Category: IAU

Immigration Law Update: GS (India) & Ors v The Secretary of State for the Home Department [2015] EWCA Civ 40

New medical treatment case addressing Article 3 and 8 thresholds. Appeals under Article 3 dismissed. All As suffered from end stage kidney disease and/or HIV and would either not have access to treatment in their country of origin on account of cost, insufficient or no provision of treatment. In GM’s case there was evidence of suicide risk. All except GM and KK were overstayers. It was contended that removal would breach Article 3 and/or 8 on account of the resultant extreme reduction in life expectancy.

To reach the threshold of Article 3 an intentional act is required save for exceptional circumstances where there are compelling humanitarian considerations (§§39, 40-3, 52, 62). At §§ 49-50, 66 it was emphasized that in D v United Kingdom (1997) 25 EHRR 31 the A was on his deathbed and was soon to die regardless of which country he was in. In principle there is no entitlement to treatment in the expelling state principle: N v United Kingdom (2008) 47 EHRR 39 (§67).

Article 8 is concerned with the protection of the quality of life and not its continuance (§§39, 44-5). It is possible to succeed on Article 8 where an Article 3 claim is dismissed if the A can show factors which brings the case within the Article 8 paradigm (§86). MM (Zimbabwe) [2012] EWCA Civ 279 cited with approval (§86-7). Five appeals dismissed, GM remitted to the UT by consent.

Immigration Law Update: BB, PP, W, U & Ors v The Secretary of State for the Home Department [2015] EWCA Civ 9

BB, PP, W, U & Ors v The Secretary of State for the Home Department [2015] EWCA Civ 9

This is part of a series of challenges against decisions of SIAC in relation to nationals of Algeria found to constitute a threat to national security.

This latest challenge related to SIAC’s decision that there would be no breach of Article 3 if these individuals were deported to Algeria and subjected to the 12 day period of detention on arrival in Algeria known as garde à vue” detention.

Three complaints were raised by the appellants: that SIAC was wrong to conclude that the treatment they would receive whilst detained would not breach Article 3 (this ground leading to a useful and up-to-date analysis – see §§14-26- of the state of the law as to the threshold requirements for engaging the operation of this article and whether this varied according to the nature of the removal decision and the nature of the circumstances giving rise to its invocation); that adequate safeguards were in place to enable verification of the Algerian authorities undertakings assuring that the appellants would not be harmed (this ground leading to a useful summary of the conditions suggested by law as yardsticks for accepting such assurances- see §§27- in particular the requirement that the fulfillment of assurances must be verifiable- see §§28-42); and, thirdly, that such assurances were made in front of and subscribed to by DRS Officers.

The court upheld the first and second complaints (finding in relation to the first that SIAC had misdirected itself as to the state of the law regarding Article 3; and in relation to the second because of further evidence presented by the appellants set against earlier evidence raised), but not the third (finding that there was no requirement in law for evidence of the presence of DRS officers to be set out in open evidence; rather, it was evidence of the substantive assurance that needed to be set out in open evidence – see §§43-52). In this context the Court of Appeal remitted the cases back to SIAC for re-determination of the errors found.

Immigration Law Update: R (on the application of EB) [2014] UKUT 00492 (IAC)

R (on the application of EB) [2014] UKUT 00492 (IAC)

The A’s Tier 4 leave expired on 25 October 2010 and, on the basis of a further course offer, she had the opportunity to make a further application for an extension of student leave.  She was diverted from doing that by the SSHD inviting her some 5 months earlier on 27 May 2010 to make an application under the legacy programme, which the unrepresented A complied with.  That legacy invitation was wholly inappropriate in the A’s circumstances and inevitably led to a refusal. By that time the A had become an overstayer.  The court held the SSHD responsible for the consequences of her inappropriate action. Judicial Review granted.

Immigration Law Update: Sukhjeet Kaur v The Secretary of State for the Home Department [2015] EWCA Civ 13

Sukhjeet Kaur v The Secretary of State for the Home Department [2015] EWCA Civ 13

In this case a student who had been refused further leave to remain under Tier 4 of the Points Based System as the Secretary of State had declined to take into account her Confirmation of Acceptance for Studies. Although the First-tier Tribunal and Upper Tribunal took the CAS and other evidence into account, they decided that it did not confirm that her proposed course represented “academic progress” as required by Paragraph 120A(b) of Appendix of the Immigration Rules.

