|
Home | Index | Blog | No Autistics Allowed: Autism Society Canada Speaks For Itself 1. The Auton Case: Application, Opposition, Order 2. The Auton Case: The Intervener's Factum 3. The Many Varieties of Being Written Off - An Argument About Autism As Catastrophe 4. An Autistic Victory - The True Meaning of the Auton Decision
Auton (Guardian ad litem of) v. British Columbia
(Attorney General)
Attorney General of British Columbia and Medical Services Commission of British Columbia Appellants/Respondents on cross-appeal v. Connor Auton, an Infant, by his Guardian ad litem, Michelle Auton, and the said Michelle Auton in her personal capacity, Michelle Tamir, an Infant, by her Guardian ad litem, Sabrina Freeman, and the said Sabrina Freeman in her personal capacity, Jordan Lefaivre, an Infant, by his Guardian ad litem, Leighton Lefaivre, and the said Leighton Lefaivre in his personal capacity, Russell Gordon Pearce, an Infant, by his Guardian ad litem, Janet Gordon Pearce, and the said Janet Gordon Pearce in her personal capacity Respondents/Appellants on cross-appeal and Attorney General of Canada, Attorney General of Ontario, Attorney General of Quebec, Attorney General of Nova Scotia, Attorney General of New Brunswick, Attorney General of Prince Edward Island, Attorney General of Alberta, Attorney General of Newfoundland and Labrador, Canadian Association for Community Living and Council of Canadians with Disabilities, Women's Legal Education and Action Fund and DisAbled Women's Network Canada, Autism Society Canada, Michelle Dawson, Families for Effective Autism Treatment of Alberta Foundation, Friends of Children with Autism, and Families for Early Autism Treatment of Ontario Interveners Indexed as: Auton (Guardian ad litem of) v. British Columbia (Attorney General) Neutral Citation: 2004 SCC 78. File No.: 29508. 2004: June 9; 2004: November 19. Present: McLachlin C.J. and Major, Bastarache, Binnie, LeBel, Deschamps and Fish JJ. ON APPEAL FROM THE COURT OF APPEAL FOR BRITISH COLUMBIA Constitutional law -- Charter of Rights -- Equality rights -- Mental
disability -- Province not providing for controversial intensive behaviourial
therapy for preschool -aged autistic children -- Whether Province's refusal
to fund treatment violates equality rights -- Canadian Charter of
Rights and Freedoms, s. 15(1) -- Medicare Protection Act, R.S.B.C. 1996,
c. 286, s. 1 "benefits", health care practitioners" -- Medical and Health
Care Services Regulation, B.C. Reg. 426/97, ss. 17-29. Constitutional law -- Charter of Rights -- Equality rights -- Appropriate
comparator group -- Criteria for identifying appropriate comparator group
-- Canadian Charter of Rights and Freedoms, s. 15(1) Constitutional law -- Charter of Rights -- Fundamental justice -- Province
not providing for controversial intensive behaviourial therapy for preschool
-aged autistic children -- Whether Province's refusal to fund treatment violates
s. 7 of Canadian Charter of Rights and Freedoms -- Medicare Protection Act,
R.S.B.C. 1996, c. 286, s. 1 "benefits", health care practitioners" -- Medical
and Health Care Services Regulation, B.C. Reg. 426/97, ss. 17-29. The infant petitioners suffer from autism, a neuro-behavioural syndrome
that impairs social interaction, hinders communication and results in repetitive
behaviour. They brought an action against the province of British Columbia,
alleging that its failure to fund applied behavioral therapy for autism violated
s. 15(1) of the Canadian Charter of Rights and Freedoms. In the years
leading up to the trial, the government acknowledged the importance of early
intervention, diagnosis and assessment for autistic children but stated that
services for their needs had to be balanced with services to children with
other special needs. The government funded a number of programs for autistic
children but did not establish funding for ABA/IBI therapy for all autistic
children between the ages of three and six because of, inter alia,
financial constraints and the emergent and controversial nature of this therapy.
At the time of the trial, ABA/IBI funding for autistic children was not universal
and was only beginning to be recognized as desirable. The trial judge found
that the failure to fund ABA/IBI therapy violated the petitioners' equality
rights, directed the province to fund early ABA/IBI therapy for children
with autism and awarded $20,000 in damages to each of the adult petitioners.
The Court of Appeal upheld the judgment and added funding for ABA/IBI treatment
pursuant to medical opinion.
Held: The appeal should be allowed; the cross-appeal should be dismissed.
A person claiming a violation of s. 15(1) of the Charter must establish:
(1) differential treatment under the law, (2) on the basis of an enumerated
or analogous ground, (3) which constitutes discrimination. The specific role
of s. 15(1) in achieving its equality objective is to ensure that when governments
choose to enact benefits or burdens, they do so on a non-discriminatory basis.
This confines s. 15(1) claims to benefits and burdens imposed by law.
In this case, the government's conduct did not infringe the petitioners'
equality rights. The benefit claimed -- funding for all medically required
treatment -- is not provided by law. The Canada Health Act and the
relevant British Columbia legislation do not promise that any Canadian will
receive funding for all medically required treatment. All that is conferred
is core funding for services delivered by medical practitioners and, at a
province's discretion, funding or partial funding for non-core services,
which in the case of British Columbia are delivered by classes of "health
care practitioners" named by the province. More specifically, the law did
not provide for funding for ABA/IBI therapy for autistic children. At the
time of the trial, the province had not designated providers of ABA/IBI therapy
as "health care practitioners" whose services could be funded under the plan.
Since the government had not designated ABA/IBI therapists as "health care
practitioners", the administrative body charged with administration of the
provincial legislation had no power to order funding for ABA/IBI therapy.
The legislative scheme is not itself discriminatory in providing funding
for non-core services to some groups while denying funding for ABA/IBI therapy
to autistic children. The scheme is, by its very terms, a partial health
plan and its purpose is not to meet all medical needs. It follows that exclusion
of particular non-core services cannot, without more, be viewed as an adverse
distinction based on an enumerated ground. Rather, it is an anticipated feature
of the legislative scheme. One cannot therefore infer from the fact of exclusion
of ABA/IBI therapy for autistic children from non-core benefits that this
amounts to discrimination. There is no discrimination by effect.
Nor has it been established on the facts of this case that the government
excluded autistic children on the basis of disability. When the relevant
criteria are applied, the appropriate comparator for the petitioners is a
non-disabled person, or a person suffering a disability other than a mental
disability, who seeks or receives funding for a non-core therapy that is
important for his or her present and future health, is emergent and has only
recently began to be recognized as medically required. The claimant or claimant
group was not denied a benefit made available to the comparator group. In
the absence of evidence suggesting that the government's approach to ABA/IBI
therapy was different than its approach to other comparable, novel therapies
for non-disabled persons or persons with a different type of disability,
a finding of discrimination cannot be sustained.
The government's conduct did not infringe the petitioners' rights under s. 7 of the Charter.
Cases Cited Applied: Andrews v. Law Society of British Columbia, [1989] 1 S.C.R. 143; Law v. Canada (Minister of Employment and Immigration), [1999] 1 S.C.R. 497; Hodge v. Canada (Minister of Human Resources Development), 2004 SCC 65; referred to: R. v. Turpin, [1989] 1 S.C.R. 1296; Corbiere v. Canada (Minister of Indian and Northern Affairs), [1999] 2 S.C.R. 203; Granovsky v. Canada (Minister of Employment and Immigration), [2000] 1 S.C.R. 703, 2000 SCC 28; Nova Scotia (Attorney General) v. Walsh, [2002] 4 S.C.R. 325, 2002 SCC 83; Battlefords and District Co-operative Ltd. v. Gibbs, [1996] 3 S.C.R. 566; Nova Scotia (Workers' Compensation Board) v. Martin, [2003] 2 S.C.R. 504, 2003 SCC 54; British Columbia (Public Service Employee Relations Commission) v. BCGSEU, [1999] 3 S.C.R. 3; R. v. Malmo-Levine, [2003] 3 S.C.R. 571, 2003 SCC 74; Canadian Foundation for Children, Youth and the Law v. Canada (Attorney General), [2004] 1 S.C.R. 76, 2004 SCC 4; distinguished: Eldridge v. British Columbia (Attorney General), [1997] 3 S.C.R. 624.
