument in the Strasbourg court proceeded, as it had done in the
House of Lords, on the footing that there was an irreconcilable conflict between the
Security Council Resolutions and article 5 of the European Convention, one of
which must be displaced by the other: see para 105. By declining to treat military
detention as an obligation, as opposed to a discretionary power, the court was able
to treat article 5 as consistent with the United Kingdom’s obligations under the UN
Charter. But, in the light of later developments, perhaps the most significant feature
of the decision in Al-Jedda was that it marked a clear (though unacknowledged)
departure from the principle stated in Bankovic that the Convention could not be
“divided and tailored” for particular situations and had to be applied on an all or
nothing basis. It thereby opened the possibility of a partial or modified application
of the Convention to the extra-territorial acts of Convention states. In particular,
some adaptation of the Convention might be required by the international law
context in which those acts occurred: see paras 76, 102. This suggests that a more
fruitful approach in Al-Jedda would have been to reconcile the terms of the
Convention with those of the Security Council Resolutions by adapting the former
to the situation created by the latter.
51. This was the step which the Grand Chamber ultimately took in Hassan v
United Kingdom (2014) 38 BHRC 358, a decision which was considered by the
Court of Appeal but unfortunately appeared too late to be taken into account by
Leggatt J. The facts were that the applicant’s brother had been detained by British
forces in Iraq for a period of nine days. When it was ascertained that he was a civilian
who posed no threat to security, he was released. This happened in 2003,
immediately after the invasion of Iraq by coalition forces, at a stage when the armed
conflict was international in character. Hassan’s detention did not fall within any of
the six cases specified in article 5(1) where detention might be permitted, and he had
no effective access to a court for the purposes of article 5(4). The Grand Chamber
none the less held that there was no violation of article 5. It rejected the argument
that article 5 was displaced, as it had in Al-Jedda, but held that it fell to be adapted
to a context in which international humanitarian law provided the relevant
safeguards against abuse. The judgment calls for careful study.
52. The starting point is that on the Court’s analysis no question arose of
conflicting international obligations or of a Security Council Resolution displacing
or overriding article 5 of the European Convention. Cases of conflicting obligations
may have to be resolved by deciding which of them is to override the other. But
where an obligation is inconsistent with a mere power, there is normally no conflict.
The power does not have to be exercised. The United Kingdom relied in Hassan on
article 21 of the Third Geneva Convention and article 78 of the Fourth Geneva
Convention. These provisions did no more than confer a power to detain. No one
suggested that they gave rise to an obligation to detain or that they overrode article
Page 30
5 of the Convention. The question was a different one, namely what did article 5
mean in the context of an armed conflict. Or, as the Grand Chamber put it (para 99),
whether the Court should “interpret [the obligations of the United Kingdom under
article 5] in the light of powers of detention available to it under international
humanitarian law.” In particular, the question was whether the six cases of
permissible detention listed in article 5(1) were to be interpreted as exhaustive in
that context. This involved interpreting it according to the ordinary principles of
international law, taking account of state practice in its application and of any
relevant rules of international law: see article 31(3)(b) and (c) of the Vienna
Convention. In the result, the Grand Chamber held that article 5(1) fell to be
modified by treating the six cases as non-exhaustive so as to accommodate the
existence of a power of detention in international law. This was a very different issue
from the one which had arisen in Al-Jedda, as the court pointed out at para 99.
53. The court began (para 97) by drawing attention to the incongruity of the six
permitted grounds of detention in article 5(1) of the Convention in a situation of
armed conflict:
“It has long been established that the list of grounds of
permissible detention in article 5(1) does not include
internment or preventive detention where there is no intention
to bring criminal charges within a reasonable time (see Lawless
v Ireland [1961] ECHR 332/57 at paras 13 and 14; Ireland v
UK [1978] ECHR 5310/71 at para 196; Guzzardi v Italy [1980]
ECHR 7367/76 at para 102; Jecius v Lithuania [2000] ECHR
34578/97 at paras 47-52; and Al-Jedda v UK (2011) 30 BHRC
637 at para 100). Moreover, the court considers that there are
important differences of context and purpose between arrests
carried out during peacetime and the arrest of a combatant in
the course of an armed conflict. It does not take the view that
detention under the powers provided for in the Third and
Fourth Geneva Conventions is congruent with any of the
categories set out in sub-paras (a) to (f). Although article
5(1)(c) might at first glance seem the most relevant provision,
there does not need to be any correlation between security
internment and suspicion of having committed an offence or
risk of the commission of a criminal offence. As regards
combatants detained as prisoners of war, since this category of
person enjoys combatant privilege, allowing them to
participate in hostilities without incurring criminal sanctions, it
would not be appropriate for the court to hold that this form of
detention falls within the scope of article 5(1)(c).”
Page 31
54. The court went on to consider whether these inconsistencies could be
resolved by resort to the right of derogation under article 15. It did not decide
whether derogation was available in respect of armed conflict in Iraq, but concluded
that it was unnecessary to do so, because the consistent practice of states was not to
derogate from article 5 of the European Convention or article 9 of the International
Covenant on Civil and Political Rights in order to detain persons on the basis of the
Third and Fourth Geneva Conventions during international armed conflict:
“However, in respect of the criterion set out in article 31(3)(b)
of the Vienna Convention …, the court has previously stated
that a consistent practice on the part of the high contracting
parties, subsequent to their ratification of the convention, could
be taken as establishing their agreement not only as regards
interpretation but even to modify the text of the convention
(see, mutatis mutandis, Soering v United Kingdom [1989]
ECHR 14038/88 at paras 102-103 and Al-Saadoon v United
Kingdom [2010] ECHR 61498/08 at para 120).” (para 101)
55. In those circumstances, the solution was to adapt the state’s obligations under
the European Convention so as to accommodate the lex specialis applicable to armed
conflict:
“The court has made it clear on many occasions that the
Convention must be interpreted in harmony with other rules of
international law of which it forms part … This applies no less to
international humanitarian law. The four Geneva Conventions of
1949, intended to mitigate the horrors of war, were drafted in
parallel to the European Convention on Human Rights and enjoy
universal ratification. The provisions in the Third and Fourth
Geneva Conventions relating to internment, at issue in the present
application, were designed to protect captured combatants and
civilians who pose a security threat. The court has already held
that article 2 of the Convention should ‘be interpreted in so far as
possible in light of the general principles of international law,
including the rules of international humanitarian law which play
an indispensable and universally-accepted role in mitigating the
savagery and inhumanity of armed conflict’ (see Varnava v
Turkey [GC] … para 185, ECHR 2009), and it considers that these
observations apply equally in relation to article 5. Moreover, the
International Court of Justice has held that the protection offered
by human rights conventions and that offered by international
humanitarian law co-exist in situations of armed conflict … In its
judgment Armed Activities on the Territory of the Congo, the
International Court of Justice observed, with reference to its
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advisory opinion concerning Legal Consequences of the
Construction of a Wall in the Occupied Palestinian Territory, that
‘[a]s regards the relationship between international humanitarian
law and human rights law, there are thus three possible situations:
some rights may be exclusively matters of international
humanitarian law; others may be exclusively matters of human
rights law; yet others may be matters of both these branches of
international law’… The court must endeavour to interpret and
apply the Convention in a manner which is consistent with the
framework under international law delineated by the International
Court of Justice.” (para 102)
56. The Court’s conclusion is set out at paras 104-106. Dealing first with the
lawfulness of detention, it observed:
“104. None the less, and consistently with the case law of the
International Court of Justice, the Court considers that, even in
situations of international armed conflict, the safeguards under
the Convention continue to apply, albeit interpreted against the
background of the provisions of international humanitarian
law. By reason of the co-existence of the safeguards provided
by international humanitarian law and by the Convention in
time of armed conflict, the grounds of permitted deprivation of
liberty set out in subparagraphs (a) to (f) of that provision
should be accommodated, as far as possible, with the taking of
prisoners of war and the detention of civilians who pose a risk
to security under the Third and Fourth Geneva Conventions.
The court is mindful of the fact that internment in peacetime
does not fall within the scheme of deprivation of liberty
governed by article 5 of the Convention without the exercise of
the power of derogation under article 15 (see para 97 above). It
can only be in cases of international armed conflict, where the
taking of prisoners of war and the detention of civilians who
pose a threat to security are accepted features of international
humanitarian law, that article 5 could be interpreted as
permitting the exercise of such broad powers.
105. As with the grounds of permitted detention already set
out in those subparagraphs, deprivation of liberty pursuant to
powers under international humanitarian law must be ‘lawful’
to preclude a violation of article 5 para 1. This means that the
detention must comply with the rules of international
humanitarian law and, most importantly, that it should be in
keeping with the fundamental purpose of article 5 para 1, which
Page 33
is to protect the individual from arbitrariness (see, for example,
Kurt v Turkey (1998) 5 BHRC 1, para 122; El-Masri v former
Yugoslav Republic of Macedonia (2012) 34 BHRC 313, para
230; see also Saadi v Italy (2008) 24 BHRC 123, paras 67-74,
and the cases cited therein).”
57. In para 104 of the judgment the Grand Chamber referred to the “co-existence
of the safeguards provided by international humanitarian law and by the Convention
in time of armed conflict.” It is clear that the fact that the relevant lex specialis
applicable to armed conflict contained its own safeguards against abuse, albeit less
extensive than those of article 5 of the Convention, was at least part of the reason
why it was legitimate to “accommodate” the six permitted grounds of detention to
cater for detention in the course of armed conflict. The rules of international
humanitarian law which the court had in mind are identified in para 106 of the
judgment:
“106. As regards procedural safeguards, the Court considers
that, in relation to detention taking place during an international
armed conflict, article 5 paras 2 and 4 must also be interpreted
in a manner which takes into account the context and the
applicable rules of international humanitarian law. Articles 43
and 78 of the Fourth Geneva Convention provide that
internment ‘shall be subject to periodical review, if possible
every six months, by a competent body’. Whilst it might not be
practicable in the course of an international armed conflict for
the legality of detention to be determined by an independent
‘court’ in the sense generally required by article 5 para 4 (see,
in the latter context, Reinprecht v Austria, para 31, ECHR 2005
no 67175/01), none the less, if the contracting state is to comply
with its obligations under article 5 para 4 in this context, the
‘competent body’ should provide sufficient guarantees of
impartiality and fair procedure to protect against arbitrariness.
Moreover, the first review should take place shortly after the
person is taken into detention, with subsequent reviews at
frequent intervals, to ensure that any person who does not fall
into one of the categories subject to internment under
international humanitarian law is released without undue
delay.”
58. The reference to articles 43 and 78 of the Fourth Geneva Convention is of
some importance. Leaving aside common article 3, the Fourth Geneva Convention
is concerned with the treatment of “protected persons” (essentially civilian noncombatants) who in the course of an international armed conflict “find themselves”
in the hands of a belligerent or occupying power of which they are not nationals.
Page 34
The Convention authorises the internment of aliens found in the territory of a party
to the conflict (article 42) and of protected persons generally in an occupied territory
(article 78). The analogy between those situations and the present one is that
internment is authorised under article 42 “only if the security of the Detaining Power
makes it absolutely necessary” and under article 78 only for “imperative reasons of
security”. The difference of phraseology reflects the fact that internment in an
occupied territory may be necessary for the security of those interned. There is no
substantial difference in the test of necessity as between the two situations. This
contrasts with the position relating to prisoners of war under the Third Geneva
Convention, where it is enough to justify their detention that they belong to a hostile
organised armed force or a civilian service ancillary to such a force. Since the factual
basis of internment is more readily disputable under Fourth Convention, article 43
confers on those interned under article 42 a right to have their internment
“reconsidered as soon as possible by an appropriate court or administrative board
designated by the Detaining Power for that purpose.” If continued detention is
authorised, the court or administrative board must review the case at least twice a
year to determine whether detention is still justified. Article 78 confers similar rights
on persons interned under that article. In either case, article 132 provides that an
internee shall be released “as soon as the reasons which necessitated his internment
no longer exist.” With the possible exception of article 5 of the Third Geneva
Convention (which provides for a “competent tribunal” to determine disputed claims
to prisoner of war status), articles 43 and 78 of the Fourth Geneva Conventions are
the only provisions of the Geneva Conventions which confer rights on detainees that
can in any sense be said to correspond to those conferred by article 5 of the European
Convention on Human Rights.
59. It was argued before us that these observations had no bearing on a noninternational armed conflict such as we are concerned with on these appeals, and no
bearing on detentions under the authority of a Security Council Resolution as
opposed to international humanitarian law. There are occasional passages in the
judgment which can be cited in support of these arguments. But I would not accept
them, for two main reasons.
60. In the first place, the Grand Chamber in Hassan dealt with the point before
them by reference to international armed conflicts because that was the character of
the Iraqi conflict at the time of the events in question. It followed that the relevant
source of the international law power to detain was the Third and Fourth Geneva
Conventions. But the essential question was whether article 5 of the European
Convention on Human Rights should be interpreted so as to accommodate an
international law power of detention which was not among the permissible
occasions for detention listed at article 5(1). The question is the same in the present
cases, although the source of the international law power to detain is a resolution of
the Security Council under Chapter VII of the Charter instead of the Geneva
Conventions. I have already pointed out that resolutions under Chapter VII are a
Page 35
cornerstone of the international legal order. Their status as a source of international
law powers of coercion is as significant as the Geneva Conventions, and is just as
relevant where the Convention falls to be interpreted in the light of the rules of
international law.
61. Secondly, I reject the argument that the decision has no application to noninternational armed conflicts because, while there are differences between the two
classes of armed conflict, those differences do not, as it seems to me, affect the
particular features of the reasoning in Hassan which are critical to the resolution of
these appeals. The fundamental question in Hassan was whether the six permitted
grounds listed in article 5(1) of the Convention were to be treated as exhaustive in
the context of armed conflict. The Court decided that they were not. This was
because the exhaustive list of permitted grounds was designed for peacetime and
could not accommodate military detention in the very different circumstances of an
armed conflict: para 97. The Grand Chamber referred at para 102 to the decision of
the International Court of Justice in Armed Activities on the Territory of the Congo,
and its advisory opinion concerning The Legal Consequences of the Construction of
a Wall in the Occupied Palestinian Territory. At para 104, it drew the same
distinction as the International Court of Justice had made between peacetime norms,
such as the prohibition of internment by international human rights instruments, and
detention in the course of an armed conflict. These points do not depend on the
international character of the armed conflict in question. The taking of prisoners of
war and the detention of civilians posing a threat to security are inherent in
international and non-international armed conflicts alike. The practice of states to
detain is common to both and is universal in both contexts. It is right to add that the
state practice as regards derogations, to which the Grand Chamber attached some
importance, is the same in both international and non-international armed conflicts.
No member of the Council of Europe has ever derogated from the European
Convention with respect to military action of whatever kind taken abroad: see Pejic,
art cit, at p 850.
62. It is fair to point out that some aspects of the functions of the peacekeeping
forces deployed in Iraq and Afghanistan can more readily be accommodated within
the six specified grounds in article 5(1) than the internment of prisoners of war in an
international armed conflict. In particular, where armed forces are operating in
support of the government of the territory, article 5(1)(c) may apply (detention for
the purpose of bringing a person before a competent legal authority on suspicion of
having committed an offence or to prevent him from committing one). But the
enforcement of the criminal law against individual suspects is far from exhausting
the functions of the forces deployed in either theatre. As I have pointed out (paras
21-22, 28 above), their mandate under the relevant Security Council Resolutions
extended well beyond operating as an auxiliary police force. It required them to
engage as combatants in an armed conflict with the forces of a violent, organised
Page 36
insurrection, with a view to defending itself, protecting the civilian population, and
creating a secure environment for the reconstruction of the country.
63. Once one concludes that the six grounds are not necessarily exhaustive in a
situation of armed conflict, the next question is whether there is some alternative
legal standard to determine what circumstances justify detention and subject to what
procedural safeguards. The court in Hassan answered this question by seeking to
identify the “fundamental purpose” of ECHR article 5(1) and to consider whether
that purpose would be sufficiently served by the rules applicable in armed conflict
even if the case did not come within the six permitted grounds. They considered
that, as with other international human rights instruments, the fundamental purpose
of article 5 was to “protect the individual from arbitrariness” (para 105). The essence
of arbitrariness is discretion uncontrolled by law. There were two essential
conditions for ensuring that detention was not uncontrolled by law. The first was
that there should be a legal basis for it. In other words, there must be a legal power
to detain and it must not be exercisable on discretionary principles so broad, flexible
or obscure as to be beyond legal control. The second was that there must be some
sufficient means available to the detainee to challenge the lawfulness of his
detention. In these respects article 5 of the European Convention, although a great
deal more prescriptive in detail, shares the objective of article 9 of the Universal
Declaration of Human Rights and article 9 of the International Covenant on Civil
and Political Rights.
64. The relevance of the Geneva Conventions in Hassan was that in the context
of an international armed conflict, they provided an appropriate alternative legal
standard to the literal application of article 5. But it does not follow that in a conflict
to which the relevant provisions of the Geneva Conventions do not directly apply,
anyone detained by the peacekeeping forces must necessarily be treated as being
detained arbitrarily. The present question is whether there is an appropriate legal
standard in a non-international armed conflict, notwithstanding that the relevant
provisions of the Geneva Conventions do not directly apply.
65. As far as the right of detention itself is concerned, the answer is reasonably
straightforward. There is, for the reasons which I have explained, a sufficient legal
basis for detention in the Security Council Resolutions. The implicit limitation to
occasions where detention is necessary for imperative reasons of security, provides
a clear legal standard which is no wider than the purpose of the UN mandate
requires. Indeed, it is the same standard as that which applies under articles 42 and
78 of the Fourth Geneva Convention, which the Grand Chamber endorsed in the
context of an international armed conflict.
66. The claimants argue that the Grand Chamber could not have envisaged that
its reasoning would be applied to non-international armed conflicts because the
Page 37
procedural safeguards derived from international humanitarian law, which they
regarded as an acceptable substitute for the protection of article 5, were available
only to those detained in the course of an international armed conflict. I recognise
the force of this argument, but I think that it is mistaken. It is true that with the
exception of common article 3, the Third and Fourth Geneva Conventions apply
only in international armed conflicts. The duty of review in articles 43 and 78 of the
Fourth Convention, to which the Grand Chamber attached importance, does not
apply to those detained in the course of a non-international armed conflict. But it
should be noted that it does not apply to most of those detained in an international
armed conflict either. It applies only to those detainees who are “protected persons”
within the meaning of article 4 of the Fourth Convention. They are, as I have
observed, mainly civilian non-combatants. The definition of “protected persons”
expressly excludes those who are protected by the Third Geneva Convention. The
persons thus excluded from the ambit of articles 43 and 78 of the Fourth Convention
include not only the armed forces and civilian ancillary services of a belligerent
state, but also other persons participating in an international armed conflict as
members of organised and identifiable resistance movements or militias, or as
persons who on the approach of the enemy take up arms spontaneously: see article
4 of the Third Geneva Convention. The Third Convention has no equivalent
provision for review of the detention of persons in these categories. It is of course
possible that the Grand Chamber intended to confine the “accommodation” between
international humanitarian law and article 5 of the European Convention on Human
Rights strictly to the limited category of detainees entitled to the benefit of articles
43 and 78 of the Fourth Geneva Convention. This would, however, have been a
rather arbitrary choice. The Grand Chamber was not concerned to define the ambit
of international humanitarian law but to adapt article 5 of the Convention to
conditions of armed conflict for which it was not primarily designed. I think it
unlikely that they intended that article 5 should apply without modification to
prisoners of war taken in an international armed conflict, simply because no review
procedure was available to them under the Geneva Conventions. It is in my opinion
clear that they regarded the duty of review imposed by articles 43 and 78 of the
Fourth Convention as representing a model minimum standard of review required
to prevent the detention from being treated as arbitrary. They were adopting that
standard not just for cases to which those articles directly applied, but generally.
67. Given that the Security Council Resolutions themselves contain no
procedural safeguards, it is incumbent on Convention states, if they are to comply
with article 5, to specify the conditions on which their armed forces may detain
people in the course of an armed conflict and to make adequate means available to
detainees to challenge the lawfulness of their detention under their own law. There
is no reason why a Convention state should not comply with its Convention
obligations by adopting a standard at least equivalent to articles 43 and 78 of the
Fourth Geneva Convention, as those participating in armed conflicts under the
auspices of the United Nations commonly do. Provided that the standard thus
adopted is prescribed by law and not simply a matter of discretion, I cannot think
Page 38
that it matters to which category the armed conflict in question belongs as a matter
of international humanitarian law. The essential purpose of article 5, as the court
observed at para 105 of Hassan, is to protect the individual from arbitrariness. This
may be achieved even in a state of armed conflict if there are regular reviews
providing “sufficient guarantees of impartiality and fair procedure to protect against
arbitrariness” (para 106).
68. I conclude that Hassan v United Kingdom is authority for three propositions
which are central to the resolution of these appeals:
(1) The Strasbourg court was concerned in Hassan with the interface
between two international legal instruments in the domain of armed conflict
outside the territory of a Convention state. This is pre-eminently a domain
governed by international legal norms. In that context, the Grand Chamber
recognised that international law may provide a sufficient legal basis for
military detention for the purposes of article 5, which requires that any
detention should be lawful. This is consistent with the court’s approach in
Medvedyev v France (2010) 51 EHRR 39, in which the adequacy of the legal
basis for the detention of the applicant on a Cambodian merchant ship on the
high seas by French armed forces was analysed wholly in terms of
international law. The particular source of the international law right to detain
which was relevant in Hassan was international humanitarian law,
specifically the Geneva Conventions. But I see no reason to regard the
position as any different in a case where the source of the international law
right to detain is a resolution of the UN Security Council under powers
conferred by the UN Charter. It does not of course follow from the fact that
international law authorises military detention for the purposes of article 5 of
the Convention, that it also constitutes a defence to a claim in tort. That
depends on other considerations lying wholly in the realm of municipal law,
notably the concept of Crown act of state, which are addressed in the Serdar
Mohammed case in a separate judgment.
(2) Hassan does not add a notional seventh ground of permitted detention
to those listed at (a) to (f) of article 5(1), namely military detention in the
course of armed conflict. Its effect is rather to recognise that sub-paragraphs
(a) to (f) cannot necessarily be regarded as exhaustive when the Convention
is being applied to such a conflict, because their exhaustive character reflects
peacetime conditions. This means that where the armed forces of a
Convention state are acting under a mandate from the Security Council to use
all necessary measures, article 5(1) cannot be taken to prevent them from
detaining persons for imperative reasons of security.
Page 39
(3) The procedural provisions of article 5, in particular article 5(4), may
fall to be adapted where this is necessary in the special circumstances of
armed conflict, provided that minimum standards of protection exist to ensure
that detention is not imposed arbitrarily. The minimum standard of protection
is a standard equivalent to that imposed by articles 43 and 78 of the Fourth
Geneva Convention. This involves an initial review of the appropriateness of
detention, followed by regular reviews thereafter, by an impartial body in
accordance with a fair procedure. These are the minimum requirements for
protection against arbitrary detention, and nothing in the Grand Chamber’s
decision in Hassan justifies any departure from them. Indeed, it is clear that
in the Court’s view, the continuing existence of these procedural obligations
in large measure justified reading the six permitted occasions for detention
as non-exhaustive in conditions of armed conflict. In the following sections
of this judgment, I shall deal with the safeguards which were available to
those in SM’s position.
The circumstances of SM’s detention after his capture
69. Part II of SOI J3-9 dealt with the processing of detainees through temporary
holding facilities after capture, and their ultimate release or transfer to the Afghan
authorities.
70. The Detention Authority was required to decide within 48 hours whether the
prisoner should be released, further detained or transferred to the Afghan authorities.
The relevant paragraphs of Part II provided:
“19. The Detention Authority must decide whether to
release, transfer or further detain the detainee. This decision
must be made within 48·hours of the time of detention of the
detainee. To authorise continued detention, the Detention
Authority will need to be satisfied, on the balance of
probabilities, that it is necessary for self-defence or that the
detainee has done something that makes him a threat to Force
Protection or Mission-Accomplishment.

24. Logistical Extensions. On some occasions, practical,
logistic reasons will entail a requirement to retain a UK
detainee for longer than the 96 hours. Such occasions would
normally involve the short-notice non- availability of pre-
Page 40
planned transport assets or NDS facilities to·receive transferred
detainees reaching full capacity. These occasions may lead to a
temporary delay until the physical means to transfer or release
correctly can be reinstated. Where this is the case, authority to
extend the detention for logistic reasons is to be sought from
both HQ ISAF and from Ministers in the UK through the
Detention Authority.
25. Initial Detention Review. The Initial Detention Review
must take place within 48 hours of the point of detention …
The Detention Authority does not have the authority to hold a
detainee for longer than 96 hours from the point of detention
(this authority must be sought from Ministers through· the
Detention Review Committee (DRC) – see paras 26-29 below.
Routinely, therefore, within the 96 hour point the detainee must
be either released or transferred to the Afghan authorities.
Detention beyond 96 hours is only permitted in exceptional
circumstances.
26. Detention Review Committee (DRC). The DRC is the
mechanism which supports the Detention Authority in
managing detention cases in the Op HERRICK theatre. The
key role of the DRC is in assessing applications for exceptional
extension to detention before they are submitted through PJHQ
and from there on to the MoD for Ministerial approval as
necessary. The committee should be convened by the Detention
Authority as and when required and may take the form of a
standing committee. The committee’s membership is flexible
(and should be reviewed regularly by the Detention Authority),
but should include the following as a minimum: Detention
Authority (chair), [Chief of Staff Joint Force Support
Afghanistan, Joint Force Support Afghanistan Legal Adviser,
Commanding Officer Intelligence Exploitation Force, Force
Provost Marshall, Staff Officer Grade 2, J3 Branch (current
operations), Joint Force Support Afghanistan Policy Adviser,
Task Force Helmand Liaison Officer Joint Force Support
Afghanistan] … The chair may call on SME advice from Comd
Med, S02 J2X and the [redacted] as necessary, but the core
membership must remain outside the chain of command for
targeting and tactical legal issues, with the aim of being able to
present cases to the Detention Authority ‘cold’. Members do
not hold a vote as such, but attend in order to provide expert
advice to the Detention Authority to assist in his decision
making …”
Page 41
71. Detention beyond the 96 hour limit applied by ISAF was permitted only in
exceptional circumstances on medical or logistic grounds or with the authority of
both the UK Permanent Joint Headquarters and ministers in London. The criteria
used to assist ministers in deciding whether to approve continued detention were set
out in paragraph 27 of Part II and the procedure was described in para 29. They
provided, so far as relevant, as follows:
“27. Extension of Detention. Where it is believed that there
are exceptional circumstances which justify an extension to the
96 hour limit, the Detention Authority should make an
application for an extension through the DRC to PJHQ, using
the form at Annex G. This application should describe the
background to the application, the operational imperative for
the extension, any anticipated impacts of the decision and any
other pertinent factors to assist in the consideration of the
application. The following criteria are used to assist Ministers
in deciding whether or not to approve applications for
extension of detention:
a. Will the extension of this individual provide
significant new intelligence vital for force protection?
b. Will the extension of this individual provide
significant new information on the nature of the
insurgency?
c. How long a period of extension has been
requested – [redacted]

29. Extended Detention Review Process. In exceptional
cases, where extended detention is authorised beyond 96 hours,
the detention is to be the subject of review as follows:
a. Detention Authority. The Detention Authority
is to conduct an internal review of the detention through
the DRC every 72 hours after extended detention starts.
The Detention Authority is similarly to submit a review
to PJHQ at the 14-day period to seek authorisation for
continued extended detention, using Annex H.
Page 42
b. PJHQ. PJHQ J3 will review all periods of
extended detention every 14 days, informed by a
submission from Theatre …
c. Ministerial Level. The Minister authorising the
extension is to review the decision every 14 days … The
maximum detention permissible (inclusive of the initial
ISAF-permissible 96 hours), as endorsed by UK
Ministers and the Attorney General, is [redacted] …”
72. The judge found that until some point shortly before 12 April 2010 (five days
after SM’s capture) the Detention Authority for British forces in Helmand was the
commander of Task Force Helmand. He delegated his authority to handle routine
authorisations and reviews to the commander of the Camp Bastion Joint Operating
Base. At some point on or shortly before that date the commander of Joint Force
Support (Afghanistan) became the Detention Authority. The evidence about which
officer was the Detention Authority at the time when the first application was made
to extend SM’s detention beyond 96 hours was unclear, but the Secretary of State’s
case proceeded on the basis that it was the later arrangements which applied, and
the judge proceeded on the same basis. As Part II, paragraph 27 records, the
Detention Authority chaired the Detention Review Committee, whose function was
to support him in managing detention cases and to provide him with expert advice.
The Committee had an important role in preparing the reports on which any decision
would be based and in advising the Detention Authority. But the decision rested
with the Detention Authority alone.
73. SM was captured in the early hours of 7 April 2010. Upon his arrival at Camp
Bastion, he was informed that he had been detained because he was considered to
pose a threat to the accomplishment of the ISAF mission, and that he would either
be released or transferred to the Afghan authorities as soon as possible. He was told
that he was entitled to make a statement about his detention if he wished, to which
he replied through the interpreter that he was working in his field when a helicopter
arrived, and so he lay down in the field until he was attacked by a military dog and
then arrested. He was told that he was entitled to contact the International Committee
of the Red Cross, and on being asked whether there was any one whom he wished
to be informed of his capture he gave the name of his father. Thereafter, he was
detained in British military detention facilities, at Camp Bastion and at Kandahar
airport.
74. On 9 April 2010, two days after SM’s capture, a request was made to the
Ministry of Defence in London “to exceptionally extend the 96 hour detention
limitation in order to gain intelligence from [SM]”, on the basis that in-theatre
reviews of the continuing utility of his detention would be conducted every 72 hours.
Page 43
The official submission to the minister was consistent with the criteria set out in Part
II, paragraph 27 of SOI J3-9. It recommended that SM should be further detained
“to gain valuable intelligence”, and advised that this was “necessary in the particular
case for intelligence exploitation.” It described the circumstances of his capture,
summarised what was known or believed about him, and set out the information
relevant to each of the three criteria listed in paragraph 27. On 12 April, a minister
authorised his continued detention “to gain valuable intelligence”. Writing to the
Foreign Secretary to report his decision, the minister recorded his view that
questioning SM would provide significant intelligence which was vital for force
protection purposes and would provide valuable information about the nature of the
Taliban insurgency. Thereafter, in-theatre reviews were conducted every 72 hours
until 4 May, and after that roughly every 14 days.
75. Responsibility for making decisions about the prosecution of detainees rested
with the Afghan authorities, principally the National Directorate of Security
(“NDS”). The review documentation suggests that after an initial assessment of SM,
the Detention Review Committee took the view that the prospect of a successful
prosecution was weak unless a confession was obtained. This was because the
rocket-propelled grenade launcher had not been recovered and the biometric
evidence linking him with other weaponry was judged to be of poor quality. On 19
April it is recorded that “the NDS will be consulted further”, and on 22nd it is
recommended that he be “held until the [redacted] point and then transferred to the
NDS for investigation by the Afghan authorities”. Although there are references to
discussions on the point with the NDS from 24 April 2010, the Secretary of State’s
pleading and evidence is that the NDS was not asked until 4 May, when the British
authorities had concluded that there was no more intelligence to be obtained from
him. On that date it was decided that SM should remain in UK custody for
interrogation until 6 May. Contact was then made with the NDS to find out whether
they wished to take him into their custody for investigation and possible prosecution.
They replied that they did, but had insufficient capacity to do so at the prison to
which he was to be transferred. At the time, there was a serious capacity problem,
partly because of an increase in the number of detentions following the “surge” of
the previous year; and partly because the British authorities had a policy of refusing
to transfer detainees to a number of NDS prisons at which they had reason to believe
that detainees were liable to be maltreated. The result was that from 6 May 2010 the
British authorities regarded themselves as holding SM on behalf of the Afghan
authorities until capacity became available at an acceptable prison. He was finally
transferred on 25 July.
76. The judge distinguished between three periods of detention. He found that
for the first 96 hours after his capture (the “first period”), SM was detained for the
purpose of bringing him before an Afghan prosecutor or judge in circumstances
where he was believed to be a senior Taliban commander involved in the production
of improvised explosive devices. He found that his detention beyond 96 hours had
Page 44
been authorised by Ministers for the sole purpose of interrogating him with a view
to obtaining intelligence, and that that remained the sole purpose of his detention for
the next 25 days until 4 May, when the NDS formally expressed their intention of
taking him into their custody as soon as they could (the “second period”). From 4
May to 25 July 2010, (the “third period”), the judge considered that SM was once
again being held for the purpose of bringing him before the competent legal
authorities on reasonable suspicion of having committed an offence.
Application of ECHR: article 5(1)
77. Of the six permissible grounds of detentions listed in article 5(1), only two
were relied upon by the Secretary of State before us. They were ground (c), which
deals with lawful detention for the purpose of bringing a suspect before a competent
legal authority, and ground (f), which deals with detention pending extradition.
