Monday, December 6, 2021

CRIMINAL PROCEDURE - LAW NOTES


The Criminal Procedure is the process through which penal and criminal law are applied. That is the process of the application of penal laws. It is procedural law and not substantive law.

The essentials of criminal proceedings are:

    1. To bring the accused within the power of the tribunal.
    2. Preliminary investigations to ensure the crime is one, which should be prosecuted.
    3. Notice to the accused of the offence charged upon arrest accused has to be told why he is being arrested. Notice to give charge sheet with information against hi, for him to respond and to defend himself.
    4. Opportunity to prepare for trial, procure witness.
    5. A speedy trial. A trial should be conducted as fast as possible because during the course of the trial the accused may be kept in prison as they have been refused bail.
    6. Fair trial before an impartial tribunal. Accused is given an opportunity to say something in his defense. Through counsel of his own choice.
    7. A right to the review of the case by a suitable appellate tribunal. Right to review if the accused is not happy.


Under our jurisdiction there are 2 ways of review:

  1. Review by way of appeal.
  2. Review by way of revision.

Criminal proceedings commenced in the name of the state of Kenya is tiled R v Accused. In other jurisdiction, such cases are titled People v Accused or State v Accused.


In private prosecution it is always the Republic because you institute in the name of the state. The state is treated in all criminal cases as the complainant and it is not necessarily the victim.

In law every crime is committed against the state because a crime is defined as a wrong against the society or the state. The state is responsible for the society. The state takes the responsibility to seek redress of the complainant or the victim. The state protects and defends others. The real victim is also the complainant particularly in crimes involving private property and against the person. In all cases the real victim as a complaisant appears as a witness for the prosecution, and therefore the complainant is not a party to the suit. The parties are the republic and the accused. The complainant has no right to appeal only the state can appeal because the complainant is a witness.


STRUCTURE AND JURISDICTION OF THE CRIMINAL COURTS IN KENYA
  1. In the administration of criminal law the function of the court is to defend the society from the acts of the criminal.
  2. The courts also uphold the fundamental rights of the accused person. The courts are alive to the inalienable rights of the accused person.
  3. Criminal procedure is intended to assist the court in the trial of suspects.
  4. The criminal procedure helps the court determine the guilt of the accused.

Most trials in Kenya are conducted by the subordinate courts.




The High Court does try criminal cases but its criminal jurisdiction is fairly limited.


The court martial has limited jurisdiction. Some courts have appellate jurisdictions. Come courts have appellate jurisdictions ands the appellate courts are:
  1. The Court of Appeal.
  2. The High Court.
  3. The Senior Resident Magistrate Courts.

MAGISTRATE COURT

Established by the Kenya Constitution, the court works under Chapter 10, the Magistrates Court Act ands the Judicature Cap 8. The Magistrate courts are classified in 2 ways:

  1. Magistrate courts;
    1. District Magistrate courts:
      1. District Magistrate Court 1
      2. District Magistrate Court 2
      3. District Court magistrate 3
    2. Resident Magistrate court:
      1. Chief Magistrate
      2. Senior Principal Magistrate.
  2. Subordinate courts:
    1. Class 1:
      1. Resident Magistrate’s Court;
      2. Principal Magistrate Court
      3. Chief Magistrate
      4. District Magistrate 1
      5. Senior Resident Magistrate
      6. Senior Principal Magistrate
    2. Class 2
      1. District Magistrate 2
    3. Class 3
      1. District Magistrate 3

Therefore the powers are given according to the classes to the courts in them.


DISTRICT MAGISTRATES COURT


Established under section 8 of the Magistrate Courts Act and may be of class 1, 2 and 3.

Its jurisdiction is limited to gazetted geographical districts and by their sentencing power. Jurisdictions of the District Magistrate are set out in section 7(2) and (3) of the Criminal Procedure Code.


The District Magistrate Court 1 has the same power as the Resident Magistrates Court.

Powers:
  1. It can impose imprisonment not exceeding 7 years.
  2. It can impose a fine not exceeding K.Shs. 20,000.
  3. It can impose corporal punishment not exceeding 24 strokes of the cane.
What happens when a District Magistrate Court 1 determines that the accused should be given a heavier punishment than that which they can give? They refer to a court with the appropriate jurisdiction. The Senior Resident Magistrate Court, the Principal Magistrate Court the Chief Magistrate are appropriate.

A District Magistrate can try a person charged with fairly serious criminal offences e.g. rape, assault, causing gracious bodily harm.

District Magistrate Court 2

A second class of courts has powers to impose such punishment as:
  1. Imprisonment not exceeding 2 years;
  2. Fine not exceeding K.Shs. 10,000.
  3. Corporal Punishment of not more than 10 strokes.

Cases triable under the DM2 are theft, burglary, housebreaking, and offences created under various statutes e.g. the Traffic Act.

District Magistrate Court 3

Power to impose:
  1. Imprisonment not exceeding 12 months.
  2. Fine not exceeding KShs. 5,000.
  3. Corpora punishment not exceeding 6 strokes of the cane.

It deal with minor offences e.g. affrays, fighting in public; for this offence there has to be more than one person charged; drunk and disorderliness, loitering with intent to prostitute.

It attracts light fines and discharges.

Tries offences under statutes like offences under the Tradition al Liquor Act, the Changaa Prohibition Act; the Traffic Act.

NB: DM courts are courts of first instance, criminal trials originate here. These courts have no revision or appellate jurisdiction; they cannot review matters or appeals.

Appeals arising from the DMs are herd at the RMs and the High Court depending on the classification of the DMs court.

Appeals from the DM 3 go to the RM while appeals from the DM 1 and 2 go to the High Court.

With appeals from the DM3 there is a further appeal to the High Court, which is the final court of appeal. Appeals from the DM 1 and 2 have a further appeal to the court of appeal.

The DM courts are being phased out particularly DM 1 and 3.

These two classes of courts are manned by law magistrates who are not qualified lawyers.

During colonization we began with the RM courts. The DM were created by the independence government to accommodate the Africa district courts manned by people who are not lawyers.


Most magistrates in Kenya are now lawyers so few courts should be headed by lay magistrates.

DM where graduate lawyers join as magistrate is the entry point. They are promoted to Resident Magistrate and not to DM1.

RESIDENT MAGISTRATES COURT

Established under section 3 of the Magistrate Courts Act. They enjoy wide jurisdiction. The RMs courts are presided over by the Chief Magistrate, the Senior Principal Magistrate, the Principal Magistrate or the Senior resident Magistrate or Resident Magistrate.


The Criminal Jurisdiction of the RM court covers most of the crimes and is set out in section 7 of the Criminal Procedure Code.


Section 7(1) paragraph (a) vest the CM, the SPM, PM and SM courts with power to pass any sentence authorized by law for the offence terrible by that court. These courts have jurisdiction to try all serious offences except treason and murder, which are only triable in the High Court.


Offences permitted are manslaughter, robbery with violence, arson, rape, etc.

They try offences carrying life imprisonment and death.

Section 7(1)(b) and section 7(2) vest s the RM court (distinct from others: SRM, SPM, PM, CM) with powers to pass any sentence authorized by law under section 2789 of the penal code i.e. stealing stock, section 308 of the Penal code ma\d section 322 of the penal code.

The offences created under this section carry a maximum of 14 years imprisonment, so the jurisdiction of the RM of 7 years can be exceeded for these offences.

In respect of other offences the jurisdiction the RM is limited to 7 years imprisonment or a fine not exceeding K.Shs. 20,000 or corporal punishment not exceeding 24 strokes of the cane.

Section 8 of the CPC allows the Judicial Service Commission to extend the jurisdiction of the RM so that the RM can try cases of this class - SRM or the CJ can post an appropriate magistrate for that particular case.

RMs courts (the two classes) are courts of first instance or original jurisdiction. They handle trails not appeals except appeals from the DM 3 court.

Under the Kenyan Law there is no provision for trial by jury there for the magistrate is a judge for both the Law and for Fact.


The magistrate do not sit with assessors.

Apart from trials the RMs court has jurisdiction to:
  1. Preside over committal proceedings.
  2. To conduct inquests.

COMMITTAL PROCEEDINGS

RMs court try criminal cases and committal proceedings. Section 233 of the CPC - conduction of committal proceedings in respect of offences triable at the High Court e.g. murder and treason.


The role of the RM court is to decide whether or not the person would stand in the High Court for a capital offence.

Objective is that h high Court should not handle frivolous cases and therefore committal proceedings are there for dismissal of frivolous cases and serious ones are taken to the High Court.

Committal Proceedings took the form of a preliminary hearing before magistrate and evidence is recorded by the magistrate to determine whether the case was worth trying in the High Court. Replacement of preliminary inquests where magistrate don’t get to the hear oral evidence. They don’t deal with witnesses. Instead they are furnished with committal bundles comprised of a bundle of documents relating to the case i.e. the statement s of the witnesses and the accuses.


Any expert evidence report from a doctor or analyst is passed to the magistrate to read in order to make a determination whether there is a case worth trying in the high court.
  1. If in the opinion of the magistrate the bundles have a caser triable at the High Court, the accused is committed to the High Court for trial.
  2. If the documents do not disclose any offence, the magistrate should discharge the accused.
  3. If the documents do not disclose the offence charged but they do disclose a lesser offence, the magistrate conducting the committal proceedings should charge the accused with that lesser offence, e.g. if charged with murder, but documents do not show murder but show manslaughter, the magistrate should charge the accused with manslaughter.

INQUESTS

RMs court has jurisdiction to conduct an inquest. Inquests are conducted in the event of sudden deaths, including cases of suicide.


They are governed by section 387 of the CPC. It covers deaths arising in police custody, in prison, roads traffic accidents, and other circumstances where it is not readily explainable and not possible to point u\out a suspect.


It is the duty of the police to report such deaths to the police. The role of the courts in conducting inquests is investigatory, it is not a trial.

After the inquest, the court may identify the person responsible for the dearth and recommend his arrest and trial.

Where the death cannot be conn3ected with the inquest the file will be closed and that would be the end if the matter.

Suspects are treated like witnesses but there is not enough evidence to charge them so the police just give their names to the court to investigate.

JUVENILE COURTS

Created by the Children and Young Persons Act, cap 141 of the Law of Kenya and it is repealed by the Children’s Act, which came into force in 2003.

The Juvenile Court tries e Law of Kenya and it is repealed by the Children’s Act, which came into force in 2003.

The Juvenile Court tries young offenders aged below 18. Under the relevant laws there are procedures that govern juvenile cases. The procedure to be followed is not prescribed in the CPC, but is based in the Children’s Act.

Procedure:

  1. Matters are heard in camera without an audience,
  2. The words conviction and sentence a re not used and the offender, if found guilty is not convicted and sentenced.
The objective is to ensure that children and young persons are not treated like adults. The objective is to rehabilitate young offenders; therefore terms, which are commonly associated with punishment, are avoided.




Juvenile courts are not allowed to impose a custodial sentence unless the offender cannot be dealt with otherwise.

Young offenders are placed in probation so that they are taken care of by probation officers and they are counselled. Other measures taken include discharge where one is guilty but they are left.

There is only one juvenile court in Nairobi. Elsewhere juveniles are tried by the PM and the RM courts, but they follow the procedure required when tying juvenile cases,

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Where the trial is by DM2 and DM3the juvenile upon being found guilty is not sentenced there but referred to the RM fir sentencing.

Young persons during sentencing are treated rather leniently. Custodial sentences are avoided as they expose the young offender to hard-core criminals.

Keteta v R (1972) EA 532

Minor convicted of attempted stock theft and sentenced to imprisonment, On appeal to the High Court applied cap 141 an stated that it was improper for a minor to be sentenced to imprisonment and went on to discharge hi conditionally.

Main v R (1970) EA 370

This is a robbery case involving a young person. The Children’s and Young Persons Act compelled the court to hold that the protection offered under the act could only be taken away but express terms of section 296 pf the penal code and since it does not do so the young person convicted were sent to borstal institutions.

Thomas Odinga Mulanya v R C.A. Criminal Appeal Bo 84 of 1986.

A young person pleaded guilty to manslaughter and sentenced to three tears imprisonment. He was seventeen tears at the time of the commission of the crime. On appeal, the court of appeal found that he ought not to have been sent to prison and his punishment converted to sic strokes of the cane.

COURT MARTIAL

Established under the Armed Forces Acts cap 199. It is a subordinate court. It is designed for the maintenance of discipline among the members of the Armed Forces. Part V creates service offences i.e. crimes that can only be committed by members of the armed forces. These include:

Treachery – in case of treason committed by members of the armed forces,
  1. Cowardice
  2. Offences arising out of service
  3. Mutiny and insubordination,
  4. Disobedience of lawful order from a senior officer;
  5. absence and desertion without leave;
  6. offences relation to maligning;
  7. drunkenness and fighting;
  8. rowdiness and quarrelling
  9. Offences relating to property belonging to the armed forces, etc

The Court Martial consists of:

Senior commission officer who are commission officers. These are the Commission Officers and the Military Commission Officers. Senior Commission Officers should be in the rank of the Marshal and above.

Two other members who are also soldiers,

A judge advocate who is either a magistrate or an advocate. Te judge advocate is appointed with the consent of the AG by the Chief Magistrate at the request of the Convening Officer. The rile of the judge advocate is to guide and advice the court on matters of law. Proceedings are conducted according to the law. He is like a judge, summing up the facts and law after both parties including the prosecution do their case. The judge advocate sums up the case for the benefit of the court. The judge advocate is a member of the Court Martial and therefore he does not participate in the determination of the case. He guides the case,

An appeal lies at the High Court to the decision of the Court Martial. It is with the leave of the Court Martial. It is not as of right.

The AG has a right in the case of an acquittal.

Look at the relevant statute for the procedure.

If the procedure is not followed the decision can be thrown out on appeal to the High Court.

For an officer who breaks the law against a fellow member of the armed forces, they are triable in the Court Martial, but if it is to a fellow citizen, then the case shall be tried in a civilian court. The same principle applies as regards the abuse of property.

HIGH COURT

The High Court is established under section 60 of the constitution and has unlimited jurisdiction and inherent powers in its trial capacity in criminal; cases.

It has appellate jurisdiction over criminal matters arising from the subordinate courts.

It has country wide jurisdiction. The criminal jurisdiction of the High Court is ser out in the CPC i.e. secriunb4 which empowers it to try any offence and impose any lawful sentence.

Doesn’t matter that matter is murder or treason. It can try for sedition or traffic matters, etc.

Apart from original and appellate jurisdictions it also has a supervisory jurisdiction over the subordinate courts and inferior tribunals exercising judicial and quasi judicial functions. This is found under section 65(2) of the constitution. Supervisory jurisdiction goers hand in hand with Judicial review in exercise of the order of certiorari, mandamus and prohibition.

The order of certiorari quashes the order of the inferior court to body. It has been used by the High Court to quash decision s of inferior tribunals in the area of criminal law.

This is where one feels that the other court has acted in excess of its powers by the order being illegal and irregular.

In the case of certiorari the case is R v Resident Magistrates Court in Nairobi and the Commissioner of Police Ex Parte Ngecha Industries H.C. Misc Application No 182 of 1998.