Statutes and Regulations Cited Canada Health Act, R.S.C. 1985, c. C-6, ss. 2 "health
care practitioner", "hospital", "hospital services", "insured health services",
"medical practitioner", "physician services", 3, 4 [repl. 1995, c. 17, s.
35], 7, 9, 10, 12(1).
Constitutional Act, 1982, ss. 1, 7, 15, 24(1).
Interpretation Act, R.S.B.C. 1996, c. 238, s. 29 "medical practitioner". Medical and Health Care Services Regulation, B.C. Reg. 426/97, ss. 17, 22, 25.1. Medicare Protection Act, R.S.B.C. 1996, c. 286, s. 1 "beneficiary",
"benefits", "commission", "health care practitioner", "medical practitioner",
"practitioner", 2, 4(1), (2), (3), 5, 26(1), (3), (4).
APPEAL and CROSS-APPEAL from a judgment of the British Columbia Court
of Appeal (2002), 220 D.L.R. (4th) 411, [2003] 1 W.W.R. 42, 173 B.C.A.C.
114, 283 W.A.C. 114, 6 B.C.L.R. (4th) 201, 99 C.R.R. (2d) 139, [2002] B.C.J.
No. 2258 (QL), 2002 BCCA 538, affirming a decision of the British Columbia
Supreme Court, [2000] 8 W.W.R. 227, 78 B.C.L.R. (3d) 55, 77 C.R.R. (2d) 293,
[2000] B.C.J. No. 1547 (QL), 2000 BCSC 1142, with supplementary reasons (2001),
197 D.L.R. (4th) 165, [2001] 3 W.W.R. 447, 84 B.C.L.R. (3d) 259, 80 C.R.R.
(2d) 233, [2001] B.C.J. No. 215 (QL), 2001 BCSC 220. Appeal allowed and cross-appeal
dismissed.
Geoff D. Cowper, Q.C., and Lisa J. Mrozinski, for the appellants/respondents on cross-appeal.
C. E. Hinkson, Q.C., and Birgitta von Krosigk, for the respondents/appellants on cross-appeal.
Graham Garton, Q.C., and Michael H. Morris, for the intervener the Attorney General of Canada.
Robert E. Charney and Sarah Kraicer, for the intervener the Attorney General of Ontario.
Isabelle Harnois, for the intervener the Attorney General of Quebec.
Catherine J. Lunn, for the intervener the Attorney General of Nova Scotia.
Written submissions only by Gaétan Migneault, for the intervener the Attorney General of New Brunswick.
Ruth M. DeMone, for the intervener the Attorney General of Prince Edward Island.
Margaret Unsworth, for the intervener the Attorney General of Alberta.
Donald H. Burrage, Q.C., and Barbara Barrowman, for the intervener the Attorney General for Newfoundland and Labrador.
Elizabeth J. Shilton, Fay C. Faraday and Ena Chadha, for the interveners the Canadian Association for Community Living and the Council of Canadians with Disabilities.
Dianne Pothier and Fiona Sampson, for the interveners the Women's Legal Education and Action Fund and Disabled Women's Network Canada.
Domenic A. Crolla and Meghan K. O'Brien, for the intervener Autism Society Canada.
Douglas C. Mitchell, for the intervener Michelle Dawson.
Elizabeth M. (Ellie) Venhola, Janet L. Huchison and Michael R. Loughlan,
for the interveners Families for Effective Autism Treatment of Alberta Foundation
and Families for Early Autism Treatment of Ontario.
Mary Eberts and Jonathan Strung, for the intervener Friends of Children with Autism.
The judgment of the Court was delivered by
THE CHIEF JUSTICE -- I. Introduction 1 This case raises the issue of whether the Province of British Columbia's refusal to fund a particular treatment for preschool-aged autistic children violates the right to equality under the Canadian Charter of Rights and Freedoms. The petitioners are autistic children and their parents. They argue that the government's failure to fund applied behavioral therapy for autism unjustifiably discriminated against them. In the background lies the larger issue of when, if ever, a province's public health plan under the Canada Health Act, R.S.C. 1985, c. C-6 (CHA), is required to provide a particular health treatment outside the "core" services administered by doctors and hospitals. 2 One sympathizes with the petitioners, and with the decisions below ordering the public health system to pay for their therapy. However, the issue before us is not what the public health system should provide, which is a matter for Parliament and the legislature. The issue is rather whether the B.C. Government's failure to fund these services under the health plan amounted to an unequal and discriminatory denial of benefits under that plan, contrary to s. 15 of the Charter. Despite their forceful argument, the petitioners fail to establish that the denial of benefits violated the Charter. 3 The government must provide the services authorized by law in a non-discriminatory manner. Here, however, discrimination has not been established. First, the claim for discrimination is based on the erroneous assumption that the CHA and the relevant British Columbia legislation provided the benefit claimed. Second, on the facts here and applying the appropriate comparator, it is not established that the government excluded autistic children on the basis of disability. For these reasons, the claim fails and the appeal is allowed. II. The History of the Case
4 The four infant petitioners suffer from autism, a neuro-behavioural syndrome caused by a dysfunction of the central nervous system that impairs social interaction, hinders communication and results in repetitive, stereotyped behaviour. The symptoms and effects of autism vary from mild to severe. Over 90 percent of untreated autistic children end up in group homes or other residential facilities. 5 The cause and cure of autism remain unknown. However, a 1987 study published
by a Texas researcher, Dr. O. Ivar Lovaas, suggested that applied behavioural
therapy based on the repetitive use of stimuli and emphasized cues might
help some autistic children between ages three and six. The therapy is intensive
and therefore expensive -- between $45,000 and $60,000 per year. It is not
always successful; the trial judge found only that in "some cases" it may
produce "significant results" ((2000), 78 B.C.L.R. (3d) 55, 2000 BCSC 1142,
at para. 51). While increasingly accepted, Applied Behavioural Analysis (ABA)
or Intensive Behavioural Intervention (IBI) therapy is not uncontroversial.
Objections range from its reliance in its early years on crude and arguably
painful stimuli, to its goal of changing the child's mind and personality.
Indeed one of the interveners in this appeal, herself an autistic person,
argues against the therapy.
6 The infant petitioners received Lovaas therapy. Their parents, the adult petitioners, funded the treatment, although Connor Auton's
mother ultimately became unable to continue for financial reasons. Until
the government forbade it on the ground that new options were being evaluated,
some families used funds for support services from the Ministry of Children
and Families to help finance Lovaas therapy for their children with the tacit
support of Ministry workers in some regions. Over a period of years, the
petitioners and others lobbied the Ministers of Health, of Education, and
of Children and Families for funding for Lovaas therapy, without success.
In 1995, the petitioners commenced this action.
7 In the years leading up to the trial in 2000, the government funded
a number of programs for autistic children and their families. This was done
through the Ministry of Children and Families, which in 1997 had been given
responsibility for child and youth mental health. The programs included infant
development, supported child care, at-home respite, respite relief, contracted
respite, occupational therapy, physical therapy, speech and language therapy,
homemaker and home support services, hearing services, child care workers
and specific behavioural support. Under the latter category, some programs
attempted to positively treat autism. The Ministry provided services to autistic
children through contracted agencies, some of which employed some behavioural
analysis techniques. However, the focus was on teaching families the techniques
to enable them to work themselves with the children.
8 An early intervention ABA/IBI program called LEAP had been established
in Ladner but it was underfunded and equipped to serve only six children.
Other centres and groups provided some ABA/IBI but the Crown's expert, Dr.