Ground (f): detention pending extradition
78. I can deal shortly with this ground. The judge accepted that the transfer of a
detainee to the Afghan authorities was capable of being an extradition, but held that
it did not apply on the facts. For my part, I would not even accept that it was capable
of being an extradition. The judge’s reasoning on this point was that the Convention
was only engaged because SM was regarded as being within the jurisdiction of the
United Kingdom for the purposes of article 1. It followed that the transfer constituted
a removal of the detainee from the jurisdiction of the United Kingdom to that of
Afghanistan, notwithstanding that it occurred within the national territory of
Afghanistan. In my opinion, this analysis stretches the meaning of sub-paragraph (f)
further than it will go, and is not consistent with what actually happens when a
detainee is transferred from British to Afghan custody. Sub-paragraph (f) is
concerned with movements between the territorial jurisdiction of one state and that
of another. Thus it deals with detention in the course of enforcing immigration
control and with deportation on the same footing as extradition. SM was not within
the territorial jurisdiction of the United Kingdom at any time. He was not even in a
place where the United Kingdom exercised effective governmental control. He was
within its jurisdiction for the purpose of article 1 of the Convention in a different
sense, namely that he was under the physical power and control of the United
Kingdom’s agents: see Al-Skeini v United Kingdom (2011) 53 EHRR 18, para 136.
That physical power and control was exercised, like other functions of HM forces,
in support of the government of Afghanistan. It is not therefore correct to speak of
a transfer from the jurisdiction of the United Kingdom to that of Afghanistan.
Afghanistan always had criminal jurisdiction in Helmand Province and in other
places where British forces operated. In transferring a detainee to the Afghan
criminal justice system British forces were simply enabling the criminal jurisdiction
which Afghanistan already possessed over SM to be more effectually exercised.
Page 45
Ground (c): detention for the purpose of bringing SM before a competent legal
authority
79. The judge concluded that SM’s detention was justified on ground (c) during
the first 96 hours. He held that ground (c) did not apply during the second period,
because in that period he was being held solely for intelligence exploitation and not
for ultimate transfer to the Afghan authorities.
80. The Strasbourg court has consistently ruled that detention for the sole purpose
of intelligence exploitation is incompatible with article 5(1) of the Convention in a
domestic context, even in the face of a significant terrorist threat: Sakik v Turkey
(1998) 26 EHRR 662, para 44, Őcalan v Turkey (2005) 41 EHRR 45, para 104,
Medvedyev v France (2010) EHRR 39, para 126. The Grand Chamber’s decision in
Hassan does not in my opinion justify a departure from that principle in an armed
conflict. Nor does the Secretary of State suggest otherwise. However valuable the
intelligence is expected to be, its exploitation lacks the immediate connection with
the neutralisation of the threat which justifies detention for imperative reasons of
security. As Justice O’Connor pointed out in the Supreme Court of the United States
in Hamdi v Rumsfeld 542 US 507 (2004), the considerations of military security
which justify the detention of combatants do so only for the purpose of preventing
them from returning to the battlefield. Since imperative reasons of security were the
only ground on which detention was authorised by the relevant Security Council
Resolutions, it follows that the new policy announced to Parliament in November
2009, which permitted extended detention solely for the purpose of intelligence
exploitation, had no basis in international law.
81. In other circumstances, it might have been argued that the intention to transfer
SM to the Afghan authorities persisted during the second period notwithstanding
that advantage was being taken of his detention to question him. But that would not
be consistent with the facts. The evidence shows that after an initial assessment
following his capture, there was thought to be little prospect that the evidence would
support a prosecution. The NDS was not asked at this stage whether they wanted
him for further investigation and possible prosecution. If SM had been detained in
the second period in order to obtain better evidence against him, the case might have
fallen within sub-paragraph (c), even if that evidence was not forthcoming: see
Brogan v United Kingdom (1988) 11 EHRR 117 at para 53. But in fact the
intelligence that the British authorities hoped to obtain by detaining him related not
to his own criminality but to the nature of the Taliban insurgency and the
requirements of force protection generally. It follows that SM’s detention in the
second period cannot be justified by reference to article 5(1)(c).
82. It does not follow from this that SM would or should have been released on
11 April if ministers had not authorised his further detention for intelligence
Page 46
exploitation. While this must be a matter for trial, it is on the face of it more likely
that if SM had not been detained for intelligence exploitation during the second
period, the British authorities would have asked the NDS earlier whether they
wanted to take custody of him, and would have received the same answer. He would
then have been further detained until he could be transferred to them, although not
necessarily until 25 July. To the extent that his detention was prolonged by the
interlude of intelligence exploitation, and that this was not taken into account in
determining the duration of his imprisonment pursuant to the sentence of the Afghan
court, he may have suffered a recoverable loss.
83. Turning to the third period, the judge held that article 5(1)(c) applied in
principle because from 4 May 2010 SM was once again being detained for the
purpose of being transferred to the Afghan authorities. But he held that his detention
in the third period could not be justified on that ground because he was not brought
promptly or at all before a judicial officer as required in such cases by article 5(3). I
shall return to article 5(3) when I come to deal with the procedural requirements of
article 5.
Detention for imperative reasons of security
84. I have explained earlier in this judgment why, even on the footing that none
of the of the six grounds of detention specified in article 5(1) of the Convention
applies, military detention may be justified. Notwithstanding the ostensibly
exhaustive character of the six grounds, that article cannot be taken to prevent HM
forces from detaining persons in the course of an armed conflict for imperative
reasons of security. The real question in those circumstances is whether this was in
fact why SM was detained in the second and third periods.
85. The judge made findings about the reasons for SM’s detention on which the
claimants naturally rely. But the problem about these findings is that they were made
for the purpose of determining whether SM’s detention was justified on any of the
six grounds specified in article 5(1). It is not easy to redeploy them for the rather
different purpose of determining whether detention was justified by imperative
reasons of security. This is not only because, coming to the matter as he did before
the judgment of the Strasbourg court in Hassan, the judge regarded the six grounds
as exhaustive, and imperative reasons of security as irrelevant. The judge also
believed that there could be no imperative reasons of security for detaining someone
once he had been captured and disarmed. He did not therefore consider the
possibility that imperative reasons of security might have been a concurrent reason
for SM’s detention during the second and third periods. I have already said, in
agreement with the Court of Appeal, that in my opinion he was wrong about this.
For that reason, I do not think it possible to attach any weight to his finding that
interrogation was the sole purpose of SM’s detention in the second period, nor to his
Page 47
implicit view that detention pending the availability of prison capacity to the NDS
was the sole reason for his detention in the third period. So far as the judge rejected
the possibility that SM was also being detained for imperative reasons of security,
he did so on a false legal premise.
86. There is, as it seems to me, a real issue about whether imperative reasons of
security continued to operate after the first 96 hours concurrently with other factors.
It is clear from SOI J3-9, the relevant part of which I have quoted, that the British
authorities in Afghanistan did not regard themselves as entitled to detain any person
unless his detention was and remained necessary for “self-defence, force protection,
or wider mission accomplishment.” Persons arrested on these grounds might,
consistently with the Security Council Resolutions, have been detained for as long
as they continued to represent a threat. In fact, however, as the minister explained to
Parliament when announcing the new detention policy in November 2009, the policy
was to hold them only pending transfer to the Afghan authorities or (subject to
ministerial authorisation) for intelligence exploitation. In the absence of one or other
of these grounds, the detainee would be released, as SM would have been if the NDS
had shown no interest in him on 4 May 2010. For that reason, the only question with
which a minister was concerned when considering whether to authorise extended
detention for intelligence exploitation was whether it was justified for that purpose.
There is nothing in SOI J3-9 or in the ample documentation concerning SM’s
detention to suggest that the minister was concerned with any other grounds for his
detention.
87. It seems probable that even after ministers had authorised continued
detention for intelligence exploitation purposes, it was a precondition for the actual
exercise of that authority in the field that detention should be assessed as necessary
for imperative reasons of security. The detention documentation relating to SM
appears to suggest that this test was applied at each review after the ministerial
authorisation had been received. On each occasion, the Detention Review
Committee’s assessment for the authorising officers included an account of the
circumstances of his capture, followed by the following statement:
“Legal issues. The test to be applied is whether, on the balance
of probabilities, [SM] has done something which makes him a
threat to self-defence, force protection, or wider mission
accomplishment. Having considered that [SM] was seen
running from a Col known to have links with Obj WHITE, in
an attempt to evade [redacted] after they had been engaged
from nearby compounds, the route along which he was running
was found to contain a hidden RPG launcher and two rounds
and the assessment that he may be Obj WHITE’s deputy, I
advise that the policy test is satisfied.”
Page 48
The judgment of those involved was presumably that this test was satisfied in SM’s
case. On that basis, there may have been concurrent reasons for holding any
detainee, because imperative reasons of security were a necessary condition for
detention, even if not the only one.
88. Unlike the judge, the Court of Appeal did consider the possibility that
imperative reasons of security constituted a concurrent reason for his detention after
the expiry of the initial period of 96 hours. But they did so only by reference to the
grounds on which further detention was authorised by ministers in London. It is
correct that the sole criterion for ministerial authorisation for continued detention
beyond 96 hours was the value of the intelligence that the detainee might be in a
position to provide. Indeed, that was the reason for the change of policy which led
to the adoption of the procedure for ministerial authorisation. It is also correct that
British troops had no right, either under SOI J3-9 or under the Security Council
Resolutions, to arrest someone solely in order to interrogate them. But it does not
follow that they could not interrogate a detainee who was being held for imperative
reasons of security. Nor does it follow that continued detention after 96 hours for
intelligence exploitation was not also justified by imperative reasons of security.
89. It is not necessary for this court to express a concluded view on these points,
and not appropriate to do so on the inevitably incomplete information before us.
They will be open to the parties at the full trial of the action. At that trial, my
discussion of the facts at paras 86-88 may turn out to be very wide of the mark. For
present purposes, it is enough to say that imperative reasons of security are capable
of justifying SM’s detention in all three periods.
Application of article 5: Procedural safeguards
90. Article 5 imposes procedural requirements on any deprivation of liberty at
four points. Under article 5(1), the detention must be “in accordance with a
procedure prescribed by law.” Under article 5(2), the detainee must be informed
promptly, in a language that he understands, of the reason for his detention. Under
article 5(3), where a person is detained in accordance with article 5(1)(c) (detention
of suspects for the purpose of bringing them before the competent legal authorities),
he must be brought “promptly” before such an authority. And under article 5(4) the
detainee must be entitled to “take proceedings by which his detention shall be
decided speedily by a court, and his release ordered if the detention is not lawful.”
The claimants allege breach of all of these requirements except for the one imposed
under article 5(2).
Page 49
ECHR article 5(1): “in accordance with a procedure prescribed by law”
91. There is a substantial overlap between the requirement of article 5(1) that any
detention should be “in accordance with a procedure prescribed by law” and the
requirements of the other sub-articles, in particular article 5(4). In substance, the
difference is that this part of article 5(1) requires that the detention should be
authorised by law. Moreover, as explained over the years in the jurisprudence of the
Strasbourg court, it also implicitly defines what kind of rules may properly be
regarded as law for this purpose. By comparison, article 5(4) prescribes the
minimum content of that law in one critical area, namely the availability of an
effective right to challenge the lawfulness of the detention. Both sub-articles are
concerned with the protection of persons against arbitrariness, which the Grand
Chamber in Hassan identified as the core function of article 5. I have dealt with the
Grand Chamber’s analysis of this point at paras 63 and 68(3) above.
92. The requirement that the procedure should be “prescribed by law”, is
intended to satisfy the test of legal certainty which is inherent in any prohibition of
arbitrary detention. “Law” for this purpose has the enlarged meaning which it
normally bears in the Convention. It is not limited to statute, but extends to any body
of rules which is enforceable, sufficiently specific, and operates within a framework
of law, including public law: Nadarajah v Secretary of State for the Home
Department [2004] INLR 139, at para 54; R (Gillan) v Comr of Police of the
Metropolis [2006] 2 AC 307, paras 32-34. In Medvedyev v France, (supra,) another
case of extraterritorial military detention, the Strasbourg court observed at para 80
that it was
“… essential that the conditions for deprivation of liberty under
domestic and/or international law be clearly defined and that
the law itself be foreseeable in its application, so that it meets
the standard of ‘lawfulness’ set by the Convention, a standard
which requires that all law be sufficiently precise to avoid all
risk of arbitrariness and to allow the citizens – if need be, with
appropriate advice – to foresee, to a degree that is reasonable in
the circumstances of the case, the consequences which a given
action may entail.”
93. As I have pointed out (para 63), this means in a case like the present one, that
a power of detention must not only be governed by rules but those rules must not be
exercisable on discretionary principles so broad, flexible or obscure as to be beyond
effective legal control. The procedure governing military arrest and detention by
HM forces in Afghanistan was laid down by SOI J3-9. I have summarised this
document above, and quoted the essential parts of it. Its requirements were precise,
comprehensive and mandatory. The principles on which discretionary judgments
Page 50
were to be made, whether by the Detention Authority in the theatre or by ministers
in London, were exactly specified. The judge considered that it “defined the
conditions for deprivation of liberty with sufficient clarity and precision to meet the
requirement of legal certainty.” The Court of Appeal agreed, and so do I.
ECHR article 5(3): “brought promptly before a judge or other officer authorised
by law”
94. Article 5(3) qualifies the ground of detention specified in article 5(1)(c). It
requires that a person suspected of having committed an offence, who is detained
for the purpose of bringing him before the competent legal authority, must be
brought “promptly” before a judge or other officer authorised by law. It is relevant
to this appeal only so far as it is sought to justify his detention under article 5(1)(c)
during the third period.
95. It is plain that SM was not brought before a judge or other officer promptly
or at all in that period. The question is therefore how far the requirements of article
5(3) can properly be adapted to conditions of armed conflict in a non-Convention
state. Without the benefit of the decision in Hassan, the judge understandably did
not appreciate the significance of this question and did not deal with it. The Court
of Appeal recorded the judge’s conclusion, but did not address article 5(1)(c) at all,
presumably because it was irrelevant in the light of their conclusion that any
authority to detain conferred by the Security Council Resolutions was limited to the
96 hours prescribed by the ISAF policy.
96. This is, I think, a more difficult question than the judge appreciated. Articles
5(3) and 5(4) are both directed to the requirement for independent judicial oversight
of any detention. Article 5(3) must be read with article 5(1)(c), to which it is
ancillary. Unlike article 5(4), which applies generally, article 5(3) is concerned only
with prospective criminal proceedings. What is envisaged is that the suspect will be
brought promptly before a judge or other officer with jurisdiction either to try him
summarily or to release him summarily or to make arrangements for his continued
detention or release on bail or otherwise pending a later trial. In the present case,
that posits a judge or other officer with criminal jurisdiction under Afghan law. It is
far from clear what if any procedures of this kind existed in Afghanistan. The judge’s
findings about Afghan criminal procedure do not identify any. The judge adopted
the statement of principle by the Strasbourg court in Demir v Turkey (1998) 33
EHRR 43, para 41, that “where necessary, it is for the authorities to develop forms
of judicial control which are adapted to the circumstances but compatible with the
Convention.” This gives rise to no particular difficulty in a purely domestic case
such as Demir, where the state is responsible both for the arrest and detention of the
suspect and for the process of prosecution and trial. But in citing Demir the judge
appears to have thought that the British government assumed the same responsibility
Page 51
in Afghanistan. This cannot in my view be correct. The United Kingdom was not a
governmental authority or an occupying power. It was responsible for SM’s arrest
and detention, but it did not have and could not have assumed responsibility for the
organisation or procedures of the system of criminal justice in Afghanistan, which
was a matter for the Afghan state, nor for the conduct of prosecutions, which was a
matter for the NDS. The operations of the British army in Afghanistan did not
displace the role of the NDS, which had jurisdiction throughout the country,
including those areas in which British troops were operating. It was seized of SM’s
case at the latest by 4 May 2010, when the third period began. The British authorities
regarded themselves as holding SM on their behalf. If there was such a procedure as
article 5(3) envisages, it was on the face of it the responsibility of the NDS and not
of the British army to operate it.
97. For the same reason, I do not think that the judge can have been right to say
that, quite apart from any limit on detention arising from ISAF policy, “any period
of detention in excess of four days without bringing the person before a judge is
prima facie too long.” I doubt whether there can be even a prima facie rule about the
appropriate period of detention which applies as a matter of principle in all
circumstances for the purpose of article 5(3) of the Convention, although four days
is probably a reasonable maximum in the great majority of cases. A prima facie limit
of four days takes no account of the truly extraordinary position in which British
troops found themselves in having to contain a violent insurgency while dealing
with the prosecuting authorities of a country whose legal system had recently been
rebuilt and over which they had no control or constitutional responsibility.
98. The judge recorded that the Secretary of State adduced no evidence that it
was impractical to bring SM before an Afghan judicial officer and that accordingly
the Secretary of State had failed to justify the detention under articles 5(1)(c) and
5(3). I confess to finding this an unsatisfactory basis on which to resolve this
question. The judge cannot be criticised for adopting it, because he understandably
assumed in the light of the then state of Strasbourg jurisprudence that article 5 of the
Convention fell to be applied without modification to military detention in
Afghanistan. There are difficulties about determining preliminary issues of law in a
complex case, in conjunction with limited questions of fact, the answers to which
are not only inter-related but dependent on the answers to the issues of law. The
difficulties are increased when the issues of fact fall to be determined partly on
assumptions derived from the pleadings and partly on evidence. They are further
increased when the basis on which article 5 of the Convention falls to be applied is
changed by developments in the jurisprudence of the Strasbourg court after the judge
has given judgment, with the result that findings made in one legal context have to
be applied in another. On any view there will have to be a trial before SM’s claims
can be finally determined. I would therefore decline to determine at this stage
whether the procedure adopted in SM’s case was compatible with article 5(3) of the
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Convention, and would leave that question to a trial at which the relevant facts can
be found and assessed in the light of the judgments on this appeal.
ECHR article 5(4): right to take proceedings to decide the lawfulness of the
detention
99. If the essence of arbitrariness is discretion uncontrolled by law, article 5(4),
although procedural in nature, is fundamental to the values protected by article 5.
The gravamen of the procedural objection to SM’s detention was that he had no
practical possibility of testing its lawfulness while he remained in British custody.
There are three avenues by which in theory a detainee might have challenged his
detention. The first was an application to the High Court in England for a writ of
habeas corpus. The second was an internal challenge under the system of review
provided for by SOI J3-9. The third was an application for equivalent relief to the
courts of Afghanistan. No one appears to have suggested that the third possibility
was available even in theory, and we have no information about it. We are therefore
perforce concerned with the first two.
100. The Secretary of State submits that there would be no jurisdiction to grant a
writ of habeas corpus in these cases. This appears always to have been the British
government’s position in relation to military detention in Iraq and Afghanistan.
There is aged but respectable authority that habeas corpus will not be granted to
prisoners of war: see R v Schiever (1759) 2 Keny 473, Furly v Newnham (1780) 2
Dougl 419, The Case of Three Spanish Sailors (1779) 2 W Bl 1324. Nor will it be
granted to those interned as enemy aliens in the United Kingdom in time of war: Ex
p Weber [1916] 1 KB 280; [1916] 1 AC 421, R v Superintendant of Vine Street
Police Station, Ex p Liebmann [1916] 1 KB 268. None of these cases, however,
decided that there is no jurisdiction to grant habeas corpus. They decided only that
it would not be granted on the merits because the detention of prisoners of war and
enemy aliens was a lawful exercise of the prerogative of the Crown. These classes
of persons were regarded as liable to internment merely on account of their status.
Thus in Ex p Weber, and in the later case of R v Home Secretary, Ex p L [1945] KB
7, where there was an issue about whether the applicant was in fact an enemy alien,
the court resolved it. It must have had jurisdiction to do that. The only case in which
the courts have declined to entertain the issue was R v Bottrill, Ex p Kuechenmeister
[1947] KB 1, a questionable decision in a case where the Crown had continued to
detain a civilian internee after the war had ended. The application for habeas corpus
was met with the answer that the courts would not review the Crown’s prerogative
to determine whether or not the United Kingdom was still at war. If this decision
was ever good law, it has certainly not been since the decision of the House of Lords
in Council of Civil Service Unions v Minister for the Civil Service [1985] AC 374
that the exercise of prerogative powers is in principle reviewable.
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101. Once that is accepted, the rest is legally straightforward. A writ of habeas
corpus is a personal remedy directed against the person alleged to have possession
or control of the applicant. Jurisdiction to issue it depends on the respondent being
within the jurisdiction of the court, and not on the location of the applicant. There is
no principle to the effect that the writ is not available where the applicant has been
captured in the course of armed conflict, if he disputes the status which is said to
make his detention lawful or otherwise challenges its lawfulness. Thus the US
Supreme Court has recognised that habeas corpus is available to persons captured
in non-international armed conflicts seeking to challenge their designation as enemy
combatants: Hamdi v Rumsfeld 542 US 507 (2004). The same court has held that
habeas corpus may issue to a public official whose agents have effective control
over the applicant’s detention outside the United States: Boumedienne v Bush 553
US 73 (2008). In the United Kingdom, this court has gone further and approved the
issue of the writ in a case where the applicant had been lawfully delivered in Iraq by
British forces to the United States, and the only element of control over his
subsequent detention was an undertaking by the United States to return him on
demand: Rahmatullah v Secretary of State for Defence (JUSTICE intervening)
[2013] 1 AC 614.
102. There was no reason in principle why SM should not have been entitled to
apply for habeas corpus while he was detained by British forces in Afghanistan. I
have concluded that British forces in Afghanistan were entitled to detain him if
detention was and remained necessary for imperative reasons of security. On that
footing, the only issue on the review would have been whether the Detention
Authority had reasonable grounds for concluding that imperative reasons of security
required the detention to continue.
103. The problem about treating the right to apply for habeas corpus as a sufficient
compliance with article 5(4) lies not in any legal difficulty, but in the absence of any
practical possibility of exercising it. SM was an illiterate man with, by his own
account, limited formal education, detained by troops who did not speak his
language and who worked within a system of military law which he had no reason
to understand. In these respects, his position must have been similar to that of many
other detainees. Without sponsors in the United Kingdom, a detainee in Afghanistan
would face formidable practical difficulties in applying for habeas corpus in an
unfamiliar court in a distant foreign country, even if the circumstances of his
detention allowed it. In fact, however, they did not allow it. The British authorities
did not recognise the existence of a right to challenge military detention. Like other
persons detained by British forces under SOI J3-9, SM had no access to legal advice
or assistance and no facilities for communicating with his family or making contact
with the outside world (except with the Red Cross). It follows that although SM was
entitled in point of law to apply for a writ of habeas corpus, the procedures operated
by the British authorities prevented that right from being effective. Wisely, Mr Eadie
QC, who appeared for the Secretary of State, did not press this aspect of his case.
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104. This would not necessarily matter if there was a satisfactory alternative. I turn
therefore to the system of internal review, which is the real area of dispute. The
procedure put in place by SOI J3-9 operated wholly internally. In itself this was not
necessarily objectionable. The Grand Chamber in Hassan (para 106) envisaged that
it might not be practical in a war zone to bring the detainee before a court. Articles
43 and 78 of the Fourth Geneva Convention, which they regarded as providing an
alternative standard in that event, provide for a review by “an appropriate court or
administrative board designated by the Detaining Power for that purpose” (article
43), or in the case of an occupying power “a competent body set up by the said
Power” (article 78). The essential requirements emphasised by the Grand Chamber
were (i) that the detention should be reviewed shortly after it began and at frequent
intervals thereafter, and (ii) that it should provide “sufficient guarantees of
impartiality and fairness to protect against arbitrariness.” In my opinion, the British
procedures satisfied the first criterion but not the second. Even on the footing that a
review by a court was impractical, the procedure which existed had two critical
failings, both of which were pointed out by the courts below.
105. The first was that it lacked independence. It is true, as counsel for the
Secretary of State pointed out, that in addition to fairness the fundamental
requirement in the eyes of the Grand Chamber was impartiality, and that
independence is not necessarily the same thing. This is, however, an unsatisfactory
distinction in practice. We are concerned with the framework of rules governing
military detention, and not with the circumstances of any individual case. What is
required is not just impartiality in fact, but the appearance of impartiality and the
existence of sufficient institutional guarantees of impartiality. I would accept that it
may be unrealistic to require military detention in a war zone to be reviewed by a
body independent of the army or, more generally, of the executive, especially if
reviews are to be conducted with the promptness and frequency required. But it is
difficult to conceive that there can be sufficient institutional guarantees of
impartiality if the reviewing authority is not independent of those responsible for
authorising the detention under review, as it commonly is in the practice of other
countries including the United States. The Court of Appeal doubted whether the
procedure for review under SOI J3-9 was sufficiently independent but considered
that it was impossible to reach a concluded view on that point without further
information about the procedure and the chain of command. I am bound to say that
I do not see how the process described in SOI J3-9 (Amendment 2) can possibly be
regarded as independent. The UK Detention Authority was responsible both for
authorising detention and then for reviewing his own decision. The role of the
Detention Review Committee was purely advisory and it consisted, with the possible
exception of the Legal Adviser and the Political Adviser (a civilian), of his military
subordinates. There was no procedure for the case to be reviewed at any higher level
than the Detention Authority, except where it was referred to a minister in London
for authority to detain beyond 96 hours. But the written procedures envisaged that
in those cases the minister would focus on the intelligence value of extended
detention, and the documentation in SM’s own case does not suggest that any wider
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considerations were before him. I do not doubt that those who operated this system
in the field brought an objective eye to the matter. On the facts to be assumed for
the purpose of this appeal, SM’s detention was certainly not arbitrary. The problem
is that there were no sufficient institutional guarantees that this would necessarily
be so. The assumptions in SM’s case have not been fully tested, as they might have
been under a procedure which was fairer to the detainee.
106. The second failing of the system was that it made no provision for the
participation of the detainee. SM did not in fact participate. Indeed, there is no reason
to believe that he was even aware that the reviews were occurring. The right
conferred on a detainee by article 5(4) of the Convention is “to take proceedings by
which the lawfulness of his detention shall be decided.” This is not simply a
requirement that the authorities should review their own act. It is a right of challenge
which must necessarily involve the detainee. Specifically, he must be entitled to
challenge the existence of any imperative reasons of security justifying his
detention, which was the essential condition for it to be lawful. This is, as I have
observed in another context, an inherently disputable question. At each review of
his detention, the Detention Authority had before him a brief written summary of
what SM had said when he was first brought into Camp Bastion and asked whether
he had anything to say about his detention. This recorded that he was “briefly
questioned and denied he was running away or that he had been in command
[redacted] stating he is simply a farmer and had no knowledge of the RPG launcher
or rounds.” Otherwise, the only version of the facts which was before the Detention
Authority was that of the soldiers who captured him. It may well be that SM would
have had little to add. But the vice of the procedure adopted is that we cannot know
that, because he was never given an opportunity to do so.
107. There is no treaty and no consensus specifying what fairness involves as a
matter of international humanitarian law. But some basic principles must be
regarded as essential to any fair process of adjudication. In the present context, the
minimum conditions for fairness were (i) that the internee should be told, so far as
possible without compromising secret material, the gist of the facts which are said
to make his detention necessary for imperative reasons of security; (ii) that the
review procedure should be explained to him; (iii) that he should be allowed
sufficient contact with the outside world to be able to obtain evidence of his own;
and (iv) that he should be entitled to make representations, preferably in person but
if that is impractical then in some other effective manner. It is a more debatable
question whether he should be allowed access to legal advice and assistance. In a
situation of armed conflict this may not always be possible, at any rate within the
required time-scale. But there is no evidence before us to suggest that the restrictions
on access to such assistance imposed by the British authorities in Afghanistan were
necessary. They do not, for example, appear to have been imposed by ISAF, whose
procedures permitted both communication with the outside world and contact with
lawyers: see SOP 362 (Detention Procedure), para 7. In these respects, British
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practice also conflicted with the UN Body of Principles for the Protection of All
Persons under Any Form of Detention or Imprisonment, adopted by the General
Assembly in 1988: see Principles 17-19; and with the position taken by the
International Committee of the Red Cross: see Pejic, “Procedural Principles and
Safeguards for Internment/ Administrative Detention in Armed Conflict and Other
Situations of Violence”, International Review of the Red Cross, 87 (2005), 375 at
388.
108. The absence of minimal procedural safeguards was unwise as well as legally
indefensible, for it rendered the decisions of the Detention Authority more
vulnerable than they need have been. Even without a judicial element, a proper
procedure for the fair and independent review of detention in the theatre may be
faster, more efficient, better informed, and more satisfactory for both detainer and
detainee than a procedure by way of application for habeas corpus or judicial review
in the courts of a country on the other side of the world.
109. I conclude that the United Kingdom was in breach of its obligations under
article 5(4) of the Convention.
110. How far this conclusion will help SM remains to be seen. Article 5(4)
imposes an ancillary duty on the state, breach of which does not necessarily make
the detention unlawful under article 5(1): R (Kaiyam) v Secretary of State for Justice
[2015] AC 1344, para 37. It does not therefore follow from a finding of breach of
article 5(4) that SM ought to have been released any earlier than he in fact was. The
facts which are being assumed for the purpose of the preliminary issues may or may
not be proved at trial. If they are proved, it is difficult to envisage that a fair and
independent review process would have resulted in his release, and an application
for habeas corpus would probably have failed. In those circumstances, it is far from
clear that SM would be able to show that he had suffered any recoverable loss.
Conclusion
111. In the result, in Serdar Mohammed I would set aside paragraph 1(3)(ii) and
paragraph 1(5) of the judge’s order dated 20 May 2014. Subject to the parties’
submissions on the form of order, I would make the following declarations:
(1) For the purposes of article 5(1) of the European Convention on Human
Rights HM armed forces had legal power to detain SM in excess of 96 hours
pursuant to UN Security Council Resolutions 1386 (2001), 1510 (2003) and
1890 (2009) in cases where this was necessary for imperative reasons of
security.
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(2) ECHR article 5(1) should be read so as to accommodate, as
permissible grounds, detention pursuant to that power.
(3) SM’s detention in excess of 96 hours was compatible with ECHR
article 5(1) to the extent that he was being detained for imperative reasons of
security.
(4) SM’s detention after 11 April 2010 did not fall within ECHR article
5(1)(f), and his detention between 11 April and 4 May 2010 did not fall within
ECHR article 5(1)(c).
(5) The arrangements for SM’s detention were not compatible with ECHR
article 5(4) in that he did not have any effective means of challenging the
lawfulness of his detention.
(6) Without prejudice to any other grounds on which it may be found that
SM’s detention was unlawful, the defendant is liable under ECHR article 5(5)
and section 8 of the Human Rights Act 1998 to pay compensation to the
claimant so far as the duration of his detention (including any detention
pursuant to his conviction by the court in Afghanistan) was prolonged by his
detention by HM forces between 11 April and 4 May 2010 for intelligence
exploitation purposes.
All other questions raised in Serdar Mohammed by the issues identified in paras 5
and 6 of this judgment, should be open to the parties at any further trial.
112. In Al-Waheed I would make the following declarations:
(1) For the purposes of article 5(1) of the European Convention on Human
Rights HM armed forces had legal power to detain Mr Al-Waheed pursuant
to UN Security Council Resolutions 1546 (2004) in cases where this was
necessary for imperative reasons of security.
(2) ECHR article 5(1) should be read so as to accommodate, as
permissible grounds, detention pursuant to that power.
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LORD WILSON:
113. I agree with the judgment of Lord Sumption. In the light, however, of the
disagreement within the court, I propose in my own words to address the main issues
before it.
A: RESOLUTION 1546 (2004) REFERABLE TO IRAQ
114. The authority given by the UN Security Council in Resolution 1546 was to
take “all necessary measures to contribute to the maintenance of security and
stability in Iraq” in accordance with Mr Powell’s letter dated 5 June 2004; and it is
worth noticing that the authority was expressed to be given to “the multinational
force”. Mr Powell’s letter included, as an example of such a measure, “internment
where this is necessary for imperative reasons of security”. In the Al-Jedda case both
in the House of Lords and in the Grand Chamber of the Strasbourg court, Mr AlJedda therefore conceded that the resolution conferred on the UK, as one member
of the multinational force, an authorisation, valid under international law, to detain
Iraqi nationals where necessary for imperative reasons of security. Mr Al-Waheed
makes the same concession.
115. But an issue remains, albeit in the end not at the centre of either of these
appeals, whether in context the authorisation should, as in the Al-Jedda case the
House of Lords accepted but the Grand Chamber rejected, be regarded as an
obligation. In the House Lord Bingham accepted at para 31 that the language of the
resolution was one of authorisation rather than of obligation. He proceeded,
however, with the agreement of the other members of the House (apart from Lady
Hale, who had doubts about it), to identify in paras 32 to 34 three reasons which, so
he considered, justified a conclusion that, for the purposes of article 103 of the UN
Charter, the resolution imposed an obligation to intern in the specified
circumstances. So Lord Bingham concluded in para 39 that the conflict between the
UK’s obligation to detain an Iraqi national under the resolution and its obligation to
uphold his right not to be deprived of his liberty under article 5 of the European
Convention (“the Convention”) should be the subject of what one might now
conveniently describe as an accommodation: namely that the United Kingdom might
detain him if necessary for the imperative reasons “but must ensure that the
detainee’s rights under article 5 are not infringed to any greater extent than is
inherent in such detention”.
