| Duress, Pages 591-601
R v. Hasan [2005] UKHL 22, [2005]
2 WLR 709.
In Hasan, the House of Lords has revisited and, to some extent,
reconfigured more narrowly the law of duress, in the process
casting doubt on a number of Court of Appeal decisions. The
case involved a conviction for aggravated burglary after D,
armed with a knife, had forced his way into a house intending
to steal the contents of a safe that was known to be inside.
At trial, D had raised the defence of duress, claiming that
one Sullivan, not a criminal lawyer at all but a drug dealer
with a reputation for violence, had threatened to harm D and
his family unless D carried out the burglary. D had an existing
association with Sullivan, in that he worked as driver and
minder for a woman who ran an escort agency and was involved
in prostitution, while Sullivan was also involved in the business
as the boyfriend of his employer.
At trial, the judge put four questions to the jury concerning
the duress defence (para. 14):
(1) “Was the defendant driven or forced to act as
he did by threats which, rightly or wrongly, he genuinely
believed that if he did not burgle [the] house, his family
would be seriously harmed or killed?”
(2) “Would a reasonable person of the defendant’s
age and background have been driven or forced to act as
the defendant did?”
(3) “Could the defendant have avoided acting as he
did without harm coming to his family?”
(4) “Did the defendant voluntarily put himself in
the position in which he knew he was likely to be subjected
to threats?”
The jury were directed that duress would be available only
if the answers to these questions were, respectively, Yes,
Yes, No, and No. The jury convicted. On appeal, D argued that
the trial judge had misdirected on duress and that he had
also erred on an issue of evidence (which will not be considered
here). The Court of Appeal upheld the appeal on both grounds,
concluding in particular that the judge had misdirected the
jury on questions (3) and (4): [2003] EWCA Crim 191, [2003]
1 WLR 1489. On question (4), the Court of Appeal certified,
under section 33(2) of the Criminal Appeal Act 1968, that
a point of law of general public importance was involved in
the decision:
“Whether the defence of duress is excluded when as
a result of the accused's voluntary association with others:
(a) he foresaw (or possibly should have foreseen) the risk
of being subjected to any compulsion by threats of violence;
or
(b) only when he foresaw (or should have foreseen) the risk
of being subjected to compulsion to commit criminal offences;
and, if the latter;
(c) only if the offences foreseen (or which should have
been foreseen) were of the same type (or possibly of the
same type and gravity) as that ultimately committed.”
The Court of Appeal, in other words, flagged up the boundaries
of the voluntary exposure exception to duress [S&S2 pp.
596-7], seen in cases such as Fitzpatrick [1977]
NI 20 (CCA), Sharp [1987] QB 853 (CA), and Shepherd
(1987) 86 Cr App R 47 (CA). When, precisely, is D’s
right to the defence lost on this ground? How much, if anything,
must he know?
Voluntary exposure to duress
The House of Lords restored D’s conviction. Overruling
earlier authority, Lord Bingham, with whom Lords Steyn, Rodger,
and Brown agreed, ruled that the defence is lost if D “voluntarily
becomes or remains associated with others engaged in criminal
activity in a situation where he knows or ought reasonably
to know that he may be the subject of compulsion by them or
their associates” (paras. 38, 39). Their Lordships thus
preferred an objective version of option (a) above. There
is now no requirement (rejecting Baker and Ward [1999]
2 Cr App R 335, CA) that the anticipated coercion be to commit
crimes, let alone crimes of the type ultimately committed.
In gist, D loses the defence because he voluntarily associates
himself with generally violent and coercive people.
On the facts of the case, the decision is seemingly obiter on
the question of foreseeability versus actual foresight, but
a ruling on this point was sought by the question certified
and it, too, should be regarded as binding—if unfortunate.
The rationale for the voluntary exposure exception is that
the defendant volunteers for the risk; but this
cannot be said for someone who joins a violent organisation
unaware of the risk. The merely negligent do not “buy
into”, or “court”, their fate. “The
policy of the law must be to discourage association with known
criminals,” asserts Lord Bingham: but that is tantamount
to legalising a status of pariah, or outcast or outlaw,
and the mere taint of criminality should not be spread so
easily from one person to another, especially to another who
is not on notice of the propensity to violence.