Glen Davies, testified that these programs were not intensive, not delivered
early enough in the child's development, and were rarely of sufficient duration
to maximize the child's development. Finally, in May 1999, the Ministry announced
an Autism Action Plan and an Autism Action Implementation Plan, which acknowledged
the importance of early intervention, diagnosis and assessment, but stated that
services for autistic children had to be balanced with services to children
with other special needs. Moreover, the plan did not specifically target
ABA/IBI therapy. As of the date of trial a year or so later, the Ministry
had not produced much. No new funding had been provided and a concrete plan
for intensive early treatment remained to be developed.
9 In a nutshell, at the time of trial the government funded a number of
programs for young autistic children, and appeared to be moving toward funding
some form of early intervention therapy. However, it had not established
funding for intensive, universal ABA/IBI therapy available to all autistic
children between the ages of three and six.
10 This delay appears to have been due to a number of factors. The first
was the 1997 decision to transfer child and youth mental health from the
Ministry of Health to the Ministry of Children and Families, which put a
non-medical slant on treatment. The second was financial constraint: in 1998,
the deputy ministers of the ministries of Health, Education, and Children
and Families informed families that the government was not "in a resource
position" to fund ABA/IBI therapy.
11 A final factor may have been the emergent and somewhat controversial
nature of ABA/IBI therapy, although by the time of the trial the evidence
was sufficient to convince the trial judge that it was "medically necessary"
(para. 102). At the time of trial in 2000, ABA/IBI funding for autistic children
was only beginning to be recognized as desirable and was far from universal.
Alberta established funding for it in 1999, as did Ontario. Prince Edward
Island was providing up to 20 hours of ABA/IBI per week at the time of trial,
and Newfoundland and Manitoba had instituted pilot projects in 1999. In the
United States "several jurisdictions" included ABA/IBI in educational or
Medicaid programs, and the New York State Department Guidelines and the 1999
U.S. Report of the Surgeon General on Mental Health recognized ABA/IBI as
the treatment of choice (trial judgment, at para. 82).
12 The petitioners sought funding for Lovaas therapy, a particular type
of ABA/IBI therapy, from all three ministries. However, the trial judge dealt
only with the claim against the Ministry of Health because she considered
the issue "to be primarily a health issue" (para. 88).
13 Having thus narrowed the claim, the trial judge went on to find that
applied behavioural therapy is a "medically necessary" service for autistic
children. I note that she used the term "medically necessary" to mean, in
a general way, a medical service that is essential to the health and medical
treatment of an individual. She ruled that by denying a "medically necessary"
service to a disadvantaged group (autistic children, a subset of the mentally
disabled), while providing "medically necessary" services to non-autistic
children and mentally disabled adults, the government discriminated against
autistic children, since "the absence of treatment programmes for autistic
children must consciously or unconsciously be based on the premise that one
cannot effectively treat autistic children . . . [which is] a misconceived
stereotype" (para. 127). She concluded, at para. 139:
The Crown has failed to take into account and accommodate the infant petitioners'
already disadvantaged position, resulting in differential treatment. That
unequal treatment, which is based on the enumerated ground of mental disability,
is discriminatory. Here the only accommodation possible is funding for effective
treatment.
14 The trial judge went on to find that the discrimination was not justified under s. 1 of the Charter.
She accepted that the government was entitled to judicial deference in allocating
finite resources among vulnerable groups, but held that this did not immunize
its decision to deny funding for ABA/IBI from Charter review, given
that the exclusion of ABA/IBI therapy undermined the "primary objective"
of medicare legislation, namely the provision of "universal health care"
(para. 151).
15 The trial judge granted: (1) a declaration that failure to fund ABA/IBI breached s. 15 of the Charter;
(2) a direction that the Crown fund early intensive behavioural therapy for
children with autism; and (3) a "symbolic" award of $20,000 under s. 24(1)
of the Charter to each of the adult petitioners as damages for the
financial and emotional burdens of litigation ((2001), 197 D.L.R. (4th) 165,
2001 BCSC 220, at paras. 64-65). She did not direct funding or reimbursement
for the specific therapy requested and used, Lovaas therapy, on the ground
that it was up to the government, not the court, to determine the nature
and extent of ABA/IBI therapy funded on appropriate professional advice (para.
25).
16 The Court of Appeal agreed with the trial judge that the government had discriminated contrary to s. 15 of the Charter
and that this could not be justified under s. 1 ((2002), 220 D.L.R. (4th)
411, 2002 BCCA 538). The discrimination lay in "the failure of the health
care administrators of the Province to consider the individual needs of the
infant complainants by funding treatment" (para. 51). This, to the appellate
court, constituted "a statement that their mental disability is less worthy
of assistance than the transitory medical problems of others," thus creating
a "socially constructed handicap" that worsened the position of an already
disadvantaged group (para. 51).
17 The government was unable to satisfy its justificative burden under s. 1 of the Charter. It
failed to establish a rational connection or proportionality between the
objective of properly allocating limited resources between multiple demands
and the denial of ABA/IBI therapy, given the importance of meeting the needs
of autistic children and the potential benefits for the children and the
community that would flow from ABA/IBI treatment. The Court of Appeal allowed
the cross-appeal by adding funding for ABA/IBI treatment pursuant to medical
opinion.
18 The government now appeals to this Court, and asks that these decisions be set aside. III. Analysis A. Did the Government's Conduct Infringe the Petitioners' Equality Rights under
Section 15 of the Charter? 19 Section 15(1) of the Charter provides: Every individual is equal before and under the law and has the right to the equal protection and equal benefit of the law without discrimination and, in particular, without discrimination based on race, national or ethnic origin, colour, religion, sex, age or mental or physical disability. 20 This case engages s. 15's guarantee of "equal benefit of the law without discrimination . . . based on mental . . . disability". 21 Different cases have formulated the requirements for a successful s. 15(1) claim in different ways. Nevertheless, there is "broad agreement on the general analytic framework": Eldridge v. British Columbia (Attorney General), [1997] 3 S.C.R. 624, at para. 58. In Andrews v. Law Society of British Columbia, [1989] 1 S.C.R. 143, at pp. 168 et seq. -- this Court's seminal statement on the interpretation of s. 15(1) -- the s. 15 analysis was described in two steps: first, whether there is unequal treatment under the law; and, second, whether the treatment is discriminatory. Similarly in Eldridge, supra, which also concerned a claim for medical services, La Forest J., at para. 58, put the test as follows: A person claiming a violation of s. 15(1) must first establish that, because of a distinction drawn between the claimant and others, the claimant has been denied "equal protection" or "equal benefit" of the law. Secondly, the claimant must show that the denial constitutes discrimination on the basis of one of the enumerated grounds listed in s. 15(1) or one analogous thereto. 22 The dual requirements of Andrews, supra, and Eldridge, supra, were broken into three requirements in Law v. Canada (Minister of Employment and Immigration), [1999] 1 S.C.R. 497
at para. 88: (1) differential treatment under the law; (2) on the basis of
an enumerated or analogous ground; (3) which constitutes discrimination.
23 There is no magic in a particular statement of the elements that must be established to prove a claim under s. 15(1). It is the words of the provision that must guide. Different cases will raise different issues. In this case, as will be discussed, an issue arises as to whether the benefit claimed is one provided by the law. The important thing is to ensure that all the requirements of s. 15(1), as they apply to the case at hand, are met. 24 A complicating factor is that however one states the requirements for s. 15(1), they inevitably overlap. For example, the nature of the benefit, the enumerated or analogous ground at issue, and the choice of a correct comparator play a role in all three steps: see Hodge v. Canada (Minister of Human Resources Development), 2004 SCC 65. Frameworks thus do not describe discreet linear steps; rather, they serve as a guide to ensure that the language and purpose of s. 15(1) are respected. 25 Whatever framework is used, an overly technical approach to s. 15(1) is to be avoided. In Andrews, supra,
at pp. 168-69 McIntytre J. warned against adopting a narrow, formalistic
analytical approach, and stressed the need to look at equality issues substantively
and contextually. The Court must look at the reality of the situation and
assess whether there has been discriminatory treatment having regard to the
purpose of s. 15(1), which is to prevent the perpetuation of pre-existing
disadvantage through unequal treatment.