In the Court of Appeal the appellant argued that: (i) The approach of the FTT and UT to academic progress was inconsistent with Pokhriyal v SSHD [2013] EWCA Civ 1568, which had held that the mere issue of a CAS created a presumption or expectation that the new course represented progress, and that such an assessment was the College to make and should be accepted by the SSHD absent fraud. (ii) even if the SSHD did not have to accept the CAS as confirmation of progress, she was obliged to make further enquiries of the College, relying on Naved v SSHD [2012] UKUT 14 (IAC).

HELD:

(i) An “expectation” rather than a “presumption” better conveyed what was decided in Pokhriyal, and by bearing in mind that assigning a CAS created an expectation that the new course constituted academic progress when considered with the old, the decision maker should construe the language used in any material from the College “benignly”.

(ii) However, though neither the FTT nor the UT had expressly approached the appellant’s case with that expectation in mind, the CAS and other evidence from the College did not confirm that the new course represented academic progress, and in particular did not state that a further course of study at Level 6 complemented the previous course at the same level.

(iii) In Naved the UT had held that fairness required the SSHD to give an applicant an opportunity to address grounds for refusal which he did not and could not know about. However, the Court had now held in Rahman v SSHD [2014] EWCA Civ 11 and EK (Ivory Coast) v SSHD [2014] EWCA Civ 1517 that there was no obligation on the SSHD to give notice to an applicant that there was a deficiency in the CAS. In any event, this point did not assist the appellant, as she was fully aware of the contents of her CAS and had had every opportunity to ensure that the necessary confirmation was provided before the appeal hearing.

The Court therefore dismissed the appeal.

Immigration Case Update: JA (meaning of “access rights”) India [2015] UKUT 00225 (IAC)

To read the full judgment click here.

Appendix FM makes provision for parents, in certain circumstances, to be granted leave on the basis of a relationship with their child. It is possible to succeed under Appendix FM if an A can show that they have ‘access rights’ to a child and that they are taking and intend to continue to take an active role in their child’s upbringing. The phrase ‘access rights’ is not defined under the Immigration Rules and is no longer used by the Family Court.

It was held that ‘access rights’ is capable of referring to indirect and direct contact and there is nothing in the wording of the Rules to suggest otherwise. It was further held that to succeed in establishing ‘access rights’ an applicant could show either a court order or that an agreement has been reached between the parties, without the assistance of the court. Having satisfied the above requirement an A must still prove that he/she “is taking and intend to continue to take an active role in the child’s upbringing. Whether s/he will be able to will depend upon the evidence rather than the nature of the ‘access rights.’

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Immigration Law Update: Article 8: R (on the application of Agyarko and Others) v SSHD [2015] EWCA Civ 440

Read the full judgment here.

By Ben Hawkin

These were appeals against decisions of the UT refusing permission for JR of decisions by the SSHD to refuse leave to remain to overstayers who had formed relationships with British citizens and subsequently made applications relying on Article 8 of the ECHR.

The Court held that:

(1) The phrase “insurmountable obstacles” as used in section EX.1 of Appendix FM to the Immigration Rules, was a significantly more demanding test than whether it would be reasonable to expect a couple to continue their family life outside the United Kingdom, and was intended to have the same stringent meaning as in the Strasbourg jurisprudence: see e.g. Rodrigues da Silva and Hoogkamer v Netherlands (2007) 44 EHRR 34, para 39 and Jeunesse v Netherlands (2007) 44 EHRR, para 117.

(2) However, it should be interpreted in a sensible and practical, rather than a purely literal way: see e.g. MF (Nigeria) v SSHD [2013] EWCA Civ 1192, para 49.

(3) The “insurmountable obstacles” criterion in section EX.1 was a precondition, that needed to be satisfied before an A could be granted leave under the Rules. But in the context of a wider Article 8 assessment outside the Rules, it was a factor to be taken into account not an absolute requirement.

(4) Though as the As’ family life was established with knowledge that they had no right to be in the UK and was therefore precarious, it was only if the case was exceptional for some reason that there would be a violation of Article 8: see R (Nagre) v SSHD [2013] EWHC 720 (Admin), paras 39-41 and SS (Congo) v SSHD [2015] EWCA Civ 387, para 29.

(5) Even in a precarious family life case the “insurmountable obstacles” test was not an invariable precondition to a finding of violation of Article 8, as the facts of Jeunesse v Netherlands showed, which meant that there was a gap between section EX.1 and what Article 8 might require. However, the test was still a material factor.