Rons Chesogony v Chief of General Staff and Others Civil Appeal No. 84 of 2000.

Ex Parte Ngecha Industries

A certiorari was issued to quash an order issued by the Nairobi Chief Magistrate authorizing the police to search and enter and search the premises of the appellant and seize d certain items contained in the search warrant issued by a Ugandan court, The Ugandan search warrant had been issued by the Kampala Chief magistrate addressed to the Kenya Police in Nairobi and requiring the Kenya Police to enter the premises of the applicant in Nairobi and search out for certain things set out in a list attached to the warrant and if found forward by the Uganda Attorney General to Nairobi Chief Magistrate who endorsed it. In execution of the same the Kenya police seized some goods and removed them from the applicant’s premises. The applicant moved to the High Court to challenge the legality of the search. In this case, the law applicable was the Extradition (contiguous and foreign countries)Act cap76 not the CPC. Under the provisions of this Act, a magistrate us allowed to enclose a warrant of arrest issued in another country issued for the arrest of a person in Kenya. The Act does not provide for the endorsement search warrants, the order was therefore illegal and unlawful and it was quashed. The magistrate had acted in excess of his jurisdiction by endorsing the search warrant.

In the other two cases the jurisdiction of the High Court was used to quash the proceedings of the Court Martial. In both cases the procedure o the Armed Forces act had not been complied with,

In Ronald Muge the complaint was in relation to the appointment of the judge advocate where he latter was appointed by the CJ without the consent of the AG. The proceedings were defective and quashed.

PROHIBITION
Prohibition is used to prohibit the doing of such acts which are ultra vires or contrary to the rules of natural justice by an inferior court or tribunal. The order is available where the court acts:

  1. in excess of it jurisdiction;
  2. denies the accused a fair hearing.

In the case of Amrik Singh v the Resident Magistrate Court in Nairobi H.C. Misc App. No 117 of 1982 a trial magistrate allowed an amendment of a charge without giving an opportunity for the advocate of the accused to be heard on objection before the amendment was allowed. An order prohibition was granted by the High Court to prohibit further proceedings in the matter.

In Jared Benson Kangwana v AG H.C. Misc App 446 of 1996 an order of prohibition was made to prohibit the Nairobi chief Magistrate from hearing a criminal case against the applicant, on the grounds that the criminal trial against the accused was an abuse of the process of court.

It was held that the said criminal proceedings against the applicant were instigated and maintained by 3rd parties particularly the TransNational Bank with a view to exert pressure on the applicant to pay the debt owed to the bank. The charges against the applicant were preferred after he sued the bank on a civil matter. The court concluded that the e was bad faith on the part of the bank and proceeded to prohibit the trial.

In the other case the matter of an application by Kamlesh Pattni & Others H.C. Misc. Appl. 1296 of 1998. AN order of prohibition was made prohibiting the Kibera DMs court from proceeding with the charges against the applicant on the basis that the charges were an abuse if the powers of court. In the case of Pattni, the charges had been instigated by business rivals, the charges were intended to give credibility to the rivals counter claim filed against Mr. Pattni.

Should a prohibition be issued against a 3rd party? Some judges argues that it is improper for the claim to be against a 3rd party and not the court.

Deepa Panachand v AG H.C. Misc. Appl.199 of 2000
John Wambua v Principal Magistrate Court Kibera H.C. Misc Appl 328 of 2000


In both cases H.C. refusal to grant an order fro prohibition to stop a criminal trial. In both cases the judge stated that the complain was real that the 3rfd party rather than the court was acting improperly and there is no basis of prohibiting the court.

In the Wambua case the complainant was that the KWS was using the prosecution to prosecute the applicant.

The H.C. also has revisional jurisdiction under the section 362 and 367 of the CPC. Revisional jurisdiction is intended for correction of errors at the trial court which are not appealable in law. It is therefore supplementary to the appellate jurisdiction of the High Court.

Revision was sought in Obiero v Republic (1962) EA 650 by the state for the enhancement of the sentence from absolute discharge to conditional discharge. The state was of the opinion that the discharge occasioned injustice.

The tae had no right of appeal and the only way of attaching the sentence was by way if revision. The High Court has the power to revise on its own motion without being moved by any of the parties.

The High Court can also revise a trial court order of a party who has the right to appeal but does not appeal. R v Singh (1957) EA 882.

Revisionary powers should not be exercised where an appeal has been launched. Revision is sought mainly in cases wirer there are errors e.g. misquoting provision s of the law. In civil cases revision is referred to as review there is an apparent error in discovered after the trial.

The High Court has jurisdiction to issue a habeas corpus order. This is like other orders in a prerogative order and is issued at he discretion of the H.C. and it secures the release of any person and authority. The High Court uses the same to execute control over the police and prison authorities where they hold a person without legal authority. Provision is under section 389(2) of the CPC and it literally means “produce the body” as is directed at the person holding the applicant.

Re Ali rehman (1960) EA 302

An order of Habeas Corpus issued and directed at the commissioner of prisoner and eh officer in charge off Luzira prison provision in Uganda to release the applicant who was legally in prison.

Re Application of Muthoni Muriethi on Behalf of Mwangi Stephen Mureithi (Nairobi H.C. Misc Criminal Appl 88 of 1982). Mwangi was at the time Assistant Director of the Intelligence and Moi transferred him to the Manager of the Uplands Bacon Factory. He was arrested and held in custody with his lawyer, John Khaminwa. The wife sought an order of habeas corpus. Unfortunately, the court did not get to issue the order for he was detained.

The order was not against the director of the CID to produce the body of Mwangi Stephen Mureithi.

Republic v Commissioner of Police and Director of CID Ex Parte Raila Odinga (Nbi. H.C. Crim App 344 of 1988).

Brought by the wife of Odinga after he was arrested before he was detained.

Re Ibrahim (1970) EA 168

It has been held that High Court can only issue in respect of a living person.

Held in Stephen Baraka Karanja v R (Nbi High Court Crim App 374 of 1998). The case was at ht height of the Mwakenya. Karanja was arrested in Limuru disappeared for a week. The wife sought the order. Police were unable to state his whereabouts, he had been tortured and killed and then buried. The state argu4e that Habeas Corpus could not issue for the person was already dead. The judge held that Habeas corpus means produce the bodies.

The CJ then decided to change the case to Akilano Akiwumi instead of Schofield (the police officer who had taken him to Nakuru, tortured, killed and buried him) who said that Habeas Corpus applied only in regard to living persons.

JURISDICTION IN CONSTITUTIONAL MATTERS

High Court has jurisdiction over the constitutional matters whether civil or criminal.

Section 84 and section 67 of constitutional.

Section 84 the High court protects the fundamental rights of individuals. Enables individuals who are complaining of infringement of their rights to approach the High Court. This provision has been used to prohibit criminal proceedings which are in the opinion of court an abuse of court process.

Stanley Munga Githunguri v R High Court Crim Appl 271 of 1985

The High Court ruled that the prosecution was an abuse of he process of court and granted a prohibition order under the section 84 of the constitution. Section 84 would be applied where judicial review cannot be done and is not available.

Section 67 of the constitution places primary duty of interpreted the constitution on the High Court. In the magistrate’s court whenever a constitutional issue arises during trial should refer the matter to the High Court for interpretation. This is essentially a reference by a magistrate i.e. it is the magistrate who refers the matter to the High Court on either its own motion or on application by the parties.

Reference initially goes to the CJ who must probate on the basis of merit. If he finds merit, he should appoint a constitutional court.
He has stated on a number of cases that the CJ has exclusive administrative power to examine the issue and determine whether it justifies the convening of a constitutional court.

Githungiuri v R Misc Appl 180 of 1985.
G.B.M. Kariuki v R H.C. Misc App 382


Samuel Okello & 3 Others v Chief Magistrates Court Nairobi H.C. crim App 182 of 2000.

Here the counsel for the accused had applied before the magistrates court for a number of documents to be furnished to the accused by the prosecution. Facilities to help defense included statements recorded at inquiry and documents of evidence for the trials.

A constitutional court appointed a=under section 67 must be made up of 3 High Court judges whereas a court appointed under section 84 need not have 3 judges but the CJ may determine how many judges will hear the case.

COURT OF APPEAL

Established in 1977 after the collapse of the EAC. Established under section 64 of the constitution and is the highest court in the country.

It enjoys appellate jurisdiction conferred by section 3 of the Appellate Jurisdiction Act cap 9. It has no original jurisdiction and therefore cannot revise a decision of the high court and cannot enhance a sentence.


It hears appeals from the High Court whether original or appellate. Some acts of parliament make decisions of the High Court final so no appeal in such cases can lie in the Court of Appeal. For example appeals from court martial under the armed forces Act cap 499

Kabilu v R 1982 – 88 KAR 584

Applicant had been convicted by a court martial of taking part in a mutiny and sentence d to 8 years imprisonment and dismissed from the armed forces. His appeal to the High court was dismissed and he filed a further appeal to the court of appeal which was dismissed for being incompetent for want of jurisdiction of the court of appeal.

INITIAL STAGES OF THE CRIMINAL PROCESS

Substance of Procedure

ARREST

Occurs when a person restrains freedom of movement of another, it amounts to a deprivation of personal liberty. Under the Kenyan Law, enjoyment of fundamental rights and freedoms is subject to public interest. There is a provision for derogation from the rights and freedom for public interest.’

Section 85 provides fro derogation for the same of public security. Right to liberty and movement is enshrined in section 82 of the constitution. For criminal procedure purposes the right to liberty may be derogated:
  1. In the execution of a court sentence.
  2. In the execution of an order of the High Court and the Court of Appeal for contempt.
  3. In the execution of a valid court order for the fulfillment of an obligation of those in law.
  4. To bring a person before the court an order . This is where he court issues a warrant of arrest for person to be brought to court
  5. On reasonable suspicion of a person being about or having committed a criminal offence,
  6. For those below age of majority for their education and welfare e.g. children in custody.
  7. Purposes of preventing spread of contagious and infectious diseases.
  8. Confinement of persons suspect of being of unsound mind, people addicted to alcohol or to drugs for the purpose of their case.
  9. For the purposes of extradition from Kenya / prevention of entry.
  10. When here is lawful need to generate a warrant for detention.

The CPC does not define an arrest and there is no definition of this so we resort to case law as in Hussein v Chang Fook (1970) 2 WLR 441 where Lord Devlin stated that an arrest occurs:

  1. when a police officer states u terms that he is arresting; or
  2. when an officer uses force to restrain the individual concerned; or
  3. when by words or conduct the officer makes it clear that he will use force if necessary to restrain the individual from going where he wants to go; but
  4. it does not occur where he stops an individual to make inquiries.

The provisions relating to arrest found in section 21 – 40 of the CPC.

Section 21 provides that in making an arrest the arresting officer shall actually touch or confine the body of the person being arrested unless the person submits to the custody either by word or conduct.

Section 24 provides that the arrested person must be subject to more restraint than necessary to prevent escape. Once a person submits to custody of arrestor he should not be tied up. It is a requirement of a lawful arrest that the arrested be informed of his arrest.

Section 72(2) of the constitution – any person arrested and detained should be informed as soon as is reasonably practicable tin a language he fully understands the reasons for his arrest. This requirement arises from the Common Law.( Mwangi s/o Njoroge v R (1954) 21 EA 377)

Wheatly v Lodge(1971) 1 All ER 173.

In some circumstance s it is not necessary o inform the arrested person the reason for arrest for example where the arrested:

  1. person knows the nature of why he is being arrested;
  2. where he suspect runs away from his arrestors.

Christine v Leachinsky (1947) AC 573 (1946) KB 144

Court here discussed the circumstances where it is not necessary to inform the person of reasons for his arrest.
  1. An arrest can be effected either with or without a warrant.
  2. An arrest can be enforced either by a law enforcing agent (police, DO, DC, and Immigration Officer)or by a private person.

In either case the pier of arrest must be exercised reasonably within the law.

Where unreasonable force is used or where an arrest is unlawful note that there exists remedies in civil criminal law to redress wrongs committed against the victims. This is a constitutional right - the right to personal liberty so if it is to be deprived there should be remedies.

ARREST WITHOUT WARRANT

  1. By Police Officers

Police officers are bound by virtue of the police act and Administration Police Act to maintain law and order in society.
In the normal course of their duty they carry out arrests,

Most arrests without warrants are committed by police officers during the course of their duties. Powers of police officers in arrest, prevention of crime and investigations are covered by the CPC and other statutes.

The CPC is the main legislation covering arrests.

Section 29 of the CPC sets out circumstances in which police officer may arrays a suspect without a warrant by the curt. They are:

  1. Person suspected of having committed as cognizable offence.
  2. person who commit a breach of the peace I his presence.
  3. person obstructs officer as he exercises his duty;
  4. person who escapes or attempts to escape from lawful custody;
  5. person who is suspected upon reasonable ground of being a deserter in the armed forces;
  6. person found in a street or public place at night and suspected reasonably of being there for an illegal purpose or unable to give a reasonable explanation or give account of themselves.
  7. person with instrument of housebreaking without reasonable excuse;
  8. reason of possession of anything suspected to be stolen property;
  9. person reasonably suspected of having committed an extraditable offence (Offence committed in another country by suspect or offence where one may be extradited from Kenya).
  10. Person for whom he has reasonable cause to believe or not been issued. Under section 30 a police officer may arrest without a warrant persons who are vagabonds, habitual robbers and thieves.

Under section 32 – a person who has committed a non-recognizable offence ( offence in respect of which police require warrant of arrest – minor offences) refuses to give his name or residence, police may arrest without a warrant.

What happens to people arrested without a warrant.

Section 33 of the CPC requires that a person arrested without a warrant e taken to a magistrate or person in charge of police station as soon as possible and thereafter to court.

The decision to charge the person taken by the OCS.

Section 3b – when arrested person is taken to the police officer in charge of the PS the Police Officer may inquire about the case and release of the person on bond unless he is suspected of having committed a capital offence or the offence is found to be serious in nature.

The officer in charge may set the suspect free altogether if he finds that there is insufficient evidence altogether.

The provision of the CPC are further entrenched by section 73(3) of the constitution which provides that the arrested person who is not released should be brought to the court as soon as is reasonable practicable. At any rate within 24 hours of his arrest in cases of offences other than those punishable by dearth e.g. burglary, theft and within 14 days of arrest for capital offences.




Section 73 is an inclusion in the constitution – before it was that the people should be brought to court within 24 hours. There is an amendment. It was found that it would be unfair if one would be arrested and charged immediately when they were innocent.


In Imanyara v Nairobi H.C. Misc App. No 125 of 191 it was stated that in situations here a person is arrested without a warrant, 3 statutory provisions are relevant. These are:

Section 72 of the constitution – provision relating to the deprivation of property.

section 3b of the CPC –p Provision relating to the production in court of a person arrested without a warrant.

Section 29 – 39 of the constitution – provisions relating to arrest without warrant.

Also stated that the effect of a combination of the provision of the CPC is that the prisoner should be brought to court as soon as is reasonably practicable as soon as he ends up in police custody if he is not released on bail from the police station.