26 In this case, the following issues arise from an application of the language of s. 15(1) to the facts: (1) Is the claim for a benefit provided by law? If not, what relevant benefit is provided by law? (2) Was the relevant benefit denied to the claimants while being granted to a comparator group alike in all ways relevant to benefit, except for the personal characteristic associated with an enumerated or analogous ground? (3) If the claimants succeed on the first two issues, is discrimination established by showing that the distinction denied their equal human worth and human dignity? (1) Is the Claim for a Benefit Provided by Law? 27 In order to succeed, the claimants must show unequal treatment under the law -- more specifically that they failed to receive a benefit that the law provided, or was saddled with a burden the law did not impose on someone else. The primary and oft-stated goal of s. 15(1) is to combat discrimination and ameliorate the position of disadvantaged groups within society. Its specific promise, however, is confined to benefits and burdens "of the law." Combatting discrimination and ameliorating the position of members of disadvantaged groups is a formidable task and demands a multi-pronged response. Section 15(1) is part of that response. Section 15(2)'s exemption for affirmative action programs is another prong of the response. Beyond these lie a host of initiatives that governments, organizations and individuals can undertake to ameliorate the position of members of disadvantaged groups. 28 The specific role of s. 15(1) in achieving this objective is to ensure
that when governments choose to enact benefits or burdens, they do so on
a non-discriminatory basis. This confines s. 15(1) claims to benefits and
burdens imposed by law. As stated in R. v. Turpin, [1989] 1 S.C.R. 1296, at p. 1329:
The guarantee of equality before the law is designed to advance the value that all persons be subject to the equal demands and burdens of the law and not suffer any greater disability in the substance and application of the law than others. [Emphasis added.] 29 Most s. 15(1) claims relate to a clear statutory benefit or burden. Consequently, the need for the benefit claimed or burden imposed to emanate from law has not been much discussed. Nevertheless, the language of s. 15(1) as well as the jurisprudence demand that it be met before a s. 15(1) claim can succeed. 30 In this case, the issue of whether the benefit claimed is one conferred by law does arise, and must be carefully considered. The claim, as discussed, is for funding for a "medically necessary" treatment. The unequal treatment is said to lie in funding medically required treatments for non-disabled Canadian children or adults with mental illness, while refusing to fund medically required ABA/IBI therapy to autistic children. The decisions under appeal proceeded on this basis. The trial judge, affirmed by the Court of Appeal, ruled that the discrimination lay in denying a "medically necessary" service to a disadvantaged group while providing "medically necessary" services for others. Thus the benefit claimed, in essence, is funding for all medically required treatment. 31 This raises the question of whether the legislative scheme in fact provides anyone with all medically required treatment. An examination of the scheme shows that it does not: see Appendix A (Relevant Legislative and Regulatory Provisions) and Appendix B (Interaction of the Relevant Legislative and Regulatory Provisions). 32 The scheme designates two distinct categories of funded treatment based on service. First, the scheme provides complete funding for services delivered by medical practitioners, referred to as "core" services. This is required by the CHA. Many medically necessary or required services, including ABA/IBI therapy for autistic children, fall outside this core. 33 Secondly, the CHA permits the provinces at their discretion to fund non-core medical services -- services that are not delivered by physicians. British Columbia does this by naming classes of "health care practitioners" whose services may be partially funded. It then falls to the Medical Services Commission, an administrative body, to designate particular practitioners and procedures within these categories for funding. 34 It was suggested that the reference by the Medicare Protection Act, R.S.B.C. 1996, c. 286 (MPA), to "medically required" services is an indication that all medically required or necessary non-core services must be funded. However, the Act does not say this. Section 1 uses the phrase "medically required services" in conjunction with the services of doctors or "medical practitioners" or an "approved diagnostic facility" (s. 1 "benefits", paras. (a) and (c)). Only these services are funded on the basis of being "medically required". "Medically required" in the MPA does not touch the services of "health care practitioners" which are funded only if the Province chooses to place a class of health care practitioner on an "enrolled" list by legislation or regulation: MPA, s. 1 "benefits", para. (b). 35 In summary, the legislative scheme does not promise that any Canadian will receive funding for all medically required treatment. All that is conferred is core funding for services provided by medical practitioners, with funding for non-core services left to the Province's discretion. Thus, the benefit here claimed -- funding for all medically required services -- was not provided for by the law. 36 More specifically, the law did not provide funding for ABA/IBI therapy for autistic children. The B.C. MPA authorized partial funding for the services of the following health care practitioners: chiropractors, dentists, optometrists, podiatrists, physical therapists, massage therapists and naturopathic doctors. In addition, provincial regulations authorized funding for the services of physical therapists, massage therapists and nurses. At the time of trial, the Province had not named providers of ABA/IBI therapy as "health care practitioners", whose services could be funded under the plan. 37 It followed that the Medical Services Commission, charged with administration of the MPA, had no power to order funding for ABA/IBI therapy. The Commission, as an administrative body, had no authority to enlarge the class of "health care practitioners". That could be done only by the government. Since the government had not designated ABA/IBI therapists as "health care practitioners", the Commission was not permitted to list their services for funding. This is how things stood at the time of trial. British Columbia's law governing non-core benefits did not provide the benefit that the petitioners were seeking. 38 The petitioners rely on Eldridge, supra, in arguing for equal provision of medical benefits. In Eldridge, this Court held that the Province was obliged to provide translators to the deaf so that they could have equal access to core benefits accorded to everyone under the B.C. medicare scheme. The decision proceeded on the basis that the law provided the benefits at issue -- physician-delivered consultation and maternity care. However, by failing to provide translation services for the deaf, the Province effectively denied to one group of disabled people the benefit it had granted by law. Eldridge, was concerned with unequal access to a benefit that the law conferred and with applying a benefit-granting law in a non-discriminatory fashion. By contrast, this case is concerned with access to a benefit that the law has not conferred. For this reason, Eldridge, supra, does not assist the petitioners. 39 However, this does not end the inquiry. Courts should look to the reality
of the situation to see whether the claimants have been denied benefits of
the legislative scheme other than those they have raised. This brings up
the broader issue of whether the legislative scheme is discriminatory, since
it provides non-core services to some groups while denying funding for ABA/IBI
therapy to autistic children. The allegation is that the scheme is itself
discriminatory, by funding some non-core therapies while denying equally
necessary ABA/IBI therapy.
40 This argument moves beyond the legislative definition of "benefit". As pointed out in Hodge, supra, at para. 25:
. . . the legislative definition, being the subject matter of the equality
rights challenge, is not the last word. Otherwise, a survivor's pension restricted
to white protestant males could be defended on the ground that all surviving
white protestant males were being treated equally.
We must look behind the words and ask whether the statutory definition
is itself a means of perpetrating inequality rather than alleviating it.
Section 15(1) requires not merely formal equality, but substantive equality:
Andrews, supra, at p. 166.
41 It is not open to Parliament or a legislature to enact a law whose
policy objectives and provisions single out a disadvantaged group for inferior
treatment: Corbiere v. Canada (Minister of Indian and Northern Affairs), [1999] 2 S.C.R. 203.
On the other hand, a legislative choice not to accord a particular benefit
absent demonstration of discriminatory purpose, policy or effect does not
offend this principle and does not give rise to s. 15(1) review. This Court
has repeatedly held that the legislature is under no obligation to create
a particular benefit. It is free to target the social programs it wishes
to fund as a matter of public policy, provided the benefit itself is not
conferred in a discriminatory manner: Granovsky v. Canada (Minister of Employment and Immigration), [2000] 1 S.C.R. 703, 2000 SCC 28, at para. 61; Nova Scotia (Attorney General) v. Walsh, [2002] 4 S.C.R. 325, 2002 SCC 83, at para. 55; Hodge, supra, at para. 16.