(6) It was possible to envisage a Chikwamba v SSHD [2008] UKHL 40 type case, in which Article 8 might require leave to remain be granted outside the Rules, even though there were no insurmountable obstacles to family life continuing overseas. But where it was precarious family life, there would need to be exceptional circumstances.

Appeals dismissed.

Representatives will see from the full judgment that the Court observed at §§ 13, 25, 35 and 40 that the evidence submitted with the original applications to the SSHD in these cases was either non-existent or weak. This underlines once again the importance of ensuring that such applications are supported by clear evidence that fully explains the factual circumstances and how the relevant legal criteria and tests are satisfied.

Immigration Law Update: Article 8 ECHR: The Secretary of State for the Home Department v SS (Congo) & Ors [2015] EWCA Civ 387

Link to the full judgment.
By Shuyeb Muquit

This case is essential reading for those involved in advising on Article 8 claims outside the Immigration Rules. It is a case that re-enforces the ratio in Nagre and is the most comprehensive consideration to date of the interrelationship between a failure to come with the terms of the new Immigration Rules and an Article 8 inquiry thereafter arising. In so doing, the Court crystallises the weight to be attached as a matter of law to varying matters arising in the course of such an inquiry.

In summary the Court of Appeal determined that the more the Immigration Rules are considered to be the result of a conscientious effort on the part of the SSHD to strike a fair balance between competing public and private interests and so compliant with HR convention obligations (and it is accepted that immigration rules are a means by which the SSHD exercises her democratic entitlement/prerogative to effect public interests, which public interests the SSHD is also best placed to determine) then such IR’s should be attributed significance by courts conducting Article 8 proportionality inquiries; but “the degree of weight to be attached to the expression of public policy in the substantive part of the Rules in the particular context in question (which will not always be the same: hence the guidance we seek to give in this judgment), as well as the other factors relevant to the Article 8 balancing exercise in the particular case (which, again, may well vary from context to context and from case to case)” – see §§12-17/48.

The new Immigration Rules that came into force on 9 July 2012 are to be regarded as such. The practical result of this is that where an individual fails to come within the terms of such new Immigration Rules, they face varying hurdles in order to establish a successful Article 8 claim outside of them; with the nature of the hurdle dependent upon the extent to which the Immigration Rule applicable but not satisfied is an expression of the result of the SSHD seeking to strike a fair balance between public and private interests.

Thus, in the case of those who have established Article 8 rights in the context of “precarious presence” in the UK (where no children are involved), the hurdle is the requirement that they then have to establish “exceptional circumstances”; the hurdle for those who are foreign criminals who do not satisfy the terms of the rules is that they establish circumstances that show “very compelling reasons” that the decision to deport them pursuant to the application of the rules would lead to “unjustifiably harsh consequences”; whilst the test for those that do not satisfy other terms of the rules is that they have to show “compelling reasons not sufficiently covered by the Rules” for allowing their case under Article 8 “at large” (expressly said not to be as “demanding” as the other hurdles but nevertheless “fairly demanding”). Such approaches apply in relation to all aspects of the Immigration Rules, including those setting out requirements as to specified evidence (§§50-53)- “Good reason would need to be shown why a particular applicant was entitled to more preferential treatment with respect to evidence than other applicants would expect to receive under the Rules. Moreover, in relation to the proper administration of immigration controls, weight should also be given to the Secretary of State’s assessment of the evidential requirements needed to ensure prompt and fair application of the substantive Rules.”

The requirement, in the context of some of the current Immigration Rules in some circumstances (as distinct from generally) to establish ‘exceptionality’ to succeed in an Article 8 claim is not inconsistent with the learning derived from Huang: when generally denouncing an “exceptionality test”, Huang was doing so in the context of Immigration Rules that were not regarded to be the result of a conscientious effort on the part of the SSHD to strike a fair balance between competing public and private interests and so compliant with HR convention obligations (that is to say there was a very wide gap between the requirements of the rules and the rights constituting Article 8 and a public private balance was never struck); and even then Huang considered that it would only be a small minority of cases that could claim success under Article 8 having failed to satisfy the terms of the Immigration Rules.

Moreover the varying hurdles referred to by the court reflected the SSHD’s entitlement (as opposed to appellants in any case) to a margin of appreciation/a discretionary area of judgment vis what is in the public interest and how best to achieve such interests set against private interests it is obliged to take account of in the context of treaty obligations; and is also consistent with the learning from cases of the ECtHR- see §§28-33; 39-42; 48.