BY MAGISTRATE

Section 38 of the CPC empowers the magistrate to personally arrest an offender or order any person to do so when an offence is committed in his presence or his jurisdiction.

He may thereafter release the offender on bail or commit him to custody.

Under section 39 of the CPC a magistrate may arrest or o4rder arrest in his presence within the local limits of his jurisdiction any person whose arrest by magistrate is competent oat the time and can issue a warrant of arrest. He can only arrest a person within his jurisdiction(????).

It was stated in the case of Kionywaki v R that in effecting an arrest magistrate acts as a judicial officer and not in an administrative capacity and cannot be subject to civil and criminal proceedings.

3) PRIVATE PERSONS

Section 34(1) grants a general power to arrest anyone who in his view commits a cognizable offence or who he suspects of committing a felony. This enables members of the public to arrest someone.

Section 34(2) allows property owners and their servants or agents to arrest without warrant any person who comm8itrs any offences of damage or injury to property.

Private persons should use reasonable force just like police where the person to be arrested resists.

Use of unreasonable force to effect an arrest my lead to criminal and civil liability (assault/false imprisonment and battery).

In Uganda v Muherwa A private person who used a weapon to incapacitate the deceased suspected to be thief in the process of which he died was prosecuted and convicted of manslaughter.


In Beard and Anor v R the appellants, two private persons arrested the complainant, tied him and assaulted him although he made no attempt to escape. Delayed in handing him to the police. Prosecuted for assault and unlawful confinement. Convicted of these offences as they used unreasonable and unnecessary force.

Under section 35a person arrested by a private persons without a warrant should be handed over to the police without delay. The police, depending on the circumstances, should rearrest him or set him free.

4) BY CHIEFS

Section 8 of the Chiefs Act (cap 148) empowers a chef and an assistant chief to arrest any person for the purpose of preventing them from committing a crime in their jurisdiction.

Empowers them to arrest any person who commits a cognizable offence. In the eyes of the law chiefs and the assistant chiefs are police officers.

In Lamabutu v R the court recognized chiefs, assistant chiefs, PCs and DCs as police officers.

AREREST WITH WARRANT

Mainly required for minor offences and misdemeanors (less than 3 years). Warrants a\of arrest are issued to secure attendance of person in court. This procedure of securing attendance is applied mainly in cases where the proceedings are commenced by first\ laying a charge in court.

After lying a charge in court you seek his attendance in court as opposed to police arrest then the accused is taken to court.

This procedure is mainly used by private prosecutors e.g. labour officers.

As an alternative to an arrest warrant, he prosecution can apply for summons to issue against the accused person.

Under section 90 with respect to private prosecutions upon receiving a complaint fled by private prosecutors, the courts may either issue summons to accused or warrant to compel attendance in court.

The proviso to section 90 states that a warrant be issued unless a complaint is made by private prosecutor.

Under section 100 a warrant of arrest may be issued to a person served with a summons to appear in court.

Section 101 warrants of arrest are issued where the accused disobeys summons.

Section 102 – warrant s of arrest must be in written form signed by the magistrate and it must bear the seal of the court.

It must briefly state the charge against the suspect and describe the suspects details so that the poison receiving the warrant knows the offence charged.

NB: A warrant of arrest is directed to a particular person ordering him to arrest the person in respect of whom it is issued and bring them to court.

Person is OCS, OCP.

Not issues generally to the police, but a particular person is that they are accountable.

Warrant of Arrest remains in force until either execution o cancellation by the courts is issued.

Kingori s/o Kiranditu v R

It was stated that any person or police officer to whom warrant is issued is bound to execute it like the court which issues the warrant, he is protected by judicial immunity.

Sometimes in private prosecution when the police is unwilling to arrest a person, once one goes to court a arrant of arrest is issued the police have to comply.

Section 103, the court issuing a warrant may direct security t be taken in respect of an offence other than murder, treason, rape in which case the officer such release such person in court if the warrant allows for the release of the person on bond.

The warrant of arrest may be directed to the following persons:-
  1. Police officers – usually to one particular officer or officer in charge or to all other officers in a particular division.
  2. To a land owner, manager and farmer of land. Warrant issued to such persons is to allow them to arrest any person who enters their land. On arrest they should hand over the accused to the nearest police officer.
  3. By virtue of section 107 the person effecting arrests should notify the substance of the warrant to the suspect and if he is required b y the suspect and show him the warrant.

Section 22 imposes duty on an occupant of premises or any person in charge of premises to afford all reasonable facilities of arrest i.e. to allow the person to enter premises discharging a warrant arrest, i.e. to allow the person to enter promises to effect an arrest if there is a reasonable suspicion that the suspect is in those premises. The facilities should also be provide to such persons to enable them to search the premises. Where no reasonable facilities are allowed (I.e. access) the officers may break in even without a warrant. Only break in when they are not allowed entry).

Section 22(2) women in occupation of premises who are not suspects and who by custom do not appear in public should be given reasonable facilities to withdraw (Muslim Women).

Section 23 allows arresting persons to break out of the premises to liberate themselves.

The CPC provide elaborate procedure where the arrest has to be effected outside the jurisdiction of court.

Section 10 – The warrant may be forwarded by part or otherwise to the magistrate within the local limits where the jurisdiction it I to be executed.

The magistrate to whom the warrant is forwarded should. Endorsement is crucial (within his jurisdiction). It is his responsibility to cause it to be executed.

Under section 111 instead of the warrant being forwarded to the magistrate within whose jurisdiction local limits to which it is to be execution the issuing the court may direct it to a police officer to take it for endorsement by a magistrate within the local limits.

NB: the police officer may execute the warrant without the endorsement if there is reason to believe the delay will be occasioned by obtaining the endorsement. Officer has to be executed certificate explaining the same. If it is not so endorsed and if it is enforced without endorsement, the arrest will no doubt be unlawful/.

A person arrested outside the local jurisdiction of the issuing magistrate may be taken. Before the magistrate within the local limits of whose jurisdiction the arrest was made. Necessary to avoid holding the person for more than 24 hours. Apart from the police, the court of law and private persons, other tribunals discharging functions of a judicial nature have powers to issue warrants of arrest. For example the Rent Tribunal, judicial commission of inquiry.

Section 30 of the National Assembly powers and privileges Act, vest the powers on the members of the National Assembly to arrest.

SEARCH AND SEARCH WARRANTS

Like arrests, the search of the premises of the suspect and seizure of the property of the suspect infringes on the fundamental rights and freedoms of the individuals and in particular the right to privacy.,

The enjoyment of the right to privacy of the freedom for the invasion of privacy should be weighed against the rest of the society at large in finding out wrongdoers and redressing crime. The invasion of privacy of the individual in the interests of the society should be done properly within the law.

Search warrants governed by section 118 – 122 of the CPC

A search warrant is defined as an authority to search a place for evidence of a crime which is suspected or believed to have been committed or to make an arrest of a suspected criminal.


A search warrant authorizes the person to whom it is addressed to enter a place or premises described in the warrant. If the item is found, it should be siezed and taken to a court having jurisdiction.

Note: Warrant describes the premises to be searched and the item to be searched for. If the premises is not the right one it is an illegal search and the owner may commence proceedings on tortuous liability.

A police officer having reasonable suspicion that there is evidence in a certain place for the investigating of a crime, he may apply to the court for a search warrant authorizing him to search the place.

Under section 118 of the CPC it is necessary that the be evidence of a reasonable suspicion which must be given on oath. The Police officer must show hat there is reasonable ground for suspicion and given by way of an affidavit sworn by the officer.

Under section 119 of the CPC a search warrant may be issued on any day including Sunday for urgent matters.

A search may be conducted with or without a search warrant. Where the same is conducted with a search warrant under section 120 of the CPC there is an obligation on the person in charge of a closed place or premises to allow ingress and egress in and from the premises to allow them to enter and t leave for searching.

Failure to provide such allows the police officer to use force to enter or break out of the premises.

By virtue of section 104,106, 109, 110 and 111 of the CPC on warrant of arrest also applies to search warrants, i.e.:

Warrant should be in the hands of the magistrate or the judge issuing it and it must be signed;

it should bear the seal of the court;


it must state the offence against the accused person in respect of which it is issued;


may be directed to one or more police officers or to all other police officers in the relevant area.


If it is to be conducted outside the jurisdiction of the court it must be endorsed by the magistrate within the local limits of which the search is to be conducted.


May be executed without endorsement in courts where there is delay.

The directions in the warrant must be strictly observed – articles, items not in the warranted should not be seized. Only what is mentioned unless they a r likely to produce additional evidence as to the identity of the items or they are relevant to the charge.

The seizure of irrelevant articles is legally unjustifiable and in most cases causes damage to the prosecutions case.


Vivendi v R (1957) EA 355

Appellant is convicted in district court of Bussaga of being in possession of property reasonably suspected of having been stolen. Failure to give a satisfactory account of possession. Police was acting on information received. They searched the house and shop of the appellant looking for a camera and expensive sunglasses which they did not find. Instead they found a tiny box and exposure between under the counter said to have been left by V 3 months ago. V admitted leaving expensive meter with the appellant but denied that the meter in question was the one deposited by him with the appellant. V called as prosecution witness and denied ownership of the meter found in the shop. He denied ever depositing the exposure with the appellant. No search warrant produced by police and the only evidence in the shop was the oral evidence of the police against him which was inadmissible under section 63 of the evidence ordinance.

It was held that it is possible to establish that a particular search was conducted under the authority of a warrant without proving contents of warrant.

The evidence did not justify a reasonable suspicion that the exposure meter had been stolen.

Circumstances where a search is conducted without a search warranted.

Where a person who is being sought by the police to be arrested enters a place where the process of getting a s4earch warrant would give the fugitive a chance to escape, section 22 of the CPC allows the police to enter such a place and search for the person t be arrested even thought they do not have search warrant.

NB: The police should only carry out a search fro the person when they are in hot pursuit of the a person and they are afraid that he would disappear if they wait for a court to give them a search warrant.

Section 26 of the CPC empowers the police to detain and search aircraft, vessels vehicles, and persons and if they have reason to suspect the same contains stolen property or property unlawfully obtained.

This person may be exercised by other persons with permission s from the commissioner of police e.g. officers of immigration department, income tax, customs and excise department.

In all these circumstances the suspicion must precede the process of stopping a person for a search. Suspicion arising from the stopping of the search renders the action of the police illegal under section 26 of the CPC.

Where section 26 discusses at length

Keityo v Uganda (1967) EA 23

Koech v R (1968) EA 108

Section 27 A search to a woman must be done by another woman.

CHARGES AND INFORMATION

Under section 89n of the CPC criminal proceedings may be instituted in 2 ways:


By way of making a complaint;


by the production in magistrate court of a person who has been arrested without a warrant.

COMPLAINT

Any person affected by the conduct of another may make a complaint to a magistrate having jurisdiction.


Under section 89(3) the complaint may either be oral or written.

Oral – it should be reduced into writing by the magistrate. This helps illiterate people who cannot write an affidavit on oath. Thereafter the magistrate should sight the same.

Under section 89(4) the magistrate upon receiving the complaint should draw up or cause to be drawn up a formal charge based n the information given by the complainant.

Magistrate may refuse to admit the complaint or formal charge drawn up if the same does not disclose any offence, He must give reasons for refusing to admit a complaint. These proceedings are in chambers and are not in open court.

The process of commencing proceedings is not commonly used in private prosecutions. Otherwise a complaint is usually made at the police station. Police conduct preliminary investigations and then arrest accused person or make a complaint to magistrate then get a search warrant and then the arrest warrant.


PRODUCTION OF THE ACCUSED IN COURT

Where the accused is arrested without a warrant the law requires that they are brought to court as soon as possible without delay.

Under section89 the arresting officer may draw up the formal charge against the occupied and present him to the magistrate(section 89(4))

Where the formal charge is drawn by the police if it should be signed by the officer in charge of the police station.

Alternatively the accused may be presented to the court where the magistrate under section 89 (4) may draw up and sign the same.

Both circumstances under section 89(5)may decline to admit the charge if the charge does not disclose any offence.

The court does not normally draw the charge.

WHAT IS A CHARGE

A charge is a complaint formally drawn up. A formal written accusation of an offence is drawn up by the magistrate or police officer and signed as required by law for use in a c criminal trial or preliminary proceedings (committal proceedings).


A charge is an equivalent of pleadings in civil cases. It contains allegations against the other party.

It is drawn up to inform the court of the offence allegedly committed by the person it is called upon to try.

To inform the accused of the allegations against him so that he can prepare a defense.

Mandatory requirement that a charge must be based on some known offence

Under section 77(8) of the constitution, it is provided that no person should be convicted of an offence unless the offence is defined in written law.

Each charge is based on known offence in written law. The charge should be in the prescribed form. Section 134 of the CPC prescribes that it should contain 2 essential elements:-
  1. The statement of the offence
  2. The particulars of the offence.
Look at the second schedule of the CPC pages 150 – 156 for the prescribed forms.


The charge should describe the offence briefly and plainly and concisely. It should not contain any evidence. Technical terms should not be used. Because this is a document to be given to the accused who is a simple person who does not understand such terms. Therefore it should be in ordinary language for ordinary people to understand.

The statement of the offence usually states the law and the procedure and the particular section of the law which have been allegedly offended.

The particulars of the offence should contain the date and the place where the offence was allegedly committed, the subject matter of the charge (acts which make it an offence). The particulars should contain the identity of the complainant and accused, for example to whom the house burnt belonged to.

With respect to sections the requirement is that the charge should state the sections and subsections of the offences charged. The penal code or statute may create a number of offences in one section so sometimes the charge may state the wrong or non-existent section or subsection. The effect of such lapses would depend on whether the same occasion or a miscarriage of justice.

If in the opinion of the appellate court no injustice was occasioned on the accused by citing the wrong section, the conviction shall stand.

However where the court sees the citation of the wrong section causing a miscarriage of justice the trial would be declared a nullity.

Avone v R (1969) EA 129

Appellant was charged with three counts of obtaining credit by fraud or forgery and of impersonation. The relevant sections of the penal code under which 2 of the counts were laid were misdescribed. The appellant was convicted on all 3 counts.

He appealed on grounds that the conviction was based on a defective charge and that therefore the conviction was a nullity in law. The High Court dismissed the appeal and found that the misdescription for the charge had not occasioned any prejudice on the appellant.

Similarly in Sabur v R (1958) EA 126 the appellant was charged with committing a traffic offence contrary to section 39(1) instead of being charged under section 40(1) of the Traffic Ordinance of 1951. Section 39(1) of the said statute did not create the offence was not arrested by section 39 but by section 40.

He was tried and convicted. The appellant was tried and convicted He appealed against the conviction grounded on the defectiveness of the charge and that it should be dismissed.

It was held that since the particulars of the offence were adequate to inform the appellant of the offence with which he was charged there had been no failure of justice and the defect was curable under the CPC section 382 which provides that unless the defect in a charge occasions a failure of justice or prejudices an accused person an order for conviction based on the defective charge should not be quashed.

Where grave defects exist the court should declare the charge defective and improper. Particularly where the particulars of the charge do not disclose the offence.