42 A statutory scheme may discriminate either directly, by adopting a
discriminatory policy or purpose, or indirectly, by effect. Direct discrimination
on the face of a statute or in its policy is readily identifiable and poses
little difficulty. Discrimination by effect is more difficult to identify.
Where stereotyping of persons belonging to a group is at issue, assessing
whether a statutory definition that excludes a group is discriminatory, as
opposed to being the legitimate exercise of legislative power in defining
a benefit, involves consideration of the purpose of the legislative scheme
which confers the benefit and the overall needs it seeks to meet. If a benefit
program excludes a particular group in a way that undercuts the overall purpose
of the program, then it is likely to be discriminatory: it amounts to an
arbitrary exclusion of a particular group. If, on the other hand, the exclusion
is consistent with the overarching purpose and scheme of the legislation,
it is unlikely to be discriminatory. Thus, the question is whether the excluded
benefit is one that falls within the general scheme of benefits and needs
which the legislative scheme is intended to address.
43 The legislative scheme in the case at bar, namely the CHA and the MPA,
does not have as its purpose the meeting of all medical needs. As discussed,
its only promise is to provide full funding for core services, defined as
physician-delivered services. Beyond this, the provinces may, within their
discretion, offer specified non-core services. It is, by its very terms,
a partial health plan. It follows that exclusion of particular non-core services
cannot without more be viewed as an adverse distinction based on an enumerated
ground. Rather, it is an anticipated feature of the legislative scheme. It
follows that one cannot infer from the fact of exclusion of ABA/IBI therapy
for autistic children from non-core benefits that this amounts to discrimination.
There is no discrimination by effect.
44 The correctness of this conclusion may be tested by considering the
consequences to the legislative scheme of obliging provinces to provide non-core
medical services required by disabled persons and people associated with
other enumerated and analogous grounds, like gender and age. Subject to a
finding of no discrimination at the third step, a class of people legally
entitled to non-core benefits would be created. This would effectively amend
the medicare scheme and extend benefits beyond what it envisions -- core
physician-provided benefits plus non-core benefits at the discretion of the
Province.
45 Had the situation been different, the petitioners might have attempted
to frame their legal action as a claim to the benefit of equal application
of the law by the Medical Services Commission. This would not have been a
substantive claim for funding for particular medical services, but a procedural
claim anchored in the assertion that benefits provided by the law were not
distributed in an equal fashion. Such a claim, if made out, would be supported
by Eldridge, supra. The argument would be that the Medical
Services Commission violated s. 15(1) by approving non-core services for
non-disabled people, while denying equivalent services to autistic children
and their families.
46 Such a claim depends on a prior showing that there is a benefit provided
by law. There can be no administrative duty to distribute non-existent benefits
equally. Had the legislature designated ABA/IBI therapists (or a broader
group of therapists which included them) as "health care practitioners" under
the MPA at the time of trial, this would have amounted to a legislated
benefit, which the Commission would be charged with implementing. The Commission
would then have been obliged to implement that benefit in a non-discriminatory
fashion. However, this is not the case. Here, the legislature had not legislated
funding for the benefit in question, and the Commission had no power to deal
with it.
47 I conclude that the benefit claimed, no matter how it is viewed, is
not a benefit provided by law. This is sufficient to end the inquiry. However,
since this is the first case of this type to reach this Court, it is appropriate
to consider whether the petitioners would have succeeded had they established
that ABA/IBI therapy was a benefit provided by law, by being designated as
a non-core benefit.
(2) Denial of a Benefit Granted to a Comparator Group, on an Enumerated
of Analogous Ground
48 This question first requires us to determine the appropriate comparator
group, and then to ask whether, as compared with people in that group, the
petitioners have been denied a benefit.
49 The first task is to determine the appropriate comparator group. The
petitioners suggested that they should be compared with non-disabled children
and their parents, as well as adult persons with mental illness. A closer
look reveals problems with both suggested comparators.
50 The law pertaining to the choice of comparators is extensively discussed in Hodge, supra, and need not be repeated here. That discussion establishes the following propositions.
51 First, the choice of the correct comparator is crucial, since the comparison
between the claimants and this group permeates every stage of the analysis.
"[M]isidentification of the proper comparator group at the outset can doom
the outcome of the whole s. 15(1) analysis": Hodge, supra, at para.18.
52 Second, while the starting point is the comparator chosen by the claimants,
the Court must ensure that the comparator is appropriate and should substitute
an appropriate comparator if the one chosen by the claimants is not appropriate:
Hodge, supra, at para. 20.
53 Third, the comparator group should mirror the characteristics of the
claimant or claimant group relevant to the benefit or advantage sought, except
for the personal characteristic related to the enumerated or analogous ground
raised as the basis for the discrimination: Hodge, supra, at
para. 23. The comparator must align with both the benefit and the "universe
of people potentially entitled" to it and the alleged ground of discrimination:
Hodge, at paras. 25 and 31.
54 Fourth, a claimant relying on a personal characteristic related to
the enumerated ground of disability may invite comparison with the treatment
of those suffering a different type of disability, or a disability of greater
severity: Hodge, supra, at paras. 28 and 32. Examples of the
former include the differential treatment of those suffering mental disability
from those suffering physical disability in Battlefords and District Co-operative Ltd. v. Gibbs, [1996] 3 S.C.R. 566, and the differential treatment of those suffering chronic pain from those suffering other workplace injuries in Nova Scotia (Workers' Compensation Board) v. Martin, [2003] 2 S.C.R. 504,
2003 SCC 54. An example of the latter is the treatment of persons with temporary
disabilities compared with those suffering permanent disabilities in Granovsky, supra.
55 Applying these criteria, I conclude that the appropriate comparator
for the petitioners is a non-disabled person or a person suffering a disability
other than a mental disability (here autism) seeking or receiving funding
for a non-core therapy important for his or her present and future health,
which is emergent and only recently becoming recognized as medically required.
It will be recalled that in many jurisdictions ABA/IBI therapy remained unfunded
at the time of trial. Indeed, it was only in the year preceding the trial
that two Canadian provinces had authorized funding for ABA/IBI therapy to
autistic children. The comparators, as noted, must be like the claimants
in all ways save for characteristics relating to the alleged ground of discrimination.
People receiving well-established non-core therapies are not in the same
position as people claiming relatively new non-core benefits. Funding may
be legitimately denied or delayed because of uncertainty about a program
and administrative difficulties related to its recognition and implementation.
This has nothing to do with the alleged ground of discrimination. It follows
that comparison with those receiving established therapies is inapt.
56 The petitioners' comparators were deficient in that they focussed on
the non-existent medical benefit of medically required care, as discussed
above. However, even if I were to assume that the benefit is one provided
by law -- more particularly, that the B.C. legislation had listed ABA/IBI
therapists as "health care practitioners" whose services could be considered
funded benefits -- the petitioners' comparators would still be deficient,
because they have left the recent and emergent nature of ABA/IBI therapy
out of the equation. This error was replicated in the decisions below.
57 The remaining question is whether, applying the appropriate comparator,
the claimant or claimant group was denied a benefit made available to the
comparator group. Differential treatment having regard to the appropriate
comparator may be established either by showing an explicit distinction (direct
discrimination) or by showing that the effect of the government action amounted
to singling the claimant out for less advantageous treatment on the basis
of the alleged ground of discrimination (indirect discrimination). In indirect
discrimination, the terms on which the claimants are denied the benefit operate
as a proxy for their group status. For example, in British Columbia (Public Service Employee Relations Commission) v. BCGSEU, [1999] 3 S.C.R. 3,
facially neutral physical requirements for firefighters were set at aerobic
levels not generally attainable by female firefighters -- levels, moreover,
which were not required for performance of the job. The specified aerobic
levels made no mention of gender. On their face, they did not discriminate.