The Court specifically also:

  •  (§§34-38/67) Determined that a state is not required to adopt “as accommodating an approach” in the context of applications for Entry Clearance as compared to when dealing with applications for leave to remain, further noting “at a time before section EX.1 of the new Rules was promulgated, the House of Lords in Huang contemplated that both in the context of applications for LTR and in the context of applications for LTE, it might well be the case, depending on the circumstances, that the Secretary of State could lawfully refuse an application, without violation of Article 8, even though the family life relied upon “cannot reasonably be expected to be enjoyed elsewhere”: see para. [20], quoted above. This is another way of saying that this feature of a case does not, without more, create a right for a family member to enter or remain in the United Kingdom. In that paragraph, Lord Bingham also explained that, even on the Immigration Rules in the form they had prior to their amendment in July 2012, his expectation was that the number of claimants entitled to succeed under Article 8 in claiming LTE or LTR outside the Rules “would be a very small minority”;
  • (§§43-48) considered the significance of the whether particular Immigration Rules present a “complete code” (ultimately that the distinction Rules which and which are not a “complete code” amounts to a debate that is “sterile”, being immaterial given that in all cases under the Rules where Article 8 is relied upon there is a two stage test);
  • (§§54-58) emphasized the non-existence of the so-called “near miss principle” and the “fact that an applicant may be able to say that their case is a ‘near miss’ in relation to satisfying the requirements of the Rules will by no means show that compelling circumstances exist requiring the grant of LTE outside the Rules. A good deal more than this would need to be shown to make out such a case” but that “it cannot be said that the fact that a case involves a ‘near miss’ in relation to the requirements set out in the Rules is wholly irrelevant to the balancing exercise required under Article 8. If an applicant can show that there are individual interests at stake covered by Article 8 which give rise to a strong claim that compelling circumstances may exist to justify the grant of LTE outside the Rules, the fact that their case is also a ‘near miss’ case may be a relevant consideration which tips the balance under Article 8 in their favour. In such a case, the applicant will be able to say that the detrimental impact on the public interest in issue if LTE is granted in their favour will be somewhat less than in a case where the gap between the applicant’s position and the requirements of the Rules is great, and the risk that they may end up having recourse to public funds and resources is therefore greater” and further judges “The Secretary of State remains entitled to enforce the Rules in the usual way, to say that the Rules have not been satisfied and that the applicant should apply again when the circumstances have indeed changed. This reflects a fair balance between the interests of the individual and the public interest. The Secretary of State is not required to take a speculative risk as to whether the requirements in the Rules will in fact be satisfied in the future when deciding what to do. Generally, it is fair that the applicant should wait until the circumstances have changed and the requirements in the Rules are satisfied and then apply, rather than attempting to jump the queue by asking for preferential treatment outside the Rules in advance” (this being consistent with the rules as to admissibility of evidence in the context of entry clearance cases- “An applicant is not entitled to apply for LTE at a time when the requirements of the Rules are not satisfied, in the hope that by the time the appellate process has been exhausted those requirements will be satisfied and LTE will be granted by the appellate tribunal or court. This would be an illegitimate way of trying to jump the queue for consideration of the applicant’s case and would represent an improper attempt to subvert the operation of the Rules. Sections 85 and 85A(2) prevent consideration of an application for LTE in this way.”);
  • (§39(iv)) Accepted that the best interest considerations vis children is relevant in countervailing public interest but not a “trump card”;
  • (§49) Discussed the part to be played by guidance issued by the SSHD as to the approach to be adopted when deciding cases (that it is not part of the Immigration Rules and therefore does not render all the Immigration rules a “complete code”- which in any event is immaterial to the approach to be taken in applying the rules pursuant to an Article 8 inquiry; whilst the reference to “exceptional circumstances” in the guidance is given a “wide meaning…. Thus, the cases covered by the “exceptional circumstances” guidance in the instructions to officials will fall within a wider or a narrower area in line with the changing requirements of Article 8 across the gamut of cases it covers, depending on the context in which the cases arise and their particular facts. As we have sought to explain above, the “exceptional circumstances” contemplated by the instructions are not always as narrowly confined as in the foreign criminal context discussed in MF (Nigeria) and the precarious relationship context discussed in Nagre.”). In other words the guidance applies across the board with the meaning attributed to references to “exceptional circumstances” varying according to the context of the case at issue and the Immigration Rules applying to such a case’

In applying the above principles the SSHD’s appeals against decisions of the FTT allowing appeals of individuals entry clearance notwithstanding they did not meet minimum income requirements, relied on post application circumstances, and on the unreasonableness of making further applications were allowed – see respectively §§65, 74, 80-81 and 87-89.