Uganda v Keneri Opidi (1965) EA 614

The particulars of the offence should be clear in order to enable the accused person to know the offence he is charged with. The charge should be such that it is easy for them to defend themselves. Clarity is a requirement.

Musoke v Uganda (1972) EA 137

It was held that the charge of robbery which stated that a complainant was robbed of household goods without stating the identification and particulars of the goods stolen, did not disclose the offence of robbery. State that the goods were stolen so that the accused know what they stole.

Kigecha Njuga v R EA 773

The accused while driving a disguised car was chased and arrested by police from a tip off by a n informer. Under the driver’s seat the police found a Simi. He was charged with being armed by day with the intent to commit a felony contrary to section 305(1)(d) of the penal code.

The felony that the accused was charged with was not stated. He was convicted and on appeal the High Court set aside the conviction on the basis that the intended felony ought to have been disclosed din the charge if there was doubt a to the intended felony, different felonies should have been stated in the alternative.

Nahashon Marenya v R Nairobi H.C. Criminal Appeal 786 of 1982

Appellant had been charged with failing to comply with a curfew restriction order, contrary to section ((1) of the public order Act. Particulars of the offence did not disclose the details of the curfew restriction order that the appellant had allegedly failed to comply with, when the curfew order started and ended.

It was held on appeal that the charge did not disclose an offence. The details were insufficient. They did not disclose enough details to assist the accused in his defense. Todd J said of the charges and particulars:

“charges and particulars should be clearly framed so that the accused person may know what they are charged with and proper inferences should also o be made otherwise confusion may arise and if confusion arises it cannot be said that failure of justice may not have arisen.”

An error in the particulars is not necessarily fatal to the charge unless it has occasioned injustice on the appellant,

Mwasya v R

Sometimes the charge may contain no particulars at all or it may contain the wrong ingredients. A charge would be incurably defective for lack of particulars. The accused ought to be discharged.

Kubanisi v R (1965) EA 572

The charge was framed in the following terms:

Particulars of Offence

Attempted to commit an offence contrary to section 398 of the penal code.

Particulars

Wander Reuben Kubanisi on the 29th of January, 1965 at 8.00 pm at Bungoma Railway Station attempted to commit a felony contrary to section 389 of the penal code.

The appellant was tried and convicted. On appeal the High Court found the charge barred for uncertainty as it did not disclose the felony alleged to have been committed.

A charge would also be incurably defective if it contains the wrong ingredients of the offence or if it omits an essential ingredient.
Yosefu and Anor v R

The Appellant was charged with being in possession of game trophies without a valid license contrary to section 14 of the Games (Preservation and control) Act ( a Ugandan Statute) The trophies were listed as 17 drums made put of zebra skins and 40 pieces of zebra skin. Section 14 of the Act provided that it shall be an offence for any person to possess any other part of any animal which has been killed captured etc. The accused pleaded guilty and was sentenced to pay a fine.


On appeal he held that the charge was defective in that it did not allege an essential ingredient of the offence, i.e. that the skins came from animals killed, captured in contravention of the Act. Spry J said that it is essential that every charge should allege all the essential constituents of an offence.

The appeal was allowed.

Ngige s/o Gatonye v R

Appellant was charged with moving maize without a permit contrary to section 24 of the Maize Marketing Ordinance. On appeal they found that the particulars of the charge did not conform to section 24(2) of the ordinance. The particulars do not refer to any such order. The charge should have stated that the maize was moved without a permit.


It was held that the charge was bared because it did not mention the order concerned. The relevant order to be mentioned as contravened was the Maize Marketing (Movement of Maize Products) Order.

Shah v R

This case shows that in cases of stolen property, the charge will not be barred or defective if it omits to name the owner of the property. A conviction based on a charge where the charge omits to name the owner of the property cannot be c=quashed on that count provided there is evidence that the property has been stolen.

HOW TO FRAME A CHARGE

Section 137 of the CPC provides detailed rules for the framing of a charge.

PART A

The form and structure of the charge:


The charge should commence with a statement of the offence charged called “statement of offence””.


The statement of the offence should describe the offence in ordinary language, without stating all the essential elements of the charge. Disclose the section of the statute or enactment of the offence.


The form of the charge should conform as nearly as possible as the form provided in the 2nd schedule of the CPC.


Where the charge contains more than one count or the charge has various offences the counts should be numbered constructively.

PART B

Description of Property


Description of property should be in a simple and straightforward language which is easy to understand.


It should indicate clearly the property referred to.


Where the property is owned by more than one person, it should suffice to describe the property as being owned by one of the persons. You do not have to list all the persons.


If the property is owned by a body of persons with a collective name, it would to use the collective without naming any individual owners,


If property belongs to or is provided for use by a public establishment, service or department, it may be described as policy. It may be described as property of the government.


If there are coins, bank notes or valuable currency, these may be described as only money.

PART C
Description of Person

The description or designation of the accused person or of another person to whom reference is made should be sufficient to identify him. Use names.

If the name of the other person is unknown or for some person it is impracticable to give such a designation or description, a description may be given or described as a person unknown.


PART D

Documents

These should be referred to by name or by designation or purport.

there is usually no need to state the contents of a document in the particulars of a charge.


PART E


Provisions as to statutory offences


Where an enactment constituting and offence states the offence to be the doing or the omission to do any one of any of the different acts in the alternative or the doing or the omission to do any act. In any one of the many different capacities or with anyone of the different intentions or any part of the offence in the alternative, the act, omissions, capacities or intentions stated in the alternative in the count charging the offence. Section 181 of the CPC and section 21 of the CPC.

DUPLICITY OF CHARGES

It is a legal requirement that a charge should not suffer from duplicity. Duplicity occurs where the charge or count charges the accused of having committed two or more separate offences, It is said to new duplex and barred for duplicity. Duplicity occurs when a statute creates offences in the alternative, Section 86 of the Traffic Act illiterates for offences created in the alternative e.g. causing death by driving a motor vehicle:

  1. driving recklessly;
  2. driving at high speed.
  3. Driving in a manner dangerous to the public.
  4. Leaving the motor vehicle on the road in a manner dangerous to the public.

All these are stated in the alternative so that you cannot be charged of two or more but only one of the alternative.

A count charging the accused of causing death by driving the motor vehicle recklessly and at high speed is duplex. The charges should be expressed in the alternative:


Mwambalafu v R (1966) EA 459

The appellant was charged with the alternative counts of an offence i.e. the offence of arson and attempted murder. The particulars of the charge o arson alleged that the appellant had set on fire two houses, one belonging to A and the other belonging to B The houses stood more than 100 yards apart.

He was charged with one count of murder and one count of arson. The particulars stated that he attempted to cause the death of A and his wife by setting on fire 2 house one A’s and the other B’s. Evidence showed that the appellant had attempted murder on 2 occasions. The first , he burnt A’s house and when A took refuge in B’s house, he burnt B’s house as well. The question was whether there was duplicity.

It was found that yes there was, with respect to the arson charge as there were two offences arising from 2 acts of arson. Secondly, there was also duplicity with respect to the attempted murder hence there ought to have been two charges off attempted murder. Thirdly, the attempted murder counts should be framed in the alternative. There ought to be 4 counts and not 2 but the e second attempted murder count should be in the alternative.

Saina v R (1974) EA 83

The appellant was charged on a single count with the offence of housebreaking, theft and handling stolen property. He was convicted but on appeal the High Court found the charge barred for duplicity. It was found that one count charged 3 separate offences i.e. shop breaking contrary to section 306(a) of the penal code, handling stolen goods contrary to section 322 of the penal code. It was forth held that each offence should be set out in a different count. The charge of handling stolen property is in the alternative. The appellant was charged.

Bhatt v R (1960)

The appellant was charged with being in possession of obscene material, contrary to section 181(a) of the penal code.

It was alleged that the appellant for the purpose of or by way of trade for the purpose of distribution or public exhibition had in his possession 37 photographs of an obscene nature which could tend to corrupt the morals of any person etc. Section 181 talks of alternative purposes.

It was held that (on appeal) the particular motive why the appellant has the photos should have been averred to the purposes. It 2as wrong for the charge to refer to many purposes. The averment of several purposes made the charge barred for duplicity. Each of the several particular set out in the charge constituted a separate offence. Charging the accused in this mannered prejudices his defense.

Koti v R (1962) EA 439

Appellant was charged and convicted of wrongfully attempting to interfere or influence witnesses in a judicial proceeding either before or after they had given evidence contrary to section 2121(1) of the penal code. On appeal, it was held that the charge was duplex, i.e. it charged with two offences i.e. interfering with the witness before and after. They should state if it was before or after. If it was before and after there should be 32 counts. Duplicity is allowed in certain circumstances. There are exceptions to the general rule that count should not charge an accused with more than one offence.
Exceptions to the General Rule


Where the form of preferring a charge is allowed by statute. The second schedule of the CPC authorizes charging of 2 offences in one count in respect of:


The offence created under section 330 of the Penal ode in respect of false accounting;


Second schedule authorizes offences creates under the section 304 and section 379 i.e. burglary and stealing. Form 9, in the second schedule.


Pope v R (1960) EA 132

Accused was charged with fraudulent accounting false accounting contrary to section 330(a) of the penal code.


Where the sepaarate offences are charged conjunctively using the word and as opposed to or if the matter relates to one act. In Gichinga v R the appellant was charged with driving a car recklessly. In the particulars, it was stated that he drove in a reckless manner and at a speed which was dangerous to the public having regard to all the circumstances of the case contrary to section 86 of the Traffic Act. The Act employs OR rather than AND. The magistrate acquitted the accused because of duplicity as it alleges the commission of two offences. On revision by the high court it was held that the charge was not duplex and it had been expressed conjunctively and it referred to one incident or act i.e. appellants manner of driving at the relevant time. If it had been expressed using the disjunctive OR. In a. reckless manner or at a high speed it would have been duplex


EFFECTS OF DUPLICITY


The law is not clear. There are two opposing views:


One view holds that duplicity is an incurable defect which can be cured by amending the charge hence if found to be duplex, the accused should be discharged. This was seen in Cherere Gukuli v R (1955) 22 EACA 478 and followed in Saina v R. Those who subscribe to this position hold that a count which charges for two counts is barred for duplicity and a conviction based on it can not stand.


The other view holds that the true test should be whether injustice or prejudice has been occasioned on the accused by the duplicity so that where the accused suffers no prejudice, a conviction o duplicity should not stand. This school relies on section 382 CPC which provides for finding of a sentence or order issued by a court should be reversed or altered on appeal or revision on account of error omission or irregularity in the charge unless the error omission or irregularity has occasioned a failure of justice. This school of thought was followed in:


Kababi v R (1980) KLR 95. The appellants was charged in a single count with causing the dearth of 3 persons by dangerous diving. He was convicted. He appealed, challenged the decision of the court that it was based on a barred charge. It was held that the failure to charge or to file 3 separate counts did not occasion injustice though there was duplicity. The conviction was upheld.


Koti v R: Appellate court found the charge was duplex but declined to interfere because it did not occasion any in justice. It was held that the test in deciding whether a failure of justice occurred or the accused has been prejudiced in his trial.


Mwambalafu v R : the appellate court found that the arson charge was duplex but that it did not occasion any injustice. The court relied on section 382 of the Tanzania CPC.


Mwangi v R: The appellate court found that the charge was duplex but that it had occasioned no injustice.


PUBLIC INTERNATIONAL LAW NOTES/VERSION I/

Introduction

International law traditionally concerned itself with relations with sovereign states but nowadays it also deals with relations between natural and juridical persons. These are individual human beings and incorporated companies. Individuals benefit from the protection of international law but they cannot be described as proper subjects of international law. 

Multi-national corporations are busily engaged in international transactions with states. Consequently new rules of law have been developed to cover these relationships. However these corporations fail to qualify as international subjects. States and international organizations like the United Nations are the main actors on the international community, the only entities with true international personality and principal creators of international law. 

The Minimum Standards of International Justice with respect to aliens qua aliens.


Any of the following actions amount to denial of justice to aliens.

  • Failure to inform an alien reason for his arrest

  • Failure to provide an alien with an interpreter if he needs one

  • Holding an alien incommunicado

  • Refusing an alien the right to consult their counsel

These were rights that were being reserved to protect aliens and being enforced mostly in the developing countries and the Latin American countries.

Calvo Doctrine

The Calvo Doctrine (or principle) holds that jurisdiction in international investment disputes lies with the country in which the investment is located; thus, the investor has no recourse but to use the local courts. The principle, named after an Argentinean jurist, has been applied throughout Latin America and other areas of the world. It is a body of international rules regulating the jurisdiction of governments over aliens and the scope of their protection by their home states, as well as the use of force in collecting indemnities. The doctrine was advanced by the Argentine diplomat and legal scholar Carlos Calvo.

An Argentinian by the name Calvo – said that “we cannot assign foreigners in our countries special treatment as this would be like having two regimes in a country which would amount to political monstrosity. Calvo developed the Calvo Doctrine and argued for equality of treatment between nationals and aliens.  No special regimes. An alien is supposed to accept everything in the host country and no special treatment.  Having minimum standard of international justice to be observed with respect to aliens qua aliens was wrong.

This doctrine developed what became known as the Calvo clause.  To implement calvo doctrine required the calvo clause. Under the Calvo clause Latin American countries decided that any foreign country coming to do business in their countries, whether mining or any activity under a contract will have a clause in that contract in which the alien waives its right to ask its own government to espouse its claim before the international court a claim.

Many countries in Latin America have worked under the Calvo Doctrine until they started signing FTAs and BITs.

 The Calvo Doctrine is a doctrine and not a law and basically says that a country is sovereign and does not have to hand over their sovereignty to an international court to resolve a dispute when foreigners are involved.

http://www.britannica.com/needmoreInternational Law of Europe and America in Theory and Practice (1868). 

North American Dredging Co. v. Mexico


The company waived its rights ever to ask USA to bring the case against Mexico. The Mixed Claims Commission found out that the obvious purpose of the clause was to prevent abuse of the right of diplomatic protection and to draw a reasonable line between the sovereign rights of a state i.e. issue of jurisdiction and Diplomatic protection. It stated that the clause was part of the contract and had to be upheld unless it was repugnant to a recognized rule of international law. It found further that a contractual clause purporting to restrict or exclude the rights normally owed to an alien would be valid to the extent that it did not preclude diplomatic protection for violations of international Law.

An alien cannot deprive his government its right of diplomatic protection in case of violations of international law nor may he deprive himself of the right to apply to his government on the ground. But in such a case the claimant’s complaint would be not that his contract was violated but that he had been denied justice.

The commission declared that North American Dredging Company had fully ignored the local remedies rule provided by Mexican Law. The claimant having agreed to Article 18 of the Contract could not rightfully present a breach of contract claim to its government for its espousal and therefore the claim was unanimously dismissed.

The western world response to Calvo clause was that the individual had no right to waive a state’s right.  This had to become a legal jurisprudence of international law.

In the Mavrommatis Palestine Concession case the very issue was settled when the permanent court of international justice said that when a state Mavrommatis espouses the claim of its national to take to an international tribunal, it had to be the state in its own rights and its own interest rather than the individual involved.  It is the state that wants to assert its own right to ensure that its rights are being asserted.