One point is left open (para. 38). While agreeing with her
brethren that D need not foresee coercion to commit crimes
of the very type that are ultimately committed (albeit herself
preferring option (b)), Baroness Hale suggests that the defence
should not be lost where one’s act of volunteering is
done with lawful or reasonable excuse (para. 78), for example
when an undercover policeman infiltrates a criminal gang and
is then required to perform illegal acts. This possibility
remains to be tested, although the prospects for a law-enforcement
exception must be doubtful in the light of Yip Chiu-cheung [1995]
1 AC 111 (PC) [S&S2, pp. 603, 652].
Other elements of the duress defence
Lord Bingham did not stop there, but went on to consider the
rest of the trial judge’s direction and the requirements
of duress more generally. In a welcome clarification, his
Lordship reaffirms the rule, laid down in Graham [1982]
1 All ER 801, 806 (CA) and approved in Howe [1987]
AC 417, that a mistaken belief by D that he is being threatened
must be reasonable. The doubt that had been cast
by the decision in Martin (David) [2000] 2 Cr
App R 42 [S&S2, p. 599] is therefore now resolved. Correspondingly,
the trial judge’s question (1) for the jury in Hasan,
set out earlier, was unduly favourable to the defendant.
More controversial, perhaps, are two further rulings:
1. The threat must be directed against D or someone close
to him, including someone for whose safety D would reasonably
regard himself as responsible. Apart from citing Conway
[1989] QB 290 and Wright [2000] Crim LR
510, no reasons are given for this obiter restriction.
Presumably, if the defence operates (as his Lordship asserts)
as an excuse, the thinking must be that reasonable and sober
people are not sufficiently concerned for the safety of other
human beings that they are impelled to act by threats to those
others. It is, to say the least, a surprising restriction.
2. D must have had no opportunity to avoid the
threat, save by complying with it. The decision in Hudson
and Taylor [1971] 2 QB 202 is disapproved. In that case,
two girls aged 17 and 19 were convicted of perjury after they
lied as prosecution witnesses in an earlier trial. They claimed
that they had been threatened with violence if they told the
truth at the trial, a threat buttressed by the fact that their
threatener had been present in the public gallery when they
arrived at court. Their appeal was allowed on the basis that
these facts were capable of supporting a defence of duress
notwithstanding that execution of the threat was imminent
rather than immediate, and on the basis that effective police
protection may not have been available. But Lord Bingham demurs
(para. 27):
“I cannot, consistently with principle, accept that
a witness testifying in the Crown Court at Manchester has
no opportunity to avoid complying with a threat incapable
of execution then or there.”
His Lordship here presents this restriction as one of avoidability rather
than immediacy. In his analysis, there is not as such a requirement
that the threat must be immediately at hand but, rather, that
the defendant have no alternative available of taking evasive
action. The importance of immediacy is therefore practical,
in that it helps to establish D’s lack of alternatives
(para. 28):
“if the [threat] is not such as he reasonably expects
to follow immediately or almost immediately on his failure
to comply with the threat, there may be little if any room
for doubt that he could have taken evasive action, whether
by going to the police or in some other way, to avoid committing
the crime with which he is charged.”
But what sort of avoidability is this? Suppose that T threatens
to murder my family unless I today commit a burglary. I have
a day or two to comply. Of course I can go to the police;
so I can avoid compliance, which is the test that
Lord Bingham states. Yet if the safety of my family cannot
be guaranteed, how does this evade the threat? There
is a serious analytical error here. Lord Bingham points out
that “he could have taken evasive action ... to avoid
committing the crime”. But one can always avoid committing
the crime, even if the threat is immediate—it’s
just that the consequences are rather severe. That isn’t
the test. What counts is whether one can avoid the threat
save by committing the crime. Lord Bingham’s
argument therefore contains a non-sequitur. It cannot be too
hard to imagine, as the Court of Appeal was willing to conjecture,
that effective witness protection would not have been available
to the defendants in Hudson and Taylor. Surely, if
that is true, the rationale behind the duress defence extends
to such cases?
Conclusion
Strictly speaking, on questions other than the voluntary exposure
exception, their Lordships’ views are obiter dicta.
But they are part of a considered attempt to restate the law
of duress, and Hasan represents the most important
pronouncement on the topic since Howe.
The clear intention of their Lordships is to increase the
rigour of the defence and to restrict its growing use and
availability. As such, the decision in Hasan is
motivated primarily by the perception that one should not
readily exonerate those who choose to harm innocent victims
(paras. 18-19). Clearly, in the tug-of-war between those who
instigate crimes and those who are their victims, the House
(with the exception of Baroness Hale) sees itself as pulling
on the side of the victims. What it does not seem to recognise
is the possibility that D, a victim too, may be caught in
the middle.
That having been said, the decision should be understood
as the product of a world in which pleas of duress are now
much more common than at the time of Hudson and Taylor,
especially in the context of the drugs trade and other organised
crime. Stephen long ago queried why the state coercion of
the criminal law should give way to the private coercion that
is duress. That rather hardnosed attitude is an informing
consideration in Hasan, where the House is clearly
concerned by the intertwined growth of the duress defence
and the modern prevalence of organised crime. Their Lordships’
view, it seems, is that if a person mixes and profits from
association with criminals, he cannot expect the courts to
side with him when he harms victims untainted by such association.
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