As a separate issue (§§92-104) the court discusses the approach to be adopted when considering applications for extension of time.

It to be emphasised that this is a judgment worthy in its significance of being read in full in order to further illuminate its summary set out above.

Immigration Law Update: Procedure: R (on the application of Kaur) v Secretary of State for the Home Department [2015] EWHC 1061

Read the full judgment here.
The C is a 25-year-old Indian national who has been in the UK since 2009 on a student visa. In June 2014 she was arrested and detained on the basis that she had been working in breach of her visa conditions. She denied that and issued JR proceedings against the D.
The first issue the Court considered was whether this was a proper case for JR. The SSHD v Lim [2007] EWCA Civ 773 was cited in which it was stated that all removal decisions are reviewable and appealable; the nature of the issues involved determine which remedy is appropriate; and in the absence of special or exceptional factors the High Court would refuse an application for JR where there was another remedy. There were no special or exceptional factors justifying JR in this case –that this was not a case where the immigration officer’s conclusion flies in the face of reality or where the evidence all points one way.  An out of country appeal should have been pursued.
The second issue was whether the decision was open to challenge for failing to consider whether to curtail the Claimant’s leave, thus giving her an in-country right of appeal, rather than serving a removal decision against which there was only an out of country right of appeal.  The EIG necessitates a two-stage consideration: was the C liable for removal and would it be fair to serve a removal notice? The J found there was no failure to consider the exercise of discretion in this case and there was no general requirement to record the same in the decision notice.

Immigration Law Update: Nationality: R (on the application of Amiri) v The Secretary of State for the Home Department [2014] EWH

The full judgment is here.
Section 6 of the British Nationality Act 1981 case, that naturalisation would normally be refused if “serious doubts” were cast on an applicant’s character. In the SSHD’s view, this included cases not merely where an applicant was directly involved in crimes against humanity, but, “where his actions have contributed towards … crimes against humanity, such as supplying help which the supplier knows is likely to contribute towards the committing of crimes against humanity“. The Claimant’s position was that the Defendant erred in failing to consider evidence directly linking the Claimant to particular crimes.
The JR was dismissed, the Court held: that to seek to require the Defendant to demonstrate a nexus between the Claimant and the commission of particular or specific crimes against humanity, is an overly stringent requirement and one which does not flow from the natural and ordinary meaning of paragraph 2.2 of the relevant Guidance or, indeed, paragraph 8.
The Defendant is entitled to consider the matter more broadly and to consider, having regard to the background material as well as the Claimant’s own account, whether he was likely to have been involved in the range of activities which – in the instant case, the Taliban is known to have committed. If he was, then it is entirely reasonable to draw the inference (the Defendant says “assume”, which is not ideally expressed, but it amounts to the same thing) that the Claimant’s activities were linked to some crimes against humanity, even if these could not be identified individually.

Immigration Law Update: Legal Aid: Ben Hoare Bell Solicitors & Ors, R (On the Application Of) v The Lord Chancellor [2015] EWHC

To read the full judgment click here.

This is a challenge to the legality of the “no permission, no fee” arrangement for making a legally aided application for Judicial Review introduced by the Remuneration Amendment Regulations on the 22 April 2014. The Amendment regulations, amongst other things, give no entitlement to payment to legal service providers where permission for Judicial Review has neither been granted, nor refused. The Lord Chancellor has a duty under s1 of the Legal Aid Sentencing and Punishment of Offenders Act 2012 (LASPO) to ensure legal aid is made available in accordance with Part 1 of the Act.

The challenge included:
a) There is no power to make an entitlement to payment on the outcome of a case, as LASPO does not contemplate legal services will be provided without payment (this was formulated into two grounds; the strict ultra vires ground and the Padfield ground)
b) The effect of the Amendment Regulations is likely to have a “chilling effect” on access to the High Court. It was contended that legal service providers who risk not being paid will apply a stricter criteria and not likely to take up Judicial Review cases that are foe example meritorious but not straight forward.

The Court:
a) rejected the challenge based on “strict” ultra vires;
b) however, found the Regulations put providers of legal services at risk in situations which cannot be said to be linked to the stated purpose of the Regulations and this was incompatible with statutory purpose. The “Padfied” ground succeeds; and
c) stated there was no need to deal with the “chilling” effect ground but if it had to decide this ground, the Court would have found the high threshold required for such a ground to succeed had not been met.