116. When the Al-Jedda case reached the Strasbourg court, the Grand Chamber
carefully considered the reasons which Lord Bingham and the other members of the
House had articulated. In para 102 of its judgment, however, it noted that, of the
four declared purposes of the UN, one was to achieve international co-operation in
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promoting respect for human rights. In that light it approached the task of
interpreting Resolution 1546 with “a presumption that the Security Council does not
intend to impose any obligation on member states to breach fundamental principles
of human rights”. It followed, so the Grand Chamber considered, that, in the event
of any ambiguity in the terms of a resolution of the Security Council, the
interpretation more in harmony with the requirements of the Convention should be
preferred. In some of its language, for example in para 101 of the judgment, the
court seemed to accept that Resolution 1546 did contain obligations; but the decision
was that, insofar as it did so, the obligations did not extend to internment on the part
of such states as were members of the Council of Europe because article 5(1) cast a
contrary obligation upon them.
117. It was accepted without argument by the Grand Chamber in the Al-Jedda case
that the effect of article 5(1), even when construed in the context of Resolution 1546
and its successors, was such as to impose an obligation on member states not to
effect internment otherwise than with a view to criminal proceedings pursuant to
subpara (c). At the outset of its assessment, namely in paras 99 and 100, the court
emphasised that since, as was accepted, none of the six exceptions prescribed in
article 5(1) applied, the United Kingdom did indeed have an obligation thereunder
not to intern Mr Al-Jedda. So the only question was whether its obligation under
article 5(1) had altogether been displaced by the resolutions in the light of article
103 of the UN Charter. The assumption of the Grand Chamber was therefore that,
subject only to the possibility of its displacement altogether, the extent of the United
Kingdom’s obligation under article 5(1) was immutable even in the context of the
resolutions; and, having made that assumption, the Grand Chamber turned to
construe the resolutions in order to determine the applicability of article 103. In Mr
Al-Waheed’s appeal the central task of this court today is to decide whether,
particularly in the light of the later reasoning of the Grand Chamber in the Hassan
case, it is necessary to regard the extent of the United Kingdom’s obligation to him
under article 5(1) as having been immutable. Unless it was immutable, we have no
need to wrestle with the difference of opinion as to whether Resolution 1546 cast an
obligation to detain where necessary for imperative reasons of security.
B: RESOLUTION 1386 (2001) REFERABLE TO AFGHANISTAN
118. The authority given by the UN Security Council in Resolution 1386 was to
take “all necessary measures” to fulfil the mandate given to ISAF; and its mandate
was, by para 1, “to assist the Afghan Interim Authority in the maintenance of
security in Kabul and its surrounding areas, so that the Afghan Interim Authority as
well as the personnel of the United Nations can operate in a secure environment”.
Later resolutions expanded the geographical reach of the mandate beyond Kabul and
surrounding areas and they progressively extended the period for which the authority
was to remain operative; but the terms of the authority itself remained untouched.
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119. There can be no doubt that “all necessary measures” included a power to
intern. “All” measures were included – so long as they were necessary. If, as the
Security Council was later to recognise expressly when passing Resolution 1546 in
relation to Iraq and when annexing Mr Powell’s letter to it, all necessary measures
to contribute to the maintenance of security in Iraq included a power of internment,
how could the Council not have regarded it as likewise included in relation to the
maintenance of security in Afghanistan? An authority to assist in the maintenance
of security which did not include a power to intern would not have been a
worthwhile authority at all.
120. In Mr Mohammed’s case the Court of Appeal agreed that the authority
included a power to intern but held that the authority had been given to ISAF and so
was subject to their policy. There, in my respectful opinion, the Court of Appeal
misread the resolution. The authority to take all necessary measures was given to
“the member states participating in the [ISAF]”. In this regard the later Resolution
1546 referable to Iraq, which, in conferring authority on “the multinational force”,
is accepted to have conferred authority on the United Kingdom, ran closely parallel
to it. ISAF was no more than an umbrella body, which had no independent
personality in law, international or otherwise. Indeed the authority to take all
necessary measures was unqualified: it was not to take all such necessary measures
as ISAF might identify. Were the continued internment of an insurgent after 96
hours to be objectively necessary and yet to conflict with ISAF’s policy, the
authority to intern under the resolution would be unaffected. How could necessity,
of all things, be subordinated to policy?
C: THE AL-SKEINI CASE
121. In a second controversial decision handed down on the same day as its
decision in the Al-Jedda case, namely Al-Skeini v United Kingdom (2011) 53 EHRR
18, the Grand Chamber held that non-detained Iraqi civilians, shot by United
Kingdom forces in the course of military operations during the second of the three
periods in which United Kingdom forces operated in Iraq, namely the period of
“occupation” from 1 May 2003 to 28 June 2004, had also had rights under the
Convention which the United Kingdom had been bound to respect, including a right
under article 2 of the Convention to an investigation into their deaths, and that the
United Kingdom had breached it. The declared basis of this seemingly novel
extension of the Convention was that during this period the United Kingdom had
assumed authority for the maintenance of security in South-East Iraq and had thus
assumed authority over the individual civilians whom they had shot, even if it had
not had effective control over the area in which the shootings had occurred (para
149). The Grand Chamber added, however, that, when jurisdiction under article 1 of
the Convention depended upon authority over an individual, including when a
Convention state took a person into custody abroad, rather than upon effective
control over an area, Convention rights could be “divided and tailored” (paras 136-
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137). This was an important recognition that the court’s substantial extra-territorial
enlargement of the concept of jurisdiction under article 1 of the Convention required
re-examination of the breadth of certain of the articles in section 1 of it. It seems
obvious that in particular attention would need to be given to the “tailoring” of
article 5(1) which, on the face of it, permitted no detention in the course of military
operations; and the first step towards doing so was soon taken by the Grand Chamber
in its decision in the Hassan case.
D: THE HASSAN CASE
122. The facts in the Hassan case were that on 23 April 2003 British forces,
searching for the applicant who was a general in the army of the Ba’ath party, raided
his home in Basra and found not him but his brother, T, who might well have been
armed with an AK-47 machine gun. They arrested T either as a suspected combatant
or as a civilian suspected to pose a threat to security. They detained him for eight
days. At about midnight on 1/2 May 2003, having established that he was a civilian
rather than a combatant and that he did not pose a threat to security, they released
him. Following his subsequent death, the applicant brought a claim on T’s behalf in
the High Court against the Secretary of State in which he alleged a breach of T’s
rights under the Convention, including under article 5. The judge dismissed the
claim on the ground that T’s detention, albeit managed by British forces, had been
in a camp officially designated as a US facility and under overall US control, with
the result (so the judge held) that he had not been within the jurisdiction of the United
Kingdom within the meaning of article 1 of the Convention. The applicant then
made an analogous application against the United Kingdom in the Strasbourg court.
Disagreeing with the High Court judge, the Grand Chamber held that, while in
detention, T had been in the physical control of United Kingdom forces and that the
substantive provisions of the Convention were therefore engaged. It therefore
proceeded to consider the nature of its obligations to him, in particular under article
5.
123. At this stage it is important to note the context of T’s detention. It occurred
in the first of the three periods in which United Kingdom forces operated in Iraq,
namely between 20 March 2003 and 1 May 2003, during which there was an
international armed conflict (“an IAC”). Geneva Convention III, relating to the
treatment of prisoners of war, and Geneva Convention IV, relating to the protection
of civilians in time of war, have a common article 2, which provides that they apply
“to all cases of declared war or any other armed conflict which may arise between
two or more of the High Contracting Parties”, in other words that they apply to an
IAC. Article 21 of Convention III provides that the “Detaining Power may subject
prisoners of war to internment”. Article 78 of Convention IV provides that the
Occupying Power may intern protected persons if it “considers it necessary, for
imperative reasons of security”. Insofar as British forces suspected that T was a
combatant, the United Kingdom had power to detain him under article 21 of
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Convention III. Insofar, alternatively, as they suspected that he was a civilian who
posed a threat to security, it had power to detain him under article 78 of Convention
IV. The source of the power to detain him was therefore in those two conventions
rather than, for example, in any resolution of the Security Council. Section II of Part
III of Convention III and Section IV of Part III of Convention IV contain elaborate
provisions for the proper treatment of prisoners of war and civilian internees
respectively.
124. By 13 votes to four, the Grand Chamber held that, in detaining T, the United
Kingdom had not violated article 5(1) of the Convention. Its central reasoning was
as follows:
(a) There were “important differences of context and purpose between
arrests carried out during peacetime and the arrest of a combatant in the
course of an armed conflict” (para 97).
(b) None of the six exceptions to the right to liberty, prescribed in article
5(1), applied (para 97).
(c) But in Cyprus v Turkey (1976) 4 EHRR 482 the European
Commission of Human Rights had refused to examine the lawfulness of the
detentions of Greek Cypriot forces by Turkey in the area of Cyprus under
Turkish control because the detentions had been effected under Geneva
Convention III, which accorded to the detainees the status of prisoners of war
thereunder (para 99).
(d) The court should interpret article 5(1) of the Convention in the light
of article 31(3) of the Vienna Convention on the law of treaties 1969 (“the
Vienna Convention”), which required it to take into account, at (b), any
subsequent practice in the application of the (European) Convention which
established the agreement of the parties regarding its interpretation and, at
(c), any applicable rules of international law (para 100).
(e) The case of Al-Saadoon v United Kingdom (2010) 51 EHRR 9
demonstrated that, in accordance with article 31(3)(b) of the Vienna
Convention, consistent practice of the parties to the (European) Convention
could even establish an agreement to modify its text (para 101). I interpolate
that the central fact there had been that all but five of the member states had
agreed in a protocol that “the death penalty shall be abolished”. Taking it
together with consistent state practice not to impose the death penalty, the
Strasbourg court in the Al-Saadoon case had held, at para 120, that the
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protocol indicated that article 2 of the Convention, which had allowed for the
imposition of the death penalty in specified circumstances, had been
“amended” so as to delete that part of it.
(f) The practice of member states, when engaged extra-territorially in
IACs in which they effected detentions under Geneva Conventions III and
IV, had not been to exercise their power of derogation from article 5 under
article 15 of the Convention (para 101).
(g) In accordance with article 31(3)(c) of the Vienna Convention, the
court should interpret article 5 of the Convention in harmony with
international humanitarian law, in particular Geneva Conventions III and IV,
which had been designed to protect both prisoners of war and captured
civilians who posed a threat to security (para 102).
(h) The United Kingdom (which had argued – see para 90 – that it was
more in the interests of a detainee that the detaining power should not
derogate altogether from article 5 but should instead remain subject to a
suitably accommodated interpretation of it) had been correct in saying that
the lack of derogation did not disable the court from interpreting article 5 in
the light of Geneva Conventions III and IV (para 103).
(i) The safeguards in article 5(2) to (4) of the Convention, albeit also to
be interpreted in the light of Geneva Conventions III and IV, should continue
to apply to detentions during an IAC but, in the light of those safeguards and
of those in the Geneva Conventions themselves, the six exceptions to the right
to liberty prescribed in article 5(1) “should be accommodated, as far as
possible” with the taking of prisoners of war and the detention of civilians
under the Geneva Conventions (para 104).
(j) “The court is mindful of the fact that internment in peacetime does not
fall within the scheme of deprivation of liberty governed by article 5 of the
Convention without the exercise of the power of derogation under article 15
… It can only be in cases of international armed conflict, where the taking of
prisoners of war and the detention of civilians who pose a threat to security
are accepted features of international humanitarian law, that article 5 could
be interpreted as permitting the exercise of such broad powers.” (para 104).
(k) But the requirement in article 5(1) that every deprivation of liberty
should be ‘lawful’ continued to apply to these cases, with the result that
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detentions had to comply with the provisions of the two Geneva Conventions
(para 105).
(l) Interpretation in the light of the Geneva Conventions of the safeguard
in article 5(4), when applied to detentions during an IAC, required limited,
but only limited, departure from its usual interpretation (para 106).
125. The central issue in these appeals is whether the reasoning of the Grand
Chamber in the Hassan case should be applied so as to justify a conclusion that,
when detaining the two claimants, the United Kingdom did not violate article 5(1)
any more than when it had detained T.
126. The obvious difference is that the detention of T took place in the course of
an IAC whereas the detention of the claimants took place in the course of a noninternational armed conflict (“a NIAC”).
127. In the Hassan case the Grand Chamber laid great stress on Geneva
Conventions III and IV, which, as I have explained, provided both the source of the
power to detain T and the safeguards which were to surround his detention. But these
two Geneva Conventions scarcely relate to a NIAC. They include just one provision
relating to a NIAC, namely article 3, which is common to both of them and which
requires humane treatment of all those taking no active part in the conflict, whether
by reason of detention or otherwise. Additional Protocol II to the Geneva
Conventions, dated 8 June 1977 and expressed to relate to the protection of victims
of NIACs, “develops and supplements” article 3 (Part I, article 1), in particular by
elaborating upon the requirement that they be treated humanely (Part II). But the
legal regulation exerted by the Geneva Conventions, together with Additional
Protocol II, of states participating in a NIAC is negligible in comparison with their
regulation of states participating in an IAC. This is no accident. In his article entitled
“Is There a Way Out of the Non-International Armed Conflict Detention Dilemma?”,
91 Int’l L Stud 32 (2015), Professor Rona identifies at pp 37-38 three reasons why
states have traditionally had no desire to accept international regulation of the
grounds of their detentions, or of the procedures relating to them, during a NIAC.
They have insisted that:
(a) international regulation would be an intrusion into their sovereign
right to address conflict confined to their own territory;
(b) their domestic law, in particular their criminal law, was the proper, and
an entirely adequate, means of addressing it; and
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(c) the prospect that international regulation would afford reciprocity of
rights to the other party to the conflict, ie to the insurgents, was unacceptable.
128. On any view the claimants are entitled to place reliance on the references of
the Grand Chamber in the Hassan case to the application in that case of the two
Geneva Conventions and, of course, on the sentence in para 104 of its judgment,
quoted in para 124(j) above, which begins “[i]t can only be in cases of international
armed conflict …”.
129. But one does not have to delve far below the surface of the Grand Chamber’s
judgment in the Hassan case in order to perceive the problems which confront the
claimants in seeking to distinguish it.
130. It was inevitable that in its judgment the Grand Chamber should speak in
terms of an IAC: for T had been detained in the first period of the conflict in Iraq.
The court had no reason to consider detention in the course of a NIAC. Significantly
the essential distinction which it drew, both in para 97 and in para 104, was between
detention during an IAC, on the one hand, and detention during “peacetime” (as
opposed to during a NIAC), on the other.
131. The Grand Chamber relied heavily on the requirement under article 31(3)(c)
of the Vienna Convention that, in interpreting the (European) Convention, it should
take account of any relevant rules of international law. It had not considered this
important principle in the Al-Jedda case when making the assumption which I have
identified in para 117 above. In the Hassan case the relevant authority under
international law for the purposes of article 31(3)(c) was derived from the two
Geneva Conventions. In the present cases, by contrast, it was derived from the
resolutions of the Security Council.
132. There is no reason to afford any less interpretative significance to the
resolutions of the Security Council than to the Geneva Conventions. On the contrary
the resolutions may be said to have carried greater significance. The purposes of the
United Nations, invested with greater world-wide authority than any other body in
seeking to achieve them, are to “maintain international peace and security, and to
that end … to take effective collective measures for the prevention and removal of
threats to the peace” and to “achieve international co-operation … in promoting and
encouraging respect for human rights”: paras 1 and 3 of article 1 of the UN Charter.
Primary responsibility for the maintenance of international peace and security is
conferred by the UN on the Security Council which, in discharging it, must act in
accordance with those purposes: article 24. Unlike the generalised authorities to
detain during every IAC which are to be found in the two Geneva Conventions, the
authority to detain in the resolutions was specifically devised by the Security
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Council to address what it had concluded to be the threat to international peace and
security which were constituted by the situations in Iraq and Afghanistan. But the
authority conferred by the Security Council was appropriately narrow: internment
would be lawful not because it was expedient nor even because it was reasonably
deemed to be necessary but only when it was – actually – necessary for the
maintenance of security.
133. Since about the end of the Second World War an apparently rigid distinction
has emerged between an IAC and a NIAC. But, particularly where there is foreign
intervention in an armed conflict within a state, the distinction is often difficult to
apply in practice: International Law and the Classification of Conflicts ed
Wilmshurst (2012), Chapter III by Professor Akande, p 56. Before concluding that
article 5(1) of the Convention falls to be accommodated to an IAC but not to a NIAC,
we should ask: why not? There is in principle no lesser need for detention in a NIAC
than in an IAC. I can see no reason why, if an authorisation for detention during a
NIAC is valid under international law in that it emanates from the Security Council,
article 5(1) should hobble the authorisation – so long, of course, that safeguards
against arbitrary or unchallengeable detention remain in place.
134. So I agree with the conclusion of the Court of Appeal in Mr Mohammed’s
case, at para 163, that, in the light of the Hassan case, a resolution of the Security
Council which (contrary to that court’s construction of Resolution 1386) did confer
direct authority on a troop-contributing state to effect a detention during a NIAC
would be compatible with article 5 of the Convention, provided that procedural
safeguards in relation to detention and to its review were also compatible with it.
Interpretation of the procedural safeguards provided in paras (2) to (4) of article 5
may also be sufficiently flexible to take account of the context of the detentions,
namely that they took place in the course of armed conflict and pursuant to the
resolutions (see the Hassan case at para 106). But any dilution of those safeguards
should be to the minimum extent necessary to accommodate the demands of that
context; and (if I may gratefully adopt the reasoning in para 146 of the decision in a
different context of the Grand Chamber in Al-Dulimi v Switzerland, Application No
5809/08, 21 June 2016) these resolutions, which contained no explicit wording to
the contrary, cannot justify any interpretation of the safeguards which undermines
their objective that detentions should not be arbitrary.
E: “IN ACCORDANCE WITH … LAW”
135. But it is insufficient to consider only the safeguards, diluted to the minimum
extent necessary, in paras (2) to (4) of article 5. In the context of detention safeguards
are so important that they are subject to a double lock. The extra lock is provided by
the requirement in para 1 that no one shall be deprived of his liberty save “in
accordance with a procedure prescribed by law”. No one suggests that this particular
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phrase requires to be accommodated with the circumstances surrounding the
detentions in Iraq and Afghanistan.
136. An interesting question, left open in the courts below but pressed on this court
by Ms Fatima QC on behalf of the first interveners in the appeal relating to Mr
Mohammed, is whether, even if the detentions were to accord with international law,
the phrase would nevertheless also require their accordance with national law. Even
after having studied paras 79 and 80 of its judgment in the Medvedyev case, cited by
Lord Sumption at para 80 above, I regard the Strasbourg court as not yet having
provided clear authority on this question for us to consider. On any view, however,
there is much to be said in favour of Ms Fatima’s submission that accordance with
national law remains necessary. At the centre of the requirement is the need for the
detaining state to be answerable for the detention; and that need is most obviously
met in the domestic law by which the state is bound. The detention is required to
accord with a “procedure” prescribed by law; within the resolutions which in these
appeals represent the relevant international law there is no prescription of procedure.
In its report to the UN Human Rights Council dated 4 May 2015, the Working Group
on Arbitrary Detention suggested, in Guideline 17 at para 115(ii), that a detention in
the course of a NIAC had to be shown to be “on the basis of grounds and procedures
prescribed by law of the State in which the detention occurs and consistent with
international law”. Although the prescription can no doubt be by any law by which
the detaining State is bound, thus including, if it is operating abroad, its own
domestic law, the guideline in my view helps to identify the source of the law with
which article 5 requires accordance.
137. So the next question is: what does this phrase in the opening words of article
5(1) require of domestic law? The answer is complicated first by the use in the
Convention of the word “lawful” in the description of each of the six exceptions to
the right to liberty in (a) to (f) of para 1; and also by the three specific safeguards,
each clearly procedural, which are importantly provided by paras 2, 3 and 4 of the
article. So there is overlap between the various requirements of the article in this
respect. All of them are generally designed to prevent a detention from being
arbitrary: A v United Kingdom (2009) 49 EHRR 29, para 164. Clearly, however, the
precise territory of the phrase in the opening words of para 1 is procedure. In
Winterwerp v The Netherlands (1979) 2 EHRR 387, the Strasbourg court stated at
para 45:
“The notion underlying the term in question is one of fair and
proper procedure, namely that any measure depriving a person
of his liberty should issue from and be executed by an
appropriate authority and should not be arbitrary.”
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This statement has stood the test of time; and in my view the only helpful elaboration
of it has been the suggestion that the phrase relates to the quality of the law rather
than the content of it. As the Grand Chamber observed in Mooren v Germany (2009)
50 EHRR 23, para 76, it requires the relevant domestic law to be compatible with
the rule of law. The court added:
“‘Quality of the law’ in this sense implies that where a national
law authorises deprivation of liberty it must be sufficiently
accessible, precise and foreseeable in its application, in order
to avoid all risk of arbitrariness.”
In para 80 of the Medvedyev case, cited above, these requirements were described
as falling within “the general principle of legal certainty”.
138. In the case of Iraq Mr Powell referred in his letter annexed to Resolution 1546
to the obligations of the multinational force under the Geneva Conventions. Why
did he do so in circumstances in which, apart from those in common article 3, the
obligations would not in terms relate to the NIAC which was shortly to begin? The
answer is to be found in sections 1 and 6 of the revised Memorandum No 3, which
was promulgated – lawfully, so I will assume – on 27 June 2004 by the administrator
of the Coalition Provisional Authority. The memorandum was given continuing
effect under Iraqi law after 28 June 2004, when the conflict became a NIAC, by
article 26(C) of the Transitional Administrative Law which had been promulgated
in March 2004 by the Iraqi Governing Council: see the Al-Saadoon case at para 22,
cited at para 124(e) above. Under those sections the multinational force was to apply
the relevant standards of Geneva Convention IV as a matter of policy during the
forthcoming NIAC and specific provisions were made for regular reviews of
internment. Procedural safeguards under Iraqi law, binding on the United Kingdom
when operating there, were thereby put in place; and in my view it follows that Mr
Al-Waheed’s detention was “in accordance with a procedure prescribed by law”. In
para 38 of its judgment in the Al-Jedda case the Grand Chamber, which had set out
the memorandum in para 36, referred to the Iraqi Constitution adopted in 2006; and
it seemed to suggest that (or at least to question whether) articles 15 and 37 of the
constitution thereafter rendered Mr Al-Jedda’s detention unlawful even under Iraqi
law. Unfortunately, however, the Grand Chamber’s attention was not drawn to
article 46 of the constitution, which allows other Iraqi laws, such as the
memorandum, to limit constitutional rights in certain circumstances. In its
consideration of a second claim made by Mr Al-Jedda, namely Al-Jedda v Secretary
of State for Defence [2010] EWCA Civ 758, [2011] QB 773, the Court of Appeal
concluded that article 46 did indeed limit Mr Al-Jedda’s constitutional rights, with
the result that his detention remained lawful under Iraqi law even after 2006. It
would be extraordinary that, by a side-wind generated by a conventional
constitutional provision intended to protect civilians against arbitrary detention
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during peacetime, detentions in Iraq effected by the multinational force during the
final years of the armed conflict suddenly became unlawful under Iraqi law.
139. In the case of Afghanistan, the requisite obligation upon the United Kingdom
under article 5(1) to effect internment there only if in conformity with the rules of
national law as well as to keep within the boundaries of its authorisation under
international law arose even more directly. For the Ministry’s policy in that respect
was set out in instruction SOI J3-9; and United Kingdom law will in principle
require it to have implemented its policy. The conclusion of Leggatt J that the terms
of the instruction satisfied the requirement of legal certainty in the opening words
of article 5(1) does not appear to have been challenged in the Court of Appeal and
is not in issue before this court.
F: CONCLUSION
140. I conclude that the effect of the resolutions of the Security Council was to
modify the United Kingdom’s obligations to the claimants under para 1 of article 5
of the Convention with the result (a) that its detention of Mr Al-Waheed was not in
breach of it and (b) that, to the extent that Mr Mohammed was detained for
imperative reasons of security, its detention of him was not in breach of it.
141. The invitation of the claimants to this court has been that it should depart
from the decision of the House of Lords in the Al-Jedda case pursuant to Practice
Statement (Judicial Precedent) [1966] 1 WLR 1234. Any departure pursuant to the
statement must be from the “previous decision” itself rather than from any of the
reasoning which led to it. Like that of Mr Al-Waheed, the detention of Mr Al-Jedda
by United Kingdom forces took place during the third and final period in which they
operated in Iraq; and Resolution 1546 and its successors applied to it. It can now be
seen that the effect of the resolutions was to modify Mr Al-Jedda’s right under article
5(1) of the Convention, with the result that, by detaining him, the United Kingdom
did not violate it. So, by a jurisprudential route different from that which it took, the
decision of the House to that effect can now be seen to have been correct. Far more
debateable is whether, in light of the points later to be made by the Grand Chamber,
the reasoning of the House was correct.
142. For reasons which one can well understand but which in retrospect have
proved unfortunate, the drafters of the Convention chose to identify six cases as
being the only cases in which it would be lawful for a member state to deprive a
person of liberty. Compare the exhaustive precision of article 5(1) with, for example,
article 9(1) of the UN’s International Covenant on Civil and Political Rights 1966,
which, although otherwise closely modelled on article 5, provides that “[n]o one
shall be deprived of his liberty except on such grounds … as are established by law”.
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There is nothing to indicate that the drafters of the Convention contemplated that its
jurisdiction under article 1 would extend to the operations of member states in the
course of armed conflict beyond their territories. Once, however, the Strasbourg
court had construed the jurisdiction of the Convention as extending that far, it
became essential, as indeed was swiftly recognised in the Al-Skeini case, that
Convention rights should be so divided and tailored as to make the extension
workable. Otherwise member states would be driven, insofar as they were able to
do so, to derogate under article 15 from their obligations under the Convention –
which would leave the human rights of those caught up in the conflict far less
protected. The exercise of tailoring article 5 was duly conducted by the Grand
Chamber in the Hassan case; and today, by a majority, the court takes forward the
exercise which it charted.
143. In my view it is no part of the function of this court to speculate upon the
approach of another court, not even of the Grand Chamber of the Strasbourg court,
to the issue presently raised before it. We cannot foretell the determination in the
Grand Chamber of any claim which might now be brought by the claimants, and by
the hundreds of other claimants in our courts in a position analogous to them, of a
violation by the United Kingdom of article 5(1) of the Convention. No doubt there
would again be dissentient voices, concerned, in a way understandably, about a
perceived dilution of Convention rights. But a vastly more important factor would
be in play. For all of us judges, both in Strasbourg and in the United Kingdom, who
believe – many of us, passionately – in the value of the Convention in having raised
the standards of a state’s treatment of its people across the Council of Europe, its
very credibility is at stake in determination of the present issues. Could it be that, by
reason of article 5(1), such state contributors to the multinational forces in Iraq and
Afghanistan as happened also to be members of the Council of Europe would be
legally disabled from effecting internments in Iraq after 28 June 2004, and from
effecting internments in Afghanistan beyond 96 hours, even where necessary for the
maintenance of security and even pursuant to UN resolutions which, having
surveyed the nature of the conflict there, expressly sanctioned internment in such
circumstances? Could it be that those contributors to the multinational force would
be disabled from acting pursuant to the UN resolutions although fellow-contributors
which happened not to be members of the Council of Europe would not be so
disabled? Such conclusions would bring the Convention into widespread
international disrepute and it is, frankly, a relief for me to have found myself
persuaded that they can properly be avoided.
144. By contrast there was a clear breach of Mr Mohammed’s rights under para 4
of article 5 of the Convention, irrespective of the extent to which the paragraph falls
to be accommodated with the exigencies of an armed conflict; and in that regard the
only remaining question for the trial judge should, in my view, be whether the breach
caused Mr Mohammed to suffer loss. For the reasons given by Lord Sumption at
paras 105 and 106 above, the violation of the paragraph was in each of two respects:
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first, the structural system for the reviews of Mr Mohammed’s detention meant that
they were not sufficiently independent of those within the United Kingdom force
who sought its continuation; and second, he was afforded no opportunity to
contribute to them. Lord Mance argues strongly, at para 216 below, that the evidence
so far filed by the Ministry about the structural system for the reviews might, if
supplemented, displace a positive finding against it in the first respect; but in my
view the opportunity already given to the Ministry to file the relevant evidence has
been fair and there is no justification for granting to it any extra indulgence.
LORD MANCE:
Introduction
145. The present appeals concern claims for damages by two individuals in respect
of their allegedly wrongful detention by British forces in respectively Iraq and
Afghanistan. I have had the benefit of reading in draft three of the other judgments
which have been prepared, by respectively Lord Sumption, Lord Wilson and Lord
Reed.
146. A central issue of principle on these appeals is whether the United Kingdom,
in the course of assisting the recognised governments of Iraq and Afghanistan to
combat non-international armed insurgencies, had under international law power to
detain suspected terrorists or insurgents when necessary for imperative reasons of
security, or whether any power to detain must be found within the express terms of
article 5 of the European Convention on Human Rights. The United Kingdom
advances two bases on which it submits that it possessed such power; one is
customary international law applicable to a non-international armed conflict (a
“NIAC”) read with the Geneva Conventions and their additional Protocols; the other
is the relevant Security Council Resolutions (“SCRs”) endorsing the authority of the
United Kingdom to act as part of the multinational force in Iraq and as part, or indeed
leader, of the International Security Assistance Force (“ISAF”), in Afghanistan at
the relevant times.
Customary international law
147. Lord Reed concludes positively that customary international law and the
Geneva Conventions and their Protocols do not confer any such authority to detain
on states (para 263). Lord Sumption is inclined to agree with Lord Reed on this, but
regards it as unnecessary to decide (para 14). His more nuanced thinking is that,
while there is in principle consensus about a right to detain, there is a lack of
consensus about its limits and conditions and the extent to which special provision
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should be made for non-state actors, but that practice is converging and it is likely
that this will ultimately be reflected in opinio juris (para 16).
148. My position is closer on this issue to Lord Sumption’s than to Lord Reed’s.
Like Lord Sumption I also regard it as one which is in the event unnecessary to
decide. But I add one observation. The role of domestic courts in developing (or in
Lord Sumption’s case even establishing) a rule of customary international law
should not be undervalued. This subject was not the object of detailed examination
before us, and would merit this in any future case where the point was significant.
But the intermeshing of domestic and international law issues and law has been
increasingly evident in recent years. Just as States answer for domestic courts in
international law, so it is possible to regard at least some domestic court decisions
as elements of the practice of States, or as ways through which States may express
their opinio juris regarding the rules of international law. The underlying thinking is
that domestic courts have a certain competence and role in identifying, developing
and expressing principles of customary international law.
149. The potential relevance of domestic court decisions as a source of
international law was recognised and discussed as long ago as 1929 by H
Lauterpacht, then an assistant lecturer at the London School of Economics, in his
article Decisions of Municipal Courts as a Source of International Law 10 British
Yearbook on International Law (1929) 65-95. This drew on insights derived from
Lauterpacht’s joint editorship with his former LSE doctorate supervisor, the then
Arnold McNair, of the Annual Digest and Reports of Public International Law Cases
(now the International Law Reports) series also launched in 1929: see The Judiciary,
National and International, and the Development of International Law by Sir Robert
Jennings QC in vol 102 of the series (1996). There is a further extensive
bibliography on the subject annexed at pp 18-19 of the Fourth report on
identification of customary international law dated 25 May 2016 submitted by Sir
Michael Wood QC as rapporteur to the International Law Commission (“ILC”).
Most recently, in the chapter The Interfaces between the National and International
Rule of Law: a Framework Paper in The Rule of Law at the National and
International Levels (Hart Publishing, 2016) the “classic answer” given by Machiko
Kanetake (at p 27) is that “under international law, national rule of law practices are,
after all, part of state practices, which contribute to the creation of new customary
international law”, that they “may also form part of the general principles of
international law”, and “may also qualify as opinio juris”.
150. Sir Michael Wood, as rapporteur to the ILC, recognised in his Second Report
dated 22 May 2014 para 58 the potential significance in international law of
domestic jurisprudence not only as state practice, but also, with caution, as a means
for the determination of rules of customary international law: see also his Third
Report dated 27 March 2015 paras 41(e) and 76(b).
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151. Yet more significantly, the current draft Annual Report of the International
Law Commission to the UN General Assembly for 2015, following upon Sir
Michael Wood’s Reports, contains the following draft Conclusion 13 (subject to
finalisation in 2018):
“Decisions of courts and tribunals
1. Decisions of international courts and tribunals, in
particular of the International Court of Justice, concerning the
existence and content of rules of customary international law
are a subsidiary means for the determination of such rules.
2. Regard may be had, as appropriate, to decisions of
national courts concerning the existence and content of rules of
customary international law, as a subsidiary means for the
determination of such rules.”