From the beginning the Western world was of the view that there was no right to expropriate the property of aliens.  They decided that the rule to apply is when one expropriates property they must pay prompt, adequate and just compensation if one must expropriate.

From this evolved the permanent sovereignty of natural resources. They began to challenge the standard of prompt, adequate and just compensation.  Under the principles of exercising permanent sovereignty the countries said they had the right to determine the amount of compensation they paid.  The host state determines the amount of compensation because they were the only ones who could determine the value of the property.  If for example an alien owed taxes the amounts would be deducted.  The developing countries won.  In 1974 there was a famous UN Resolution that adopted the Charter of Economic Rights and Duties of States.  


APPROPRIATE COMPENSATION

Article 2 (c) provides that the state which has expropriated the property of aliens has the right to pay appropriate compensation.  Once that state has arrived at a just compensation the amount is not subject to any proceeding outside that country.  No more taking cases of expropriation to international court.  This is how Libya responded to Texaco Oil CO. in Texaco Oil Co. v. Libya and Libya applied the charter of economic rights and duties principle and decided how much was to be paid to Texaco.  This case was heard by a  French lawyer and the question was how Libya could rely on a clause that had been rejected by the rest of the world.  The Judge ruled that Libya would not rely on this Article as it had been rejected by the developed world.  This is a decision that favoured the Western World.

International Centre for Settlement of Investment Disputes.

The countries of western world got tired of these series of espousing claims simply because as subjects of international law, companies had no right to bring a case before an international court.  In 1966 they decided to negotiate a convention for settlement of investment disputes between states and companies direct.  This convention established a centre called International Centre for the Settlement of Investment Disputes (ICSID) between states and companies directly.


The entire Latin American country rejected ICSID entirely because they wanted aliens to have all issues settled at home. (Calvo Clause).  Once the country involved has accepted the jurisdiction of the centre, it allows the company to approach the centre but insists that the company exhausts the remedies available locally.

ICSID is thus a thriving institution in Washington D.C.


PART II

Exhaustion of local remedies.

Pannevezys Saldutiskis Railway  Case before an alien can have his case admitted in ICSID must have local remedies exhausted.  Establishing the local remedies rule Clear opinions, are all to the effect that the principle of the exhaustion of local remedies lays down a condition for generation of the international responsibility of the State, were expressed by three other judges, namely, Judge Hudson in his dissenting opinion in the Panevezys-Saldutiskis Railway case, Judge Cordoba in his separate opinion in the Interhandel case,

Judge Morelli gave a thorough definition of the principle of the exhaustion of local remedies in the following terms:

"However, the local remedies rule, as a rule of general international law, is in my view substantive and not procedural.  It is indeed a rule which is supplementary to other rules which also themselves possess the character of substantive rules, namely the rules concerning the treatment of foreigners.

"Those rules require from the States to which they are directed a particular final result in respect of the treatment of foreign nationals, leaving the State which is under the obligation free as regards the means to be used.  Consequently, if an organ of the State which is under the obligation performs an act contrary to the desired result, the existence of an internationally unlawful act and of the international responsibility of the State cannot be asserted so long as the foreign national has a possibility of securing, through the means provided by the municipal legal system, the result required by the international rule." (I.C.J. Reports 1964, p. 114.)

Mavrommatis Palestine Concession – when the state brings a claim on behalf of its own national it is exerting its right other than that of its national

Chattin Claimelucidated and put down succinctly the concept of denial of justice dealing with irregularities that open the way to approach international court.

Interhandel Case – merely confirmed that the exhaustion of local remedies is a well established principle of international law that must be observed unless States dispense with this agreement under treaty.   If the state does not require local remedies to be exhausted, again this case can be cited.

Ambatielos Case -  this is the case that if you had a witness who could come and help you in your case in the local court and failed to call that witness and the court decided that had the witness come the case would have been decided differently, it was decided that this would amount to failure to exhaust local remedies. Failure to call a key witness was declared to be non-exhaustion of local available remedies.

The minimum standard of intentional justice to be observed with respect to aliens qua aliens are:

  1. failure to  provide  an interpreter

  2. holding an alien incommunicado

  3. failure to allow access to a counsel

  4. failure to disclose reason for arrest



Civilized states - recognized major legal systems of the world

AN ACT OF STATE DOCTRINE:

Every sovereign state is bound to respect the independence of every other sovereign state, and the courts of one country will not sit in judgment on the acts of another government done within its own territory.  Redress of grievances by reason of such acts must be obtained through the means open to be availed of by Sovereign powers as between themselves. This doctrine was argued in the following case.

BANCO NACIONAL DE CUBA v. SABBATINO, 376 U.S. 398 (1964) 

376 U.S. 398

BANCO NACIONAL DE CUBA v. SABBATINO, RECEIVER, ET AL.
CERTIORARI TO THE UNITED STATES COURT OF APPEALS FOR THE SECOND CIRCUIT
No. 16
Argued October 22-23, 1963
Decided March 23, 1964

Respondent American commodity broker, contracted with a Cuban corporation largely owned by United States residents to buy Cuban sugar. Thereafter, subsequent to the United States Government's reduction of the Cuban sugar quota, the Cuban Government expropriated the corporation's property and rights. To secure consent for shipment of the sugar, the broker by a new contract agreed to make payment for the sugar to a Cuban instrumentality which thereafter assigned the bills of lading to petitioner, another Cuban instrumentality, and petitioner instructed its agent in New York to deliver to the broker the bills of lading and sight draft in return for payment. The broker accepted the documents, received payment for the sugar from its customer, but refused to deliver the proceeds to petitioner's agent. Petitioner brought this action for conversion of the bills of lading to recover payment from the broker and to enjoin from exercising dominion over the proceeds a receiver who had been appointed by a state court to protect the New York assets of the corporation. The District Court concluded that the corporation's property interest in the sugar was subject to Cuba's territorial jurisdiction and acknowledged the "act of state" doctrine, which precludes judicial inquiry in this country respecting the public acts of a recognized foreign sovereign power committed within its own territory. The court, nevertheless, rendered summary judgment against the petitioner, ruling that the act of state doctrine was inapplicable when the questioned act violated international law, which the District Court found had been the case here. The Court of Appeals affirmed, additionally relying upon two State Department letters which it took as evidencing willingness by the Executive Branch to a judicial testing of the validity of the expropriation. Held: 

1. The privilege of resorting to United States courts being available to a recognized sovereign power not at war with the United States, and not being dependent upon reciprocity of treatment, petitioner has access to the federal courts. 

2. The propriety of the taking was not governed by New York law since the sugar itself was expropriated. 

3. This suit is not uncognizable in American courts as being one to enforce the "public" acts of a foreign state since the expropriation law here involved had been fully executed within Cuba. 

4. The Government's uncontested assertion that the two State Department letters expressed only the then wish of the Department to avoid commenting on the litigation, obviates the need for this Court to pass upon the "Bernstein exception" to the act of state doctrine, under which a court may respond to a representation by the Executive Branch that in particular circumstances it does not oppose judicial consideration of the foreign state's act. 

5. The scope of the act of state doctrine must be determined according to federal law. 

6. The act of state doctrine applies and is desirable with regard to a foreign expropriation even though the expropriation allegedly violates customary international law. 

(a) Disagreement exists as to relevant standards of international law concerning a State's responsibility toward aliens. 

(b) The political branch can more effectively deal with expropriation than can the Judicial Branch. 

(c) Conflicts between the Judicial and Executive Branches could hardly be avoided were the judiciary to adjudicate with respect to the validity of expropriations. Even if the combination alleged in this case of retaliation, discrimination, and inadequate compensation made the expropriation here violative of international law, a judicial determination to that effect would still be unwise as involving potential conflict with or embarrassment to the Executive Branch in later litigation. 

7. A foreign country's status as a plaintiff does not make the act of state doctrine inapplicable. 

307 F.2d 845, reversed and remanded. 

MR. JUSTICE HARLAN stated; 

“The question which brought this case here, .. is whether the so-called act of state doctrine serves to sustain petitioner's claims in this litigation. Such claims are ultimately founded on a decree of the Government of Cuba expropriating certain property, the right to the proceeds of which is here in controversy. The act of state doctrine in its traditional formulation precludes the courts of this country from inquiring into the validity of the public acts a recognized foreign sovereign power committed within its own territory.”

While acknowledging the continuing vitality of the act of state doctrine, the court believed it inapplicable when the questioned foreign act is in violation of international law. Proceeding on the basis that a taking invalid under international law does not convey good title, the District Court found the Cuban expropriation decree to violate such law in three separate respects: it was motivated by a retaliatory and not a public purpose; it discriminated against American nationals; and it failed to provide adequate compensation. Summary judgment against petitioner was accordingly granted. 

Respondents, pointing to the severance of diplomatic relations, commercial embargo, and freezing of Cuban assets in this country, contend that relations between the United States and Cuba manifest such animosity that unfriendliness is clear, and that the courts should be closed to the Cuban Government. We do not agree. This Court would hardly be competent to undertake assessments of varying degrees of friendliness or its absence, and, lacking some definite touchstone for determination, we are constrained to consider any relationship, short of war, with a recognized sovereign power as embracing the privilege of resorting to United States courts. Although the severance of diplomatic relations is an overt act with objective significance in the dealings of sovereign states, we are unwilling to say that it should inevitably result in the withdrawal of the privilege of bringing suit. Severance may take place for any number of political reasons, its duration is unpredictable, and whatever expression of animosity it may imply does not approach that implicit in a declaration of war. 

"Every sovereign State is bound to respect the independence of every other sovereign State, and the courts of one country will not sit in judgment on the acts of the government of another done within its own territory. Redress of grievances by reason of such acts must be obtained through the means open to be availed of by sovereign powers as between themselves." 

If a transaction takes place in one jurisdiction and the forum is in another, the forum does not by dismissing an action or by applying its own law purport to divest the first jurisdiction of its territorial sovereignty; it merely declines to adjudicate or makes applicable its own law to parties or property before it. The refusal of one country to enforce the penal laws of another is a typical example of an instance when a court will not entertain a cause of action arising in another jurisdiction. While historic notions of sovereign authority do bear upon the wisdom of employing the act of state doctrine, they do not dictate its existence. 

The act of state doctrine does, however, have "constitutional" underpinnings. It arises out of the basic relationships between branches of government in a system of separation of powers. It concerns the competency of dissimilar institutions to make and implement particular kinds of decisions in the area of international relations. The doctrine as formulated in past decisions expresses the strong sense of the Judicial Branch that its engagement in the task of passing on the validity of foreign acts of state may hinder rather than further this country's pursuit of goals both for itself and for the community of nations as a whole in the international sphere. Many commentators disagree with this view; 22 they have striven by means of distinguishing and limiting past decisions and by advancing various considerations of policy to stimulate a narrowing of the apparent scope of the rule. Whatever considerations are thought to predominate, it is plain that the problems involved are uniquely federal in nature. If federal authority, in this instance this Court, orders the filed of judicial competence in this area for the federal courts, and the state courts are left free to formulate their own rules, the purposes behind the doctrine could be as effectively undermined as if there had been no federal pronouncement on the subject. 

Barcelona Traction Light and Power Company Case (Belgium v. Spain) [1970]   ICJ the shareholders of a Canadian company asked the government of Belgium to take their case against Spain which had expropriated their property.  The ICJ decided that Belgium like Kitui lacked locus Standi to bring the case against Spain on behalf of shareholders of a company that was not organised in Belgium but in Canada.


Diplomatic protection of nationals abroad = espousing a national’s claim.


1. On citizenship


This is the one issue in which international law has left to be in the domain of national government which has the law that defines how to confer that citizenship and how to withdraw it.  It is an area which has been left to a state.  Only a state can define who its citizens are.  The ICJ will not allow a national who holds dual citizenship to bring a case against one of the countries he claims to hold citizenship.  In the case of Nottebohm (Liechtenstein v. Guatemala) duo citizenship is not inimical/disadvantageous.  The situation of statelessness is not favoured by the international community and the international community has adopted a United Nations Convention against statelessness.  Nottebohm was a German by birth (born in 1881) and very rich and in 1905 he moved from Germany to Guatemala where he was doing a thriving business and acquired Guatemalan citizenship.  At that time his interest was to protect his property because he was a German and German Property after the 2nd World war was being expropriated.  He was living in Guatemala.  Nottebohm decided after the 2nd World war to go back to Europe and decide to live in Liechtenstein.  In the end Nobttebohm now claimed that his property that had been taken by Guatemala should be returned to him and Guatemala refused on the ground that Nottebohm was its national and according to them they had already satisfied his claim upon which Liechtenstein agreed to take Nottebohm to the ICJ.  The Nottebohm case produced another principle


“Since Nottebohm was a German and for expedience took the citizenship of Guatemala and that since the end of 2nd world war he left Guatemala and was living in Liechtenstein without going back to Guatemala again for many years and yet it was also shown that with respect to Liechtenstein he went back to his original state Germany, he therefore did not show any genuine link with Liechtenstein and therefore Liechtenstein could not bring his case against Guatemala.


In the early 60’s learned publicists did not write works commenting on court decisions because the courts in the case of Nottenbohm went haywire in deciding that Nottenbohm had not established a genuine link and thus almost rendering him stateless.  The concept of genuine link that the courts pulled out was heavily criticized by international jurists as this concept deals with ships.  


1. Nature and function of international law


International law relates with the problem of settling issues between the subjects of international law like two states like Bamburi and Franconia in relation to Mutakha Mambo.


2. Sources of International Law


Article 38 of statute of International Court of Justice 

“on sources of international law therefore and combining with the function of court of justice article 38 reads “the court whose function is to decide in accordance with international law such disputes as are submitted to it shall apply

  1. International conventions whether general or particular establishing rules expressly recognised by the states;

  2. International Customs as evidence of general practice accepted as law;

  3. General principles of law recognised by civilised nations (major legal systems of the world;

  4. Judicial decisions and the teachings of the most highly qualified publicists of various nations which shall be considered subsidiary sources of international law.

International Convention

Covenants

Treaty

International Agreement

Protocol

Accord

Act

Memorandum of Understanding

Charter – Charter of Economic Rights and Duties of States



DECLARATION – 

LEGAL STATUS OF EASTERN GREENLAND CASE 

(DENMARK V. NORWAY)

Denmark made a declaration that their government would not seek to occupy a portion of Greenland.  The Danish Foreign Minister made the declaration that the government of Denmark would not occupy that part of Greenland and it was held to be binding.  Greenland could rely on this declaration to be legally binding.  The law is that a declaration made by a person with a legal right to do so is binding.  Recent decision in the,

 NUCLEAR TEST CASE (Australia v. France, New Zealand v. France) [1974] I.C.J. Reports

Australia and New Zealand went to court for provisional measures or interim measures of protection.

Article 41 “the court shall have the power to indicate if it considers that circumstances so require any provisional measures which ought to be taken to preserve the respective rights of either party.”

Does indicate mean that those measures can be complied with?  The argument that it may not mean compliance became overwhelming so that at a later stage when people were negotiating another statute, they said the court may prescribe provisional measures.