Yet, in effect, they excluded women, not on the basis of ability to do the
job, but on the basis of gender. The aerobic levels served as a proxy for
gender. Hence, they were held to discriminate on the basis of gender.
58 As discussed, the appropriate comparator in this case is a member of
a non-disabled group or a person suffering a disability other than a mental
disability that requests or receives funding for non-core therapy important
to present and future health, but which is emergent and only recently becoming
recognized as medically required. On the evidence adduced here, differential
treatment either directly or by effect is not established. There was no evidence
of how the Province had responded to requests for new therapies or treatments
by non-disabled or otherwise disabled people. We know that it was slow in
responding to the demands for ABA/IBI funding for autistic children. But
we do not know whether it acted in a similar manner with respect to other
new therapies.
59 Indeed, the conduct of the government considered in the context of
the emergent nature of ABA/IBI therapy for autistic children raises doubts
about whether there was a real denial or differential treatment of autistic
children. The government put in place a number of programs, albeit not intensive
ABA/IBI therapy, directed to helping autistic children and their families.
In the year before the trial, the government had announced an Autism Action
Plan and an Autism Action Implementation Plan which acknowledged the importance
of early intervention, diagnosis and assessment. The government's failing
was to delay putting in place what was emerging in the late-1990s as the
most, indeed the only known, effective therapy for autism, while continuing
to fund increasingly discredited treatments.
60 As discussed earlier, the delay in providing funding for ABA/IBI therapy
seems to have been related to three factors. The first was the inauspicious
decision to transfer child and youth mental health from the Ministry of Health
to the Ministry of Children and Families, which meant that the decision makers
lacked medical and psychiatric expertise and viewed autism from a social
rather than medical perspective. The second was financial concerns and competing
claims on insufficient resources. The third was the emergent nature of the
recognition that ABA/IBI therapy was appropriate and medically required.
61 With hindsight, it is possible to say that the government should have
moved more quickly. But on the evidence before us, it is difficult to say
that the government in purpose or effect put autistic children and their
families "on the back burner" when compared to non-disabled or otherwise
disabled groups seeking emergent therapies. Rather, to use the trial judge's
phrase, the government's failing was that its actions to that point did not
meet the "gold standard of scientific methodology" ((2000), 78 B.C.L.R. (3d)
55, at para. 66).
62 The issue, however, is not whether the government met the gold standard
of scientific methodology, but whether it denied autistic people benefits
it accorded to others in the same situation, save for mental disability.
There is no evidence suggesting that the government's approach to ABA/IBI
therapy was different than its approach to other comparable, novel therapies
for non-disabled persons or persons with a different type of disability.
In the absence of such evidence, a finding of discrimination cannot be sustained.
(3) Discrimination
63 If differential denial of a benefit provided by law on a ground enumerated
in s. 15(1) or analogous thereto were established, it would still be necessary
to examine whether the distinction was discriminatory in the sense of treating
autistic children as second-class citizens and denying their fundamental
human dignity. The failure to establish the basis for a claim for discrimination
deprives us of the necessary foundation for this final inquiry.
B. Did the Government's Conduct Infringe the Petitioners' Rights under Section 7 of
the Charter?
64 Section 7 of the Charter provides: Everyone has the right to life, liberty and security of the person and
the right not to be deprived thereof except in accordance with the principles
of fundamental justice.
65 The petitioners raise s. 7 on cross-appeal. The trial judge found it
unnecessary to consider this argument, having found a violation of s. 15.
Saunders J.A., for the majority of the Court of Appeal, addressed the question
briefly and found that no violation had been established.
66 Section 7 was raised only fleetingly in written and oral submissions
before this Court. The petitioners do not clearly identify the principle
of fundamental justice which they allege to have been breached by the denial
of funding for Lovaas or other ABA/IBI-based therapy. Nor do they argue that
the denial of funding or the statutory scheme violate the prohibition against
arbitrariness or requirements for procedural safeguards. To accede to the
petitioners' s. 7 claim would take us beyond the parameters discussed by
this Court in R. v. Malmo-Levine, [2003] 3 S.C.R. 571, 2003 SCC 74 at para. 113, and Canadian Foundation for Children, Youth and the Law v. Canada (Attorney General), [2004] 1 S.C.R. 76, 2004 SCC 4, at para. 8. The record before us does not support taking this step.
67 Thus, the limited submissions before us do not permit us to conclude
that the government's conduct in the case at bar infringed the petitioners'
s. 7 rights.
IV. Conclusion 68 The Province of British Columbia's appeal is allowed. The cross-appeal of the petitioners is dismissed.
69 I would answer the constitutional questions as follows: 1. Do the definitions of "benefits" and "health care practitioners" in s. 1 of the Medicare Protection Act,
R.S.B.C. 1996, c. 286, and ss. 17-29 of the Medical and Health Care Services
Regulation, B.C. Reg. 426/97, infringe s. 15(1) of the Canadian Charter of Rights and Freedoms by failing to include services for autistic children based on applied behavioural analysis?
No. 2. If so, is the infringement a reasonable limit prescribed by law as
can be demonstrably justified in a free and democratic society under s. 1
of the Canadian Charter of Rights and Freedoms?
It is unnecessary to answer this question. 3. Do the definitions of "benefits" and "health care practitioners" in s. 1 of the Medicare Protection Act, R.S.B.C. 1996, c. 286, and ss. 17-29 of the Medical and Health Care Services Regulation, B.C. Reg. 426/97, infringe s. 7 of the Canadian Charter of Rights and Freedoms by failing to include services for autistic children based on applied behavioural analysis? No. 4. If so, is the infringement a reasonable limit prescribed by law as
can be demonstrably justified in a free and democratic society under s. 1
of the Canadian Charter of Rights and Freedoms?
It is unnecessary to answer this question. |
| APPENDIX A Relevant Legislative and Regulatory Provisions (1) Canada Health Act, R.S.C. 1985, c. C-6 2. In this Act, . . . "health care practitioner" means a person lawfully entitled under the
law of a province to provide health services in the place in which the services
are provided by that person;
"hospital" includes any facility or portion thereof that provides hospital
care, including acute, rehabilitative or chronic care, but does not include
(a) a hospital or institution primarily for the mentally disordered, or
(b) a facility or portion thereof that provides nursing home intermediate
care service or adult residential care service, or comparable services for
children;
"hospital services" means any of the following services provided to in-patients
or out-patients at a hospital, if the services are medically necessary for
the purpose of maintaining health, preventing disease or diagnosing or treating
an injury, illness or disability, namely,
(a) accommodation and meals at the standard or public ward level and preferred accommodation if medically required,
(b) nursing service,
(c) laboratory, radiological and other diagnostic procedures, together with the necessary interpretations,
(d) drugs, biologicals and related preparations when administered in the hospital,
(e) use of operating room, case room and anaesthetic facilities, including necessary equipment and supplies,
(f) medical and surgical equipment and supplies,
(g) use of radiotherapy facilities, (h) use of physiotherapy facilities, and (i) services provided by persons who receive remuneration therefor from the hospital,
but does not include services that are excluded by the regulations;
"insured health services" means hospital services, physician services
and surgical-dental services provided to insured persons, but does not include
any health services that a person is entitled to and eligible for under any
other Act of Parliament or under any Act of the legislature of a province
that relates to workers' or workmen's compensation;
. . . "medical practitioner" means a person lawfully entitled to practise medicine
in the place in which the practice is carried on by that person;
. . . "physician services" means any medically required services rendered by medical practitioners;
3.
It is hereby declared that the primary objective of Canadian health care
policy is to protect, promote and restore the physical and mental well-being
of residents of Canada and to facilitate reasonable access to health services
without financial or other barriers.
PURPOSE 4.
The purpose of this Act is to establish criteria and conditions in respect
of insured health services and extended health care services provided under
provincial law that must be met before a full cash contribution may be made.