Security Council Resolutions (“SCRs”)
(a) Iraq
152. The relevant SCR for Iraq was 1723 (2006), whereby the Security Council,
“recognizing the tasks and arrangements set out in letters annexed to resolution 1546
(2004) and the cooperative implementation by the Government of Iraq and the
multinational force of those arrangements”, reaffirmed “the authorisation for the
multinational force as set forth in resolution 1546 (2004)” and decided “to extend
the mandate of the multinational force as set forth in that resolution until 31
December 2007”, taking into consideration the Iraqi Prime Minister’s letter dated
11 November 2006, which had in turn requested such extension “in accordance with
the Security Council Resolutions 1546 (2004) and 1637 (2005) and the letters
attached thereto” until 31 December 2007. SCR 1546 (2004) itself reaffirming the
authorisation conferred by earlier resolutions, conferred
“the authority to take all necessary measures to contribute to
the maintenance of security and stability in Iraq in accordance
with the letters annexed to this resolution …”
The resolution went on to state that the letters set out the tasks of the multinational
force, including “preventing and deterring terrorism”. The letters included a letter
of 5 June 2004 from the US Secretary of State, expressing the United States’
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willingness to deploy forces to maintain internal security in Iraq and to undertake
activities which would, the letter said:
“include activities necessary to counter ongoing security
threats posed by forces seeking to influence Iraq’s political
future through violence. This will include combat operations
against members of these groups, internment where this is
necessary for imperative reasons of security …”
153. SCR 1546 (2004) is thus on its face clear. It gave authority to take all
necessary measures, which, it was expressly stated, would include “internment
where this is necessary for imperative reasons of security”. In Al-Jedda v United
Kingdom (2011) 53 EHRR 23, the European Court of Human Rights addressed the
relevant letter (which it had earlier summarised in para 34), by concluding that it did
not impose an obligation or requirement to detain (para 108). On that basis, it further
concluded that the letter could not override the United Kingdom’s duties under
article 5 of the Convention. But it did not suggest that the SCR, read with the letter,
did not contain power to detain.
154. The European Court of Human Rights in Al-Jedda was only concerned with
arguments based under article 103 on competing obligations: see paras 101-110.
Once it had concluded that there were no competing obligations, that was the end of
those arguments. The relationship between a power to detain conferred by
international law in circumstances of armed conflict and article 5 of the European
Convention on Human Rights was not squarely addressed until Hassan v United
Kingdom (2014) 38 BHRC 358. There it was addressed in the context of an
international armed conflict (“IAC”). The Third and Fourth Geneva Conventions
expressly recognise certain powers (though not obligations) to detain prisoners of
war and civilians who pose a risk to security. The European Court of Human Rights
held that the scheme provided by article 5 had to be read in the light of, and modified
to reflect, the power to detain on security grounds, subject to the condition that such
detention was not arbitrary, but was accompanied by a review process which was
independent, even if it was not by a court.
155. The European Court of Human Rights acknowledged at the outset that the
arguments raised in Hassan were novel. As it said (para 99):
“99. This is the first case in which a respondent state has
requested the court to disapply its obligations under article 5 or
in some other way to interpret them in the light of powers of
detention available to it under international humanitarian law.
In particular, in Al-Jedda v United Kingdom (2011) 30 BHRC
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637, the United Kingdom government did not contend that
article 5 was modified or displaced by the powers of detention
provided for by the Third and Fourth Geneva Conventions.
Instead they argued that the United Kingdom was under an
obligation to the United Nations Security Council to place the
applicant in internment and that, because of article 103 of the
United Nations Charter, this obligation had to take primacy
over the United Kingdom’s obligations under the convention.
It was the government’s case that an obligation to intern the
applicant arose from the text of United Nations Security
Council Resolution 1546 and annexed letters and also because
the resolution had the effect of maintaining the obligations
placed on occupying powers under international humanitarian
law, in particular article 43 of the Hague Regulations (see AlJedda v United Kingdom (2011) 30 BHRC 637 at para 107).
The court found that no such obligation arose.”
156. In this passage, the European Court of Human Rights was recognising,
realistically, that it had before it arguments that had not been, though they might
have been, raised for its consideration in Al-Jedda. (This is so, even though its
reference to “powers of detention provided for by the Third and Fourth Geneva
Conventions” may quite possibly be open to question, in the light of paras 115-116
of this judgment.) To treat the fact that the United Kingdom did not in Al-Jedda
present any argument about the relationship between a power to detain conferred by
international law and the provisions of article 5 of the Convention as fatal to any
such argument now appears to me unreal. The United Kingdom has now changed
its stance, and the previous stance of one individual state cannot in context anyway
be significant. As to the European Court of Human Rights, in a case law system, like
that which the European Court of Human Rights operates under the Convention,
courts proceed from case to case, sometimes having to reconsider or modify past
jurisprudence (moreover, in Strasbourg without applying any strict doctrine of
precedent). Above all, it is necessary to bear in mind the very considerable difficulty
of the issues which arise, since the European Court of Human Rights’ judgment in
Al-Skeini v United Kingdom (2011) 53 EHRR 18, in applying the Convention to
circumstances and territories outside any which are likely to have been in
Contracting States’ mind when they agreed to secure the Convention rights and
freedoms to “everyone within their jurisdiction” (Convention, article 1). Finally, if
Hassan had been decided before Al-Jedda, it is quite obvious that the submissions
and the reasoning in the judgment in Al-Jedda would have been very different.
157. Hassan itself concerned a situation of IAC, where the Geneva Conventions
confer express powers to detain. This was, not surprisingly, underlined by the
European Court of Human Rights as a reason for concluding that the terms of article
5 could not be applied, and that they should be modified so as to recognise a further
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and different power to detain, based on the Conventions concurrently. Thus, the
court said in para 104:
“104. None the less, and consistently with the case law of the
International Court of Justice, the Court considers that, even in
situations of international armed conflict, the safeguards under
the Convention continue to apply, albeit interpreted against the
background of the provisions of international humanitarian
law. By reason of the co-existence of the safeguards provided
by international humanitarian law and by the Convention in
time of armed conflict, the grounds of permitted deprivation of
liberty set out in subparagraphs (a) to (f) of that provision
should be accommodated, as far as possible, with the taking of
prisoners of war and the detention of civilians who pose a risk
to security under the Third and Fourth Geneva Conventions.
The court is mindful of the fact that internment in peacetime
does not fall within the scheme of deprivation of liberty
governed by article 5 of the Convention without the exercise of
the power of derogation under article 15 (see para 97 above). It
can only be in cases of international armed conflict, where the
taking of prisoners of war and the detention of civilians who
pose a threat to security are accepted features of international
humanitarian law, that article 5 could be interpreted as
permitting the exercise of such broad powers.”
158. Again, it would be unrealistic to treat this (and in particular the word “only”
in the last sentence) as either addressing or as decisive of the issue now before the
courts, where there is on the face of SCR 1546 an unqualified power to detain where
necessary for imperative reasons of security. There is no logical and substantial
reason why article 5 should not adapt to a power to detain contained in a SCR
directed to a NIAC, just as it does to a power to detain conferred by customary
international law and/or the Geneva Conventions in the context of an IAC. The
reasons why there may as yet be no recognised customary international law power
to detain in a NIAC are closely associated with member states’ wish to avoid
recognising or giving reciprocal rights to insurgent groups. These are precisely the
reasons why a host state may request, and the Security Council may under Chapter
VII of the UN Charter confer, a unilateral power to detain to a friendly third state
helping the host state to resist the insurgency.
159. The principal basis on which Lord Reed would refuse to recognise the
existence of any such power consists in the reasoning in Al-Jedda, as followed in
Nada v Switzerland (2012) 56 EHRR 18 and Al-Dulimi and Montana Management
Inc v Switzerland (Application No 5809/08) (unreported) (judgment given 21 June
2016). In the latter two cases, the European Court of Human Rights identified the
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need for “clear and specific language” if SCRs were to be read as intending states to
take measures that would conflict with their obligations under international human
rights law: see in particular Al-Dulimi, para 140. That was said in the context of the
fundamental right of a person made the subject of a sanctions order to know and
have the right to address the case against him or her.
160. In the present case, not only is SCR 1546 clear on its face in authorising
detention, but there is nothing in general international human rights law precluding
such a measure. Article 5 of the European Convention on Human Rights is alone in
seeking to define and limit grounds of permissible detention. International human
rights law generally is reflected by the International Covenant on Civil and Political
Rights (“ICCPR”). Article 9 of the ICCPR provides a general limitation, by
reference to a test of arbitrariness, no more. It reads, so far as relevant:
“1. Everyone has the right to liberty and security of person.
No one shall be subjected to arbitrary arrest or detention. No
one shall be deprived of his liberty except on such grounds and
in accordance with such procedure as are established by law.
2. Anyone who is arrested shall be informed, at the time of
arrest, of the reasons for his arrest and shall be promptly
informed of any charges against him.”
161. The argument that one must start with the express terms of article 5 of the
Convention, and read SCR 1546 consistently therewith is not in my opinion
sustainable. SCR 1546 was not directed to states party to the Convention, but to all
member states of the United Nations and to the multinational force established to
operate in Iraq. It is perfectly tenable to treat a SCR as intended impliedly (in the
absence of clear and specific language to the contrary) to comply with general
principles of international law, as the European Court of Human Rights indicated in
Nada and Al-Dulimi. But article 5 of the European Convention does not reflect
general international law, and it is circular to construe SCR 1546 in the light of an
assumption that it cannot have been intended to detract or differ from article 5. The
starting point is not what article 5 says. The starting point is to identify what SCR
1546 says about the power to detain in a NIAC, just as the starting point in Hassan
was to see what customary international law and the Geneva Conventions say about
the power to detain in an IAC.
162. As the European Court of Human Rights said in Hassan (paras 77 and 102)
that it had observed on many occasions, the Convention cannot be interpreted in a
vacuum and should so far as possible be interpreted in harmony with other rules of
international law of which it forms part. The fundamental significance in
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international law of SCRs under Chapter VII of the United Nations Charter needs
little underlining. It has been recorded by Lord Sumption in his judgment (para 23),
and was clearly expressed by the European Court of Human Rights in Behrami v
France; Saramati v France, Germany and Norway [2007] 45 EHRR SE10, para 149,
when the Court said that the contribution by NATO states of troops to the KFOR
security mission in Kosovo “may not have amounted to obligations flowing from
membership of the UN but they remained crucial to the effective fulfilment by the
UNSC of its Chapter VII mandate and, consequently, by the UN of its imperative
peace and security aim”.
163. To treat SCR 1546 as contemplating that member states, participating in the
peace-keeping operations in Iraq and exercising the power to detain afforded by its
terms, would satisfy their European Convention obligations by derogating from the
Convention appears to me unreal. Putting the same point the other way round, I see
no basis for treating member states party to the Convention when exercising such
power to detain as being in breach of article 5 unless they derogated from the
Convention. First, it seems clear that article 15 of the Convention, which authorises
derogation “in time of war or other public emergency threatening the life of the
nation” was itself not conceived with this this type of situation expressly in mind.
Second, if it be said that the expanded concept of “jurisdiction” now recognised in
European Court of Human Rights jurisprudence under article 1 should lead to some
implied modified understanding of the scope of potential derogation under article
15, that is both highly speculative, and a possibility which any contracting state can
well be forgiven for missing. Third, not surprisingly, there is just as little indication
that any state has ever purported to derogate under article 15 in respect of
involvement in a NIAC as there is in respect of involvement in an IAC (see Hassan).
Fourth, it would be splitting hairs to treat the reasoning and decision in Hassan as
turning essentially on state practice not to derogate under article 15 in the course of
an IAC.
164. In the light of the above, I conclude that SCR 1546, properly construed in the
light of its terms and the circumstances to which it was directed, provided for a
power to detain in a NIAC for imperative reasons of security. On the assumption
(which the government does not now challenge on this appeal) that the matters in
question fell within the United Kingdom’s jurisdiction under article 1 of the
Convention, and provided that sufficient procedural safeguards exist (see the next
two paragraphs), I also conclude that article 5 of the Convention should be
interpreted in a way which gives effect to and enables the exercise of this power.
This can be done, as it was in Hassan, by recognising that the fundamental purpose
of article 5(1) is to protect the individual from arbitrariness in accordance with the
basic international law principle stated in ICCPR, article 9 (para 160 above). On that
basis, the more detailed express terms of article 5(1) may be seen as illustrations of,
rather than limitations on, the exercise of the power to detain. This in turn allows
scope for or accommodates the operation of wider powers to detain in situations of
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armed conflict, where provided by general international law or by a specific SCR
under Chapter VII. It follows that I concur in principle with all that is said by Lord
Sumption in para 18 to 30 and 40 to 68 and by Lord Wilson in paras 114 to 117 and
121 to 134 of their respective judgments.
165. On that basis, the only point requiring further attention is whether a power to
detain “where this is necessary for imperative reasons of security”, as provided in
Iraq by SCR 1546, is too unspecific, or too lacking in procedural safeguards, to be
recognised either generally or in conjunction with and in addition to the express
terms of article 5. As already stated (para 160), the general principle of international
law is that “No one shall be subjected to arbitrary arrest or detention”. The relevant
ICCPR article 9(1) goes on to provide that: “No one shall be deprived of his liberty
except on such grounds and in accordance with such procedure as are established by
law”. The requirement for grounds to be established is met by a power to detain
where necessary for imperative reasons of security.
166. The requirement for a procedure established by law was met in Hassan by
the terms of the Third and Fourth Geneva Conventions. The Third Convention
provides for the internment of prisoners of war (articles 4(A) and 21), for any doubt
about their status to be determined by a competent tribunal (article 5) and for their
release and repatriation without delay after the cessation of active hostilities (article
118). The Fourth Convention provides for the detention of individuals “definitely
suspected of or engaged in activities hostile to the security of the state” (Fourth
Convention, article 5), for any such action to be reconsidered as soon as possible by
an appropriate court or administrative board, and, if maintained, to be reviewed
periodically and at least twice yearly (article 43). The United Kingdom had reason
to believe that Mr Hassan fell within these categories, and released him as soon as
screening showed that he was a civilian who did not pose a threat to security:
Hassan, para 109.
167. In agreement with Lord Sumption (paras 67-68), I would not read Hassan as
requiring the procedure needed to avoid arbitrariness to be specified in the
convention or other treaty or the relevant SCR authorising detention. The procedure
falls to be established by or on behalf of the detaining state, and it must at least
comply in a NIAC both with the minimum standard of review required in an IAC
under article 43 of the Fourth Geneva Convention and accepted as appropriate in
that context in Hassan and, subject to such alterations as are necessary to meet the
exigencies of armed conflict, with the procedural requirements of article 5: see per
Lord Sumption, paras 91 et seq.
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(b) Afghanistan
168. The relevant SCR in respect of Afghanistan at the time of the detention of Mr
Serdar Mohammed (“SM”) was 1386 (2001), the operation of which was
subsequently extended, lastly by SCR 1890 (2009). Lord Sumption has stated the
terms of these SCRs in his paras 21-22. SCR 1386 authorised the establishment of
“an International Security Assistance Force” (“ISAF”) to assist in the maintenance
of security in Kabul and surrounding areas, working in close cooperation with the
Afghan Interim Authority, and it “authorised member states participating in [ISAF]
to take all necessary measures to fulfil its mandate”. This last critical phrase of
article 3 of SCR 1386 falls to be read in the context of the extreme circumstances of
violence (including improvised explosive device, IED, and suicide attacks targeting
civilians as well as Afghan and international forces and use of civilians as human
shields), terrorism, illegally armed groups, increasingly strong links between
terrorism activities and illegal drugs, recounted in recitals to resolution 1890. For
the reasons coinciding with those given by Lord Sumption in paras 28 and 30 and
by Lord Wilson in paras 118 and 119, I consider that the critical phrase in article 3
of SCR 1386 in principle contemplated and authorised detention where necessary to
fulfil the mandate, in short detention for imperative reasons of security. Again,
appropriate procedural safeguards must be established, meeting the standards
identified in para 160 and 165 to 167 above.
Afghanistan – do the SCRs give powers to ISAF alone or to both ISAF and its
member states?
169. This further question arises because of SM’s case that any permissible
detention was governed by the detention policy guidelines adopted by ISAF, which
basically restricted detention (before transfer to the custody of Afghan authorities)
to 96 hours with only limited exceptions. I understand Lord Reed to conclude that it
was, for reasons set out in his paras 322-334 and 343-346. The context in which this
question arises can be summarised as follows. Leggatt J considered that the position
of ISAF in Afghanistan broadly mirrored that of KFOR in Kosovo, as examined by
the European Court of Human Rights in Behrami. But he went on to reject the United
Kingdom’s submission that the detention of SM was in reality undertaken by or on
behalf of ISAF and so the United Nations, to which SM must in consequence address
any claim. He rejected it, because the United Kingdom had at least in November
2009, pursuant to responsibilities which it saw as resting on itself under national and
international law, established its own extended detention policy, claiming to enable
it to detain for periods longer than 96 hours. It had not, in this respect, acted on
behalf of or under any authority conferred, at least originally, on ISAF. ISAF
originally complained about this, but Leggatt J inferred that “ISAF headquarters did
subsequently accept the UK position as detention decisions continued to be taken by
United Kingdom officials without involving ISAF and there is no evidence of any
further complaints”. But that did not mean that the United Kingdom was acting as
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part of or on behalf of ISAF. See generally per Leggatt J, paras 180-184, and see
further paras 181-190 below. On that basis Leggatt J held the United Kingdom
responsible for the detention of SM. The United Kingdom thus failed below on the
basis that the relevant SCRs gave power only to ISAF to detain, and not to individual
member states participating in security operations in Afghanistan: see the Court of
Appeal’s judgment, paras 155-156.
170. Lord Sumption (para 38) and Lord Wilson (para 120) consider that the correct
analysis is that the relevant SCRs conferred power to act on the individual
participating member states, and that there is no basis for limiting this power (as
between the United Kingdom and SM) by reference either to ISAF’s detention
policy or to any agreement between the United Kingdom and the Afghan authorities,
such as that dated 23 April 2006, by clause 3.1 whereof it was agreed that the “The
United Kingdom AF will only arrest and detain personnel where permitted under
ISAF Rules of Engagement”. In these circumstances, Lord Sumption concludes that
the United Kingdom was entitled to operate its own detention policy vis-à-vis SM,
provided of course that this complied as a minimum with the procedural standards
required under international law to avoid arbitrariness.
171. The difference on this point between Lord Reed on the one hand and Lord
Sumption and Lord Wilson on the other turns on the construction of the relevant
SCRs. It is correct that article 3 of SCR 1386 authorised “the member states
participating in the International Security Assistance Force to take all necessary
measures to fulfil its mandate”. This followed recitals which inter alia recorded a
request in the Bonn Agreement to the Security Council to consider authorising “the
early deployment to Afghanistan of an international security force” and welcomed
a letter from the United Kingdom government and took note of the United
Kingdom’s offer contained therein “to take the lead in organising and commanding
an International Security Assistance Force”.
172. In the light of these recitals, articles 1 and 2 of SCR 1386 went on to authorise
“as envisaged in Annex 1 to the Bonn Agreement, the establishment for six months
of an International Security Assistance Force to assist the Afghan Interim Authority
in the maintenance of security in Kabul and its surrounding areas, so that the Afghan
Interim Authority as well as the personnel of the United Nations can operate in a
secure environment” and, second, to call “upon member states to contribute
personnel, equipment and other resources to the International Security Assistance
Force”. Article 3 was, further, followed by articles 4 and 5, respectively calling
“upon the International Security Assistance Force to work in close consultation with
the Afghan Interim Authority in the implementation of the force mandate, as well
as with the Special Representative of the Secretary-General” and calling “upon all
Afghans to cooperate with the International Security Assistance Force and relevant
international governmental and non-governmental organizations, and welcom[ing]
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the commitment of the parties to the Bonn Agreement to do all within their means
and influence to ensure security …”.
173. The Bonn Agreement itself contained recitals “reaffirming the independence,
national sovereignty and territorial integrity of Afghanistan”, “recognizing that
some time may be required for a new Afghan security force to be fully constituted
and functional and that therefore other security provisions detailed in Annex I to this
agreement must meanwhile be put in place” and “considering that the United
Nations, as the internationally recognized impartial institution, has a particularly
important role to play, detailed in Annex II to this agreement, in the period prior to
the establishment of permanent institutions in Afghanistan”.
174. Consistently with the references contained in SCR 1386, Annex I to the Bonn
Agreement provided:
“3. Conscious that some time may be required for the new
Afghan security and armed forces to be fully constituted and
functioning, the participants in the UN Talks on Afghanistan
request the United Nations Security Council to consider
authorizing the early deployment to Afghanistan of a United
Nations mandated force. This force will assist in the
maintenance of security for Kabul and its surrounding areas.
Such a force could, as appropriate, be progressively expanded
to other urban centres and other areas.
4. The participants in the UN Talks on Afghanistan pledge
to withdraw all military units from Kabul and other urban
centres or other areas in which the UN mandated force is
deployed. It would also be desirable if such a force were to
assist in the rehabilitation of Afghanistan’s infrastructure.”
Annex II to the Bonn Agreement included the provision that:
“1. The Special Representative of the Secretary-General
will be responsible for all aspects of the United Nations’ work
in Afghanistan.”
The Bonn Agreement therefore envisaged a UN mandated force (ISAF) under UN
control to assist the Afghan Interim Authority. It does not support the idea of
individual contributing nations operating on their own authority or terms to support
the UN’s role or give effect to its aims.
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175. SCR 1510 (2003) authorised “expansion of the mandate of [ISAF] to allow
it, as resources permit, to support the Afghan Transitional Authority and its
successors in the maintenance of security in areas of Afghanistan outside of Kabul
and its environs” (article 1). It called upon ISAF to continue to work in close
consultation with the Afghan Transitional Authority and its successors and the
Special Representative of the Secretary-General as well as with the Operation
Enduring Freedom Coalition in the implementation of the force mandate, and to
report to the Security Council on the implementation of the measures set out in
article 1 (article 2). It decided also “to extend the authorization of ISAF, as defined
in resolution 1386 (2001) and this resolution, for a period of 12 months (article 3),
and it authorised “the member states participating in [ISAF] to take all necessary
measures to fulfil its mandate (article 4) and requested “the leadership of [ISAF] to
provide quarterly reports on the implementation of its mandate to the Security
Council through the Secretary-General”.
176. SCR 1890 (2009) decided “to extend the authorization of [ISAF], as defined
in resolution 1386 (2001) and 1510 (2003), for a period of 12 months beyond 13
October 2009 (article 1). It authorised “the member states participating in ISAF to
take all necessary measures to fulfil its mandate” (article 2). It recognised “the need
to further strengthen ISAF to meet all its operational requirements, and in this regard
calls upon member states to contribute personnel, equipment and other resources to
ISAF” (article 3), and stressed “the importance of increasing, in a comprehensive
framework, the functionality, professionalism and accountability of the Afghan
security sector, encourage[ing] ISAF and other partners to sustain their efforts, as
resources permit, to train, mentor and empower the Afghan national security forces
…” (article 4). It further called “upon ISAF to continue to work in close consultation
with the Afghan Government and the Special Representative of the SecretaryGeneral as well as with the OEF coalition in the implementation of the force
mandate (article 5), and requested “the leadership of ISAF to keep the Security
Council regularly informed, through the Secretary-General, on the implementation
of its mandate, including through the provision of quarterly reports” (article 6).
177. Under these SCRs, member states were, necessarily, to provide the personnel
and resources which ISAF needed, and were thus authorised to participate in ISAF
and take all necessary measures to fulfil its mandate. But the SCRs are replete with
references to ISAF acting and being authorised to act, to ISAF having or being given
resources and to ISAF reporting to the Secretary General.
178. SCRs also need to be read in light of the principle of proportionality: see
Simma et al, The Charter of the United Nations: A Commentary (2012), who
continue:
Page 84
“This will typically lead to a restrictive reading: resolutions
should be understood to embody less restrictive measures –
generally favoured on proportionality grounds – unless the SC
has clearly used its discretion to decide otherwise. Thus, in
cases of deliberate ambiguity, especially as regards delegations
of powers and authorizations to use force, a narrow
interpretation is appropriate.”
179. Against a narrow view, Lord Sumption notes the exceptional and escalating
levels and threats of violence faced by UK forces. That these were particularly
serious in Helmand Province where UK troops were located is a fact. On the other
hand, the wording of the mandate conferred by the SCRs goes back to the outset of
UN involvement, when these levels and threats were not necessarily apparent.
180. Viewing the SCRs overall, I am unable to read them as authorising member
states to act otherwise than as participants in or in collaboration with ISAF. The
alternative construction, which Lord Sumption and Lord Wilson adopt, amounts to
saying that member states received their own authorisation entitling them each to
act quite independently of ISAF and each other. This appears to me ultimately a
recipe for confusion and unlikely to have been intended by the Security Council.
That is not however the end of the matter as regards the United Kingdom’s authority
to operate its own detention policy.
ISAF’s and the United Kingdom’s policies regarding detention
181. The position is summarised in Lord Sumption’s judgment in paras 31 to 37.
ISAF policy under its Standard Operating Procedures SOP 362 allowed up to 96
hours for release or handing over into the custody of Afghan authorities, subject in
para 8 to authority, vested in the ISAF commander in the following terms:
“The authority to continue to detain an individual beyond the
96-hour point is vested in COMISAF (or his delegated
subordinate). A detainee may be held for more than 96 hours
where it is deemed necessary in order to effect his release or
transfer in safe circumstances. This exception is not authority
for longer-term detentions but is intended to meet
exigencies·such as that caused by local logistical conditions eg
difficulties involving poor communications, transport or
weather conditions or where the detainee is held in ISAF
medical facilities and it would be medically imprudent to move
him. Where this exigency applies, COMISAF must be notified.
Where, in the opinion of COMISAF (or his delegated
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subordinate), continuation of detention is warranted,
COMISAF (or his delegated subordinate) may authorize
continued detention.”
182. Although no change was made in ISAF’s guidelines, the United Kingdom
did over the years develop and operate its own policy relating to detention. In the
years prior to November 2009, this involved decisions regarding detention being
taken by United Kingdom officials, rather than ISAF. On the evidence of Mr Devine,
called by the Ministry and unchallenged on this point, ISAF was kept informed both
of the United Kingdom’s policy in this respect and of individual detentions made
under it. Leggatt J made significant findings in this connection. In para 181, he
referred to a United Kingdom report of an initial objection by the Chief of Staff of
ISAF in this connection in 2006, to the effect that ISAF, rather than United Kingdom
officials should be taking detention decisions. The United Kingdom rejected this
objection, explaining that it considered that the United Kingdom had to take such
decisions in order to ensure that its legal obligations were properly discharged. The
report concluded by saying that, now United Kingdom officials had made this point
to NATO HQ, “it is hoped that HQ ISAF will soon be directed to accept the UK
position”. Importantly, Leggatt J went on to say, in the passage already quoted in
para 25 above:
“I infer that ISAF headquarters did subsequently accept the UK
position as detention decisions continued to be taken by UK
officials without involving ISAF and there is no evidence of
any further complaints.”
183. Until November 2009, United Kingdom policy matched ISAF policy with
regard to the length of detention. But, with effect from November 2009, the United
Kingdom’s detention policy changed to allow detention beyond 96 hours not only
in accordance with ISAF policy, on the grounds set out in para 8 of SOP 362 and
with ISAF HQ authorisation, but also in “exceptional circumstances” with the
authority of United Kingdom HQ and United Kingdom ministerial authorisation.
The revised policy was set out in BRITFOR Standard Operating Instruction J3-9
dated 6 November 2009. Annex G required detailed justification to be submitted
with any application for extension of detention beyond 96 hours. The notes to assist
its compilation identified as relevant factors the intelligence gained to date and likely
to be obtained by further detention and its relevance for any prosecution, together
with (and emphasised) the likely impact of detention for United Kingdom/Coalition
forces, and in particular whether detention would save life and limb and what the
detained was likely to do if released, as well as any legal issues relevant to continued
detention.
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184. Mr Devine also gave evidence that ISAF was made aware at the highest level
of the change introduced in November 2009 and of its application thereafter in
individual cases and never objected. He said in one passage:
“No, my point under this policy is when we introduced the
policy in November 2009 we informed ISAF both through its
senior body, the North Atlantic Council, and I assume, I don’t
recall, ISAF through its chain of command. The chain of
command, and indeed the NATO political authority, the North
Atlantic Council, were fully aware of the policy we were
undertaking. I think we can take that – understanding how
NATO works, I think we can take that consent as NATO
authority for our actions.”
Mr Devine’s evidence on this point was again not challenged by cross-examination.
185. In this connection, Leggatt J said this in para 184:
“The MOD has argued that the UK did not operate a detention
policy which was separate from ISAF policy because ISAF
policy envisaged and accommodated some variations in
national practice and, in particular, ISAF accepted the need for
the UK to depart from the ISAF 96-hour detention limit in
exceptional circumstances in light of the fact that UK armed
forces were operating in an area of Afghanistan where there is
a particularly high level of insurgent activity. I have accepted
the evidence of Mr Devine that NATO was informed of the
UK’s decision to apply a ‘national policy caveat’ to the ISAF
96-hour limit and did not object to this. But that is a very long
way from showing that either UK detention operations
generally or individual detentions by UK armed forces were
under the command and control of ISAF. It is clear that they
were not.”
The documentation shows that NATO was indeed informed in the most formal way
and at the highest level, by letter dated 5 November 2009 to its Secretary-General,
Mr Anders Rasmussen, giving full details and the explanation for the change in
policy. The terms would clearly have been expected to elicit an objection, if
objection there had been. In fact there was none.
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186. In the light of Mr Devine’s evidence, I read Leggatt J’s findings in paras 181
and 184 as accepting as an inference that ISAF acquiesced in the UK position that
it was open to the UK to take its own detention decisions within the 96 hour period,
and, in and after November 2009, to apply its own policy regarding detention in
excess of 96 hours in “exceptional circumstances”.
187. In international law terms, the position is in my opinion covered by the
judgment in Case Concerning the Temple of Preah Vihear (Cambodia v Thailand)
Merits, [1962] ICJ Rep (judgment of 15 June 1962), where the ICJ said this at p 23:
“It has been contended on behalf of Thailand that this
communication of the maps by the French authorities was, so
to speak ex parte, and that no formal acknowledgment of it was
either requested of, or given by, Thailand. In fact, as will be
seen presently, an acknowledgment by their conduct was
undoubtedly made in a very definite way; but even if it were
otherwise it is clear that the circumstances were such as called
for some reaction, within a reasonable period, on the part of the
Siamese authorities, if they wished to disagree with the map or
had any serious question to raise in regard to it. They did not
do so, either then or for many years, and thereby must be held
to have acquiesced. Qui tacet consentire videtur si loqui
debuisset ac potuisset.”
188. The Court of Appeal did not consider that ISAF’s failure to protest in these
circumstances could be considered to amount to tacit consent (para 71). I do not
agree with the Court of Appeal’s analysis. The Court of Appeal did not refer to
Leggatt J’s clear conclusion in para 181 that ISAF did subsequently accept the UK’s
position regarding detention, and para 184, which the Court of Appeal did cite, is
directed not to the contrary, but to the question of command and control. Leggatt J
expressly accepted the evidence of Mr Devine, which also establishes that ISAF was
kept fully and regularly informed of the UK detention policy and its application to
particular detainees. The natural inference from this and from the absence of any
further complaints by ISAF at any time is, in my opinion, that ISAF did accept the
UK’s right to apply its policies and procedures both before and after November
2009, even though they differed from ISAF’s.
189. I add that it seems that two other members of ISAF also adopted different
policies regarding the 96-hour limit, the USA by enacting domestic legislation and
Canada by reaching specific agreement with the Afghan authorities to treat detainees
as prisoners of war. Domestic legislation would protect US forces in at any rate the
United States. It may be that an agreement with the Afghan authorities could be
presented as an independent source of authority to detain under local law. The UK
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did not pursue either of these protective routes. But in no case is there an indication
that ISAF raised any objection to this conduct by members of ISAF.
190. I add that, had I not concluded that ISAF tacitly accepted (and indeed that the
judge’s findings amount to acceptance that ISAF tacitly accepted) the UK’s position
regarding its policies both before and after November 2009, I would not have
determined this largely factual point against the Ministry of Defence. I would have
remitted it to the judge for further examination, on the basis that Mr Devine’s
evidence on the point was effectively unchallenged, such potential significance as
the point may have does not appear to have emerged very clearly at the hearing
before him, and the point should now be clearly addressed and determined.
The consequences of the above analysis
191. The above analysis means that the UK was, when implementing its detention
policies before and after November 2009, acting in a way which was accepted as
permissible by ISAF. ISAF could not however authorise any detention policy by a
state whose forces were participating in ISAF outside the scope of the authority
which ISAF had under the relevant SCRs. The SCRs did not authorise detention
save where necessary for imperative reasons of security. Any policy involving
detention purely for intelligence-gathering reasons, without the co-existence of
some other ground such as danger to UK forces or the ISAF mission generally, could
not properly have been authorised by ISAF, or applied by the UK. But, subject to
that caveat, I see no reason why ISAF should not accept the operation by a particular
state participating in ISAF of its own detention policy, separate from ISAF’s own
guidelines.
192. A number of possibilities arise from these conclusions. One is that, as a result
of ISAF’s tacit assent to the United Kingdom’s operation of its own policies,
responsibility for any detention by United Kingdom forces should be borne by ISAF,
not the United Kingdom. The Ministry of Defence argued as much before the courts
below, relying on the decision of the Grand Chamber of the European Court in
Behrami v France, Saramati v France, Germany and Norway (2007) 45 EHRR
SE10. Leggatt J rejected the argument for the reasons given in his para 184 (quoted
in para 185 above). The essential reason was that the UK forces were not in this
respect under the command and control of ISAF. The Ministry of Defence originally
sought permission to appeal against this conclusion (by a proposed Ground 3 in its
notice of appeal to this court). The Ministry has not however pursued that
application, so that Leggatt J’s conclusion in para 184 stands.