After the case went to court, before the court could decide, the government of France made a declaration that they would no longer conduct any test and the question was, was that a binding obligation on the part of France on which Australia and New Zealand could rely now that France had undertaken not to conduct any other test.   The court reminded them of the interim declaration saying that a declaration by a person with authority to make it can indeed bind the state in the same way the person is bound and therefore the declaration was legally binding and the court considered the case moot.

Vienna Convention on the Law of Treaties 1969 this is the treaty that laid down the rules on how treaties would be laid down and negotiated.  It said that a treaty is an instrument between states or other subjects of international law governed by international law.  It is an agreement governed by international law in written form.  Whether in a single or more documents and whatever its designation.  If it is governed by international law and it is produced in writing in a single form or more documents it will still be a treaty.

Exchange of Notes ‘note verbale’ if the delegation of Bulgaria visits Nairobi and has an appointment to meet with their counterpart i.e. a minister of the same portfolio   when the Minister of Bulgaria goes back home, he writes a notes verbale (the minister of Bulgaria present his compliments etcetera)  exchange of notes verbale can become lead to the signing of an international agreement.

MOU  - 

Conventions as sources of international law

The holding is that statements made by persons believed to represent a country are binding.  We are dealing with individuals who make declarations that are binding.

  1. The UN resolutions/declarations are not legally binding because they are political in nature and they do no more than indicate the direction in which countries want to move and no state can rely on these resolutions because the way they are framed they are not framed in language that can be legally binding.  It provides inspiration for states to use in other legally binding instruments.  Nobody is required to accept a UN resolution as domestic law.

A declaration and a covenant compared one finds out that there are things in the declaration that are not found in a covenant.

Only the parts of a declaration that have been incorporated in the covenant are binding.  After the Universal Declaration of Human Rights promulgation, certain states and courts used the declarations to rule on issues of human rights.

In the case of Japan  it requires an enlightened court to incorporate declarations in its rulings.

The UN Security Council also passes resolution.  The latest is resolution on terrorism in which it created a counter terrorism committee and asked states to report on the measures they are taking aimed at fighting terrorism.  This resolution is being complied with by all states as if it were legally binding.

Kenya has made 3 reports concerning this resolution and is reporting on the measures they are taking to comply with the Security council Resolution under Chapter VII.

Charter of Economic Rights and Duties of States this was drafted creating rights and obligations.   When this has been drafted, the UN can use the draft and turn it into a treaty that is then presented to governments at a conference.  They normally do this in the general assembly and when discussion is complete, they pass a resolution, they annex the text of the charter.

The UN Resolution that contained the Economic Rights and Duties of States is what Gaddafi had relied on in the case of Texaco Oil v. Libya case.

Charter connotes legally binding instruments this is why when states decide that they have found a problem which they think can only be dealt with through internationally concerted effort and which require a legal framework, they ask whether they need a charter or legally binding principles.  If they are not prepared to enter into legally binding principles, they enter into a code of conduct e.g. code of conduct for transfer of technology.  Code of conduct for liner conferences which are later translated into conventions where they become legally binding.  A code of conduct is usually just for guidance.

The law of state responsibility emerged out of excessive concern of the western with concern of their nationals abroad.  The law has evolved and now only deals with a wrongful act which a state conducts against another state.  Direct injury to state when there is violation of a treaty or in a tort situation.

The responsibility which a state has arising from injury to alien is called vicarious responsibility as opposed to direct responsibility.  A state engages vicarious liability if it arise from the right or failure to protect an alien.

Rules like exhaustion of local remedies are supposed to allow states to do justice with their local means.  Local remedies rule also performs the function of allowing states to appreciate their international responsibilities by preventing injuries.

The International Law Commission of United Nations has taken close to 15 years studying the law of state responsibility having been emancipated from concern with injuries to aliens so it becomes a concern. 

The law of state responsibility which is bound with protection of foreign aliens is now emancipated to law that deals with.


ACT OF STATE DOCTRINE: 

“Every sovereign state is bound to respect the independence of every other sovereign state, and the courts of one country will not sit in judgment on the acts of the other government done within its own territory. Redress of grievances by reason of such acts must be obtained through the means open to be available by sovereign powers as between themselves.”

Barcelona Traction Light and Power Company case (Belgium v Spain) [1970] ICJ. A Canadian company asked the government of Belgium where they were doing business to take their case against Spain. ICJ decided Belgium lacked locus standi to bring the case against Spain on behalf of the shareholders of a company that was not organized in Belgium but in Canada.

Citizenship

This is the one issue the international law has been left in the domain of national government, i.e. only the state who can decide who is the citizen.

Nottebohm Case (Liechtenstein v Guatemala) [1955] ICJ Reports 4. Nottebohm was a German by birth during 1935 he moved from Germany to Guatemala where he was doing a thriving business and acquired Guatemalan citizenship. At that point his interest was to protect his property (as the allied powers were seizing property of Germans). After the World War II he decided to go to Liechtenstein where he also acquired citizenship. In the end Nottebohm now claimed that his property that had been taken by Guatemala should be returned to him and Guatemala refused on the grounds that Nottebohm was their national upon which Liechtenstein agreed to take Nottebohm’s case against Guatemala. ICJ decision: since Nottebohm was a German and for expedience took the citizenship of Guatemala and since the end of the Second World War he left Guatemala and was living in Liechtenstein without going back to Guatemala and he went to Germany and only briefly in Liechtenstein, therefore did not show “genuine link” with Liechtenstein and therefore Liechtenstein could not bring his case against Guatemala.

The idea of genuine link is also used in the legislation of ships.

The decision of ICJ was heavily criticized by international lawyers. Decision rendered Nottebohm stateless.

UN Convention against statelessness

Issues

  1. Nature and functions of international law: Settling issues of subjects of international law.

  2. Sources of international  law:  treaty. Article 38 of the statutes of the ICJ: “The court whose function is to decide in accordance with the international law such disputes as submitted to it shall apply: 

    1. international conventions whether general or particular establishing rules generally recognized by..

    2. international custom as evidence of general practice accepted as law

    3. general principles of law recognized by civilized nations

    4. judicial decisions and the teaching of the most highly qualified publicists of the various nations

convention

treaty

international agreement

protocol

accord

act

memorandum of understanding

charter

note verbale, exchange of notes

Vienna Convention on the law Treaties 1959—the treat of treaties: Said that a treaty is an instrument between states or other international organization governed by international laws in written form whether in a single or more documents and whatever its designation.

Exchange of notes: note verbale.





Trieppel and Strup were the dualists: international law and municipal law are separate, each with its own sphere and none can oust the other. International law supposed to regulate relationships between states among themselves inter se. Domestic laws regulate the conduct of individuals within the state.

Kelsen and Lauterpacht, these were the monists: we have to see areas where there might be a conflict and according to them international law should take precedence where there is doubt. International law takes over where domestic law stops.

The coordination: coordinating the two systems of law to arrive at a solution that is judicially defensible.

A case concerning a German  …is quoted the world over for the proposition that the state cannot be permitted to evoke its domestic law to  avoid an international obligation (where a treaty has been signed).

Article 34 of the ICJ: only states can be parties in cases before the court.

Self-determination – right of citizens to determine their own destiny without outside interference.

The force to intervene to deal with situations of chaos is a collective decision, i.e. does not belong to one state.

Being invited becomes a legal argument for the intervening party. Being invited by itself is not conclusive.


RECOGNITION OF A STATE

It is a term that is used to refer to a situation in which a state conducts normal international relations with other states which it recognizes. Distinguish between recognition of states and recognition of a government. Once a state is recognized it remains recognized. You may not want to deal with a particular regime:

  1. Government de jure

  2. Government de facto

Theories of Recognitin

Two theories .

  1. Declaratory recognition. Have declared myself I am.

  2. Constitutive theory of recognition. Recognition by several states.


AU: shun governments that come to power unconstitutionally, i.e. through the bullet.

  1. The Estrada theory. Estrada was a Mexican foreign minister who said a government should not be denied recognition irrespective of how they got to that position. President Wilson refused to recognize the Huerta regime in Mexico that emerged through revolution. This was positive non-recognition.

Recognition is a very important act. We need a stable frontier. We need a self-generating population. An act of an unrecognized state

What is a belligerent?

ADIZ

Extradition is governed by treaty. There is no customary law in extradition. Extradition treaty between the two countries operates. It will spell out the extraditable offence and the procedure in the domestic country in which the extradition is required to determine whether the offence is extraditable.

States  are always reluctant to extradite their own nationals, even when there is a treaty. Political offences: nobody should be extradited for a political offence.

You will only be tried on that only for which you extradited.

Commonwealth extradition treaty. But you can vary it. UN Convention Against Taking Hostages has a provision saying that if a hostage taking situation arises between two states that have no extradition treaty between them, they can use this convention to effect extradition.


PUBLIC INTERNATIONAL LAW Lecture 4

ASYLUM

Question of Asylum – Mrs. Nyabera seeks protection from the Embassy of Dandora.  An embassy is protected and nobody can enter an embassy without permission of the owners of the embassy.  An embassy is inviolate.  This is under United Nations Conventions and Privileges.

It was claimed that Mrs. Nyabera was a political offender and seeks safe conduct.  This is what happened in the, 

Asylum Case (Columbia v. Peru [1950])

A Peruvian Leader named Haya de la Torre had led a rebellion in Peru and was just about to topple it just like Nyabera.  In the same pattern Haya ran and sought protection in the Colombian embassy in Peru.   The Colombian Ambassador said that Haya was a political offender and must be given a safe exit out of Peru.  This became a matter referred to international court of justice for determination.  The court decided that it is a 3rd party procedure that can determine whether or not Haya was a political offender and therefore entitled to safe passage.  The court rejected the Colombian ambassador unilateral decision to characterize Haya as a political offender entitled to safe conduct.  The court also rejected the Peruvian claim that Haya was a common criminal because he had been trying to overthrow the Peruvian government.  No particular person can determine whether a person is a political offender.  Only an international court can decide.  He was entitled to asylum but safe conduct was to be negotiated.  Only those who commit political offences will be treated in a political way.

ASYLUM AND THE LAW OF DIPLOMATIC PROTECTION:

An Ambassador was called His Excellency, Extraordinary, plenipotentiary titles that are maintained to this day.   They were addressed as Plenipotentiary because they were full of power to represent their governments and extraordinary because they could make decisions without referring to their governments.

Article 2 paragraph 7 of the Charter of the United Nations:  Nothing contained in the present charter shall authorise the United Nations to intervene in matters which are essentially within domestic jurisdiction of any state or shall require the Members to submit such matters to settlement under the present charter; but this principle shall not prejudice the application of enforcement measures under Chapter VII.

Connolly Amendment – it is the State itself that can determine that a matter is within its jurisdiction.  The charter says that UN shall not intervene in matters that are essentially within the jurisdiction of the state.  It is under this article that for years South Africa prevented the whole world from discussing Apartheid because apartheid was a matter within the jurisdiction of South Africa and there is nothing the international community could do except to make South Africa a pariah.  Governments could have nothing to do with South Africa by trade sanctions, diplomatic sanctions as the countries could not use force to force South Africa to abandon apartheid.

This was the case until human rights begun to catch on, a state could treat its citizens in any way it could without a care.

The United Nations Covenant on civil and political rights

The United Nations Covenant on economic and social rights

Now we have a treaty that can be enforced against a state

Connolly Amendments – an amendment where a state reserves the right to determine what is within its own jurisdiction.  Bulgaria invoked the Connolly Amendment when they shot down an American aircraft in their airspace and America became a victim of its own wickedness.

The use of force in international relations is prohibited under 

Article 2 paragraph 4 of the UN Charter 

Which says that “all members shall refrain in their international relations from the threat or use of force against the territorial integrity or political independence of another state or in any other manner inconsistence with the purposes of United Nations.

It is noted that from this the UN Charter is a form of a treaty in which the member states accept the obligation to refrain from matters which are not within the jurisdiction of their state and to refrain from the use of force.  This is the formula used after the 2nd World War to protect and preserve territorial integrity and political independence.

If there is a dispute between two small states, the dispute persists but if it is between a big state and a small state, the small state disappears.  If the dispute is between two powerful states, the dispute will disappear.

Article 53 of the Charter of the United Nations which states 

“…the security council shall where appropriate utilise regional arrangements.

The Latin American countries popularised the use of regional arrangements before approaching the United Nations.  They had the Organisation of American States that could deal with regional issues.  In Africa they can first try the Organisation of African Unity first before approaching the United Nations.

The Charter of the United Nations is not only a treaty but it is also a constitution in that it contains provisions that define the powers and functions of the major organs established under it.

  1. The General Assembly is the organ of the UN in which all member states that are independent up to now except one are represented and each has one vote.  Until two years ago there were two Switzerland was not a member of the UN but now it is.  Liechtenstein is not a member of the UN.

  2. Security Council – 

  3. Economic and Social Council referred to as ECOSOC

  4. Trusteeship council 

  5. International Court of Justice

  6. The Secretary General of the United Nations.

These are the 6 major organs of the UN whose functions are described in the Charter.  By Kenya becoming a member of the UN it does not necessarily mean that it has accepted the jurisdiction of the ICJ.

Veto:


Article 23 of the UN Charter

States the Composition of the Security Council.

  “… the Security Council shall consists of the 15 members of United Nations, Republic of China, France, Union of Soviet Social Republic, United Kingdom of Great Britain and Ireland and the United States shall be permanent members of the security council. The general assembly shall elect other 10 members to be members of the Security Council.”

Article 27 of the Charter deals with the vote of security council “each member of the security council shall have one vote.  Paragraph 2 decisions of the security council on procedural matters shall be made by an affirmative vote of 9 members.

Decisions of the Security Council on all other substantive matters shall be made by an affirmative vote of 9 members including the concurring votes of the permanent members.  

A state only needs 9 votes out of 15 but the 9 must include the 5 permanent members and if any of the 5 permanent members does not agree, even with the other 12 the decision is not adopted.

It would seem as if the United Nations was never intended to take action against any of the 5 permanent members or their friends. If the US for example has done something wrong e.g. like by going to Iraq, a resolution cannot pass because the US will veto it.

Article 24 of the Charter of the United Nations assigns to the Security Council the primary responsibility in the maintenance of international peace and security.  “In order to ensure prompt action by the UN its members confers on the Security Council primary responsibility of maintenance of international peace and the Security Council will act on behalf of their members.  The Security Council under this article was supposed to act as a fire brigade just put out the fire but the opposite happens with the Security Council, when there is war, the Security Council discuss the options instead of just putting out the fire and this has paralysed the United Nations.

Article 14 of the Charter of the United Nations reads as follows “subject to the provisions of article 12 the general assembly may recommend measures for the peaceful adjustment of any situation regardless of origin which deals to impair the general welfare of friendly nations amongst states.

Asylum

Political offender

Safe conduct

Asylum case (Columbia v Peru). In that case a Peruvian leader of a revolution called Haya dela Torre. Sought refugee in Columbian embassy. Columbian ambassador held Haya de la Torre was a political offender but Peru argued that he was not a political offender. So they went to ICJ and held that only a third party such as the court can rule on whether he was a political offender. But the court held that Peru was wrong to characterize Haya dela Torre was common criminal. Therefore he should be given safe conduct.