. . . PROGRAM CRITERIA 7. In
order that a province may qualify for a full cash contribution referred to
in section 5 for a fiscal year, the health care insurance plan of the province
must, throughout the fiscal year, satisfy the criteria described in sections
8 to 12 respecting the following matters:
(a) public administration; (b) comprehensiveness; (c) universality; (d) portability; and (e) accessibility. . . . 9.
In order to satisfy the criterion respecting comprehensiveness, the health
care insurance plan of a province must insure all insured health services
provided by hospitals, medical practitioners or dentists, and where the law
of the province so permits, similar or additional services rendered by other
health care practitioners.
10.
In order to satisfy the criterion respecting universality, the health care
insurance plan of a province must entitle one hundred per cent of the insured
persons of the province to the insured health services provided for by the
plan on uniform terms and conditions.
. . . 12. (1) In order to satisfy the criterion respecting accessibility, the health care insurance plan of a province
(a) must provide for insured health services on uniform terms and
conditions and on a basis that does not impede or preclude, either directly
or indirectly whether by charges made to insured persons or otherwise, reasonable
access to those services by insured persons;
(b) must provide for payment for insured health services in accordance
with a tariff or system of payment authorized by the law of the province;
(c) must provide for reasonable compensation for all insured health services rendered by medical practitioners or dentists; and
(d)
must provide for the payment of amounts to hospitals, including hospitals
owned or operated by Canada, in respect of the cost of insured health services.
. . . (2) Medicare Protection Act, R.S.B.C. 1996, c. 286 Preamble WHEREAS the people and government of British Columbia believe that medicare
is one of the defining features of Canadian nationhood and are committed
to its preservation for future generations;
WHEREAS the people and government of British Columbia wish to confirm
and entrench universality, comprehensiveness, accessibility, portability
and public administration as the guiding principles of the health care system
of British Columbia and are committed to the preservation of these principles
in perpetuity;
WHEREAS the people and government of British Columbia recognize a responsibility
for the judicious use of medical services in order to maintain a fiscally
sustainable health care system for future generations;
AND WHEREAS the people and government of British Columbia believe it to
be fundamental that an individual's access to necessary medical care be solely
based on need and not on the individual's ability to pay.
1. In this Act: "beneficiary"
means a resident who is enrolled in accordance with section 7, and includes
that resident's spouse or child who is a resident and has been enrolled under
section 7;
"benefits" means (a) medically required services rendered by a medical practitioner who
is enrolled under section 13, unless the services are determined under section
5 by the commission not to be benefits,
(b) required services prescribed as benefits under section 51 and rendered
by a health care practitioner who is enrolled under section 13, or
(c) unless determined by the commission under section 5 not to be benefits, medically required services performed
(i) in an approved diagnostic facility, and
(ii) by or under the supervision of an enrolled medical practitioner who is acting
(A) on order of a person in a prescribed category of persons, or (B) in accordance with protocols approved by the commission; . . . "commission" means the Medical Services Commission continued under section 3;
. . . "health care practitioner" means a person registered as (a) a chiropractor under the Chiropractors Act, (b) a dentist under the Dentists Act, (c) [Repealed 1999-12-13.] (d) an optometrist under the Optometrists Act, (e) a podiatrist under the Podiatrists Act, or (f) a member of a health care profession or occupation that may be prescribed;
"medical practitioner" means a medical practitioner as defined in section 29 of the Interpretation Act;
. . . "practitioner" means (a) a medical practitioner, or (b) a health care practitioner who is enrolled under section 13; Purpose 2. The purpose of this Act is to preserve a publicly managed and
fiscally sustainable health care system for British Columbia in which access
to necessary medical care is based on need and not an individual's ability
to pay.
Part 1 -- Medical Services Commission Special committees respecting health care practitioners 4(1) After consultation with the appropriate licensing body, the
Lieutenant Governor in Council may establish one or more special committees
to exercise the powers, duties or functions of the commission under this
Act that are specified by the Lieutenant Governor in Council for a body of
health care practitioners.
(2) A special committee established under subsection (1) is composed of
the persons the Lieutenant Governor in Council specifies and exercises its
powers, duties or functions on the terms and conditions the Lieutenant Governor
in Council specifies.
(3) A special committee established under subsection (1) may establish
a panel and the powers, duties and functions of the special committee may
be exercised, subject to the regulations, by the panel.
. . . Responsibilities and powers of the commission 5(1) The commission may do one or more of the following: . . . (h) determine whether a person is a medical practitioner or a health care practitioner;
(i) determine for the purposes of this Act whether a person meets the requirements
established in the regulations for premium assistance;
(j) determine whether a service is a benefit or whether any matter is related to the rendering of a benefit;
. . . (u) exercise other powers or functions that are authorized by the regulations or the minister.
(2) The commission must not act under subsection (1) in a manner that does
not satisfy the criteria described in section 7 of the Canada Health Act (Canada).
. . . Part 5 -- Payments Payment schedules and benefit plans 26(1) The commission (a) must establish payment schedules that specify the amounts that may
be paid to or on behalf of practitioners for rendering benefits under this
Act, less applicable patient visit charges, and
(b) may establish different categories of practitioners for the purposes of those payment schedules.
. . . (3) The commission may, at any time, amend the payment schedules
(a) in any manner that the commission considers necessary or advisable, and
(b) without limiting paragraph (a), by increasing or decreasing any amount in a payment schedule.
(4) An amendment referred to in subsection (3) (b) may apply (a) to a specified geographical area, (b) to a category of practitioners, (c) to a category of practitioners within a specified geographical area, or
(d) to a specified benefit or class of benefits within a specified geographical area.
(3) Medical and Health Care Services Regulation, B.C. Reg. 426/97
Definition of health care practitioner 17.The following health care professions and occupations are prescribed
for the purposes of paragraph (f) of the definition of "health care practitioner"
in section 1 of the Medicare Protection Act:
(a) physical therapy; (b) massage therapy; (c) naturopathic medicine. Nursing services 22(1)Subject to section 27, the extended role services of a registered nurse are benefits if
(a) an arrangement for the rendering and for the payment of these services is approved by the commission,
(b) a medical practitioner is not normally available at the place in British Columbia where these services are rendered, and
(c) the services are described in an adequate clinical record. (2) A registered nurse performing the services described in subsection
(1) is a health care practitioner for the purposes of paragraph (f) of the
definition of "health care practitioner" in the Medicare Protection Act.
Supplemental services 25.1(1) Subject to section 27, a chiropractic, massage, naturopathic,
physical therapy or non-surgical podiatric service is a benefit if the service
is
(a) listed in a payment schedule for supplemental services, (b) rendered in British Columbia to a beneficiary who (i) is receiving premium assistance under section 10, 11, 12 or 13, or (ii) pays no premiums as a result of section 13, (c) rendered by an enrolled health care practitioner, and (d) described in an adequate clinical record. (2) Subject to subsection (1), chiropractic, massage, naturopathic, physical
therapy and non-surgical podiatric services are benefits up to a combined
maximum of 10 visits during each calendar year.
(4) Interpretation Act, R.S.B.C. 1996, c. 238 Expressions defined 29. In an enactment: . . . "medical practitioner" means a person entitled to practise under the Medical Practitioners Act;
APPENDIX B Interaction of the Relevant Legislative and Regulatory Provisions Under the Constitution Act, 1867, delivery of health care services
lies primarily with the provinces. The federal government, however, has authority
under its spending power to attach conditions to financial grants to the
provinces that are used to pay for social programs. This authority is the
foundation of the Canada Health Act, R.S.C. 1985, c. C-6, which allows
the federal government to set broad boundaries around the provinces' design
and administration of their health insurance plans if the provinces are to
access federal funds for health care. As the framework within which the provinces
operate, the CHA forms a backdrop to this appeal.
To receive federal funding, the provinces must adhere to the five principles set out in the CHA:
public administration, portability, universality, comprehensiveness and accessibility.
The most important of these principles for this appeal are universality and
comprehensiveness.