193. That is again not the end of the matter. The issue to which Leggatt J was
referring in his para 184 – whether UK armed forces were under the command and
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control of ISAF in relation to detention – is one thing. Whether the UK was
authorised by ISAF to pursue its own detention policy in the context of its activities
as a participating member of ISAF is another. Accordingly, subject to the caveat that
detention purely for intelligence gathering reasons could not be justified, the primary
question in relation to each period of detention in respect of which SM complains is
whether there was a good reason for his detention for imperative reasons of security,
and if so whether “exceptional circumstances” existed justifying United Kingdom
forces in continuing to act as the detaining authority, rather than handing SM over
to the Afghan authorities, after the first 96 hours. If such circumstances operated as
a concurrent reason for continued detention, they could justify the detention, even if
another illegitimate reason, such as a desire to interrogate, was also in operation.
Even if the only motive for continued detention present in the United Kingdom
authorities’ mind was to continue interrogation, that does not exclude the possibility
that another basis in fact existed, which would have justified and led to continued
detention, had the United Kingdom authorities directed themselves correctly. SM is
claiming damages for wrongful detention. It is highly material to consider whether,
but for any failures which he may establish in United Kingdom authorities’
reasoning or procedures, he would have been any better off – in other words,
anywhere other than in custody. Further, if the answer is that he would not have been
in the custody of United Kingdom forces, but would have been in the custody of
Afghan forces, it would be material to consider whether this would have involved
him in any form of detriment, justifying an award to damages.
194. Exceptional circumstances could well exist if extended detention was or
would have been necessary because SM represented a real danger to United
Kingdom forces or ISAF’s mission generally, but could not in the meanwhile be
transferred to Afghan custody because the Afghan facilities were for the time being
either unsatisfactory or full. As to this, para 44 of the Ministry’s amended defence,
which is for the purposes of the issues now before the Court to be taken as correct,
indicates that overcrowding and lack of capacity in Afghan facilities was a reason
for non-transfer during the third period from 6 May to 25 July 2010 in respect of
which SM complains. It seems unlikely that this situation did not also exist during
the second period starting on 10 April 2010. Another factor of potential relevance is
that throughout that period a legal challenge was on foot as to the appropriateness
of any transfers of detainees to any of the three detention facilities operated by the
National Directorate of Security (“NDS”) of Afghanistan in Kabul, Kandahar and
Lashkar Gah. The relevant proceedings were heard in the Divisional Court on 19 to
23 and 26 to 29 April 2010. They led to a judgment given 25 June 2010, which
concluded that it would be unlawful for United Kingdom transfers to be made to
NDS’s Kabul facility. It could hardly lie in the mouths of the present respondents to
assert that they could have been transferred to a facility to which it would have been
unlawful for such a transfer to be made.
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195. As to the danger or risks for United Kingdom forces or the ISAF mission, the
assumed facts set out in paras 26 to 65 of the amended defence speak for themselves.
I set out the most material:
“26. … The claimant was detained at around 3.20 am
(Afghan time) on 7 April 2010 as part of a planned ISAF
operation. The team which undertook this operation included
UK military personnel, members of the Afghan Partnering Unit
and ISAF military working dogs. The operation targeted a
senior Taliban commander and the vehicle in which it was
believed he was travelling. When the operation was launched,
approximately four people were seen leaving the vehicle and
entering two compounds.
27. From the outset of the operation, as their helicopter
touched down near the two compounds, the capturing team
came under heavy fire.
28. The claimant ran from one of the two compounds, along
with another insurgent. The other insurgent fired upon UK
military personnel and was killed. The claimant fled from the
compound into a field about 450 metres from the compound.
He was asked a number of times via an interpreter to identify
his location and to come out with his hands up. He did not do
so. He was considered to present a significant and imminent
threat. Accordingly, a military working dog was released into
the field by its handler and the dog apprehended the claimant,
in the process causing him to suffer a bite to his right arm.
29. Halfway along the route along which the claimant was
observed to have fled, between the compound and the place of
his arrest, UK Armed Forces found a rocket propelled grenade
(‘RPG’) launcher and two RPG rounds.
30. During the course of the operation, another two
insurgents were found in one of the two compounds. One of
them engaged UK armed forces and was killed. The other
insurgent was captured.
31. UK Armed Forces safely extracted the claimant and the
other captured insurgent. They did so whilst under heavy and
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sustained small arms and RPG fire. The extraction took about
ten hours. Three members of UK Armed Forces were wounded
in action.
32. The claimant was lawfully captured and detained in
accordance with ISAF’s standard operating procedures,
pursuant to authorisation contained in UN Security Council
Resolution 1890 (2009) and in compliance with IHL.
33. … the claimant’s asserted ignorance of the RPGs and
launcher is denied. The Detainee Transfer Paperwork records
that explosive traces were found on the claimant’s clothes.

36. … In response to questioning the claimant stated he was
a farmer. The defendant subsequently received information that
the claimant was a senior Taliban commander, also known as
Mullah Gulmad. Mullah Gulmad was, and is, believed to have
been involved with the large-scale production of IEDs and to
have commanded a local Taliban training camp in mid 2009.

38. … On 7 April 2010, at Camp Bastion, the claimant was
informed, with the aid of an interpreter, that he had been
detained because he was considered to pose a threat to the
accomplishment of the ISAF mission and that he would either
be released by ISAF or transferred to the Afghan authorities as
soon as possible. He was informed that he had the right to
contact the International Committee of the Red Cross (‘ICRC’)
at any time and when asked if he wished to have someone
informed of his detention, gave the name of his father.”
196. Taking this account as correct, as we are required for present purposes to do,
it is unsurprising that, in an initial application by BRITFOR for continued detention
dated 8 April 2010 the Detention Authority said this in respect of SM in the section
of the relevant form (Annex G) headed “Legal Issues”:
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“The test to be applied is whether, on the balance of
probabilities, Detainee 995 has done something that makes him
a threat to force protection, self-defence or wider mission
accomplishment. Having considered all the evidence and
intelligence relating to this operation, in particular Detainee
995’s actions immediately prior to capture and the assessment
that he attempted to hide two RPGs, I advise that the policy test
is satisfied.”
The “Legal Issues” sections in the eight subsequent Annex G applications which
were completed to obtain a series of 72 hour extensions of detention included similar
information, but were from time to time also expanded and updated. Thus on 13
April 2010 specific mention was added of the fact that the compound from which
SM had fled had been known to have links with “Obj White” (code for the local
Taliban commander) and the assessment was added that SM “may be” that
commander’s deputy. By 16 April 2010, the assessment was expanded to say that
SM “is” the commander’s deputy. On 25 April 2010, there was reference to “the
positive identification that he is … a TB Comd and Obj WHITE’s deputy”. On 28
April 2010, the addition was made that “the recent CHEMEX results have revealed
a high confidence return for RDX, PETN and TNT. It is also assessed that he may
be … Obj WHITE’S deputy”. On 1 May 2010, the further addition appeared that he
“has been positively identified by HUMINT as call sign …”. (The dots represent
redactions in the versions before the Supreme Court.)
197. The picture which on its face emerges is that the completion of the Annex G
applications was not a mere formality or box-ticking exercise. Rather, it appears as
a conscientious exercise on each occasion in reconsidering and restating the facts
and in re-applying the test whether SM had done something “which makes him a
threat to self-defence, force protection or wider mission accomplishment”. The
initial application was also completed with “No” to “Release” and “Yes” to
“Transfer”, “Extension to 96 hours” and “Extension beyond 96 hours”. The eight
subsequent applications were all completed with “No” to “Release” and “Yes” to
“Transfer” and to “Extension beyond 96 hours”. In these circumstances, despite the
further entries to the effect that the evidence to hand made this a “weak case to hand
to the NDS”, the natural (and unsurprising) inference is that SM was seen throughout
not only as a threat to self-defence, force protection and/or wider mission
accomplishment, but also as a suspect who, once United Kingdom forces ceased to
hold him and a suitable NDS facility was available, was to be handed over to the
NDS rather than released.
198. Whether exceptional circumstances for extended detention in this or any
other sense existed which justified or could have justified detention by United
Kingdom forces for longer than 96 hours is therefore an issue which should, in my
view, be left open for further consideration at trial. The judge’s findings in relation
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to the second and third periods of SM’s detention were made on the false premises
that, firstly, once someone has been captured and disarmed, there can be no
imperative reasons of security for detaining him further, and, secondly, that article
5 of the ECHR applied without qualification or addition. The judge also appears to
have thought that a short-term absence of capacity in the NDS Lashkar Gar detention
facility would preclude a conclusion that SM was being held with a view to transfer
there (see eg his para 348). That was wrong in my view, if there was a fair prospect
of transfer there within a not unreasonable longer-term period. I add that the Court
of Appeal was incorrect, in para 250 of its judgment, to say that Mr Devine had
stated about SM “that his continued detention was not assessed to be necessary ‘for
force protection purposes’”.
199. Likewise, if, contrary to my above conclusions, ISAF cannot be treated as
having tacitly accepted the UK’s changed policy in and after November 2009, it
should still remain open to the UK to submit that SM’s detention beyond 96 hours
could and would have been authorised under ISAF’s guidelines, had they been
applied. That too will require factual inquiry and findings about the reasons for
which SM was in fact held, as well as potentially about any other basis or bases on
which he could and would have been held in any event, and in each case whether
they would have constituted grounds for extended detention within the terms of the
ISAF guidelines. Para 8 of the ISAF guidelines gives some limited, but not
exclusive, examples of the “exigencies” which may justify extended detention. It
also contemplates extended detention “where it is deemed necessary in order to
effect his release or transfer in safe circumstances”. Whether the situation falls
within these words or not, there must be a strong argument that the relevant
“exigencies” could include, for example, extended detention when necessary
because the person in question represented a real danger to UK forces or ISAF’s
mission generally, but could not for the meanwhile be transferred to Afghan custody
because the Afghan facilities were for the time being either unsatisfactory or full.
200. In these circumstances, and in common with Lord Sumption, (paras 86 and
87), I am not satisfied that Leggatt J’s findings can be transposed to the present
context, when the issue is now whether there were exceptional reasons which under
UK policy, or alternatively, exigencies which under ISAF rules, justified SM’s
continuing detention during either or both of those periods. I would remit that issue
for determination at the trial accordingly.
Application of ECHR
201. This brings me to consider whether and how far detention for exceptional
reasons under UK policy or by reasons of exigencies under ISAF rules can be
regarded as consistent or can be accommodated with article 5 of the ECHR. The
Ministry of Defence relies upon article 5(1)(c) and (f) as heads expressly covering
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the present circumstances, alternatively upon the accommodation between the
power to detain conferred by SCR 1546 and article 5 which I have already concluded
(para 164 above) should be made in the context of non-international armed conflicts
such as those in Iraq and Afghanistan in which United Kingdom forces were
engaged at the times relevant to these appeals.
202. To the extent that SM was held with a view to handing him over to the NDS
on reasonable suspicion of having committed an offence or offences, article 5(1)(c)
would constitute a basis for his detention. It would, however, be necessary to go on
to consider whether the United Kingdom had complied with article 5(3). Article 5(3)
is (as Lord Sumption also notes in his para 96) not easy to fit into a context where
the United Kingdom was not in a position to exercise judicial authority or power, or
ever going to put SM on trial itself. Applying an approach similar to that taken in
Hassan, it may be that it can be modified in the present context to accommodate
administrative procedures undertaken by United Kingdom authorities.
Alternatively, if articles 5(1)(c) and 5(3) do not, even with modification, fit the
present circumstances, then, to the extent that SM was held with a view to his
handing over to the NDS, there is to my mind attraction in Leggatt J’s view that
article 5(1)(f) can be regarded as applicable to a de facto transfer of jurisdiction
between armed forces of different States in Afghanistan. It would then be necessary
to consider whether the United Kingdom complied with article 5(4). However, even
if neither article 5(1)(c) nor article 5(1)(f) directly applies, each offers an analogy
which points towards and assists in identifying a more general accommodation
between the international law power to detain and article 5.
203. Under both article 5(1)(c) and (f), the Ministry of Defence faces a difficulty
if its only actual motivation in continuing to detain during the second period was to
interrogate. That, as I have stated, was not a legitimate basis under the SCR, any
more than it is under the European Convention on Human Rights (see authorities
cited by Lord Sumption in para 80). If there was in fact some other legitimate basis
on which SM could and would still have been detained, then the question would
arise whether, on showing this, the Ministry of Defence could bring itself directly
within article 5(1)(c) or (f), or whether its relevance would simply be to the question
whether SM should receive any (or what) damages. This would then merit further
argument in due course before the judge.
204. If neither article 5(1)(c) nor article 5(1)(f) applies directly, the question arises
whether and how far the power conferred by SCR 1546 to detain for imperative
reasons of security can and should be accommodated with article 5. For reasons
indicated in paras 152 to 168 above, I consider that the two can and should be read
together. But this is subject always to compliance with core procedural requirements
modelled on the provisions of article 5(1), (3) and (4). With regard to article 5(1)
(“in accordance with a procedure prescribed by law”), I am content to adopt what
Lord Sumption says in his paras 91 to 93. With regard to article 5(3), which will
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arise for consideration if the circumstances prove on further consideration to make
article 5(1)(c) relevant, I agree with Lord Sumption that the critical question is how
far the requirements of article 5(3) can properly be adapted to the conditions of
armed conflict in Afghanistan, and that this question should be left to be determined
at the trial (see his paras 95 and 98 in particular). For completeness, I must address
the argument raised by the First Interveners and considered by Lord Wilson in paras
136-140 that, whatever the international or Convention law position, compliance
with domestic law (whether English law or the law of the place of detention or one
or other is not entirely clear) is also required for any detention to be in accordance
with law. This argument cannot, in my view, arise in Al-Waheed in the light of the
limited leap-frog issue before the Supreme Court. In SM the argument was suggested
below by Ms Fatima QC for the Interveners, but neither court found it necessary to
deal with. However, the Ministry of Defence argued unsuccessfully for a reverse
position, namely that it was authorised to detain SM by Afghan law, and this alone
sufficed to justify SM’s detention under article 5, whatever the international legal
position. The Supreme Court has now decided to defer decision whether to grant
permission to appeal on this issue. My own view is that Ms Fatima’s argument fails
for the reasons given by Lord Reed in his paras 343-345, which I understand to fit
with those given by Lord Wilson in his para 139. But, if the view were to be taken
that the argument does not fail for these reasons, this adds potentially to the
significance of the issue on which the Court has now deferred any decision whether
to grant permission to appeal (viz, whether Afghan law authorised detention in
accordance with international law, and in particular in accordance with any Security
Council Resolution authorising such detention).
ECHR article 5(4): right to review of the lawfulness of detention
205. Article 5(4) provides in terms that:
“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.”
In Hassan, para 106, the European Court of Human Rights explained how this might
be understood and adapted to cater for the exigencies of an international armed
conflict:
“106. As regards procedural safeguards, the Court considers
that, in relation to detention taking place during an international
armed conflict, article 5 paras 2 and 4 must also be interpreted
in a manner which takes into account the context and the
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applicable rules of international humanitarian law. Articles 43
and 78 of the Fourth Geneva Convention provide that
internment ‘shall be subject to periodical review, if possible
every six months, by a competent body’. Whilst it might not be
practicable, in the course of an international armed conflict, for
the legality of detention to be determined by an independent
‘court’ in the sense generally required by article 5 para 4 (see,
in the latter context, Reinprecht v Austria, (2005) no 67175/01,
para 31, ECHR 2005‑XII), none the less, if the Contracting
State is to comply with its obligations under article 5 para 4 in
this context, the ‘competent body’ should provide sufficient
guarantees of impartiality and fair procedure to protect against
arbitrariness. Moreover, the first review should take place
shortly after the person is taken into detention, with subsequent
reviews at frequent intervals, to ensure that any person who
does not fall into one of the categories subject to internment
under international humanitarian law is released without undue
delay. …”
206. For reasons already given, I consider that this guidance is equally relevant in
relation to the NIAC in which United Kingdom forces were engaged and in the
context of which SM was captured and detained. In October 2012, a wide range of
24 states together with international organisations including the UN, NATO, the
African Union, the European Union and the ICRC agreed on The Copenhagen
Process: Principles and Guidelines. These were specifically intended to reflect
“generally accepted standards” (Commentary, para 16.2) applicable “to
international military operations in the context of non-international armed conflicts
and peace operations” (Introductory para IX). Principle and Guideline 12 reads:
“A detainee whose liberty has been deprived for security
reasons is to, in addition to a prompt initial review, have the
decision to detain reconsidered periodically by an impartial and
objective authority that is authorised to determine the
lawfulness and appropriateness of continued detention.”
This is both consistent with and supports the application to detention in the course
of a NIAC of principles similar to those recognised in Hassan as appropriate in
relation to an IAC.
207. The possibility that SM could have sought habeas corpus while in United
Kingdom forces’ custody was not pressed by Mr Eadie QC. Even assuming that a
writ of habeas corpus could (contrary to the Ministry of Defence’s primary case)
have lain, Mr Eadie was, as I understood him, prepared to accept that the possibility
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of seeking and obtaining such a writ would not, at least in the Afghan context, satisfy
the modified requirements of article 5(4). On the other hand, it is not, I understand,
suggested, and in any event could not, I think, realistically be suggested, that SM
should have been afforded access to any local court prior to being handed over to an
NDS detention facility. The question is therefore whether the legality of SM’s
detention was subject to periodic review by a competent body in the sense of a body
providing “sufficient guarantees of impartiality and fair procedure to protect against
arbitrariness”, the first such review taking place shortly after he was taken into
detention, with subsequent reviews at frequent intervals thereafter. What is
“frequent” must depend on the context in and basis on which a detainee is being
held. But the European Court of Human Rights was, on the face of it, envisaging
periodic reviews of greater regularity than “if possible every six months”, the phrase
it quoted earlier in para 106 from the Fourth Geneva Convention.
208. The scheme established by SOI J3-9 is detailed and clear. The reviews
undertaken under it in respect of SM were very frequent, and the documentation
relating to them can be seen (despite redactions for security reasons) to be
impressive in its thoroughness. Criticisms are however directed in two main areas:
(a) sufficiency of the guarantees of impartiality and (b) fairness of the procedure so
far as concerns SM’s involvement.
209. Before considering these criticisms, it is appropriate to consider the purpose,
in the context of the present case, of reviews such as those contemplated by Hassan,
para 106, and by Copenhagen principle 12. The purpose is to ensure that detention
only occurs and continues when there is good cause for it. For that reason, the
detainee should be told why he is being detained, and given the opportunity to give
his account of events as well as to pass information to the outside world which will
reach his family. But, if this has occurred and a detainee is held as an active member
of the Taliban and a continuing threat, with a view to his eventual transfer to NDS
custody, the frequency of review which is required may well diminish. In the present
case, the actual frequency of reviews was closely linked with the process of
obtaining authorisation for further interrogation, but interrogation was not itself a
basis for detention. What was a potential basis for detention was the risk that SM
posed to United Kingdom forces and the ISAF mission and the intention to transfer
him into NDS custody with a view to further investigation and/or criminal
prosecution.
210. In the present case, SM was arrested during armed operations and extracted
under heavy and sustained small arms and RPG fire in a process which took ten
hours. He must have known that he was being arrested as an insurgent, and he
responded to questioning by saying that he was a farmer: see para 195 above. He
was then taken to Camp Bastion where he was interviewed through an interpreter,
told that he had been detained as a threat to the ISAF mission and further told that
he would be either released or transferred to the Afghan authorities as soon as
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possible. He was then given the opportunity of making a statement about his
detention. Form Annex A “Rights of a detainee”, which was (on the currently
assumed facts) accurately translated to him and signed by SM by thumbprint,
records SM’s response and information which he was given, in the following terms:
“I was working in the field 9-12. Helicopter came so I layed
down in my Field, they let the dog attack me and then arrested
me”. Likewise, he was informed of his right to contact the
ICRC by letter ‘at any time during your detention here’.”
211. No subsequent information came to light to change the United Kingdom
forces’ assessment of SM’s role and involvement with the Taliban in any way which
could have militated in favour of his release, rather than his detention and transfer
in due course into NDS hands. On the contrary, such further information as came to
light merely strengthened the grounds for considering that he was an insurgent: see
para 196 above. In fact, SM was also interrogated over a period during which he
“maintained an obstructive approach to questioning and persisted in his denial of
involvement in the insurgency and specifically Obj WHITE”, as recorded in Annex
G relating to the eighth successive 72 hour review. So it is clear that he did have
further opportunities to give his account and to provide any information which might
put a different complexion on his involvement.
212. Against this background, I turn more specifically to the two areas of criticism.
As to (a), sufficiency of the guarantees of impartiality, the Court of Appeal dealt
with this at some length, on the assumption that (although it took place on 9-10 April
2010) the initial review as well as all the subsequent reviews were all conducted in
accordance with the revised Detention Authority regime set out in Amendment 2 of
SOI J3-9 dated 12 April 2010. The Court of Appeal noted that under Amendment 2
the Detention Authority was the Commander of Joint Force Support (Afghanistan),
and went on (para 288):
“Amendment 2, para 12 states that his continuing duty as the
Detention Authority to ensure that each detention is justified
provided an independent level of review for all detention
operations, and that the Legal Advisor is a member of the
Detention Review Committee. We note that it is also stated that
the core members of the Detention Review Committee ‘must
remain outside the chain of command for targeting and tactical
legal issues’, although they are not wholly outside the chain of
command in the Theatre.”
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213. The Court of Appeal went on to point out (para 289) that the judge had made
“no detailed findings about the nature of this relationship” (because he did not need
to in the light of his view that strict compliance with article 5 was necessary and
because he was only dealing with preliminary issues), and continued:
“This, together with the fact that this issue was only explored
in the Secretary of State’s post-hearing note on outstanding
issues, means that we have limited information as to the precise
relationship of the chain of command which has the
Commander of Joint Force Support (Afghanistan) at its
pinnacle and those responsible for detaining a person. The
court lacks the factual context required to reach a decision
about the independence of the reviewing body. That would
include details of the precise chain of command in Afghanistan,
and the meaning of the statement … that the core membership
must remain outside the chain of command for targeting and
tactical reasons.”
214. However, the Court of Appeal went on to give some guidance, stating:
“291. … We doubt whether a Detention Authority squarely
within the chain of command in the relevant theatre, advised by
a committee consisting of members who are either the
subordinates of the Detention Authority or otherwise within the
chain of command under him meets the requirement of
independence and impartiality.”
and
“292. … As to whether that regime satisfied the requirements
of independence and impartiality, we know that the core
membership included the Commanding Officer of the
Intelligence Exploitation Force and the Force Provost Marshal.
The relationship of the legal adviser who was also a core
member of the Detention Review Committee and those
responsible for ‘tactical legal issues’, who it was stated should
not be core members, was not explained. We, however, note
that the legal and political Advisers and the Force Provost
Marshal provided advice to the Detention Authority as to
whether to release, transfer or detain in the first 48 hours. The
Force Provost Marshal was stated to be the subject-matter
specialist for detention issues. This does not sit easily with, and
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might even be thought to be contrary to the requirement that all
members of the Committee should be able to present cases
‘cold’ to the Detention Authority. Moreover, the Detention
Authority reported to military superiors, and MoD civil
servants advised a government minister who made the decision
about whether to authorise further detention. For these reasons,
we also doubt that the new regime was sufficiently
independent, although our doubts are of a lesser order than
those concerning the former Detention Authority regime.”
215. During the hearing before the Supreme Court, Mr Eadie produced a list
giving the full composition of the Detention Review Committee as well as
explaining some of the acronyms used in Amendment 2. But for my part I do not
think that the picture is materially clearer than it was before the Court of Appeal.
Both the Court of Appeal and Lord Sumption in para 105 of his judgment also adopt
the concept of “independence” as an element of the appropriate test. To my mind,
that risks introducing too formal an aspect into an essentially military review. It is
notable that the European Court of Human Rights in Hassan, para 106, used only
the word “impartial”, while Copenhagen principle 12 spoke only of review by an
“impartial and objective authority”. I am not confident that the Supreme Court
knows enough about the relationships between the various ranks and posts identified
in the list that the Court has been given or the way in which the military operates to
be able to condemn the review system introduced by Amendment 2 as inadequate.
Appellate judges with no military experience sitting thousands of miles from the
theatre of armed conflict should, I think, be very cautious to assess the impartiality
of a group of officers from or about whom, or of a process about which, they have
heard no oral evidence. This should be left to the judge who will at trial have had
the opportunity of hearing evidence and making findings about these matters. On
this, I see no reason for us, sitting in the Supreme Court, to disagree with the Court
of Appeal.
216. Up to this point, I have focused on the process before the Detention Authority
and Detention Review Committee. I have done so, because the material available
suggests to me that it was only at this level that the existence and level of any threat
presented by SM were assessed. So far as appears, and subject to anything that may
emerge at trial, it appears that the matter only went to a higher level (that is to
Permanent Joint Headquarters (“PJHQ”) and ultimately to ministerial level) in the
context of the 14 day reviews which were undertaken under Amendment 2 Part II
paragraph 29 using Annex H, to gain permission for further detention for further
interrogation. Annex H does not appear to have included information directed at
enabling either PJHQ or ministers themselves to form any view on whether SM
presented a threat which itself justified further detention pending transfer into NDS
hands. Both paragraph 27 of Part II of Amendment 2 to SOI J3-9 and the way in
which Annex H was itself completed focus on the value of the intelligence which
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any extension of detention might provide for force protection and/or (more
generally) for a better understanding of the nature of the insurgency.
217. I would add that in the light of what I have said in paras 209-211 above, I
find it difficult to see that the circumstances of SM’s detention called for reviews
every 72 hours or even every 14 days directed to the question whether he was a
threat to United Kingdom forces or the ISAF mission. If he was a threat on capture,
as he clearly was on the assumed facts, there was nothing to make that threat go
away. Rather, as I have said, the only information becoming available simply
strengthened the case for regarding him as a threat. There was no change in the
general situation in Afghanistan to affect this. The reason for the regular reviews
which actually occurred was the repeated need to authorise further interrogation. But
that was not by itself a justified reason for detention (and one might add that, if it
had been, it could hardly be expected that SM would be offered the opportunity to
make observations on the course of interrogation so far or the merits or otherwise of
further interrogation).
218. I turn to (b), the fairness of the procedure as regards SM. For the reasons I
have already given, he was in my view given and in possession of sufficient
information about the case against him at the outset, and had an appropriate
opportunity of responding to it. He must have known that this was part of a process
of considering the appropriateness of his continuing detention. Likewise, to the
extent that he was held thereafter because he would if released have been a threat
and was being held pending transfer to the NDS, I cannot see what any further
opportunity or opportunities to comment could have offered him in practical terms.
219. However, I accept that – in order to avoid leaving a suspect in SM’s position
in silent limbo, and in some contexts perhaps also to minimise the risks of illtreatment – there is an intrinsic value in having a suspect’s case reviewed at regular
intervals and informing him of the opportunity to make representations. This is so,
even if such reviews appear unlikely to lead to any change in his treatment or
detention. Here, SM was not, so far as appears, informed about any review process
or offered any opportunity of making representations in that connection (although
he was offered the opportunity at any time of contacting the ICRC). On the face of
it, the United Kingdom fell short in this respect of providing him with the
appropriate procedural guarantees. However, the claimant is seeking damages,
expressly including just satisfaction. In this context, it seems highly unlikely –
indeed contrary to all the evidence presently available – to suggest that there would
have been any prospect that informing SM about any review process, or offering
him any opportunity of making representations in respect of it, would have made
any difference to actual events.
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220. There is of course a question whether SM’s handing over to the NDS was
delayed, or (putting the point the other way around) whether his detention in United
Kingdom hands was extended, by the fact that the United Kingdom regarded him as
a potential source of information material to the success of the ISAF mission, and
repeated extensions of his detention were sought and obtained on that ground. He
was not notified of the reviews which led to such extensions. Had he been notified,
he might, at least in theory, have objected to any extensions with that purpose in
mind. Had that objection (however implausible it may seem) been given weight, the
question would at once have arisen whether there was any other basis for United
Kingdom forces continuing to detain him. The United Kingdom authorities would
then have had to consider, earlier than it appears they did, the question whether there
was any NDS detention facility with spare capacity to which they could properly
transfer SM. Again, however, so far as one can presently see, such a process may
well have led to no more than SM remaining in United Kingdom custody pending
transfer to NDS or his slightly earlier transfer from United Kingdom to NDS
custody. Either way, a claim for substantial damages might be optimistic.
221. In the light of the above, I, for my part, would limit myself to the views
expressed, and remit the whole case to the judge for trial on that basis.
Conclusions
222. The appeal in Al-Waheed is not concerned with the question whether
minimum procedural standards were established and applied in relation to the
relevant detention. I agree with its disposition as Lord Sumption proposes.
223. As to SM, whether the United Kingdom was or would have been entitled to
detain him after the expiry of a 96-hour period, that is after 11 April 2010, depends
upon whether it can show, firstly, that detention was required for imperative reasons
of security, and, secondly, that exceptional circumstances under the UK policy (or
alternatively exigencies under ISAF guidelines) existed justifying United Kingdom
forces in continuing to act as the detaining authority, rather than handing the
detainee over to Afghan authorities. This and the further issue whether failure to
provide SM with an appropriate review process in any respect led to any extended
detention or other loss should be remitted for determination at the trial.
LORD HUGHES: (with whom Lord Neuberger agrees)
224. The ground in this case has been comprehensively covered by the judgments
above. It would not help to repeat the valuable analysis offered. Subject to what
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follows, I agree with the judgments of Lord Mance, Lord Wilson and Lord
Sumption.
225. It is necessary to address three points on which these judgments do not agree,
and one further point which is considered by Lord Wilson at paras 136-140.
226. The first difference is whether the UN Security Council resolutions
concerning Afghanistan conferred authority to detain (and to lay down rules about
detention) upon ISAF as an entity (as Lord Mance says) or upon the troopcontributing member nations through the medium of ISAF (as Lord Sumption and
Lord Wilson say). This difference has no impact on the outcome of the appeal in the
case of Serdar Mohammed because, as Lord Mance concludes, ISAF in any event
endorsed the decision of the United Kingdom to adopt its own detention policy, as
was also the position in relation to the USA and Canada. I therefore doubt if it is
necessary to express a concluded view on this topic, but, subject only to observing
that the authority to troop-contributing member nations is clearly premised on
mutual co-operation although not on precise identity of polices, I presently prefer
the analysis of Lords Sumption and Wilson.
227. The second difference relates to whether there has been established an
infringement of article 5(4) ECHR on the grounds that the United Kingdom system
of internal review in Afghanistan failed to achieve sufficient impartiality. On this
topic I agree with Lord Mance, for the reasons he gives, that that suggested
shortcoming has not been established, and accordingly do not agree with the
contrary conclusion of Lords Sumption and Wilson. I particularly support Lord
Mance’s observations in the last four sentences of para 215. I also agree with both
Lord Mance and Lord Sumption that it is very questionable that any further
opportunity to state his case could have made any difference to Serdar Mohammed.
228. The third difference concerns the possible application of article 5(1)(f). On
this topic I agree with Lord Mance at paras 202-203. My primary conclusion is, like
Lords Mance, Sumption and Wilson, that the very terms of article 5(1)(f), as well as
those of other subparagraphs, demonstrate that in the context of armed conflict the
article must be interpreted on the principle explained in Hassan. If, however, that
were to be wrong, then it seems to me that subparagraph (f) is capable of including
situations in armed conflict when one State detains for the purpose of handing over
the detainee to another.
229. I should add that I doubt if there is a difference between Lord Mance and
Lord Sumption as to the possible application of article 5(1)(c). On the findings of
fact made by the judge at para 333 it cannot apply to the second period of Serdar
Mohammed’s detention but if he could have been detained in that period for the
Page 104
purpose of producing him to the Afghan authorities, this goes to the question
whether he is entitled to any, or if so what, award of damages.
230. The additional point considered by Lord Wilson at paras 136-140 concerns
the relevance of the domestic law of the country concerned. As to that, I agree with
the conclusions of Lord Mance at para 204, for the reasons which he gives and in
the light of the observations of the ECtHR in Őcalan v Turkey (2005) 41 EHRR 45,
cited by Lord Reed at para 345.
LORD TOULSON:
231. My involvement in this appeal has been in relation to all issues except the
procedural requirements of articles 5(1), 5(3) and 5(4) of the Convention in relation
to the detention of Serdar Mohammed. On all those issues I agree, subject to one
point, with the judgments of Lord Mance, Lord Wilson and Lord Sumption. The one
point is that discussed in para 226 of Lord Hughes’ judgment with which I agree.
LORD HODGE:
232. My only involvement in this appeal has been the hearing on 26 October 2016,
following the retirement of Lord Toulson, at which the court considered the
procedural requirements of articles 5(1), 5(3) and 5(4) of the Convention in relation
to the detention of Serdar Mohammed. On those matters I agree with the judgment
of Lord Sumption at paras 68 and 90-110 and with the declarations which he
proposes at para 111(4), (5) and (6).