Extraordinary

Plenipotentiary

Article 2 (7): nothing contained in this charter shall authorize the UN to intervene in matters that are within the jurisdiction of any state

Connally Amendment: it is the state itself which will determine that a matter is within its jurisdiction. At it was under this article that South African prevented the whole world from discussing apartheid.


PROBLEM 2:

PART ONE UPTO PARAGRAPH 8

Civil Strife with International Implications:

Does international law permit violation of airspace in case where countries want to airlift their nationals?


States have used the excuse that they have been invited by the government in power especially where the said government is overwhelmed by civil strife.  In the cold war, this was a recipe for disaster because the opposition will also ask another friendly government to intervene to protect them from the government in power. As soon as a civil strife torn country invited say USA, the USSR would rush to the opposition’s rescue.  This developed into cynicism where it was alleged that the superpowers were using unfortunate situations to test their latest weapons.

International law states that the question of inviting a foreign state to the rescue violates the sovereignty of that nation and interferes with the rights of the nationals to decide on their own problems.  The law sanctions against continued loss of life, genocide and unacceptable use of force.  The United Nations uses collective legitimate use of power to end genocide and loss of life.  

It has always been the excuse that even where no other party intervenes, a state is always being criticised for inviting external forces.

Is the invitation the all and be all?  Can one question the circumstances under which the invitation is issued?  An argument in PIL is never conclusive, when the only organ that has the right to use force (UN) enters the scene the first thing they do is to ask that the combatants cease fire.  When a nation intervenes to supply arms for the rebels who are de-stabilising the legitimate government they are accused of meddling.

Recognition of a state:  this is a term used to refer to a situation in which a state conducts normal international relations business with another state which it recognises as a state i.e. by opening embassies, negotiating agreements ,or making a statement recognising it as a state.  Once a state has been recognised, it will continue to exist as a state.  A Government de jure and a Government de facto.

The de jure is the one that possess the sovereignty having been in power but is being prevented from exercising that power.

De facto does not have the sovereignty but is busy trying to exercise it (opposition)

If the de facto government is trying to usurp power by use of bullet other than ballot, then that government ought to be denied recognition.  This brings to mind two theories of recognition

  1. Declaratory – the opposition has declared as the government of Elgon;

  2. Constitutive – however much one declares to be a state, nobody will care until a body or a state like the UN or OAU decide to recognise that state.  EU now has in its charter that where governments are coming to power through coups are no longer acceptable. If a govt comes to power through the gun – this leads to the Estrada Theory – Estrada was the Mexican foreign minister who took the position that even if a govt comes to power through the barrel of the gun, he should not be denied recognition.  All governments that emerge and become de jure have sovereignty and control of the country should be recognised irrespective of how they come into power.  Estrada was responding to a situation in which President Wilson of USA refused to recognise a regime that came into power in Mexico through a revolution which was spearheaded by Huerta.  Wilson refused to recognize the Huerta regime and said that he would never recognise the Huerta regime (this is positive non-recognition) if there is ever to be relations such a regime, another positive statement of recognition would be required.  Recognition is an important political act.  It took the USA 20 years to recognise China.  

What is a state?  It is more than a national anthem or its currency, it consists of the general population etc.

International law allows a state to pick its friends through established rules of international law.  

By remaining neutral or silent, a state could find itself being accused of taking sides.  

Belligerency – section of the state which is competing to control power of that state i.e. in this case Nyabera (leader of opposition) it is entitled to protection as a belligerent and therefore allowed to request help on its own behalf.



EXTRADITION:

Extradition is only governed by treaties and there is no customary law of extradition.  This means that arresting someone who is alleged to have committed a crime somewhere else or in ones own country but against the interests of another country,

Nobody can be extradited to stand trial in another state except in accordance with the extradition treaty between those two states.  In the treaty of extradition the parties will spell out the extraditable offences.  They will list the crimes for which they agree to turn over the offenders through the treaty.

Before somebody is turned over the state being requested must see to it that the offence for which extradition is required is checked by the domestic state to determine whether the extradition is proper.  There has to be a procedure followed to determine whether to extradite or not.

No state likes to extradite its own nationals to stand trial elsewhere especially if the crimes they are accused of can be dealt with locally whether there is a treaty of not.  This is a state practice.

There is a big defence against extradition which is a political defence namely nobody should be extradited for a political offence.  Political offence being so broad one may be accused with all kinds of charges that are politically motivated.

If one is extradited because the offence is enumerated in that treaty, one will only be tried only for that offence that they were extradited i.e. if one is extradited for embezzlement, they cannot again charge you with any other offence even if it is shown that apart from embezzlement you are selling drugs.

After Kenya attained independence, Her Majesty convinced Kenya to subscribe to the Commonwealth Extradition Treaty.  Please note that the treaty can be varied depending on each case.  The United Nations Conventions against taking of Hostages has a provision saying that if a hostage taking situation arises between two states who have no extradition treaty between them but if they are a party to the UN hostage convention, then they can use it to effect extradition.

Collusion under International Law:  Kenya criticised for allowing Israel Entebbe raid casualties to be treated in Nairobi.  There is no law against collusion. There is however retortion which means that one state can withdraw a favour originally granted.



The famous article of the Charter of the United Nations:-

Article 33 (1):

The parties to any dispute, the continuance of which is likely to endanger the maintenance of international peace and security, shall, first of all seek a solution by negotiation, enquiry, mediation, conciliation, arbitration, judicial settlement, resort to regional agencies or arrangements, or other peaceful means of their own choice.”

  1. Negotiation

  2. Enquiry

  3. Mediation

  4. Conciliation

  5. Arbitration,

  6. Judicial settlement

  7. Regional arrangements

Good offices -- entered in the 1950s, where a third party enters to make an inquiry; it is informal. The third party is acceptable to both parties. It is a mailbox services.


A mediator if different from somebody offering good offices. A mediator has the power to study the situation from the result of the enquiry and suggest how to solve the problem, offers solutions to the problems as he sees them. A person offering good offices may become a mediator.

Proximity talks, instead of shuttle diplomacy.

Conciliation: elucidates the problems, and is usually several not one, with a chairman: hence conciliation commissions.

Negotiation-enquiries-mediation-conciliation-good officer:. Informal non-compulsory procedures for the settlement of disputes, meaning that whatever solutions arrived can be rejected by any of the parties. So it is heavily politicized.

And this is why states hesitate to go to the next stop: arbitration. Once again arbitrators appointed like mediators. The arbitrators are actually judges and the result is binding upon the parties. Known otherwise as compulsory procedures.

States reluctant to move to the arbitration states, which closes in on judicial settlement (through pre-constituted courts).

Arbitration is ad hoc. Judicial settlement you chose a court that already exists.

1962: Ethiopia and Liberia bring a case against South Africa over the League of Nations trusteeship of South-West Africa. ICJ Agreed the two countries had the procedural rights to bring the case before the court.

Four years later, in 1966, the ICJ decides that although  Ethiopia and Liberia have the procedural rights to bring the case, they did not have any of their citizens in South Africa suffering the injury of apartheid, therefore the court could not offer judicial. A Pakistan judge excused himself, thus allowing the majority to make that decision.

Under article 24, a judge can excuse himself by informing the president of the court.

The decision led to a boycott of ICJ by African countries: ICJ was a white man’s court dispensing white man’s justice.

15 years later after the Security Council had decided to take away the control of South-west Africa from South Africa and South Africa refusing to leave.

The UN created the Council for Namibia to take over the administration of South-West Africa from South Africa, renamed Namibia. The Council even passed laws to control the mines in Namibia.

But South Africa continued to sit tight. So in 1971 the Security Council asked ICJ for an advisory opinion on South-West Africa, whether South African action was a violation of international law. The ICJ. The ICJ gave an opinion favourable to Africans and from then on African countries began taking cases to ICJ. 

Article 53, paragraph 1 of the Statutes of ICJ: when one of the parties does not appear before the court or fails to defend its case the other side may ask the court to rule in its favour.

Do no harm+ Equitable utilization


Problem 3

1962: Ethiopia and Liberia bring a case against South Africa over the League of Nations trusteeship of South-West Africa. ICJ Agreed the two countries had the procedural rights to bring the case before the court.

Four years later, in 1966, the ICJ decides that although  Ethiopia and Liberia have the procedural rights to bring the case, they did not have any of their citizens in South Africa suffering the injury of apartheid, therefore the court could not offer judicial. A Pakistan judge excused himself, thus allowing the majority to make that decision.

Under article 24,a judge can excuse himself by informing the president of the court.

The decision led to a boycott of ICJ by African countries: ICJ was a white man’s court dispensing white man’s justice.

15 years later after the Security Council had decided to take away the control of South-west Africa from South Africa and South Africa refusing to leave.

The UN created the Council for Namibia to take over the administration of South-West Africa from South Africa, renamed Namibia. The Council even passed laws to control the mines in Namibia.


But South Africa continued to sit tight. So in 1971 the Security Council asked ICJ for an advisory opinion on South-West Africa, whether South African action was a violation of international law. The ICJ gave an opinion favourable to Africans and from then on African countries began taking cases to ICJ. 

Article 53, paragraph 1 of the Statutes of ICJ: when one of the parties does not appear before the court or fails to defend its case the other side may ask the court to rule in its favour.


Do no harm+ Equitable utilization


LAW OF THE SEA:

From the time sailors ventured into the sea, there was a problem of how far they could go.  Coastal states where fishermen go seaward looking for fish since time immemorial, it was a problem as to how far the state would extend its jurisdiction to the sea.  Two competing concepts were debated in the early 1600.


John Selden said that the sea was closed or ‘closed sea – mare clossum   that the sea only belonged to countries with coasts.  This was opposed by a Dutch Jurist Hugo Grotius who argued for the freedom of the sea and that all countries could come to the sea and do whatever they wanted freedom of the sea – mare liberum.  Grotius won.  Which means that the High Seas belonged to everybody and other countries can come and enjoy.  But the declaration of the freedom of the sea concept did not settle 1930 the question of determining the extent of coastal state jurisdiction sea-ward how far coastal state can extend their jurisdiction in the sea.  From 1600 –remained unanswered.  Some extended their jurisdiction 3 nautical miles others 12 and some 20 nautical miles as territorial sea.  


In 1930 the League of Nations decided to undertake a study of the Law of the Sea to see if they could settle the question the breadth of territorial sea.  The League of Nations to codify the Law of the Sea failed and the question of coastal jurisdiction remained unanswered.   3 Nautical Miles was declared by the USA argument has it that that was the distance of a canon ball shot at the coast.  The USA was only going to acquire territory that it could defend.

In the early 40’s after failure of the League of Nations to settle the issue there emerged a number of unilateral declarations by states extending their territorial sea.  

In 1947 Harry S Truman’s Proclamation brought in the concept of the doctrine of Continental shelf. Truman said that the coastal state jurisdiction should be on the basis of the continental shelf which he described as a natural prolongation of the land mass.  At this time 1947 -1950 in response to Truman some states extended their territory to 100 nautical miles and most South American countries extended their jurisdiction to 200 nautical miles of territorial sea.

The United Nations decided to codify Law of the Sea so from 1950 – 1958 the UN was studying and trying to codify international law of the sea.  In 1958 the Geneva Convention on the Law of the sea was passed.  Four conventions were actually passed, one on territorial sea, one on continental shelf, one on High Seas and one on fisheries jurisdiction.  At this time apart from the countries that had declared 200 miles, the world was beginning to realise it was perhaps not realistic.  The Vienna convention  accepted the natural prolongation of the land mass theory but  one can follow the land mass to the extent it permits exploitation.  This became the law of the sea as was produced in 1958.  this was the first UN conference on the Law of the Sea.  UNCLOS I.


In 1960 the United Nations there was another convention exclusively devoted to solving the Fisheries jurisdiction UNCLOS II.   This one failed miserably.  Richard Quenton claimed UNCLOSE II was not a total failure as he met his future wife here.  It failed because it was unable to answer the crucial question of how far the state could extend fishing jurisdiction.

Not all countries have continental shelves.  There are those shelf-locked countries which do not even have a coast to speak about.  There are other countries with shelf continuing to the deep sea and those that have straight coast lines.  The legal definition of continental shelf became the continental shelf proper, continental slope, continental rise which equals to continental margin.  Some states claimed upto to 600 miles some 500, some 400, some 3000 some land-locked and others with barely a shelf – how was an agreement to be arrived at?

It was discovered that countries like Japan could roam the world and were fishing from coasts of other countries.  The United Nations convened the 3rd United Nations Conference on the law of the Sea UNCLOS III this is the one that for almost 8 years began to unravel all the problems of the continental sea shelf.  It was agreed that efforts must be made to get a solution on how far a state can extend jurisdiction and the rest would be high seas and whatever was in the High Seas was to be declared common heritage of mankind.

The seabed, the sub-soil and the resources thereof beyond the limit of natural jurisdiction were declared common heritage of mankind and cannot be expropriated by any state but can only be exploited on behalf of mankind.  

It took almost 9 years to come to an agreement.  The states finally negotiated and arrived at an agreement …all the countries wanted a new law of the sea and were ready to agree.  In this effort there was an appeal for all the states to have a territorial sea that extended only upto 12 nautical miles so now all countries of the world have territorial seas of up to 12 nautical miles.

Kenya came up with the concept of Exclusive Economic Zone and floated the idea  Frank Njenga the legal adviser in the Ministry of Foreign Affairs suggested at the meeting of African, Asian Legal meeting suggested that they tried an area in which the state exercised less than complete sovereignty.  The area was to be called an exclusive economic zone.  The question was how far could the exclusive economic zone extend? What was to be the regime of the economic zone?

Landlocked states jumped in and EEZ and wanted to share in the resources of the EEZ.  The Africans met in Kampala and made a declaration on the Law of the Sea in 1985.  Landlocked states of Africa would exploit the EEZ resources with the same rights as coastal nations.  This was taken to the 3rd World Caucus where the proposal was rejected.   However, it remained a concept of EEZ remained a viable concept that was finally accepted and is written in the Law of the Sea.  A country can now have 12 nautical miles of territorial sea and 188 nautical miles EEZ making it a total 200 miles of jurisdiction.

Within the EEZ a coastal state permits other states the right of over-flight and they can layout pipelines, can install submarine cables within the EEZ of a state but with that state’s consent.  In the exclusive economic zone, no state can do any research of any kind without the consent of the coastal state.  consent regime on scientific research and the treaty enumerates the rights and obligations of the states that want to conduct research on the EEZ, the coastal states have to approve.  Since it is the Western world that have the capacity to do the research, it became clear that the Western World were not going to accept the consent regime, the Western World Engineers manipulated another clause that provides that although there was the consent regime, they would introduce the concept of implied consent meaning that if a Norwegian Government ship sent an application to come and study the mating habits of Lobsters and answered all the questions as required by the treaty, if they wait for 3 months without consent, there is implied consent and they can now come and do their research.  States have the right of not being held hostage by other nations.  This implied consent became a big problem to the 3rd world.  