The principle of "universality" requires a provincial plan to provide
one hundred percent of qualified provincial residents with insured services
on uniform terms and conditions: CHA, s. 10. "Insured services" are
"hospital services, physician services and surgical-dental services provided
to insured persons", but do not include health services under any other Act:
CHA, s. 2. "Hospital services" are "medically necessary" services
provided to patients at a hospital, while "physician services" are "medically
required" services rendered by medical practitioners: CHA, s. 2. The
principle of "comprehensiveness" requires a provincial health insurance plan
to "insure all insured health services provided by hospitals, medical practitioners
or dentists, and where the law of the province so permits, similar or additional
services rendered by other health care practitioners": CHA, s. 9. What this means is that the scheme set up by the CHA
requires provincial health insurance schemes to cover services provided by
hospitals and physicians, but leaves coverage of a broader assortment of
services up to the province. The former may be termed "core services", and
the latter "non-core services".
In British Columbia, the relevant legislation is the Medicare Protection Act, R.S.B.C. 1996, c. 286 (MPA). The Preamble confirms the principles of the CHA,
refers to medicare as "one of the defining features of Canadian nationhood",
recognizes "responsibility for the judicious use of medical services in order
to maintain a fiscally sustainable health care system", and states that it
is "fundamental" that a person's "access to necessary medical care be solely
based on need". The purpose of the MPA is "to preserve a publicly
managed and fiscally sustainable health care system for British Columbia
in which access to necessary medical care is based on need and not an individual's
ability to pay": MPA, s. 2.
The MPA establishes and regulates the British Columbia Medical
Services Plan. It entitles British Columbia residents enrolled as beneficiaries
in the plan to have payment made to service providers for benefits they receive.
"Benefits" are medically required services provided by a "medical practitioner"
or "required services prescribed as benefits under section 51 and rendered
by a health care practitioner": MPA, s. 1.
The difference between services provided by a "medical practitioner" and those provided by a "health care practitioner" in the MPA corresponds to the distinction between core and non-core services found in the CHA.
Services provided by "medical practitioners" encompass hospital and physician
services, and must be provided to all residents on a fully funded basis to
comply with the CHA. These core services are supplemented by partially
funded, non-core services provided at the option of the province. In British
Columbia, these include services provided by "health care practitioners",
namely chiropractors, dentists, optometrists, podiatrists, and, by regulation,
physical therapists, massage therapists, and nurses. Many potential service
providers are not designated as health care practitioners by legislation
or regulation, and hence are not eligible for funding by the scheme: for
example, clinical psychologists, nutritional counsellors, and osteopaths.
A service cannot be a benefit under the Medical Services Plan unless it is
provided by a medical practitioner or by a health care practitioner, named
in the Act or in a regulation.
The MPA also constitutes and defines the tasks of the Medical Services
Commission, the regulatory agency charged with implementing aspects of the
Medical Services Plan. It is composed of nine members: three from the British
Columbia Medical Association; three from the provincial government; and three
representing the public interest. Its powers and duties are specific and
limited by statute. Section 5(1)(j) gives it authority to determine whether
a service is a benefit or whether any matter relates to the rendering of
a benefit; s. 5(1)(h) allows the Commission to determine whether an individual
is a medical practitioner or a health care practitioner. When the Commission
determines that a service is a benefit, it can be added to the tariff of
insured services. The Commission does not have discretion to fund a service
that is not provided by a medical practitioner. It has no legislative or
regulatory power.
The process by which new benefits are added to the roster of insured services
differs according to whether they are provided by medical practitioners (core
benefits) or by other individuals (non-core benefits). The Medical Services
Commission has the statutory discretion to add core benefits, since they
are provided by medical practitioners under the Act. If the Commission is
satisfied that the service is medically required and provided by a physician,
it may add the service to the payment schedule. Where a service is provided
by a health care practitioner listed in the Act or prescribed by regulation,
a request for funding for that therapy is determined by a Supplementary Practitioner
Special Committee, operating in the same manner as the Medical Services Commission.
A Special Committee exists for each of the groups of approved supplementary
health care practitioners. Where a potential provider of a non-core service
has not been designated as a "health care practitioner" by regulation or
by legislation, neither the Medical Services Commission nor the Special Committees
has power to order funding for the service.
Limited provision of non-core benefits within the sole discretion of the province complies with the CHA.
British Columbia, for example, insures only a narrow range of non-core services.
Moreover, even when provided, non-core benefits are limited in terms of cost
and in terms of the number of annual treatments. For example, at the time
of the trial, chiropractic services were insured to a maximum of 12 visits
per year for British Columbians under 65, with payment of a small patient
visit charge. Beyond 12 visits, the responsibility for payment rested with
the patient. Insured diagnostic services by an optometrist were limited to
one examination every two years for British Columbians between 16 and 65
years of age. No service by a health care practitioner is fully insured.
The MPA requires that a potential benefit be determined to be "medically
required" before it is added to the roster of insured services. This term
is not defined, however. No service is "medically required" under the statute
until it has been designated as a benefit. An individual's physician may
view a particular non-core service as "medically required" for his or her
personal health. However, this does not make it "medically required" under
the Act. That power rests solely with the provincial government.
To summarize, the CHA is a framework by which provinces must abide
if they are to receive federal funding for health care. The framework rests
on the principles of universal provision of insured benefits and comprehensiveness
of coverage for insured core services, largely those provided by physicians
and hospitals. Insurance of non-core services is left to provincial discretion.
In British Columbia, the MPA follows this model. Core services
are those provided by medical practitioners and are fully funded. Non-core
services may be funded if they are provided by health care practitioners,
a limited list of occupations defined within the Act itself or by regulation
by the Lieutenant Governor in Council. Only partial coverage of non-core
services is provided. The Medical Services Commission may at its discretion
add new therapies to the roster of insured core services provided they are
delivered by a health care practitioner designated by the Act or regulation.
Appeal allowed and cross-appeal dismissed. Solicitors for the appellants/respondents on cross-appeal: Fasken Martineau
DuMoulin, Vancouver;Ministry of Attorney General, Victoria.
Solicitors for the respondents/appellants on cross-appeal: Harper Grey
Easton, Vancouver; Bradbrooke Crawford Green, North Vancouver.
Solicitor for the intervener the Attorney General of Canada: Department of Justice Canada, Ottawa.
Solicitor for the intervener the Attorney General of Ontario: Attorney General of Ontario, Toronto.
Solicitor for the intervener the Attorney General of Quebec: Department of Justice, Sainte-Foy.
Solicitor for the intervener the Attorney General of Nova Scotia: Department of Justice, Halifax.
Solicitor for the intervener the Attorney General of New Brunswick: Attorney General of New Brunswick, Fredericton.
Solicitor for the intervener the Attorney General of Prince Edward
Island: Attorney General of Prince Edward Island, Charlottetown.
Solicitor for the intervener the Attorney General of Alberta: Alberta Justice, Edmonton.
Solicitor for the intervener the Attorney General for Newfoundland and Labrador: Department of Justice, St. John's.
Solicitors for the interveners the Canadian Association for Community
Living and the Council of Canadians with Disabilities: Cavalluzzo Hayes Shilton
McIntyre & Cornish; Advocacy Resource Centre for Persons with Disabilities
(ARCH), Toronto.
Solicitor for the interveners the Women's Legal Education and Action
Fund and DisAbled Women's Network Canada: Women's Legal Education and Action
Fund, Toronto.
Solicitors for the intervener Autism Society Canada: Gowling Lafleur Henderson, Ottawa.
Solicitors for the intervener Michelle Dawson: Irving, Mitchell & Associates, Montréal.
Solicitors for the interveners Families for Effective Autism Treatment
of Alberta Foundation and Families for Early Autism Treatment of Ontario:
Chamberlain Hutchison, Edmonton; Community Legal Clinic (Simcoe, Haliburton,
Kawartha Lakes), Orillia.
Solicitors for the intervener Friends of Children with Autism: Eberts Symes Street Pinto & Jull, Toronto.
|
|
|
| Top | Comments | E-mail |