LORD REED: (dissenting) (with whom Lord Kerr agrees)
233. I agree in part with the conclusions reached by Lord Sumption, in which the
majority of the court concur. In particular, I agree that Mr Mohammed’s detention
by HM Forces after 11 April 2010 did not fall within article 5(1)(f) of the European
Convention on Human Rights, and that his detention between 11 April and 4 May
2010 did not fall within article 5(1)(c). I also agree that the arrangements for his
detention did not fall within article 5(4), and that the question whether they complied
with article 5(3) should be considered after trial. I also agree that the Ministry of
Defence is in principle liable to pay compensation to Mr Mohammed if and in so far
as his detention was prolonged by his detention by HM Forces between 11 April and
4 May 2010 for intelligence exploitation purposes.
Page 105
234. There are also some matters on which I have reached a different conclusion,
in agreement with the courts below: in particular, whether UN Security Council
Resolutions (“SCRs”) 1546 (2004) and 1890 (2009) should be interpreted as
authorising detention in circumstances other than those specified in article 5(1)(a)
to (f) of the Convention, and in consequence whether HM Forces were entitled to
detain Mr Al-Waheed and Mr Mohammed in such circumstances, pursuant to those
SCRs. Having reached that conclusion, I also require to consider whether a right to
detain was conferred by international humanitarian law, an issue on which Lord
Sumption does not (and does not require to) reach a concluded view. In relation to
that issue, I conclude that no right of detention arose under international
humanitarian law. I therefore reach the conclusion that Mr Mohammed’s detention
between 11 April and 4 May 2010, being authorised neither by an SCR nor by
international humanitarian law, was in violation of article 5(1).
235. Given the importance of the issues, and the potential influence of this court’s
decision, I have thought it right to prepare a reasoned judgment. As it is a long
judgment which discusses many issues and arguments, I shall summarise my main
conclusions at the outset, with references to the sections of the judgment containing
the relevant discussion:
(i) Conventional (ie treaty-based) international humanitarian law
provides no authority for detention in a non-international armed conflict
(paras 243-270 and 274).
(ii) Customary international humanitarian law, in its present state of
development, provides no authority for detention in a non-international
armed conflict (paras 256-257, 271-273 and 275-276).
(iii) For the purpose of applying the European Convention on Human
Rights, UN Security Council Resolutions should be interpreted on the basis
that there is a presumption that the Security Council does not intend to impose
any obligation on member states to breach fundamental principles of human
rights; that, in the event of ambiguity, the court must choose the interpretation
which is most in harmony with the requirements of the Convention; and that
it is to be expected that clear and explicit language will be used if the Security
Council intends states to take measures which would conflict with their
obligations under international human rights law (paras 277-289).
(iv) The judgment of the Grand Chamber of the European Court of Human
Rights in the case of Hassan v United Kingdom [2014] BHRC 358 should not
be interpreted as entailing a departure from that approach (paras 290-300).
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(v) The court should depart from the decision of the House of Lords in AlJedda v Secretary of State for Defence (JUSTICE intervening) [2007] UKHL
58; [2008] 1 AC 332, that SCR 1546 imposed an obligation to detain in
circumstances other than those listed in sub-paras (a) to (f) of article 5(1) of
the Convention, which prevailed over the obligation to comply with the
Convention by virtue of article 103 of the Charter of the United Nations
(paras 304-305).
(vi) Hassan should not be interpreted as warranting the modification of
article 5(1) so as to permit detention in circumstances not falling within subparas (a) to (f), in relation to the detention authorised in Iraq by SCR 1546
(2004), as extended by SCRs 1637 (2005) and 1723 (2006) (paras 292-297
and 307-315).
(vii) Interpreting SCR 1546 consistently with the Convention, Mr AlWaheed’s detention by HM Forces was compatible with article 5(1) of the
Convention only if he was detained in circumstances falling within sub-paras
(a) to (f) (para 316).
(viii) Hassan should not be interpreted as warranting the modification of
article 5(1) so as to permit detention in circumstances not falling within subparas (a) to (f), in relation to the detention authorised in Afghanistan by SCR
1386 (2001), as extended by SCR 1890 (2009) (para 324).
(ix) Interpreting SCRs 1386 and 1890 consistently with article 5(1), HM
Forces had authority to detain Mr Mohammed under the SCRs for more than
96 hours only in circumstances falling within sub-paras (a) to (f) of article
5(1) (paras 322-334).
(x) Mr Mohammed’s detention by HM Forces between 11 April 2010 (ie
the end of the initial period of 96 hours) and 4 May 2010 was for the purpose
of obtaining intelligence. It did not fall within sub-paras (a) to (f) of article
5(1) (paras 335-346 and 351).
(xi) Mr Mohammed’s detention during that period was in any event for a
purpose falling outside the scope of the authority granted by SCR 1890, and
was therefore for that reason also incompatible with article 5(1) (paras 343
and 352-353).
Page 107
(xii) Mr Mohammed’s detention by HM Forces after 4 May 2010 fell
within the scope of article 5(1)(c) of the Convention, and was not
incompatible with article 5(1) (paras 347-350 and 354-357).
(xiii) The arrangements for Mr Mohammed’s detention were not compatible
with article 5(4), since he did not have any effective means of challenging
the lawfulness of his detention (para 359).
(xiv) Whether there was a violation of article 5(3) of the Convention should
be considered after trial (para 359).
Article 5 of the European Convention on Human Rights
236. Article 5(1) of the Convention defines the circumstances in which persons
may be detained. It begins:
“Everyone has the right to liberty and security of person. No
one shall be deprived of his liberty save in the following cases
and in accordance with a procedure prescribed by law.”
In relation to the question whether a procedure “prescribed by law” has been
followed, “the Convention refers essentially to national law but also, where
appropriate, to other applicable legal standards, including those which have their
source in international law”: Medvedyev v France (2010) 51 EHRR 39, para 79.
Medvedyev itself provides an example of a situation where the legal basis of
detention was assessed by reference to international law, since the detention took
place on the high seas.
237. There follows in sub-paragraphs (a) to (f) a list of circumstances in which
detention is permissible. They do not include detention for reasons of security, or
for the gathering of intelligence. The only ones which are relevant to these appeals
are those set out in sub-paragraphs (c) and (f):
“(c) the lawful arrest or detention of a person effected for the
purpose of bringing him before the competent legal authority
on reasonable suspicion of having committed an offence or
when it is reasonably considered necessary to prevent his
committing an offence or fleeing after having done so;
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(f) the lawful arrest or detention of a person to prevent his
effecting an unauthorised entry into the country or of a person
against whom action is being taken with a view to deportation
or extradition.”
238. The remaining paragraphs of article 5 are concerned with procedural
protections against arbitrary detention:
“2. Everyone who is arrested shall be informed promptly, in
a language which he understands, of the reasons for his arrest
and of any charge against him.
3. Everyone arrested or detained in accordance with the
provisions of paragraph 1(c) of this article shall be brought
promptly before a judge or other officer authorised by law to
exercise judicial power and shall be entitled to trial within a
reasonable time or to release pending trial. Release may be
conditioned by guarantees to appear for trial.
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.”
239. Although the conflicts in Iraq and Afghanistan with which these appeals are
concerned took place outside Europe, the European Court of Human Rights has held
that a contracting state which detains persons in a situation of armed conflict, outside
its own territory, has those persons within its jurisdiction for the purposes of article
1 of the Convention, so that the Convention is applicable. That approach has been
applied in particular to the detention of persons by HM Forces operating in Iraq
during both the international and the non-international phases of the armed conflict
there (the distinction between the international and non-international phases will be
explained shortly): see Al-Skeini v United Kingdom (2011) 53 EHRR 18, Al-Jedda
v United Kingdom (2011) 53 EHRR 23 and Hassan v United Kingdom (2014) 38
BHRC 358.
Page 109
240. The substantive guarantees set out in the Convention have been given effect
in the domestic law of the United Kingdom by the Human Rights Act 1998. In so
far as HM Forces operating in conflicts overseas may have been acting in
circumstances which engaged the United Kingdom’s responsibilities under the
Convention, and in so far as the Human Rights Act is applicable to those overseas
operations, any breach of the Convention rights by those forces falls within the
jurisdiction of British courts.
241. The central question which has to be determined at this stage of these appeals
is how article 5 applied in the context of the phases of the armed conflicts in Iraq
and Afghanistan during which Mr Al-Waheed and Mr Mohammed were
respectively interned by HM Forces. It is contended on behalf of the Secretary of
State that detention in these non-international armed conflicts was authorised under
international law by one or more of (1) treaty-based international humanitarian law,
(2) customary non-international law, or (3) the relevant SCRs. It is further contended
that article 5(1) is modified in its application to these conflicts so as to accommodate
the authorisation of detention under international humanitarian law or the relevant
SCRs, with the consequence that the list of permissible grounds of detention set out
in sub-paras (a) to (f) is not to be regarded as exhaustive. It is also contended that
detention in these conflicts satisfied the requirement in article 5(1) that any
deprivation of liberty must be “in accordance with a procedure prescribed by law”.
242. In considering these contentions, it is necessary to consider the relationship
between the Convention, international humanitarian law, and SCRs. It is also
necessary to consider the extent to which the application of international
humanitarian law and international human rights law depends on the nature of the
armed conflict in question: whether, in particular, it is classified under international
humanitarian law as an international or a non-international armed conflict. It may
be helpful at the outset to consider the meaning of these terms.
International and non-international armed conflict
243. “Non-international armed conflict” is an expression which has no universally
agreed definition, but can be understood for present purposes as referring, in the
language of article 3 of all four of the Geneva Conventions of 1949 (“common
article 3”), to “armed conflict not of an international character”, as opposed to
international armed conflict, which can be understood as referring, in the language
of common article 2, to “cases of declared war or of any other armed conflict which
may arise between two or more of the high contracting parties”. So understood, noninternational armed conflict includes conflict in which organised armed groups
engage in hostilities against a state. Such conflict may be purely internal to the state
concerned, or it may not. It may include situations where a foreign state intervenes
in an internal armed conflict in support of the government of the state concerned, at
Page 110
its invitation or with its consent. Such conflict is to be distinguished from conflict in
which one state engages in hostilities against another, which falls into the category
of international armed conflict.
244. Examples of non-international armed conflict involving the intervention of
foreign armed forces include certain phases of the recent conflicts in Iraq and
Afghanistan. Although the conflict in Iraq began as an international armed conflict
conducted by coalition forces against the Iraqi armed forces, a multi-national force,
to which about 40 states contributed, remained there after that war had concluded
and a new Iraqi Government had been established, so as to assist the Iraqi
Government in combating insurgents. That phase of the conflict was a noninternational armed conflict. Similarly, when an international security assistance
force, to which about 50 states contributed, assisted the Government of Afghanistan
in its struggle against the Taliban, that also was a non-international armed conflict.
Detention and the Geneva Conventions
245. It is necessary next to consider the significance of the distinction between
international and non-international armed conflicts in relation to the authorisation of
detention under international humanitarian law. In that regard, it is helpful to begin
by considering the relevant provisions of the Geneva Conventions.
246. Traditionally, international humanitarian law, like other international law,
was concerned almost entirely with the reciprocal relationships between states, and
therefore with conflicts between states rather than internal conflicts between a state
and its subjects (subject to exceptions under customary law where internal conflicts
affected relationships with other states). It was therefore concerned only with
international armed conflict (subject, as I have explained, to limited exceptions).
247. Atrocities committed in civil wars led however to the adoption, as part of the
Geneva Conventions, of a limited measure of treaty-based regulation of noninternational armed conflict under common article 3. That article provides for the
humane treatment of those who may have been involved in “armed conflict not of
an international character occurring in the territory of one of the high contracting
parties”. It states in para 1:
“Persons taking no active part in the hostilities, including
members of armed forces who have laid down their arms and
those placed hors de combat by sickness, wounds, detention, or
any other cause, shall in all circumstances be treated humanely
…”
Page 111
It goes on to prohibit specific acts, such as torture and rape.
248. Common article 3 was later supplemented by Additional Protocol II to the
Geneva Conventions (1977). This is narrower in scope than common article 3 in two
important respects. First, it is only applicable in armed conflicts taking place on the
territory of a state that has ratified it. Those states do not include several states in
which non-international armed conflicts have recently taken place, including Iraq
and, until November 2009, Afghanistan. It also applies to a more limited category
of armed conflicts than common article 3: namely, those that “take place in the
territory of a contracting party between its armed forces and dissident armed forces
which, under responsible command, exercise such control over a part of its territory
as to be enable them to carry out sustained and concerted military operations and to
implement [the obligations imposed by the Protocol]”. Certain categories of armed
conflict are excluded: first, “armed conflicts in which peoples are fighting against
colonial domination and alien occupation and against racist regimes in the exercise
of their right of self-determination”, and secondly “situations of internal
disturbances and tensions, such as riots, isolated and sporadic acts of violence and
other acts of a similar nature”. The Protocol spells out rules of humane treatment in
greater detail than common article 3, and lays down minimum standards in relation
to the prosecution and punishment, under domestic law, of criminal offences related
to the armed conflict.
249. By comparison, the Geneva Conventions deal much more fully with the
treatment of those involved in international armed conflict. In relation to the present
appeals, it is relevant to note in particular the provisions concerned with the
detention of prisoners of war and civilians. In relation to the first of these categories,
article 21 of the Third Geneva Convention authorises the detention of prisoners of
war:
“The Detaining Power may subject prisoners of war to
internment.”
The persons who may be detained under this power are defined in detail by article
4(A). They include members of armed forces of a party to the international armed
conflict (article 4(A)(1)), members of other armed forces who profess allegiance to
a party to the conflict (article 4(A)(3)), members of militias fulfilling certain
conditions (article 4(A)(2)), and persons who accompany the armed forces, such as
civilian contractors and war correspondents (article 4(A)(4)). The treatment of
prisoners of war during their internment is also the subject of detailed regulation.
Under article 118 of the Third Geneva Convention, they must be released and
repatriated without delay after the cessation of active hostilities in the international
armed conflict.
Page 112
250. So far as civilians are concerned, the Fourth Geneva Convention is concerned
with “protected persons”, defined by article 4 as “those who at a given moment and
in any manner whatsoever, find themselves, in case of a conflict or occupation, in
the hands of a Party to the conflict or Occupying Power of which they are not
nationals”. That general definition is then subject to a number of exclusions, such as
“nationals of a neutral state who find themselves in the territory of a belligerent State
… while the State of which they are nationals has normal diplomatic representation
in the State in whose hands they are”. In the section of the Convention dealing with
aliens in the territory of a party to the conflict, article 41 prohibits measures of
control of protected persons more severe than assigned residence or internment.
Article 42 sets out the permitted grounds of internment, and provides that “the
internment … of protected persons may be ordered only if the security of the
detaining power makes it absolutely necessary”. The International Criminal
Tribunal for the former Yugoslavia has interpreted article 42 as permitting
internment only if there are “serious and legitimate reasons” to think that the
interned persons may seriously prejudice the security of the detaining power by
means such as sabotage or espionage: Prosecutor v Zejnil Delalić, Case No: IT-96-
21-T, Trial Chamber, 16 November 1998, para 1132. Article 43 lays down
procedures governing internment:
“Any protected person who has been interned … shall be
entitled to have such action reconsidered as soon as possible by
an appropriate court or administrative board designated by the
detaining power for that purpose. If the internment … is
maintained, the court or administrative board shall
periodically, and at least twice yearly, give consideration to his
or her case, with a view to the favourable amendment of the
initial decision, if circumstances permit.”
Article 46 requires that restrictive measures taken regarding protected persons, in so
far as they have not previously been withdrawn, must be cancelled as soon as
possible after the close of hostilities in the international armed conflict.
251. Further provision for the detention of civilians is made in the section of the
Fourth Geneva Convention dealing with occupied territories. Article 68 is concerned
with protected persons who commit an offence which is solely intended to harm the
occupying power. In the case of certain specified types of offence, such persons are
liable to internment, provided its duration is proportionate to the offence committed.
A further power of internment is provided by article 78:
“If the occupying power considers it necessary, for imperative
reasons of security, to take safety measures concerning
protected persons, it may, at the most, subject them to assigned
Page 113
residence or to internment. Decisions regarding such assigned
residence or internment shall be made according to a regular
procedure to be prescribed by the occupying power in
accordance with the provisions of the present Convention. This
procedure shall include the right of appeal for the parties
concerned. Appeals shall be decided with the least possible
delay. In the event of the decision being upheld, it shall be
subject to periodical review, if possible every six months, by a
competent body set up by the said power.”
252. Article 79 of the Fourth Geneva Convention prohibits the internment of
protected persons other than in accordance with articles 41, 42, 43, 68 and 78.
Detailed provision is made elsewhere in the Fourth Geneva Convention in relation
to the treatment of internees. Article 132 requires that each interned person shall be
released as soon as the reasons which necessitated his internment no longer exist,
and article 133 provides that internment shall cease as soon as possible after the
close of hostilities, subject to specified exceptions.
253. Whereas articles 4 and 21 of the Third Geneva Convention, and articles 4,
42, 43, 68 and 78 of the Fourth Geneva Convention, confer explicit authority to
detain in an international armed conflict, and contain detailed provisions concerning
the grounds and procedures governing detention in those circumstances, no
comparable treaty provisions of international humanitarian law apply in relation to
non-international armed conflicts. Instead, legal authority for the detention of
participants in a civil conflict, and the grounds and procedures governing detention
in those circumstances, are normally regulated by the domestic law of the state
where the conflict occurs. They may also be regulated for some purposes by the
domestic law of the detaining state, if different from the state where the conflict
occurs; or by SCRs. It will be necessary to return to the latter possibility.
254. This distinction reflects the fact that prisoners of war have committed no
offence by their participation in an international armed conflict. They are detained
purely as an administrative measure, for the duration of the hostilities. Non-state
actors who participate in a non-international armed conflict, on the other hand,
commit offences against the law of the country in question when fighting to
overthrow its government (as in most, but not all, non-international armed conflicts),
and killing or injuring individuals in the course of doing so. They are therefore
subject to penal proceedings, including detention pending trial or following
conviction.
255. The distinction has long been understood and accepted by the British
Government. For example, during the “Troubles” in Northern Ireland, participants
in the violence, other than the forces of the Crown, were treated as criminals under
Page 114
domestic law rather than as prisoners of war. When the Government wished to
impose administrative internment on suspected members of the IRA, instead of
dealing with them through the criminal justice system, Parliament enacted
legislation in order to enable it to do so. The Ministry of Defence summarised the
general position in The Joint Service Manual of Armed Conflict (2004 ed), paras
15.6.2-15.6.3:
“Unlike combatants in an international armed conflict,
members of dissident armed forces remain liable to prosecution
for offences under domestic law. These can include normal acts
of combat – for example, a dissident combatant who kills or
injures a member of the government forces may be prosecuted
for murder or other offences against the person – and even
membership of the dissident group. A member of the security
forces who kills a dissident or a civilian will also have to justify
his actions under domestic law and may be tried before the
courts for any offence he may have committed.
A captured member of dissident fighting forces is not legally
entitled to prisoner of war status. He may be dealt with
according to the law of the state for any offences he may have
committed. A member of the security forces who is captured
by the dissidents is not entitled to prisoner of war status but any
mistreatment of him is likely to amount to an offence against
the law of the state.”
It added at para 15.30.3:
“Prisoner of war status does not arise in internal armed
conflicts unless the parties to the conflict agree, or decide
unilaterally, as a matter of policy, to accord this status to
detainees. Otherwise, the treatment of detainees is governed by
the domestic law of the country concerned, and human rights
treaties binding on that state in time of armed conflict and the
basic humanitarian principles mentioned in [common article 3
and Additional Protocol II].”
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Arguments in favour of the view that detention in non-international conflicts is
authorised by international humanitarian law
256. Some commentators have argued that international humanitarian law
impliedly authorises the detention of persons in a non-international armed conflict:
see, for example, Gill and Fleck, The Handbook of the International Law of Military
Operations (2010), p 471, and Pejic, “Procedural principles and safeguards for
internment/administrative detention in armed conflict and other situations of
violence” (2005) 87 International Review of the Red Cross 375, 377. In summary,
such arguments place reliance on the reference to detention in common article 3,
and the reference to persons “interned or detained” in Additional Protocol II. They
argue that common article 3 and Additional Protocol II, in requiring detention in
non-international armed conflicts to comply with certain humanitarian standards,
impliedly recognise that detention is authorised by international humanitarian law
in such circumstances. They also argue that, since states are undeniably entitled to
use lethal force in combating insurgents in non-international armed conflicts, they
must also be authorised to use the lesser alternative of detention. It is inherent in the
nature of any armed conflict that parties to such a conflict may capture persons who,
if at liberty, would pose a threat to their security. There must, it is contended, be an
implied authority under international humanitarian law to intern such persons, since
otherwise the alternatives would be either to release them or to kill them.
257. A related approach has been adopted by the International Committee of the
Red Cross (“ICRC”) in its Opinion Paper, “Internment in Armed Conflict: Basic
Rules and Challenges” (2014), where it distinguishes between “traditional” noninternational armed conflict, occurring between government armed forces and nonstate armed groups, and non-international armed conflict “with an extraterritorial
element”, in which “the armed forces of one or more state, or of an international or
regional organisation, fight alongside the armed forces of a host state, in its territory,
against one or more organised non-state armed groups” (p 7). In a situation of
“traditional” non-international armed conflict, the ICRC Opinion Paper
acknowledges that domestic law constitutes the legal framework for possible
internment whereas, in a situation of non-international armed conflict with an
extraterritorial element, the Opinion Paper contends that common article 3 and
Additional Protocol II, and also customary international humanitarian law, reflected
in those instruments, contain an inherent legal basis to intern (pp 7-8).
Arguments against that view
258. As a matter of policy, there is much to be said for the view that international
humanitarian law should recognise a right to intern in non-international armed
conflicts with an extra-territorial element. As statements of the current state of the
law, however, these contentions are controversial. Many scholars take a different
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view: to give only a few recent examples, see Conte, “The legality of detention in
armed conflict”, in The War Report 2014 (2015), ed Casey-Maslen; Dinstein, NonInternational Armed Conflicts in International Law (2014), para 274; Debuf,
Captured in War: Lawful Internment in Armed Conflict (2013), p 465; Goldman,
“Extraterritorial Application of the Human Rights to Life and Personal Liberty,
Including Habeas Corpus, During Situations of Armed Conflict”, in Research
Handbook on Human Rights and Humanitarian Law (2013), eds Kolb and Gaggioli,
p 121; Hill-Cawthorne, Detention in Non-International Armed Conflict (2016),
Chapter 3; Milanovic, “The Applicability of the Conventions to ‘Transnational’ and
‘Mixed’ Conflicts”, in The 1949 Geneva Conventions: A Commentary (2015),
Clapham, Gaeta and Sassòli (eds), pp 46-47; Rona, “Is there a Way Out of the NonInternational Armed Conflict Dilemma?” (2015) 91 International Law Studies 32;
Rowe, “Is there a right to detain civilians by foreign armed forces during a noninternational armed conflict?” (2012) 61 ICLQ 697, 702; and Sivakumaran, The Law
of International Armed Conflict (2012), p 71. The contentions set out in paras 256
and 257 above have also been rejected by the International Commission of Jurists in
its Legal Commentary on the Right to Challenge the Lawfulness of Detention in
Armed Conflict (2015), pp 16-23.
259. Considering first the contention that the Geneva Conventions and their
Protocols impliedly authorise detention in non-international armed conflicts, the
arguments against that view can be summarised as follows.
Textual arguments
260. First, whereas articles 4 and 21 of the Third Geneva Convention (concerning
prisoners of war), and articles 4, 42, 68 and 78 of the Fourth Geneva Convention
(concerning civilians) confer express authority to detain specified categories of
person on specified grounds in situations of international armed conflict, the
Conventions and their Additional Protocols contain no provisions expressly
conferring such authority in situations of non-international armed conflict. Applying
ordinary principles of interpretation (expressio unius, exclusio alterius), it is
unlikely in those circumstances that the contracting parties intended to confer such
authority by implication.
261. Secondly, the Geneva Conventions and Additional Protocol II are silent as to
the grounds of detention and the applicable procedural safeguards in a noninternational armed conflict, in contrast to the detailed provision made for
international armed conflict. It is argued that it is difficult to suppose that these
instruments were intended to confer an authority to detain, or to interpret them as
doing so, when they contain no indication of the scope of the power supposedly
conferred. The ICRC Opinion Paper suggests that these matters can be addressed,
in the context of an “extraterritorial” non-international armed conflict, by an ad hoc
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international agreement between the international forces and the host state, or by the
domestic law of the host state (p 8). In that event, however, the legal basis for
detention would be the international agreement or domestic law.
Contextual arguments
262. It is also argued that there are cogent reasons why the states negotiating the
Conventions and their Additional Protocols are unlikely to have intended to confer
any such authorisation. It is apparent from the travaux préparatoires that states
regarded it as important to maintain their sovereignty over internal matters.
Common article 3 was a controversial measure, the British delegate, for example,
objecting that it would “strike at the root of national sovereignty” (Final Record of
the Diplomatic Conference of Geneva of 1949: Vol II, Section B (1963), p 10). It
has to be remembered that it was only in the aftermath of the Second World War
that the scope of international law was widely extended to matters internal to
sovereign states. In that regard, common article 3 was connected to other
developments, including the emergence of international human rights law, with the
Universal Declaration of Human Rights (1948) and the International Covenant on
Civil and Political Rights (“ICCPR”) (1966), together with regional instruments
such as the European Convention on Human Rights (1950). Similar concerns about
sovereignty were also expressed by numerous states during the diplomatic
conference which led to Additional Protocol II (see Hill-Cawthorne, op cit, pp 23-
24).
263. A further concern was to avoid giving the appearance of a legitimate status
to those who rebel against their government (ibid, pp 25-26). The British delegate
in 1949 commented, for example, that “the application of the Conventions [to
internal conflicts] would appear to give the status of belligerents to insurgents,
whose right to wage war could not be recognised” (Final Record, Vol II, Section B,
p 10). In so far as common article 3 raised that concern, it was addressed by common
article 3(4), which makes clear that the legal status of the parties to the conflict is
not altered. It is argued that it is unlikely, given those concerns, that the parties
intended to depart from the position that the detention of captured insurgents was
governed by domestic law, subject to guarantees of humane treatment. Furthermore,
since international humanitarian law is generally understood as being reciprocal in
its operation (unlike international human rights law, which is directly binding only
on states), the authorisation of detention in non-international armed conflicts would
have entailed that states recognised the legitimacy of detention by dissident armed
groups (for example, the legitimacy of the detention of British and American troops
in Afghanistan by the Taliban): something which would be anathema to most states.
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Arguments against inferential reasoning
264. Fourthly, in so far as the contentions are based on an inference, from the fact
that common article 3 and Additional Protocol II require a minimum level of
humanitarian treatment for people who are detained during non-international armed
conflict, that detention is therefore authorised by those instruments, it is argued that
the reasoning rests on a non sequitur: that the regulation of conduct by international
humanitarian law entails that the conduct in question is authorised by international
humanitarian law. Provisions requiring that persons interned in a non-international
armed conflict should be treated humanely implicitly recognise that detention occurs
in fact, but, it is argued, do not imply that it is authorised by law, let alone that it is
authorised by international law rather than by the domestic law of the place where
the conflict takes place or some other applicable law, still less that it is authorised
by those very provisions. Common article 3 and Additional Protocol II, it is argued,
are not concerned with the grant of powers to detain: they are simply intended to
ensure the humane treatment of all persons who are detained, including those
detained by non-state groups, and apply whether their detention is legally justified
or not. As the International Committee of the Red Cross Commentary on the Geneva
Conventions (1952), ed Pictet, states in relation to common article 3, “it merely
ensures respect for the few essential rules of humanity which all civilised nations
consider as valid everywhere and in all circumstances” (p 60).
265. Fifthly, it is argued that a similar fallacy – that the absence of a prohibition is
equivalent to the presence of an authorisation – vitiates the contention that, since
international humanitarian law does not prohibit the use of lethal force in noninternational armed conflict, therefore it must impliedly provide lawful authority for
the use of the lesser alternative of detention. In the first place, it is argued, the
contention is based on a false dichotomy: that either international humanitarian law
confers lawful authority for the detention of prisoners, or they must be killed or
released. As explained above, however, lawful authority for detention (and, indeed,
for killing) in a non-international armed conflict is normally conferred not by
international humanitarian law but by the domestic law of the state in which the
conflict occurs. It may also be conferred by other sources of law, such as the
domestic law of the detaining state, or SCRs. Detention may be authorised by any
of these sources of law only for defined purposes, such as criminal investigation and
prosecution, and it may be rendered subject to judicial control (just as domestic or
international law may authorise killing only in specified circumstances, and render
soldiers who kill in other circumstances liable to prosecution and punishment). The
idea that, in the absence of authority under international humanitarian law, soldiers
have no lawful option in a non-international armed conflict but to release captured
prisoners is therefore mistaken.
266. Furthermore, it is argued, the contention that authority to kill impliedly
carries with it authority to detain, even if well-founded, would only result in
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authority to detain those who might otherwise be lawfully killed: a limited category
of persons which would not, for example, include Mr Al-Waheed, who on the
assumed facts was an unarmed man who offered no violence towards the members
of HM Forces who detained him. The argument would not, therefore, support the
existence of a power of detention of the width for which the Secretary of State argues
in the present proceedings.
267. In short, it is argued that it is not germane to the question here in issue to
demonstrate that the killing of insurgents in non-international armed conflict is not
prohibited by international humanitarian law. It does not follow from the absence of
such a prohibition that international humanitarian law therefore confers lawful
authority for detention. In international armed conflict, such authority can be found
in article 21 of the Third Geneva Convention and articles 42, 68 and 78 of the Fourth
Geneva Convention, but those provisions do not apply to non-international armed
conflict. In a situation of the latter kind, lawful authority must be sought elsewhere.
Normally, it will arise under domestic law, but it may also arise out of other branches
of international law, as for example where it is conferred by an SCR.
Arguments based on the absence of protection against arbitrary detention
268. Sixthly, it is argued that the contention that common article 3 and Additional
Protocol II authorise detention in non-international armed conflict is difficult to
reconcile with the requirement under international law that the deprivation of liberty
must be non-arbitrary. That is a requirement which the ICRC maintains is implicit
in the obligation, imposed by common article 3 and Additional Protocol II, that
detainees should be treated “humanely”, and it is in any event imposed by article
9(1) of the ICCPR, which provides that “no one shall be subjected to arbitrary arrest
or detention” and that “no one shall be deprived of his liberty except on such grounds
and in accordance with such procedure as are established by law”. Similar provisions
exist in the regional human rights treaties: article 6 of the African Charter on Human
and Peoples’ Rights, article 7 of the American Convention on Human Rights, article
14 of the Arab Charter on Human Rights, and article 5 of the European Convention
on Human Rights.
269. Any law authorising detention must therefore define the circumstances in
which it applies “with sufficient precision to avoid overly broad or arbitrary
interpretation or application” (see the Human Rights Committee’s General
Comment No 35, “Article 9 (Liberty and security of the person)”, UN Doc
CCPR/C/GC/35 (2014), para 22: the Human Rights Committee is the UN body
established to monitor the implementation of the ICCPR, and has included among
its members present and former judges of the European Court of Human Rights).
This requirement is illustrated by several reports in which the Human Rights
Committee has considered grounds for detention to be insufficiently precise (eg
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Concluding Observations: Initial Report of Honduras, UN Doc
CCPR/C/HND/CO/1 (2006), para 13). The concept of arbitrariness is, however, of
broader scope: it “is not to be equated with ‘against the law’ but must be interpreted
more broadly to include elements of inappropriateness, injustice, lack of
predictability and due process of law”: Mukong v Cameroon, UN Doc
CCPR/C/51/D/458/1991 (1994). International humanitarian law, however, contains
no definition of the permitted grounds of detention in non-international armed
conflict, nor any mention of procedural protections.
270. Specifically in relation to security detention in situations of armed conflict,
the Human Rights Committee has stated that “security detention authorised and
regulated by and complying with international humanitarian law in principle is not
arbitrary” (General Comment No 35, para 64; emphasis added). In other words, in
order for detention for reasons of security not to be arbitrary, on the hypothesis that
it is (1) authorised by international humanitarian law, it must also be (2) regulated
by international humanitarian law, so that (3) it is possible to determine whether the
detention is in compliance with international humanitarian law. These requirements
are satisfied in situations of international armed conflict by the provisions of the
Third and Fourth Geneva Conventions which were discussed earlier. In noninternational armed conflict, on the other hand, it is argued that neither common
article 3 nor Additional Protocol II defines who may be detained, on what grounds,
in accordance with what procedures, or for how long. In consequence, it is argued,
there is no possibility of determining whether detention in non-international armed
conflict complies with any such requirements.
Arguments relating to customary international humanitarian law
271. Considering next the contention that detention in a non-international armed
conflict is authorised by customary international humanitarian law, the arguments
against that view can be summarised as follows. It is argued that the contention lacks
sufficient support in either opinio juris or state practice. So far as the former is
concerned, the contention is disputed by many experts in this area of the law, as
explained in para 258 above. It is argued that it is also unsupported by the ICRC’s
major international study into state practice, Henckaerts and Doswald-Beck,
Customary International Humanitarian Law (2005). That study concludes that the
arbitrary deprivation of liberty is prohibited (pp 347-349), but not that there are
grounds on which the deprivation of liberty is authorised under customary
international humanitarian law. The ICRC’s catalogue of the rules of customary
international humanitarian law is also said to give no support to the idea that they
include an authority to detain: ICRC, Customary IHL, www.icrc.org/customaryihl/eng/docs/v1.