The law of the sea took so long to succeed.  Some countries have concave coasts, other convex coasts.  The Geneva Convention of 1958 had a provision saying that the states with opposite or adjacent coasts were to delimit their territories by medium equidistant lines which are drawn in such a way such that the states with convex and those with concave could avoid being cut off.  But the states with straight line i.e. between Germany and Netherlands, the question of the use of the Median/Equidistance line to delimit was tested.  Here the court advocated equitable principles of delimitation so that a state could avoid an unjust result.  Where it was possible to use the Median/Equidistance line one could use where not one could use other methods of delimitation and up to today the Law of the Sea failed to reach an agreement on the method of delimitation.  Look at the Pemba Channel delimitation.

In the area of managing the fisheries, every state has the right to sustainably develop the resources of the EEZ as follows:

Our scientists must tell us that for the Lobster in order to achieve avoiding over-utilisations and under-utilization of the species, the scientists must every year tell us how to maintain maximum sustainable yield of the Lobster so that we do not over-utilise the species.   The scientists must tell us the total allowable catch.  The law requires that if a state’s technical capability allows it to only harvest 60% less than optimum yield, the law requires that state to declare the surplus.  The problem arises though where states may have submarines in other states’ coasts without anyone knowing what they are doing and developed countries do sometimes dispute the figures that are given but not so developed states like Kenya.  

Continental shelf

They agreed to give the coastal states the continental shelves upto to the slopes, this was not unanimously agreed.   They then allowed 60 extra nautical miles from the slopes and the states refused.  The scientist were called in who said that the difference was in the earth crust and the ocean crust – just follow the sand sediments and you will know when you are exiting the earth crust and in any case more than 350 nautical miles was disallowed.  Stay within the earth crust but don’t go beyond 350 nautical miles.  The law of the sea is now the continental shelf, the slope and the earth’s crust and not more than 350 nautical miles of the earth’s crust.

The deep sea bed area is the common heritage of mankind.  The minerals like manganese nodules are potato crisps like nodules which are rich in Nickel, copper, cobalt which can be mined and distributed to mankind.

USA, France and Germany who had the technology to mine the sea beds and have access to the minerals were stopped from exploiting the minerals wanted automatic access to the sea bed had to agree to keep the sea shelf for upto 350 nautical miles to be allowed automatic access to the minerals in the common heritage sea bed area.

Two studies were commissioned on the economic consequences of seabed mining, whether the seabed mining had the capacity to affect the economies of states who depended on mining the minerals in their own countries.  The two studies produced opposite results.  The question of automatic access to seabed mining was therefore rejected as the 3rd world created their poor multinational called enterprise.  This enterprise was supposed to be the operational arm of the seabed.  They created the Seabed authority to govern all the activities of seabed mining.  Only the seabed authority could giving mining authority to prospecting states.  The Seabed Authority came up with the banking system that allowed them to negotiate with the countries with technology such that where they allowed mining, the area was to be divided into two equal parts, one for the prospecting state and the other for the Authority to negotiate and share with a company that could share the proceeds with the Authority. 

All these problems were surmounted and there was a new law of the sea, all states agreed they wanted a new law of the sea and in the spirit of compromise, consensus to deal with issues and agree came out. 


PROBLEM III

The chase of Ogulmama chased a foreign vessel to the High Seas – this is the concept of hot pursuit.  This exists in customary international law and was frequently used by Coastal States in relation to their territorial seas (which was an area of coastal jurisdiction and a state could pursue a ship that invaded its waters.

Article 111 of Law of Sea – establishes concept of the Law of the Sea.  States as follows the hot pursuit of a ship may be undertaken …

Such pursuit must be commenced 

Hot pursuit can now be applied mutatis when …mutandis in the EEC including safety zones.  The pursuit may only be commenced after a visual or auditory signal has been issued or 

There is no indication that ogulmama sent any signal to stop the foreign ship so there was no ship or auditory or visual signal.

Para 3 – foreign vessels claims to be in the High Seas Ogulmama claims the ship is in the EEC.

Ogulmama had no business to enter into the foreign ship if it was in the High Seas. The ships fly the flags of the states of which they are nationals.  In the High seas they are only subjects to the jurisdiction of the states whose flags they fly.  In the High Seas the ships are assumed to be in the territory of the state whose flag it is flying and cannot be subject to any other jurisdiction. Objective territory.

 Since states are equal they are sovereign you cannot enter their territory without their permission.  In customary international law the case most cited for hot pursuit concept is called  I’M Alone  Case. 

The case most cited for objective territoriality is the Lotus Case


Paragraph 4:

A government ship  entitled to protection under customary international law means that “it was a government ship that enjoyed sovereign immunity.”  What is sovereign immunity?  There are two types

1. Public Acts of a State:  - Acta jure Imperil’  total immunity

2. Private Acts of a state: - (Commercial Activities of a state) Acta Jure Gestionis – qualified immunity to begin with then finally no immunity.

  for years US, UK Germany France claimed that Act Jure Imperil are immune from questions by anybody.  Later on they began to change the rules and to come up with the private acts of a state or commercial activities of a state which are not immune – they don’t have total immunity. And finally they have no immunity at all.  There were a lot of disagreements and the United Nations suggested that a particular legal standard be made on jurisdiction of immunity.

The developed nations tried to codify the acts which would be act jure gestionis for which no immunity would be granted.  The study went on for 15 years.  The conclusion and the model treaty which was suggested has not been produced even today.   This is because it became baffling to the states on why the developed nations were passing on sovereign immunity Acts saying that the acts they enjoyed before are now no longer going to be covered by immunity.  The draft articles produced never saw the light of day because the argument was that if a state undertakes a commercial activity and competes with individuals and they all sign a contract with the same supplier, how is the problem where one refuses to pay and the other one is compel to be resolved.

For an act to be act jure gestationis Nigeria in the Trendtex Case argued that they had bought cement from Texas to build army barracks,  they argued that the nature of the contract.  Which was for government purposes,  if the activity involved was an act that any ordinary person would do, then it could not be afforded immunity.

Properties that Foreign states owned abroad how were these to be treated?  One cannot attach the property of a foreign state.  This means that domestic courts cannot issue judgments against other states and their property.  This jurisdiction.


Sovereign immunity - 

Act of state doctrine – every state should respect the sovereignty and political independence of other states. An act of one state taking place within its own territory is not subject to be question by the court of another state.  not the same as saying that a state is immuned from jurisdiction.

In trendtex Case it was sovereign immunity Nigeria was claiming as the act happened in Texas.

For a court to conclusively establish that International Law forms part of the law of the State ‘Paquette Habana’ is the case most quoted where the court confirmed that international law forms part of the law of the state.

West Rand Central Mining Company V. The King – cited for Her Majesty’s judges confirming that International law forms part of England’s state law.

Withdrawal of Ambassadors is meant to show displeasure.

Severing diplomatic relations

International Tribunal for the Law of the Sea,

Provisional Measures – under Article 41 of the Statute of ICJ the court shall have the power to indicate provisional measures if it considers that circumstances so require. Any provisional measures which ought to be taken to preserve the rights of both parties.

Article 290 – If a dispute duly submitted to a court or tribunal which considers that prima facie it has jurisdiction under the Article the Court or tribunal may prescribe provisional measures which it considers appropriate under circumstance to protect the rights of either party.

The difference between Article 290 (1982) UN law of the Sea and the article 41 OF THE Statute of the ICJ is that this one had power to prescribe provisional measures and once prescribed they were meant to be complied with and the former was meant to indicate.

If there is a conflict between states that have not both accepted either the ICJ or the International Tribunal for the Law of the Sea, the case should go for Arbitration.

A Compromis is the legal term referring to an agreement between states that the parties have agreed to submit a certain dispute to an agreed forum to which they have conferred jurisdiction for dispute settlement.


PROBLEM IV

Treaty 

How are treaties negotiated.

Usually a problem is identified by states and meetings are held.

NOTE VERBAL (Verbal Note)

The instruments exchanged between governments to initiate communication between themselves.

  1. Convention:

  2. International Agreements

  3. Accord

  4. Protocol

  5. Covenants

  6. Charter

  7. Memorandum Of Understanding – an instrument with connotations and legal consequences for non-compliance.


These are all means of recording agreements reached on negotiations.  There are no hard and fast rules to the distinctions of the above.  Because of this reason the international community got together to decide how to negotiate all these instruments and they called it the Law of the Treaties.  All these terms are alright but they will stick to the term Treaty.

Vienna Convention on the law of treaties:  a treaty is an international agreement concluded between states in writing governed by international law and may be in a single or more documents whatever designation.

Preamble: a preamble is a part of a treaty in which the drafters establish the philosophy, inspirations and reasons why they are putting a particular matter in writing.  The preamble is the rationale behind the desire to have the treaty.  Examples of a preamble is where states after realising that something they are responsible for together they get together to form a treaty.  The preamble will be the inspiration of the subject matter.  They have to have an issue in common. E.g. in problem IV sustainable use of Lolwe river.

Every treaty must have a preamble and a final clause.  Final clause is where the treaty says that it will be open for signature when the treaty is concluded.  The text of a treaty is deposited with a person who keeps the text and circulates it to all the involved parties.  Usually it is head of an organisations e.g the Secretary General of OAU etc.

The law of treaties is to the effect that a state negotiating a treaty can sign within the specified period wherever it has been agreed upon to be signed within a certain period.

The law of treaty says that the treaty in the final clause shall be subject to ratification, accession or approval.  These are key terms in any treaty and together they are referred to as expression of consent to be bound.  

If a state takes part in the negotiation of the treaty and the treaty opens for signature, unless the treaty itself permits the only way a state can bind itself is by ratification, signature and then ratification.  Ratification is done by producing an instrument to express consent to be bound.  

Where the treaty was negotiated and never signed because open day has expired, it means the state who did not sign on time can no longer become party to it and can only become party to the treaty by accession.  

Signature alone does not mean that if a country signs it becomes bound on that date of signing unless the treaty permits but this is rare.

The final clause will also by agreement of the state negotiating decide how many such instruments i.e. ratification, accession, approval are needed for that treaty to enter into force.  Entry into force of a treaty – i.e. the treaty shall enter into force on 30th August 2004.  Once it is signed and ratified by a number of states even though it has not reached the maximum number but once it receives 7 stated instruments, it is ready.  The treaty only becomes law when it achieves the 7 instruments of a treaty it enters into force.  The states themselves agree on how many instruments are required before the treaty can be binding.  For example the state can agree on how many instruments are required to make the treaty binding.  

Ratification, Signatory, Accession

Ratification  - The state binds itself to the convention and agrees to immediately start implementing steps to realise the rights contained in the covenant;

Signatory – The state shows willingness to be bound by the convention, but the convention is not binding on it yet; (state binds itself not to do anything derogative from the main provisions of the treaty i.e something that will work against the realization of the benefits of the treaty)

Accession  – Instead of signing and then ratifying a convention, a state becomes party to it by a single act.

A state can send its instruments of ratification indicating what it chooses to be bound by.   The reservation must be indicated in the face of the instrument and when the reservation has been formulated and received by the depository it is circulated to all parties who have agreed to be bound.  Please note that the treaty must be one that allows reservations.  There are however treaties that says they are not subject to reservations and this means that all its clauses must be accepted by everybody.  The states that feel that they will not ratify a treaty that does not permit reservations may decide to vote against it.

If a treaty is silent about reservations, can a state make reservations anyway?  Yes a state can make reservations but not to the article that forms the fundamental purpose of the treaty.  The reason why 

The law of treaty will decide whether a reservation effectively nullifies the membership of a state to that treaty.  Most treaties opt for a no reservation clause or silence.

CLEAN SLATE DOCTRINE (Tabular Rasa)

Where a state becomes independent and says it will no longer be bound by the treaties ratified by the colonial masters and want to start with a clean slate.

Concept of historical rights: Egypt insisting on historical rights vis-à-vis waters of the Nile.


PROBLEM IV

The population dependent in riparian in each riparian state.

Equitable utilisation of a river

The idea of treaty law and conflict management in dealing with shared natural resources like rivers.


PROBLEM V

There are 5 international relations problems

Mining Contract – Concession- an agreement between a sovereign state and a corporation is called a concession.  It is also called a ‘State Contract’ signed between a state and a natural or juridical person.

  Which law governs the contract?  Lex loci celebrationis  - the law of the place where the contract is negotiated,  the contract makes the choice on whether to follow the law of the place where the contract was negotiated or the law of the state that party to the contract.

Any dispute arising from such contracts – usually the contracts have an arbitration clause.

Choice of laws and dispute settlement.  

There must be Environmental Impact Assessment after mining is completed e.g. to fill the holes already dug and to leave the area in a habitable way.  This is called an Agreement for Natural Resources Development.  If a company wants to build a subsidiary foreign company, it has to use local materials, if it is employing many people it has to build schools for the children of the employees living there, if they are prospecting for hard minerals or oil, the expert prospectus must be accompanied by local experts of technology.

Jus cogens – this is the peremptory/absolute norm, the norm that cannot be delegated to it will prevent states from conspiring to attack another state.  Other states cannot also enter into an agreement in which they produce counterfeit.  

Can countries change their boundaries?  In 1964 the OAU meeting in Cairo passed a resolution in which they all agreed to accept unchanged the inherited colonial boundaries at independence.  This is the principal adopted by African Countries relying on the principle of not disturbing the boundaries and leaving them as they were – the principle is called Uti Possidetis.  This principle is invoked on any country that wants to change boundaries.

The principle of proportionality: The crossing of the border to another country could be met by a comparable force proportionate to the force that is incoming or in responding to an unarmed attack.  Refer to the case of Naulilaa Case:

Provisional Measure of Protection Interim Measure of protection under International Law  and under domestic law is called an interlocutory injunction:   this is where somebody wanting to stop some activities from continuing while there is a dispute going on.  Article 41 of the Charter of the United Nations.  The court must weigh the case before it and indicate if it considers the circumstances required to preserve the rights of the party, but where the court feels that the activities are going on that are not okay the court will preserve the rights of the parties.


Article 62 of the Charter deals with question of an interest of a legal nature.  Intervention is only allowed where the interest being protected is of a legal nature.

The Temple Preah Vihear Case [1962] I.C.J. Reports (Thailad& Burma

Changing your position to the detriment of another person who relied on your position before it was changed is estopped.  The doctrine of estoppel.

This country is estopped from denying since it acquiesced.

Walvis Bay was administered as part of Namibia although it was part of the Orange Free State in South Africa.  When South Africa realised that Namibia was about to become independent they annexed Walvis Bay.  South Africa had not raised the question of Walvis Bay for the 10 years that Namibia was fighting for independence.  As the matter came up and became a problem, the republic of South Africa declared Walvis Bay annexed to its territory but Namibia re-annexed it back to Namibia, it was held that Walvis Bay was part of Namibia and South Africa could not all of a sudden change its position and declare that Walvis Bay is not part of Namibia, South Africa was estopped from claiming Walvis Bay.

Acquiescence and estoppel, one must show conduct, reliance upon that conduct, detriment from that reliance.