Systemic Discrimination (Meaning): Difference between revisions
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==Moore v. British Columbia (Education), 2012 SCC 61 (CanLII), [2012] 3 SCR 360<ref name="Moore"/>== | |||
[59] In Canadian National Railway Co. v. Canada (Canadian Human Rights Commission), 1987 CanLII 109 (SCC), [1987] 1 S.C.R. 1114, this Court first identified ‘systemic discrimination’ by name. It defined it as “practices or attitudes that have, whether by design or impact, the effect of limiting an individual’s or a group’s right to the opportunities generally available because of attributed rather than actual characteristics” (p. 1138). Notably, however, the designation did not change the analysis. The considerations and evidence at play in a group complaint may undoubtedly differ from those in an individual complaint, but the focus is always on whether the complainant has suffered arbitrary adverse effects based on a prohibited ground. | |||
[60] The inquiry is into whether there is discrimination, period. The question in every case is the same: does the practice result in the claimant suffering arbitrary — or unjustified — barriers on the basis of his or her membership in a protected group. Where it does, discrimination will be established. | |||
<ref name="Moore">Moore v. British Columbia (Education), 2012 SCC 61 (CanLII), [2012] 3 SCR 360, <https://canlii.ca/t/ftp16>, retrieved on 2024-06-10</ref> | |||
==Vancouver Area Network of Drug Users v. British Columbia Human Rights Tribunal, 2015 BCSC 534 (CanLII)<ref name="Drug Users"/>== | ==Vancouver Area Network of Drug Users v. British Columbia Human Rights Tribunal, 2015 BCSC 534 (CanLII)<ref name="Drug Users"/>== | ||
Revision as of 20:00, 10 June 2024
Caselaw.Ninja, Riverview Group Publishing 2021 © | |
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Date Retrieved: | 2024-11-23 |
CLNP Page ID: | 2383 |
Page Categories: | [Human Rights (LTB)] |
Citation: | Systemic Discrimination (Meaning), CLNP 2383, <https://rvt.link/c0>, retrieved on 2024-11-23 |
Editor: | Sharvey |
Last Updated: | 2024/06/10 |
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Moore v. British Columbia (Education), 2012 SCC 61 (CanLII), [2012] 3 SCR 360[1]
[59] In Canadian National Railway Co. v. Canada (Canadian Human Rights Commission), 1987 CanLII 109 (SCC), [1987] 1 S.C.R. 1114, this Court first identified ‘systemic discrimination’ by name. It defined it as “practices or attitudes that have, whether by design or impact, the effect of limiting an individual’s or a group’s right to the opportunities generally available because of attributed rather than actual characteristics” (p. 1138). Notably, however, the designation did not change the analysis. The considerations and evidence at play in a group complaint may undoubtedly differ from those in an individual complaint, but the focus is always on whether the complainant has suffered arbitrary adverse effects based on a prohibited ground.
[60] The inquiry is into whether there is discrimination, period. The question in every case is the same: does the practice result in the claimant suffering arbitrary — or unjustified — barriers on the basis of his or her membership in a protected group. Where it does, discrimination will be established.
Vancouver Area Network of Drug Users v. British Columbia Human Rights Tribunal, 2015 BCSC 534 (CanLII)[2]
[106] Despite these observations, the Tribunal found insufficient evidence to prove a prima facie case of discrimination. In my view, not only did the Tribunal err in setting a standard of proof for prima facie discrimination that was too onerous, it also erred in concluding there was no evidence to meet the third step.
[107] Remembering it is important that “evidentiary requirements … be sensitive to the nature of the evidence likely to be available” (Radek at para. 509), the Tribunal erred in not recognizing that, on the whole of the evidence before it, the “potentiality” to which it refers (in paras. 645 and 660 of its Decision) is the reality that exists. The Tribunal concluded there was no evidence proving that individuals were subjected to adverse treatment because of their race or physical or mental disability. However, that conclusion was drawn without sufficiently taking into account the nature of the adverse treatment and the social environment in which it was taking place. The Program, and thus the adverse treatment, was rooted in two pieces of legislation associated with the street homeless. Applying the correct legal test to the facts leads to the inevitable conclusion that individuals of Aboriginal ancestry and individuals with mental or physical disabilities are differently and disproportionately impacted by the Program.
[108] Whether employing common sense or drawing a reasonable inference, the petitioners have proven the third step in the prima facie test for discrimination. The findings of fact made by the Tribunal about the activities that constituted adverse treatment (for example, waking up individuals sleeping in public parks and next to buildings) combined with the demographics of the street homeless population viewed in the context of the data collected by ambassadors and Dr. Miller’s evidence, does demonstrate that the personal characteristics of Class members was a factor in their suffering adverse treatment. There is no need for “something more”.
References
- ↑ 1.0 1.1 Moore v. British Columbia (Education), 2012 SCC 61 (CanLII), [2012] 3 SCR 360, <https://canlii.ca/t/ftp16>, retrieved on 2024-06-10
- ↑ 2.0 2.1 Vancouver Area Network of Drug Users v. British Columbia Human Rights Tribunal, 2015 BCSC 534 (CanLII), <https://canlii.ca/t/gh5ck>, retrieved on 2024-06-10