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272. So far as state practice is concerned, it is of course true that states involved
in non-international armed conflicts have detained persons, but, it is argued, it does
not follow that they have done so in reliance on a right to do so under international
humanitarian law (rather than the absence of a prohibition of such detention under
international humanitarian law, and a right under domestic law, or under an SCR).
Reference was made by counsel for the Secretary of State to a recital forming part
of the preamble to Resolution 1 of the 32nd International Conference of the ICRC
and Red Crescent in December 2015, which refers to states having “in all forms of
armed conflict, the power to detain”, but commentators have argued that those words
are not conclusive evidence of state practice, and that the resolution was not in any
event concerned with the authorisation of detention. Reference was also made to
The Copenhagen Process: Principles and Guidelines, but commentators have
pointed out that the official commentary to principle 16 states that “the mere
inclusion of a practice in The Copenhagen Process Principles and Guidelines should
not be taken as evidence that states regard the practice as required out of a sense of
legal obligation”. As the Court of Appeal noted at para 231 of its judgment in the
case of Mr Mohammed, the only example of a state which has placed reliance on
international humanitarian law as a basis for detention in a non-international armed
conflict, other than the Ministry of Defence in the present proceedings, appears to
be the Netherlands, in a letter dated 21 July 2006, headed “Combating international
terrorism”, sent by the Foreign Minister, the Minister of Defence and the Minister
for Development Cooperation to the President of the House of Representatives (KST
99753, 27 225 Nr 221). That approach can be contrasted with the practice of the UK
and other states in Iraq and Afghanistan (see paras 311-312, 336-337 and 341
below).
273. In addition, it has been pointed out that the ICRC itself accepts that customary
international humanitarian law prohibits the arbitrary deprivation of liberty: see
ICRC, Customary IHL, rules 87 and 99. That prohibition is said to be a rule
applicable in both international and non-international armed conflict, established by
state practice in the form of military manuals, national legislation and official
statements, and also international human rights law. The arguments discussed in
paras 268-270 above are therefore also relevant in this context.
Conclusions
274. As the foregoing discussion makes clear, there are substantial arguments both
for and against the contention that the Geneva Conventions or their Protocols
implicitly confer authority under international law for detention in non-international
armed conflicts. My current view, based on the submissions in the present case, is
that the arguments against that contention – the textual arguments discussed in paras
260-261 above, the contextual arguments discussed in paras 262-263, the arguments
against inferential reasoning discussed in paras 264-267, and the arguments based
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on the absence of adequate protection against arbitrary detention discussed in paras
268-270 – are cumulatively the more persuasive.
275. Customary international humanitarian law is a developing body of law, and
it may reach the stage where it confers a right to detain in a non-international armed
conflict. The submissions made on behalf of the Ministry of Defence have not,
however, persuaded me that it has yet reached that stage. The contention that
authority for detention in non-international armed conflicts is conferred by
customary international humanitarian law is controversial as a matter of expert
opinion. There appears to be a paucity of state practice which is supportive of the
contention, as explained at para 272. In those circumstances, I have not been
persuaded that there exists at present either sufficient opinio juris or a sufficiently
extensive and uniform practice to establish the suggested rule of customary
international law.
276. In short, it appears to me that international humanitarian law sets out a
detailed regime for detention in international armed conflict, conferring authority
for such detention, specifying the grounds on which detention is authorised, laying
down the procedures by which it is regulated, and limiting its duration, in accordance
with the requirements of article 9 of the ICCPR and analogous regional provisions.
In contrast, subject to compliance with minimum standards of humane treatment,
international humanitarian law leaves it to states to determine, usually under
domestic law, in what circumstances, and subject to what procedural requirements,
persons may be detained in situations of non-international armed conflict. It follows
that the Ministry of Defence’s argument in the present case that the detention of Mr
Al-Waheed and Mr Mohammed was authorised by conventional or customary
international humanitarian law should be rejected.
Detention in the non-international conflicts in Iraq and Afghanistan under the
SCRs
277. It is necessary next to consider the Ministry of Defence’s contention that
authority for detention, in circumstances falling outside article 5(1)(a) to (f) of the
Convention, was conferred on HM Forces, in the non-international conflicts in Iraq
and Afghanistan, by the relevant SCRs. For the purpose of considering that
contention, the SCRs have to be interpreted in accordance with principles laid down
by the European Court of Human Rights in a number of its judgments. It is therefore
necessary to begin by considering the most significant of these judgments.
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(1) Al-Jedda v United Kingdom
278. In the case of Al-Jedda v United Kingdom the Grand Chamber concluded that
there had been a violation of article 5(1) in respect of the detention by HM Forces
of a suspected insurgent during the non-international armed conflict in Iraq. Mr AlJedda’s detention occurred between October 2004 and December 2007, after an Iraqi
Government had been established with sovereign authority. It overlapped with that
of Mr Al-Waheed, which occurred during February and March 2007. The MultiNational Force was at that time fighting against insurgents with the consent of the
Iraqi Government, under a mandate established by SCR 1546 (2004), as extended
by SCRs 1637 (2005) and 1723 (2006).
279. SCR 1546 had been preceded by letters to the President of the Security
Council from the Prime Minister of Iraq and the US Secretary of State. In his letter,
the Prime Minister requested the Security Council to make a new resolution
authorising the Multi-National Force, which had previously been in occupation of
Iraq following the defeat of Iraqi forces, to remain on Iraqi territory and to contribute
to maintaining security there, “including through the tasks and arrangements” set
out in the accompanying letter from the US Secretary of State. In his letter, the
Secretary of State confirmed that the Multi-National Force was prepared to continue
to contribute to the maintenance of security in Iraq, including by preventing and
deterring terrorism. He added that, under the agreed arrangement, the MultiNational Force stood
“ready to continue to undertake a broad range of tasks to
contribute to the maintenance of security and to ensure force
protection. These include activities necessary to counter
ongoing security threats posed by forces seeking to influence
Iraq’s political future through violence. This will include
combat operations against members of these groups,
internment where this is necessary for imperative reasons of
security, and the continued search for and securing of weapons
that threaten Iraq’s security.”
The words “internment when this is necessary for imperative reasons of security”
reflected the terms of article 78 of the Fourth Geneva Convention, which had applied
prior to the establishment of the Iraqi Government, when Iraq had been an occupied
territory.
280. These letters were annexed to SCR 1546. The preamble to the resolution
recognised the request of the Iraqi Prime Minister in the annexed letter to retain the
presence of the Multi-National Force, welcomed the willingness of the Multi-
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National Force to continue efforts to contribute to the maintenance of security and
stability in Iraq, and noted “the commitment of all forces … to act in accordance with
international law”. In para 9 of the resolution the Security Council noted that the
Multi-National Force remained in Iraq at the request of the incoming government,
and reaffirmed the authorisation for the Multi-National Force first established under
SCR 1511, “having regard to letters annexed to this resolution”. In para 10 it stated
that the Multi-National Force:
“shall have the authority to take all necessary measures to
contribute to the maintenance of security and stability in Iraq
in accordance with the letters annexed to this resolution
expressing, inter alia, the Iraqi request for the continued
presence of the Multi-National Force and setting out its tasks,
including by preventing and deterring terrorism.”
281. Procedures were laid down for the review of detention, under the domestic
law of Iraq, by Coalition Provisional Authority (CPA) Memorandum No 3
(Revised), which provided:
“(1) Any person ·who is detained by a national contingent of
the MNF [Multi-National Force] for imperative reasons of
security in accordance with the mandate set out in UNSCR
1546 (hereinafter ‘security internee’) shall, if he is held for a
period longer than 72 hours, be entitled to have a review of the
decision to intern him.
(2) The review must take place with the least possible delay
and in any case must be held no later than seven days after the
date of induction into an internment facility.
(3) Further reviews of the continued detention of any
security internee shall be conducted on a regular basis but in
any case no/later than six months from the date of induction
into an internment facility.
(4) The operation, condition and standards of any
internment facility established by the MNF shall be in
accordance with Section IV of the Fourth Geneva Convention
…”
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It has been held by a majority of the Court of Appeal that detention in accordance
with these procedures was lawful under the law of Iraq: Al-Jedda v Secretary of
State for Defence [2010] EWCA Civ 758; [2011] QB 773.
282. Mr Al-Jedda was detained in a British military facility for over three years.
His continuing internment was authorised and reviewed in accordance with the CPA
Memorandum, initially by British military personnel and subsequently also by
representatives of the Iraqi and British Governments and by non-British military
personnel, on the basis of intelligence material which was never disclosed to him.
He was able to make written submissions to the reviewing authorities but there was
no provision for an oral hearing. His internment was authorised “for imperative
reasons of security”. There was no intention at any point to bring criminal charges
against him. In these circumstances, his detention did not fall within any of subparagraphs (a) to (f) of article 5(1) of the Convention.
283. In domestic proceedings, the majority of the House of Lords considered that
it could be inferred from the text of SCR 1546, and from the context in which it was
adopted, that states contributing to the Multi-National Force were authorised to
intern individuals where necessary for imperative reasons of security; that the
authorisation should be regarded as an obligation for the purposes of article 103 of
the UN Charter (“In the event of a conflict between the obligations of the members
of the United Nations under the present Charter and their obligations under any other
international agreement, their obligations under the present Charter shall prevail”);
and that, to the extent that such internment was unavoidably incompatible with
article 5(1) of the European Convention, the UK’s obligations under article 5(1)
were therefore qualified: R (Al-Jedda) v Secretary of State for Defence (JUSTICE
intervening) [2007] UKHL 58; [2008] 1 AC 332. In a speech which anticipated some
of the points later to be made by the European court, Baroness Hale of Richmond
agreed only to the extent that competing commitments under the UN Charter and
the Convention could be reconciled by adopting a qualification of the Convention
rights.
284. The European court rejected the idea that the SCR should be interpreted as
impliedly imposing an obligation which would contravene obligations under
international human rights law:
“[T]he court must have regard to the purposes for which the
United Nations was created. As well as the purpose of
maintaining international peace and security, set out in the first
sub-paragraph of article 1 of the UN Charter, the third subparagraph provides that the United Nations was established to
‘achieve international cooperation in … promoting and
encouraging respect for human rights and fundamental
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freedoms’. Article 24(2) of the Charter requires the Security
Council, in discharging its duties with respect to its primary
responsibility for the maintenance of international peace and
security, to ‘act in accordance with the Purposes and Principles
of the United Nations’. Against this background, the court
considers that, in interpreting its resolutions, there must be a
presumption that the Security Council does not intend to
impose any obligation on member states to breach fundamental
principles of human rights. In the event of any ambiguity in the
terms of a Security Council resolution, the court must therefore
choose the interpretation which is most in harmony with the
requirements of the Convention and which avoids any conflict
of obligations … [I]t is to be expected that clear and explicit
language would be used were the Security Council to intend
states to take particular measures which would conflict with
their obligations under international human rights law.” (para
102)
285. The principles of interpretation of SCRs which can be taken from that
passage are the following: (1) there is a presumption that the Security Council does
not intend to impose any obligation on member states to breach fundamental
principles of human rights; (2) in the event of ambiguity, the court must choose the
interpretation which is most in harmony with the requirements of the European
Convention; and (3) it is to be expected that clear and explicit language will be used
if the Security Council intends states to take measures which would conflict with
their obligations under international human rights law.
286. On that basis, the European court interpreted SCR 1546 as leaving unaffected
the obligation of the member states within the Multi-National Force to comply with
their obligations under international human rights law:
“Internment is not explicitly referred to in the resolution. In
para 10 the Security Council decides that the Multi-National
Force shall have authority ‘to take all necessary measures to
contribute to the maintenance of security and stability in Iraq
in accordance with the letters annexed’, which inter alia set out
the Multi-National Force’s tasks. Internment is listed in
Secretary of State Powell’s letter, as an example of the ‘broad
range of tasks’ which the Multi-National Force stood ready to
undertake. In the court’s view, the terminology of the resolution
appears to leave the choice of the means to achieve this end to
the member states within the Multi-National Force. Moreover,
in the preamble, the commitment of all forces to act in
accordance with international law is noted. It is clear that the
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Convention forms part of international law … In the absence of
clear provision to the contrary, the presumption must be that
the Security Council intended states within the Multi-National
Force to contribute towards the maintenance of security in Iraq
while complying with their obligations under international
human rights law.” (para 105)
287. The court rejected the Government’s alternative contention that a legal basis
for the applicant’s detention could be found in international humanitarian law. The
argument was that SCR 1546 had maintained in place the position under
international humanitarian law which had existed during the occupation of Iraq,
when the Fourth Geneva Convention applied. The court noted that para 2 of SCR
1546 recorded the end of the occupation, and that the Fourth Geneva Convention
did not in any event authorise indefinite internment (para 107). The court also
considered whether a basis for detention which could operate to disapply the
requirements of article 5(1) was provided by the agreement between the Iraqi
Government and the US Government, set out in the letters annexed to SCR 1546,
but concluded that such an agreement could not override the obligations under the
Convention (para 108). The court therefore concluded that there was no conflict
between the United Kingdom’s obligations under the UN Charter and its obligations
under article 5(1) of the Convention (para 109). It followed that the applicant’s
detention constituted a violation of article 5(1) (para 110).
(2) Nada v Switzerland
288. Shortly after Al-Jedda, the Grand Chamber decided the case of Nada v
Switzerland (2012) 56 EHRR 18, which concerned a Swiss law implementing an
SCR requiring sanctions to be imposed on individuals listed as being associated with
Al-Qaeda. The sanctions imposed were incompatible with the applicant’s rights
under article 8 of the Convention. The court confirmed the principles laid down in
para 102 of Al-Jedda, set out in para 284 above, but distinguished that case on the
basis that the SCR in issue in Nada clearly and explicitly imposed an obligation to
take measures capable of breaching human rights, whereas in Al-Jedda “the wording
of the resolution at issue did not specifically mention internment without trial” (para
172). However, the court also found that Switzerland “enjoyed some latitude, which
was admittedly limited but nevertheless real”, in implementing the SCR (para 180).
On the basis of that finding, it took the view that Switzerland could not confine itself
to relying on the binding nature of SCRs, but should have persuaded the court that
it had taken – or at least had attempted to take – all possible measures to safeguard
the applicant’s rights under the Convention within the constraints set by the SCR.
On that basis, the court found it unnecessary to determine the relative priority of the
two instruments (paras 196-197).
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(3) Al-Dulimi v Switzerland
289. The case of Al-Dulimi and Montana Management Inc v Switzerland
(Application No 5809/08) (unreported) given 21 June 2016 also concerned the
implementation of sanctions required by an SCR. The Grand Chamber repeated
what it had said in para 102 of Al-Jedda (para 140). It gave effect to that approach
by holding that, since the SCR in question did not contain any clear or explicit
wording excluding the possibility of judicial supervision of the listing of persons on
whom sanctions were to be imposed, it must be understood as authorising national
courts to exercise sufficient scrutiny so that any arbitrariness could be avoided (para
146).
(4) Hassan v United Kingdom
290. Between Nada and Al-Dulimi, the Grand Chamber decided the case of
Hassan v United Kingdom, which concerned an earlier phase of the Iraq conflict
than Al-Jedda or the present appeal of Mr Al-Waheed. Mr Hassan was captured by
HM Forces in Iraq during 2003, at a time when the situation there constituted either
international armed conflict or occupation, and the Third and Fourth Geneva
Conventions applied. He was detained for about nine days. He complained of a
violation of his rights under article 5 of the Convention. In response, the British
Government submitted that his detention had been authorised under article 21 of the
Third Geneva Convention, as a prisoner of war, or by articles 42 and 78 of the Fourth
Geneva Convention, as a civilian whose internment was necessary for imperative
reasons of security. In those circumstances, it argued, article 5 of the Convention
was displaced, or had to be modified so as to be compatible with the applicable lex
specialis, namely international humanitarian law.
291. In deciding how article 5 was to be interpreted in the light of the provisions
of the Third and Fourth Geneva Conventions, the court applied article 31 of the
Vienna Convention on the Law of Treaties (para 100). Under article 31(3)(b),
account was to be taken of any subsequent practice in the application of the treaty
in question which established the agreement of the parties regarding its
interpretation. The practice of the contracting parties to the European Convention
was not to derogate from their obligations under article 5 in order to detain persons
on the basis of the Third and Fourth Geneva Conventions during international armed
conflict. That practice was contrasted with the practice of the contracting states in
relation to non-international armed conflict, such as the “Troubles” in Northern
Ireland and the Kurdish conflict in Turkey, and their practice in relation to terrorist
threats (para 101).
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292. Under article 31(3)(c) of the Vienna Convention, account was to be taken of
any relevant rules of international law applicable in the relations between the parties.
The provisions in the Third and Fourth Geneva Conventions relating to internment
were designed to protect captured combatants and civilians who posed a security
threat. The International Court of Justice had held that the protection offered by
human rights conventions and that offered by international humanitarian law coexisted in situations of armed conflict. The court must therefore endeavour to
interpret and apply the European Convention in a manner which was consistent with
the framework under international law delineated by the International Court of
Justice (para 102). Accordingly:
“By reason of the co-existence of the safeguards provided by
international humanitarian law and by the Convention in time
of armed conflict, the grounds of permitted deprivation of
liberty set out in sub-paras (a) to (f) of [article 5(1)] should be
accommodated as far as possible, with the taking of prisoners
of war and the detention of civilians who pose a risk to security
under the Third and Fourth Geneva Conventions. The court is
mindful of the fact that internment in peacetime does not fall
within the scheme of deprivation of liberty governed by article
5 of the Convention without the exercise of the power of
derogation under article 15. It can only be in cases of
international armed conflict, where the taking of prisoners of
war and the detention of civilians who pose a threat to security
are accepted features of international humanitarian law, that
article 5 could be interpreted as permitting the exercise of such
broad powers.” (para 104)
293. The court added that deprivation of liberty pursuant to powers under
international humanitarian law must be “lawful” to preclude a violation of article
5(1). This meant that the detention must comply with the rules of international
humanitarian law and, most importantly, that it should be in keeping with the
fundamental purpose of article 5(1), which was to protect the individual from
arbitrariness (para 105). In that regard, the court cited its case law concerning the
necessary safeguards against arbitrary detention.
294. Applying this approach to the facts, the court found that the applicant was
captured in circumstances giving reason to believe that he might be either a person
who could be detained as a prisoner of war or someone whose internment was
necessary for imperative reasons of security, both of which provided a legitimate
basis for detention under international humanitarian law (under article 21 of the
Third Geneva Convention and articles 42 and 78 of the Fourth Geneva Convention).
He was subject almost immediately to a screening process which led to his being
cleared for release. He was released shortly afterwards (para 109). In these
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circumstances, his detention was consistent with the powers available to the UK
under the Third and Fourth Geneva Conventions, and was not arbitrary. In these
circumstances, the court held that there had been no breach of article 5(1) of the
European Convention.
The relevance of Hassan to the present appeals
295. In the present appeals, the majority of the court accept the Ministry of
Defence’s argument that the reasoning in Hassan leads to the conclusion that, where
an SCR authorises detention in a non-international armed conflict in circumstances
other than those contemplated by sub-paragraphs (a) to (f) of article 5(1), the latter
provision must be modified so as to be consistent with the SCR. On that basis, the
majority accept that article 5(1) is modified so as to permit the detention which is
said to have been authorised by the SCRs in question in these appeals.
296. The argument takes as its starting point an interpretation of the SCRs as
authorising detention in circumstances falling outside the terms of article 5(1)(a) to
(f). It is because of that interpretation that it can be argued that article 5(1) then
requires to be modified so as to accommodate the detention authorised by the SCRs.
The terms of SCR 1546, which applied in the case of Mr Al-Waheed, have already
been considered. They did not clearly or explicitly authorise detention in
circumstances falling outside article 5(1)(a) to (f), as the court held in Al-Jedda. Nor
did SCR 1890, which applied in the case of Mr Mohammed, and will be considered
later. Applying the approach to the interpretation of SCRs established by the court
in its case law both prior and subsequent to Hassan, and summarised in para 285
above, it follows that the SCRs cannot be interpreted as authorising detention falling
outside article 5(1)(a) to (f). The premise on which the Ministry of Defence’s
argument is based is therefore inconsistent with the clear and constant jurisprudence
of the Grand Chamber concerning the interpretation of SCRs.
297. The answer put forward by the majority of the court is that, following Hassan,
article 5(1) must be interpreted as permitting detention during armed conflicts which
falls outside the categories listed in sub-paragraphs (a) to (f) but is authorised by an
SCR. On that basis, the interpretation of the SCRs as authorising detention which
falls outside article 5(1)(a) to (f) is not incompatible with the Convention. There are
a number of reasons why the judgment in Hassan does not appear to me to be
applicable to detention in the non-international conflicts with which these appeals
are concerned, which are explained below at paras 307-315 and 324. But a point
which should be made at the outset is that the reasoning of the majority appears to
me to be circular. The proposition which the majority seek to establish – that article
5(1) is modified so as to permit detention falling outside sub-paragraphs (a) to (f),
where such detention is authorised by an SCR – is actually assumed for the purposes
of its premise, that the SCRs should be interpreted as authorising such detention.
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298. The case of Hassan was not concerned with the interpretation of an SCR. The
court did not, therefore, cite or consider, let alone depart from, the approach to the
interpretation of SCRs which it had set out in Al-Jedda and repeated in later cases.
On the contrary, at para 99 it pointed out that its judgment in Al-Jedda had concerned
the SCR there in question, and that no issue had been raised in relation to the powers
of detention provided for in the Third and Fourth Geneva Conventions. The only
issue in the case of Hassan was the interpretation of article 5 of the Convention in a
context where detention was authorised by international humanitarian law – in
particular, by the provisions of the Geneva Conventions authorising the detention of
prisoners of war and civilians during international armed conflicts. Those provisions
did not apply in the situations with which the present appeals are concerned. Nor
was the detention of Mr Al-Waheed or Mr Mohammed authorised by any other rules
of international humanitarian law, for the reasons summarised in paras 274-276
above. The case of Hassan does not therefore appear to me to be in point when
deciding whether the detention of Mr Al-Waheed or Mr Mohammed was authorised
by the relevant SCRs. The answer to that question depends on the interpretation of
the SCRs; and the principles governing their interpretation, for the purpose of
establishing whether there has been a breach of the Convention, are those laid down
in Al-Jedda, Nada and Al-Dulimi, and summarised in para 285 above.
299. Put shortly, in Al-Jedda the court required greater precision of international
law, when it comes to authorising military detention in situations of armed conflict,
than was afforded by SCR 1546. Nothing in Hassan appears to me to cast any doubt
on that decision. Hassan was concerned with powers of detention under the Geneva
Conventions which are explicit and detailed, as explained at paras 249-252 above.
300. A different argument is put forward by Lord Mance at para 163: that to start
from the premise that SCR 1546 should be interpreted consistently with article 5(1)
is unsustainable, since article 5(1) does not reflect general international law, but is
unique in stating an ostensibly exhaustive list of circumstances in which detention
is permissible (unlike article 9 of the ICCPR), whereas SCR 1546 was not directed
only to states party to the Convention but to all member states of the United Nations.
I recognise the force of that argument, but it appears to me to be inconsistent with
the approach to the interpretation of SCRs which the European court has adopted in
a “clear and constant” line of decisions at Grand Chamber level.
301. Having considered the Strasbourg authorities, I can next consider the appeals.
The case of Mr Al-Waheed
302. Mr Al-Waheed is an Iraqi citizen. He was detained by HM Forces in Iraq for
about six weeks during February and March 2007, when the relevant legal regime
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was identical to that considered in Al-Jedda and explained at paras 278-281 above.
The relevant facts in relation to his detention have not yet been established, but it is
assumed for the purposes of this appeal that he was detained on 11 February 2007
at a house where arms, ammunition, components for improvised explosive devices
(“IEDs”), and explosive charges, were found. Two days later an ad hoc British
Divisional Internment Review Committee decided that he should be interned for
imperative reasons of security. On 22 February the committee decided that, if it were
confirmed that he could not be proved to have handled any of the recovered material,
it was unlikely that he could be successfully prosecuted, and he should be released.
His case was reviewed again on 12 or 13 March, and again on 21 March, when a
decision on his release was deferred while forensic evidence was obtained. On 28
March he was released.
303. Mr Al-Waheed accepts that SCR 1546, as extended by SCR 1723, authorised
detention. He complains, however, that his detention violated article 5(1) of the
Convention. It is conceded on behalf of the Secretary of State that his detention was
attributable to the UK, and that he fell within the jurisdiction of the UK during his
internment for the purposes of article 1 of the Convention (which governs its
applicability). It is maintained on behalf of the Secretary of State that his detention
was justified under article 5(1)(c), but that issue is not before the court in this appeal.
The only issue raised in the appeal, as a preliminary point, is whether it was legally
necessary for his detention to fall within any of sub-paragraphs (a) to (f) of article
5(1). In relation to that issue, the judge, Leggatt J, was bound by the decision of the
House of Lords in Al-Jedda that article 5(1) did not apply to detention under SCR
1546 for imperative reasons of security, since SCR 1546 should be construed as
imposing an obligation to detain, and such an obligation prevailed over the
inconsistent obligation imposed by article 5(1) of the Convention, by reason of
article 103 of the UN Charter. Since the Court of Appeal would have been equally
bound by that decision, the appeal has come directly to this court.
Discussion
304. In my opinion this court should depart from the reasoning of the House of
Lords in relation to this point, summarised in para 283 above. It did not approach
the interpretation of SCR 1546 on the basis subsequently laid down by the Grand
Chamber and summarised in para 285 above. That approach, subsequently applied
in relation to other SCRs in the cases of Nada and Al-Dulimi, represented a
development in the court’s case law, based on a fuller consideration of international
law than appears in the speeches in the House of Lords. Its interpretation of SCR
1546 was also based on a fuller consideration of the scope of the authority conferred
than appears to have been canvassed in argument before the House of Lords.
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305. Although it is of course open to this court to adopt a different approach to the
relationship between the Convention and other international instruments from that
adopted by the Grand Chamber, such a course would run contrary to the general
intention that the Human Rights Act 1998 should “bring rights home”, and would
require some compelling justification. It does not seem to me that such a justification
has been made out. In particular, the Ministry of Defence’s argument that the issue
is a question of interpretation of the UN Charter and the SCR, on which the
European court has no particular authority, seems to me to be an over-simplification.
The interpretation and application of the Convention depend on its interaction with
other international instruments, and a uniform approach to these issues is desirable
if the Convention system of guaranteeing a minimum level of human rights
protection by all the contracting parties is to be preserved. In my view, this court
should therefore proceed on the basis that article 103 of the UN Charter is not
applicable.
306. Consistently with that conclusion, the Grand Chamber held in Al-Jedda that
there was a presumption that the Security Council intended states within the MultiNational Force to contribute towards the maintenance of security in Iraq while
complying with their obligations under international human rights law. In its view,
nothing in SCR 1546 displaced that presumption. Article 5(1) of the Convention
therefore continued to apply. Since Mr Al-Jedda’s detention did not fall within any
of sub-paragraphs (a) to (f), it followed that there was a violation of article 5(1).
307. As I have explained, it is now argued that the reasoning in Hassan supersedes
that in Al-Jedda. I reject that argument, firstly for the reasons explained in paras
295-300 above, and also for the following additional reasons.
308. In addressing the problem which arose in Hassan, the court’s starting point
was article 31(3)(b) of the Vienna Convention, and the need to take account of
subsequent practice in the application of the treaty in question. In that regard, the
court noted the absence of any practice of derogating from article 5 of the
Convention in relation to detention during international armed conflicts,
notwithstanding the practice of exercising powers of detention under the Third and
Fourth Geneva Conventions in circumstances not falling within any of subparagraphs (a) to (f) of article 5(1). The court expressly contrasted that position with
the practice of derogating from article 5 in relation to non-international armed
conflicts, citing cases concerned with internal conflicts in Northern Ireland and
Turkey as examples.
309. In order to answer that point, counsel for the Secretary of State argue that a
distinction should be drawn between purely internal conflicts, and those which are
“extraterritorial”, in the sense that they involve armed forces from outside the host
state. They point out that, although there have been a number of military missions
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involving contracting states participating in non-international armed conflicts
outside their own territory since their ratification of the Convention, no state has
ever made a derogation in respect of these.
310. But that is not in itself enough to meet the requirements of article 31(3)(b) of
the Vienna Convention (assuming, for the sake of the argument, the validity of the
distinction drawn between extraterritorial and other non-international armed
conflicts: a distinction which is controversial and has not as yet been drawn by the
European court in its case law). In the first place, it has to be borne in mind that until
the case of Al-Skeini it might not have occurred to contracting states participating in
military operations overseas that they remained bound by their obligations under the
Convention. More importantly, however, a practice of non-derogation is significant
only if (1) it has been the practice of contracting states to detain persons during noninternational armed conflicts in circumstances not falling within sub-paragraphs (a)
to (f) of article 5(1) of the Convention, and (2) if so, that practice has been
sufficiently accepted by other contracting states to justify imputing to all of them an
intention to modify the obligations undertaken under article 5.
311. It appears to me that neither of these conditions is met. The practice of other
contracting states in relation to non-international armed conflicts does not establish
a common intention to modify the obligations arising under article 5 in the context
of extraterritorial non-international armed conflicts. On the contrary, statements by
a number of contracting states confirm, without qualification, the continuing
relevance of international human rights law and, in particular, of the Convention.
The German government, for example, made explicit in 2007, in a statement to the
Bundestag, its view that its obligations under the Convention continued to apply in
relation to persons detained by its forces operating in Afghanistan as part of the
International Security Assistance Force (“ISAF”) (ICRC, Customary IHL Database:
Practice Relating to Rule 99 – Deprivation of Liberty (www.icrc.org/customaryihl/eng/docs/v2_rul_rule99)). Switzerland has questioned the United Kingdom’s
claim that the provisions of the Convention need to be qualified, in the context of
military operations overseas, in order to take SCRs into account, and recommended
that the United Kingdom should consider that any person detained by armed forces
is under the jurisdiction of that state, which should respect its obligations concerning
the human rights of such individuals (UN Human Rights Council, Report of the
Working Group on UPR: United Kingdom, UN Doc A/HRC/8/25 (2008), para 33).
The Netherlands has expressed the view that international human rights law, in the
absence of derogation, continues to apply without restriction during armed conflicts,
and that detainees therefore cannot be held indefinitely or without due process (HillCawthorne, op cit, p 178).
312. The argument now put forward by the Ministry of Defence is also a recent
departure from the previous practice of the United Kingdom. In Al-Jedda, for
example, the government did not suggest that the nature of the situation in Iraq at
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the material time, as an “extraterritorial” non-international armed conflict, affected
the application of article 5. Its view of the law at the time of its operations during
the non-international armed conflict in Afghanistan is discussed below (see paras
336-337).
313. In addressing the problem which arose in Hassan, the court also based its
reasoning on the requirement under article 31(3)(c) of the Vienna Convention to
take account of other relevant rules of international law applicable in the relations
between the parties when interpreting the European Convention. The relevant rules
in Hassan were the provisions in the Third and Fourth Geneva Conventions
conferring powers of internment on specified grounds during an international armed
conflict, subject to specified procedural safeguards. In Mr Al-Waheed’s case the
Secretary of State argues, by analogy, that the European Convention must also be
interpreted compatibly with the exercise of the powers of internment conferred by
SCR 1546.
314. As explained in para 285 above, the European court construed SCR 1546 in
Al-Jedda on the basis that there is a presumption that the Security Council does not
intend to impose any obligation on member states to breach fundamental principles
of human rights; that, in the event of ambiguity, the court must choose the
interpretation which is most in harmony with the requirements of the European
Convention; and that it is to be expected that clear and explicit language will be used
if the Security Council intends states to take measures which would conflict with
their obligations under international human rights law. On that basis, the court
interpreted the SCR as meaning that the Security Council intended states within the
Multi-National Force to contribute towards the maintenance of security in Iraq while
complying fully with their obligations under the Convention. Article 5(1)(a) to (f)
therefore applied, so as to limit the circumstances in which SCR 1546 was to be
understood as authorising detention. As explained in paras 288-289 above, the court
has followed the same approach to the interpretation of SCRs in more recent cases.
On that basis, there is no need to modify article 5 in order for it to be interpreted
harmoniously with SCR 1546.
315. Accordingly, whereas in Hassan the court identified an inconsistency
between the terms of article 5 of the Convention and the provisions of international
humanitarian law regulating detention in an international armed conflict, and
resolved that inconsistency by concluding that a substantial body of state practice,
together with the need to reconcile the Third and Fourth Geneva Conventions with
the European Convention, justified reading article 5 so as to accommodate the
relevant provisions of those Conventions, there is no such inconsistency between
article 5 and SCR 1546; and there exists, in any event, no comparable body of state
practice.
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316. It follows that it was necessary for Mr Al-Waheed’s detention to fall within
one or more of the categories listed in sub-paragraphs (a) to (f) of article 5(1), in
order for it to be compatible with article 5 of the Convention.
The case of Mr Mohammed
317. Mr Mohammed is an Afghan national who was detained by HM Forces in
Afghanistan for about 15 weeks during 2010. It is assumed, for the purposes of this
appeal, that he was captured by HM Forces on 7 April 2010 during a military
operation which targeted a senior Taliban commander and the vehicle in which he
was travelling. After an exchange of fire, during which two insurgents were killed,
Mr Mohammed and another insurgent were captured. They were extracted after an
operation lasting ten hours, during which British troops were under heavy and
sustained fire. Three British soldiers were wounded.
318. Following his capture, Mr Mohammed was taken to Camp Bastion in
Helmand Province. HM Forces received information that he was a senior Taliban
commander involved in the large-scale production of IEDs. He was said to have
commanded a Taliban training camp. On 8 April, an application for the extension of
his detention beyond 96 hours for intelligence purposes was submitted to UK
Permanent Joint Headquarters (“PJHQ”), in accordance with BRITFOR Standard
Operating Instructions J3-9 (“J3-9”), discussed at paras 339-340 below. It stated that
there was no information to confirm Mr Mohammed’s identity, and that information
suggested that he might be a senior Taliban commander with an extensive
knowledge of the structure of the Taliban and of IED networks. On 9 April, an
application was submitted to the Ministry of Defence to extend the 96 hour limit in
order to gain intelligence from Mr Mohammed. On 12 April, a minister authorised
Mr Mohammed’s continued detention “to gain further valuable intelligence”. The
Afghan authorities were not asked whether they wanted Mr Mohammed transferred
to them for investigation and possible prosecution. The view had been formed by
this time that it would be a weak case to pass to the Afghan authorities for
prosecution, given the available evidence.
319. On 4 May it was decided that there was no more intelligence to be obtained
from Mr Mohammed. The Afghan authorities were then asked whether they wished
to have Mr Mohammed transferred into their custody for criminal investigation and
possible prosecution. They responded that they did, as soon as space became
available. As they had insufficient capacity at the Lashkar Gah detention facility to
which he was to be transferred, he continued to be held by UK armed forces until
capacity became available. He was transferred to the Afghan authorities on 25 July
2010. He was subsequently prosecuted and convicted by the Afghan courts of
offences relating to the insurgency. He was sentenced to ten years’ imprisonment.
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320. Mr Mohammed complains that his detention, beyond the initial period of 96
hours, violated his rights under articles 3, 5, 6 and 8 of the Convention, as given
effect by the Human Rights Act 1998. A number of preliminary issues were
identified and decided by Leggatt J. In particular, he found that for the first 96 hours
after his capture, Mr Mohammed was detained for the purpose of bringing him
before the competent legal authorities on reasonable suspicion of having committed
an offence. His detention during that period was authorised, in the judge’s view, by
SCR 1890 and the Memorandum of Understanding concluded between the British
and Afghan Governments, as explained at paras 322-326 and 329-334 below.
During the period of 24 days between 11 April and 4 May 2010, on the other hand,
Mr Mohammed was detained by HM Forces for the sole purpose of obtaining
intelligence. During the 82 days between 5 May and 25 July 2010, he was detained
for “logistical” reasons, as they were described, because of the shortage of space in
Afghan detention facilities. The judge concluded that Mr Mohammed’s detention
after the initial period of 96 hours was contrary to article 5 of the Convention, the
effect of which was not, in his view, displaced or qualified by SCRs or international
humanitarian law. He also held that Mr Mohammed’s detention after an initial
period of a few days (as explained at para 329 below) was unlawful under Afghan
law. On appeal, those conclusions were upheld by the Court of Appeal.
321. The Secretary of State has appealed to this court on a number of grounds.
Those which are being considered at this stage of the proceedings are:
(1) whether HM armed forces had the legal power to detain Mr
Mohammed in excess of 96 hours pursuant to the relevant SCRs or
international humanitarian law;
(2) if so, whether article 5(1) of the Convention should be read so as to
accommodate detention pursuant to such a power;
(3) whether Mr Mohammed’s detention was in any event compatible with
article 5(1) on the basis that it fell within para (c) (detention for the purpose
of bringing a suspect before a competent judicial authority) or (f) (detention
pending extradition); and
(4) whether the circumstances of his detention were compatible with
article 5(4) (if necessary, as modified).
So far as (1) is concerned, the contention based on international humanitarian law
has already been rejected at paras 274-277 above. It is also unnecessary to consider
ground (4), as to which I agree with Lord Sumption. That leaves the contention
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under ground (1) based on the SCRs, any issue then arising under ground (2), and
the issues arising under ground (3).
The interpretation of SCR 1890
322. It is common ground that, at the time when Mr Mohammed was detained,
HM Forces were engaged in a non-international armed conflict. They were operating
as part of ISAF, whose establishment had initially been authorised by SCR 1386
(2001), following the establishment of the Afghan Interim Authority by the Bonn
Agreement of 5 December 2001 and its agreement to the deployment of such a force.
SCR 1386 authorised the establishment of ISAF “to assist the Afghan Interim
Authority in the maintenance of security in Kabul and its surrounding areas”, and
authorised the member states participating in ISAF “to take all necessary measures
to fulfil its mandate”. The mandate was subsequently extended to the whole of
Afghanistan. At the time of Mr Mohammed’s capture, the SCR in force was SCR
1890 (2009). In its preamble, it reaffirmed the Security Council’s “strong
commitment to the sovereignty … of Afghanistan”, recognised that “the
responsibility for providing security and law and order throughout the country
resides with the Afghan authorities”, and stressed “the role of [ISAF] in assisting
the Afghan Government to improve the security situation”. It also called for
“compliance with international humanitarian and human rights law”. It again
authorised “the member states participating in ISAF to take all necessary measures
to fulfil its mandate”.
323. Whereas the letters annexed to SCR 1546 referred explicitly to internment
for imperative reasons of security, SCR 1890 said nothing about internment or
detention. It was, however, apparent at the time when SCR 1890 was adopted that
the accomplishment of ISAF’s mission would involve engaging in combat
operations against armed and organised insurgents, in the course of which it was
inevitable that insurgents and suspected insurgents would be taken prisoner. In that
context, construing the SCR in accordance with the principle of interpretation in
good faith, ut res magis valeat quam pereat, the words “all necessary measures”
should be understood as encompassing the detention of insurgents. At the same time,
since SCR 1890 said nothing about the procedures to be followed, but conferred a
mandate on a basis which recognised the sovereignty of Afghanistan and envisaged
ISAF’s role as being to assist the Afghan authorities in the maintenance of security,
it must have been intended that detention would be in accordance with procedures
agreed with the Afghan Government. As explained at paras 329-334 below, a
Memorandum of Understanding covering these matters was indeed agreed with the
Afghan Government.
324. It is argued on behalf of the Ministry of Defence, as in the case of Mr AlWaheed, that in the light of the Hassan judgment, article 5(1) of the Convention is
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modified by SCR 1890, or in any event by customary international humanitarian
law, so as to permit detention falling outside the scope of sub-paras (a) to (f). I reject
that argument, in agreement with the judge and the Court of Appeal, for the reasons
explained at paras 276-277 above in relation to customary international law, and at
paras 296-300 and 307-315 in relation to Hassan.
325. Construed on that basis, SCR 1890 can be understood as having conferred on
the states participating in ISAF authority under international law to take prisoner
persons who posed an imminent threat to ISAF forces or the civilian population, and
to detain them for the purpose of transferring them to the Afghan authorities, so that
those authorities could then undertake criminal investigations and proceedings. It is
accepted, for reasons explained below at para 331, that a period of 96 hours could
reasonably be required for that purpose, and it is apparent that there could be
circumstances where a longer period was necessary (eg where a detainee was
medically unfit to be transferred, or where the Afghan authorities did not have
accommodation immediately available).
326. So construed, SCR 1890 is consistent with the principles established by the
case law of the European court and summarised in para 285 above. As explained
there, the European court considers there to be a presumption that, unless it uses
clear and unambiguous language to the contrary, the Security Council does not
intend states to take measures which would conflict with their obligations under
international human rights law. Interpreting SCR 1890 on that basis, there is nothing
which demonstrates, in clear and unambiguous terms, an intention to require or
authorise detention contrary to international human rights law. That construction of
SCR 1890 is also consistent with the traditional approach to non-international armed
conflicts, including the approach of the Ministry of Defence, under which the
treatment of insurgents is regulated primarily by the law, including the criminal law,
of the state where the conflict occurs: see paras 253-255 above.
Behrami v France; Saramati v France, Germany and Norway
327. I am not persuaded that the admissibility decision in Behrami v France;
Saramati v France, Germany and Norway (2007) 45 EHRR SE10 supports a
different conclusion. The relevant part of that decision concerned the criminal
justice system operating in Kosovo at the time when the territory was governed by
the United Nations Interim Administration in Kosovo (UNMIK), established by
SCR 1244. UNMIK was assisted by the UN security presence in Kosovo, Kosovo
Force (KFOR), also established by SCR 1244. Para 7 of the SCR authorised member
states to establish KFOR “with all necessary means to fulfil its responsibilities under
para 9”. Its responsibilities under para 9 included “supporting, as appropriate … the
work of [UNMIK]”. UNMIK’s responsibilities, as set out in para 11, included
“maintaining civil law and order, including … through the deployment of
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international police personnel”. The UNMIK police force was commanded by the
commander of KFOR (COMKFOR). Mr Saramati was arrested by UNMIK police
officers on suspicion of attempted murder, by order of COMKFOR, and detained on
the orders of COMKFOR until his trial. The admissibility decision concerned the
question whether Mr Saramati’s detention was the responsibility of the contracting
states which had contributed the individuals holding the position of COMKFOR
during the relevant period, or was attributable to the UN.
328. In the course of considering that question, the European court stated that
KFOR’s security mandate included issuing detention orders. It stated (para 124) that
it based that finding on two considerations. The first was the terms of the agreement
under which the government of the Federal Republic of Yugoslavia (FRY) withdrew
its own forces from Kosovo in favour of UNMIK and KFOR, which provided that
KFOR would operate with the authority to take all necessary action to establish and
maintain a secure environment for all citizens of Kosovo. As the court stated,
UNMIK and KFOR “exercised the public powers normally exercised by the
government of the FRY” (para 70). The second consideration was para 9 of SCR
1244, as well as para 4 of Annex 2, which repeated the relevant wording of the
agreement with FRY, as confirmed by later documents describing the procedures
governing detention authorised by COMKFOR. This was a very different context
from that of SCR 1890: as has been explained, that SCR was premised on a
recognition of the sovereignty of Afghanistan, and of the Afghan authorities’
responsibility for security.
The Memorandum of Understanding
329. SCR 1890 did not itself specify the procedures required to comply with the
requirement in article 5(1) of the Convention that detention should be “in accordance
with a procedure prescribed by law”. It was however supplemented by agreements
between the Afghan Government and the states participating in ISAF.
330. The relevant agreement between the UK and Afghanistan at the time of Mr
Mohammed’s detention was a Memorandum of Understanding dated 23 April 2006.
Para 3 provided:
“3.1 The UK AF will only arrest and detain personnel where
permitted under ISAF Rules of Engagement. All detainees will
be treated by UK AF in accordance with applicable provisions
of international human rights law. Detainees will be transferred
to the authorities of Afghanistan at the earliest opportunity
where suitable facilities exist. Where such facilities are not in
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existence, the detainee will either be released or transferred to
an ISAF approved holding facility.
3.2 The Afghan authorities will accept the transfer of
persons arrested and detained by the UK AF for investigation
and possible criminal proceedings …”
In relation to para 3.1, “applicable provisions of international human rights law”
were recognised at the time to include the European Convention on Human Rights:
see para 332 below. The Memorandum of Understanding made no provision for HM
Forces to detain persons for intelligence purposes rather than transferring them to
Afghan custody, but it provided for British personnel to have full access to question
persons who had been transferred to Afghan custody.
331. In relation to para 3.1 of the Memorandum of Understanding, detention was
permitted under ISAF rules of engagement, at the relevant time, in the circumstances
set out in ISAF’s Standard Operating Procedures 362 (“the SOP”). Para 1 of that
document stated that “commanders at all levels are to ensure that detention
operations are conducted in accordance with applicable international law and human
rights standards”. Para 4 stated that the only grounds upon which a person could be
detained under current ISAF Rules of Engagement were if the detention was
necessary for ISAF force protection, for the self-defence of ISAF or its personnel,
or for accomplishment of the ISAF mission. Para 5 stated that the current policy for
ISAF was that detention was permitted for a maximum of 96 hours, after which time
an individual was either to be released or handed into the custody of the Afghan
National Security Forces or the Government of Afghanistan. According to internal
United Kingdom correspondence, 96 hours reflected the time it might take to
transport someone from a battlefield to an Afghan detention facility.
332. Para 6 of the SOP stated that, as soon as practicable after a detention had
taken place, the decision to continue to detain must be considered by an appropriate
authority. Certain senior ranks were specified as being permitted to act as an ISAF
Detention Authority. That authority must be able to support the grounds of detention
by a reasonable belief in facts. Para 7 permitted a Detention Authority to authorise
detention for up to 96 hours. Authority for detention beyond that period could only
be granted by the commanding officer of ISAF (“COMISAF”) or his delegated
subordinate. In that regard, para 8 stated:
“A detainee may be held for more than 96 hours where it is
deemed necessary in order to effect his release or transfer in
safe circumstances. This exception is not authority for longerterm detentions but is intended to meet exigencies such as that
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caused by local logistical conditions eg difficulties involving
poor communications, transport or weather conditions or where
the detainee is held in ISAF medical facilities and it would be
medically imprudent to move him. Where this exigency
applies, COMISAF must be notified. Where, in the opinion of
COMISAF (or his delegated subordinate), continuation of
detention is warranted, COMISAF (or his delegated
subordinate) may authorize continued detention.” (Emphasis
supplied)
A footnote stated that “the standards outlined within this SOP are to be considered
the minimum necessary to meet international norms and are to be applied.” In
relation to international norms, the document identified two sources of international
human rights law: the ICCPR and the European Convention on Human Rights.
333. It was therefore envisaged under the Memorandum of Understanding, read
with the SOP, that persons would only be detained by HM Forces on specified
grounds, would be screened as soon as practicable, and would be transferred to the
Afghan authorities at the earliest opportunity, for investigation and possible criminal
proceedings. Detention by HM Forces would normally be for a maximum of 96
hours, although that period could be extended by a decision taken at a senior level
where necessary in order to effect the detainee’s release or transfer in safety.
334. The detention which this agreement permitted fell within the authorisation
conferred by SCR 1890. It reflected the traditional treatment of insurgents in a noninternational armed conflict as having committed offences under domestic criminal
law, and ISAF’s mandate to assist the sovereign Afghan authorities. It was
compatible with article 5(1)(c) of the Convention: that is to say, “the lawful arrest
or detention of a person effected for the purpose of bringing him before the
competent legal authority on reasonable suspicion of having committed an offence
or when it is reasonably considered necessary to prevent his committing an offence
or fleeing after having done so”. A procedure was prescribed which protected
detainees against arbitrary detention.
The new United Kingdom policy: detention beyond 96 hours in order to obtain
intelligence
335. In the event, powers of detention which were limited to holding persons for
up to 96 hours, before transferring them to the Afghan criminal system if they might
have committed a criminal act, were found by the states principally involved in
detaining insurgents, including the United Kingdom, to be unsatisfactory from a
military perspective. Particularly after they undertook operations in Helmand
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Province, HM Forces wished to be able to hold detainees for longer periods for the
purpose of questioning them in order to obtain intelligence, for example about the
whereabouts of IEDs.
336. Ministers were advised that “legal advice has confirmed that there is currently
no basis upon which we can legitimately intern such individuals” (briefing paper for
the Armed Forces Minister on Detention Policy in Afghanistan, dated 1 March
2006). They were told that the considered advice was that the European Convention
would apply unless those detained were immediately handed over to the Afghan
authorities, and that “the possibility of amending the 96-hour policy to permit longer
periods of detention … would not be lawful because the UNSCR does not authorise
extended detention” (ibid). The advice concluded that
“The reality of the legal basis for our presence in Afghanistan
is such that available powers may fall short of that which
military commanders on the ground might wish” (ibid).
It was felt that the UK was unlikely to succeed in having the SCR revised to provide
“some kind of specific authorisation to detain”, and that, so far as ISAF was
concerned, “even with the added authority of a UNSCR, the reservations of some of
our allies in becoming involved or associated with detention or internment are likely
to remain” (internal correspondence concerning UNSCR renewal in Afghanistan,
dated 25 June 2007). A further memorandum stated:
“There is no power for any ISAF forces to intern individuals in
Afghanistan. This would require an express UNSCR
authorisation and preferably a power in Afghan law as well,
neither of which currently exist. Therefore, if UK forces were
to intern people, we would probably be acting unlawfully.”
(Ministry of Defence briefing note, ‘Detention by UK Forces
on Overseas Operations – Iraq and Afghanistan’, sent on 12
September 2007)
337. A later briefing for the Secretary of State explained that, although in Iraq a
significant proportion of operations had been triggered by intelligence from
detainees:
“In Afghanistan, however, we cannot replicate Iraq arrangements
because UK forces have no power to intern under the extant
UNSCR (only a power to temporarily detain is inferred).”
(Ministerial Brief on Afghanistan: Intelligence Exploitation
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Capability, dated June 2008: NATO was in effective command of
ISAF)
Later correspondence dated 10, 21 and 24 August 2010 considered the possibility
that the ISAF rules of detention might be altered, but concluded that any approach
to NATO would be unsuccessful, and that the United Kingdom would have to adopt
its own policy if it wished to detain individuals for more than 96 hours.
338. The policy then adopted, as announced to Parliament on 9 November 2009,
was that while HM Forces would adhere to NATO guidelines (ie, the SOP) in the
majority of cases, Ministers in the United Kingdom would in some cases authorise
detention for more than 96 hours in order to obtain intelligence:
“[I]n exceptional circumstances, detaining individuals beyond
96 hours can yield vital intelligence that would help protect our
forces and the local population – potentially saving lives,
particularly when detainees are suspected of holding
information on the placement of improvised explosive devices.
Given the ongoing threat faced by our forces and the local
Afghan population, this information is critical, and in some
cases 96 hours will not be long enough to gain that information
from the detainee. Indeed, many insurgents are aware of the 96
hours policy and simply say nothing for that entire period. In
these circumstances, the Government have concluded that
Ministers should be able to authorise detention beyond 96
hours, in British detention facilities to which the ICRC has
access. Each case will be thoroughly scrutinised against the
relevant legal and policy considerations; we will do this only
where it is legal to do so and when it is necessary to support the
operation and protect our troops.
Following a Ministerial decision to authorise extended
detention, each case will be thoroughly and regularly
monitored by in-theatre military commanders and civilian
advisers. Individuals will not remain in UK detention if there
is no further intelligence to be gained. We will then either
release the detainee or transfer the detainee to the Afghan
authorities.” (Hansard (HL (Written Statements), 9 November
2009, cols WS 31-32)
Page 145
339. The policy announced to Parliament was reflected in J3-9. The version of J3-
9 which was in force during most of Mr Mohammed’s detention was Amendment
2. Part 1 dealt with the initial stages of detention. It stated in para 9 that a person
could be detained by British forces only if he was a threat to force protection or
mission accomplishment, or if it was necessary for reasons of self-defence.
340. Part II dealt with the processing of detainees, and required the detaining
authority to decide within 48 hours whether to release, transfer or further detain the
detainee. To authorise continued detention, the Detention Authority had to be
satisfied that it was necessary for self-defence or that the detainee had done
something that made him a threat to force protection or mission accomplishment
(para 19). Para 25 stated that the Detention Authority did not have the authority to
hold a detainee for longer than 96 hours from the point of detention, and that
authority for any further detention must be sought from Ministers through the
Detention Review Committee (“DRC”). Para 27 stated that the criteria used to assist
Ministers in deciding whether or not to approve applications for extension of
detention were
“a. Will the extension of this individual provide significant
new intelligence vital for force protection?
b. Will the extension of this individual provide significant
new information on the nature of the insurgency?
c. How long a period of extension has been requested –
[redacted]”
Para 29 set out the procedure to be followed following an extension. This involved
fortnightly reviews, internally and at Ministerial level.
341. The only other nations whose forces were detaining significant numbers of
insurgents by that stage of ISAF operations were the USA and Canada (the
Netherlands having been the fourth nation in that category at an earlier stage). They
also departed from the ISAF policy limiting detention to a maximum of 96 hours,
but on a different basis from the United Kingdom. The USA authorised its conduct
by domestic legislation. Canada entered into an agreement with the Afghan
Government providing for it to treat detainees as if they were prisoners of war, and
thus to apply the Third Geneva Convention.
342. An internal assessment dated 18 September 2011 described the United
Kingdom’s current detention regime in Afghanistan as being “based upon United
Page 146
Kingdom national sovereignty”. Afghanistan was however a sovereign state at the
relevant time; and it was inconsistent with Afghan sovereignty for the United
Kingdom to carry out detention in Afghanistan without the permission of the
government of that country. The judge found that the United Kingdom policy was
not agreed with the Afghan Government, and that there was no evidence that any
attempt was made to amend the Memorandum of Understanding between the British
and Afghan Governments to reflect the new policy.
The legal basis of detention for intelligence purposes
343. The judge concluded that the United Kingdom policy announced in
November 2009 had no legal basis under Afghan, international or English law. In
relation to Afghan law, he considered that, since the United Kingdom Government
was operating on the territory of an independent sovereign state at the invitation of,
or at least with the consent of, that state, it was arguable that it was necessary under
article 5(1) for the detention to comply with the law of that state. On the basis that
there had been no argument on the point, however, he proceeded on the assumption
that it was sufficient that there was a basis for the detention under the SCR (para
301). The Court of Appeal considered it unnecessary to decide the point (para 126).
The point has however been pursued before this court on behalf of the first
interveners, who had also raised it in their skeleton argument before the judge.
344. As they point out, the European court has said many times that, where the
lawfulness of detention is in issue, including the question whether a procedure
“prescribed by law” has been followed, the Convention refers essentially to national
law and lays down an obligation to conform to the substantive and procedural rules
of national law. The same approach has been followed by the UN Human Rights
Committee in relation to article 9 of the ICCPR. They also point out that that
approach has been adopted, specifically in relation to detention in a noninternational armed conflict, in the Report of the UN Working Group on Arbitrary
Detention, “Basic Principles and Guidelines on remedies and procedures on the right
of anyone deprived of their liberty to bring proceedings before a court”, UN Doc
WGAD/CRP.1/2015 (2015), Guideline 17, para 115(a)(ii) (“With regard to
detention in relation to a non-international armed conflict: (a) … the detaining State
must show that: … (ii) administrative detention is on the basis of grounds and
procedures prescribed by law of the State in which the detention occurs and
consistent with international law”).
345. I am not persuaded that that is the correct approach to adopt to the application
of the Convention in the present context. Guidance is provided by the judgment in
Ocalan v Turkey (2005) 41 EHRR 45, which concerned the arrest of a Turkish
citizen in Kenya by Turkish officials who then transferred him to Turkey. The court
considered it irrelevant to examine whether the conduct of the officials had been
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unlawful under Kenyan law: what mattered was whether their conduct had been
authorised by the Kenyan Government, so as to provide a basis in international law
for an extra-territorial arrest, and had a legal basis under Turkish law. The court
stated:
“Irrespective of whether the arrest amounts to a violation of the
law of the state in which the fugitive has taken refuge – a
question which only falls to be examined by the court if the host
state is a party to the Convention – the court requires proof in
the form of concordant inferences that the authorities of the
state to which the applicant has been transferred have acted
extra-territorially in a manner that is inconsistent with the
sovereignty of the host state and therefore contrary to
international law. Only then will the burden of proving that the
sovereignty of the host state and international law have been
complied with shift to the respondent Government.” (para 60;
emphasis supplied)
346. So far as international law and English law are concerned, I agree with the
judge’s conclusion, which is consistent with the legal advice given to the British
Government at the time. The practice of detaining persons for more than 96 hours
for intelligence purposes, rather than transferring them to the Afghan authorities for
the purpose of criminal investigations and proceedings, was not authorised by SCR
1890, interpreted as explained in para 325 above. The grounds for the person’s being
detained by HM Forces, rather than being transferred to the Afghan authorities for
criminal investigation and prosecution, did not fall within any of those listed in subparas (a) to (f) of article 5(1) of the Convention. Indeed, even leaving article 5(1)
out of account, the phrase “necessary for imperative reasons of security” in the SCR
did not authorise detention for the purpose of obtaining intelligence from the
detainee. In addition, the policy did not respect Afghan sovereignty, having been
introduced without the agreement of the Afghan Government, and without any
amendment of the Memorandum of Understanding. Since the detention during that
period was not authorised by SCR 1890, it was, on that basis also, not lawful for the
purposes of article 5(1).
Detention pending the availability of space in Afghan facilities
347. As explained at para 332 above, the Memorandum of Understanding, read
with the SOP, permitted detention to be extended beyond 96 hours where necessary
to enable the detainee to be transferred in safe circumstances. Provision for
“logistical extensions” was also made by para 24 of J3-9:
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“On some occasions, practical, logistic reasons will entail a
requirement to retain a UK detainee for longer than the 96
hours. Such occasions would normally involve the short-notice
non-availability of pre-planned transport assets or NDS
[Afghan National Security Directorate] facilities to receive
transferred detainees reaching full capacity. These occasions
may lead to a temporary delay until the physical means to
transfer or release correctly can be reinstated. Where this is the
case, authority to extend the detention for logistic reasons is to
be sought from both HQ ISAF and from Ministers in the UK
through the Detention Authority.”
348. In the event, HM Forces held people for substantial periods when the Afghan
authorities wished to accept their transfer but the detention facilities were full, or
when the only accommodation available was in facilities which were considered
unsuitable. This situation arose as a result of three factors. One was the fact that
Afghanistan remained a state under reconstruction, with limited detention facilities.
The second was the large number of insurgents captured by HM Forces, particularly
during operations in Helmand. The third was the fact that the treatment of detainees
in some Afghan detention facilities did not meet Convention standards. It was indeed
held by the Divisional Court, during the period when Mr Mohammed was detained
pending the availability of space in the Afghan detention facility at Lashkar Gah,
that it would be unlawful for HM Forces to transfer detainees to the Afghan
detention facility in Kabul: R (Evans) v Secretary of State for Defence [2010] EWHC
1445 (Admin).
349. The judge accepted, in relation to Mr Mohammed, that his detention in these
circumstances was for the purpose of bringing him before the competent legal
authority on reasonable suspicion of having committed an offence. The implication
is that such detention fell in principle within the scope of article 5(1)(c) of the
Convention. That conclusion has not been challenged: as the Court of Appeal noted,
the question has not been explored at any stage of the proceedings. I am inclined to
agree with the judge, and to regard such detention as in principle authorised by SCR
1890, but in the absence of any argument on the point it would be inappropriate to
consider the issue in detail.
350. There are, however, other aspects of article 5 which are also relevant to
detention in these circumstances: notably, the requirement in article 5(1) that
detention be “in accordance with a procedure prescribed by law”, and the procedural
requirements of article 5(3) and (4). It will be necessary to return to these.
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Application to the facts of Mr Mohammed’s case
351. On the facts of the case, Mr Mohammed’s detention by HM Forces between
11 April 2010 (ie after 96 hours) and 4 May 2010 (when he ceased to be held for
intelligence purposes) was not in my view compatible with article 5(1), since it was
not for any of the purposes listed in sub-paras (a) to (f). In particular, the reason for
his detention at that time was not to bring him as a suspect before a competent
judicial authority, within the meaning of article 5(1)(c). Nor was he, either then or
later, detained pending extradition within the meaning of article 5(1)(f), for the
reasons explained by Lord Sumption at para 79.
352. Even if SCR 1890 were to be construed as going beyond article 5(1)(a) to (f),
and as authorising detention when necessary for imperative reasons of security, I
would not regard it as authorising Mr Mohammed’s detention during this period.
Although I accept that detention for imperative reasons for security would not
become unauthorised by reason of a concurrent purpose of obtaining intelligence, it
appears to me to be clear from the facts found by the judge that the obtaining of
intelligence was the only reason why HM Forces detained Mr Mohammed during
the period in question, rather than enquiring of the Afghan authorities whether they
wished to have him transferred to their custody. That was not a reason for detention
falling within SCR 1890. Nor was Mr Mohammed’s detention during this period in
accordance with the commitment in SCR 1890 to respect Afghan sovereignty, since
it was based on a policy to which the Afghan Government had not agreed.
353. I respectfully disagree with Lord Sumption’s conclusion that there remains a
question whether Mr Mohammed’s detention between 11 April and 4 May 2010 was
for imperative reasons of security, which should be determined after trial. The
grounds for his initial detention clearly fell within the scope of that phrase, but it
seems to me to be clear that this was not the reason why he continued to be detained
by HM Forces after 11 April. As the judge observed at para 333 of his judgment,
not only was the obtaining of intelligence the sole purpose alleged in the Secretary
of State’s defence, but there was no other criterion set out in the UK policy which
could have been used to approve an extension of Mr Mohammed’s detention at that
time (the availability of space in Afghan detention facilities not having been
investigated). Furthermore, as the Court of Appeal noted at para 250 of its judgment,
according to the evidence given on behalf of the Ministry of Defence, Mr
Mohammed’s continued detention beyond 96 hours was “for the purposes of
intelligence exploitation” and “was not assessed to be necessary for force protection
purposes”.
354. In relation to the period of detention between 5 May and 25 July 2010, the
judge found that, although the circumstances of the detention fell within the scope
of article 5(1)(c) of the Convention, there was a violation of the requirement in
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article 5(1) that the detention should be in accordance with a procedure prescribed
by law. In that regard, he held (para 309) that detention for lengthy periods (82 days
in the case of Mr Mohammed, and between 231 and 290 days in the cases of the
interveners) was not authorised by para 24 of J3-9. Alternatively, he held that if that
para 24 did authorise detention for such protracted periods, then it failed to meet the
test of legal certainty implicit in the requirement that detention be in accordance
with a procedure prescribed by law, since it failed to provide standards which were
clearly defined and whose application was reasonably foreseeable.
355. I recognise the force of that reasoning. I also recognise the importance of
legal certainty, especially in this context. The European court referred in Hassan to
“the fundamental purpose of article 5(1), which is to protect the individual from
arbitrariness” (para 105). In Medvedyev v France, the court stated:
“… where deprivation of liberty is concerned, it is particularly
important that the general principle of legal certainty be
satisfied. It is therefore essential that the conditions for
deprivation of liberty under domestic and/or international law
be clearly defined and that the law itself be foreseeable in its
application, so that it meets the standard of ‘lawfulness’ set by
the Convention, a standard which requires that all law be
sufficiently precise to avoid all risk of arbitrariness …” (para
80)
356. Nevertheless, it is also necessary to recognise the practical exigencies of the
situation which confronted HM Forces at the time, and to endeavour to apply the
Convention in a manner which is feasible in the real world. The terms of para 24 of
J3-9 suggest that it was originally envisaged as a basis for accommodating
occasional logistical problems, normally arising at short notice and leading to a
temporary delay. It did however provide a procedure for extending detention which
could be used when more serious and long-term problems emerged in relation to the
capacity of the Afghan authorities to deal satisfactorily with large numbers of
insurgents and suspected insurgents, in the context of a state undergoing
reconstruction. In principle, the provision by a member of ISAF of detention
facilities on behalf of the Afghan authorities, when they were unable to cope, was
within its mandate under SCR 1890. In the nature of things, the duration of such
detention in individual cases could not be predicted, particularly when it depended
on contingencies, such as the willingness of the Afghan authorities to treat detainees
humanely, and the outcome of legal proceedings in the English courts, which lay
wholly outside the control of HM Forces and the Ministry of Defence. It is also
relevant to note that para 24 of J3-9 required the detention to be authorised by HQ
ISAF as well as by UK Ministers. It was therefore consistent with para 8 of the SOP,
and hence with the Memorandum of Understanding.
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357. In these circumstances, it appears to me that the basic requirement that there
should be a procedure prescribed by law was satisfied by J3-9.
358. I agree with Lord Mance that, in considering Mr Mohammed’s claim for
damages for wrongful detention, it is highly material to consider whether, but for
any failures on the part of the United Kingdom authorities, he would have been any
better off – in other words, would have spent less time in custody. That is an
important question both in relation to the period during which Mr Mohammed was
held by HM Forces for the purpose of obtaining intelligence, and in relation to the
period during which he was held because of the unavailability of suitable
accommodation in an Afghan detention facility. Further, as Lord Mance observes,
if the answer is that he would have been in the custody of the Afghan authorities, it
will be material to consider whether this would have involved him in any form of
detriment.
359. Finally, in relation to article 5(3) and (4) of the Convention, I agree with Lord
Sumption’s conclusions, and with the core of his reasoning at paras 94-109. Whether
there was a breach of article 5(3) should be considered after trial. It is however
apparent from the material already before the court that the arrangements for Mr
Mohammed’s detention were not compatible with article 5(4), since he did not have
any effective means of challenging the lawfulness of his detention.
Conclusions
360. For these reasons, I would have allowed Mr Al-Waheed’s appeal and
declared that it was legally necessary for his detention to fall within one or more of
sub-paragraphs (a) to (f) of article 5(1). In agreement with the judge and the Court
of Appeal, I would have dismissed the Secretary of State’s appeal in the case of Mr
Mohammed, so far as based on the grounds considered at this stage.