Unlock 10 more sections of this judge’s background. Start your 7-day free trial.
138 total
Appeal of Crown wardship consent order dismissed as mother's consent was found valid and informed.
The appellant mother appealed a consent order making her daughter a Crown ward without access for the purpose of adoption.
She argued that she did not understand she was consenting to adoption and believed the children's aid society was withdrawing its application.
The Divisional Court reviewed the record, including the signed consent document and the appellant's subsequent communications, and found that she had independent legal advice, read the document, and understood its contents.
The court concluded the consent was valid and dismissed the appeal.
Judicial review of OLRB decision dismissed; union's refusal to seek judicial review was not arbitrary.
The applicant sought judicial review of an Ontario Labour Relations Board decision dismissing his claim that his union breached its duty of fair representation.
The union had refused to seek judicial review of an arbitration award that upheld the applicant's termination for insubordination and time theft.
The Divisional Court dismissed the application, finding that the Board reasonably concluded the union's decision was not arbitrary, discriminatory, or in bad faith.
Directed verdict application dismissed; circumstantial evidence of identity as driver sufficient to go to jury.
The applicant, Mohamed Taha, applied for a directed verdict of acquittal at the close of the Crown's case on charges of accessory after the fact to robbery, dangerous operation of a motor vehicle, and failing to remain at the scene of an accident.
The Crown's case relied on circumstantial evidence, including the applicant's presence near the driver's door of the getaway vehicle and a rental agreement in his name found inside.
The court dismissed the application, finding that there was some evidence upon which a reasonable jury, properly instructed, could infer that the applicant was the driver.
DNA evidence admitted despite minor informational breach in warrant execution.
The accused brought a Charter application seeking exclusion of forensic DNA evidence obtained under a bodily substances warrant.
The court held that police breached s. 8 by failing to specifically comply with the informational requirements in s. 487.07 of the Criminal Code and the warrant, even though the warrant itself was valid and several matters could be inferred from the circumstances.
Applying the Grant framework under s. 24(2), the court found the misconduct minor, the impact on the accused’s protected interests limited, and the DNA evidence reliable and important to adjudication on the merits.
The application to exclude the evidence was dismissed and the DNA evidence was admitted.
Large-scale handgun trafficker received a nine-year penitentiary sentence.
The court sentenced the accused for conspiracy to traffic firearms, trafficking firearms, and possession offences involving 13 handguns and ammunition acquired through a licensed purchaser.
Emphasizing denunciation, deterrence, public protection, and the totality principle, the court found the accused was a central actor in a commercial firearm trafficking enterprise motivated by profit.
The court treated the number of unrecovered handguns, the accused's role in directing purchases and distribution, and the risk to the community as significant aggravating factors, while giving limited mitigating weight to youth, family support, and rehabilitative prospects.
A total sentence of 9 years was imposed, with concurrent terms, 2.5 years' credit for pre-sentence custody, a lifetime firearms prohibition, and a DNA order.
Section 11(b) stay denied where delay largely attributable to co‑accused and inherent proceedings.
The accused brought a pre‑trial application under s. 24(2) of the Charter seeking a stay of proceedings for alleged violation of the right to be tried within a reasonable time under s. 11(b).
The charges arose from a search warrant execution that resulted in drug trafficking and proceeds of crime allegations.
The total delay from arrest to the scheduled trial date was approximately 23 months.
The court held that most delay prior to committal was inherent or attributable to co‑accused difficulties in retaining counsel and scheduling pre‑trial proceedings, which was neutral delay.
The institutional delay of approximately 10 months in the Superior Court was within acceptable guidelines and the alleged prejudice from the death of a potential defence witness was not causally connected to any Crown or institutional delay.
Costs reduced as excessive after successful conflict‑of‑interest motion.
Following a successful motion by certain defendant insurers seeking a declaration that their law firm could continue acting despite the arrival of a lawyer who had previously acted for the opposing party, the court addressed the issue of costs.
The unsuccessful party argued that the motion arose from circumstances created by the law firm’s hiring decision and that each party should bear its own costs, or alternatively that the amount sought was excessive.
The court applied the principles governing costs under s.131.1 of the Courts of Justice Act and Rule 57 of the Rules of Civil Procedure, emphasizing fairness and reasonableness rather than strict indemnification.
Although the successful defendants claimed approximately $59,800, the court found that amount excessive for a half‑day motion.
Costs were fixed at $42,000 payable within 30 days.
Court awards reduced partial indemnity costs after striking claims against individual defendants.
Following a motion to strike portions of a statement of claim, the court determined the appropriate costs payable to individually named defendants whose claims had been struck as an abuse of process.
The plaintiff had asserted a $10 million claim against individual employees and directors of corporate defendants without adequately pleading separate acts or interests beyond their corporate roles.
The individual defendants sought substantial indemnity costs, arguing the claims constituted tactical harassment.
The court found the claims against the individuals lacked proper particulars but concluded the circumstances did not justify elevated costs.
Partial indemnity costs were instead fixed at reduced amounts reflecting duplication of work with corporate defendants’ counsel.
Substantial indemnity costs denied despite abusive claim; partial indemnity costs awarded.
Following a successful motion striking the plaintiff’s statement of claim as disclosing no reasonable cause of action and as an abuse of process, the court determined the appropriate costs award.
The successful defendant sought substantial indemnity costs based on the plaintiff’s litigation conduct, including extensive discovery questioning seeking privileged information and late service of voluminous materials.
The court held that while the plaintiff’s conduct increased the complexity and time required to prepare the motion, it did not rise to the level of reprehensible, scandalous, or outrageous behaviour necessary to justify substantial indemnity costs.
Applying the principles governing costs under s.131 of the Courts of Justice Act and Rule 57 of the Rules of Civil Procedure, the court fixed costs on a partial indemnity basis.
Costs were awarded in the amount of $20,057 payable by the plaintiff to the successful defendant.
First-time offender sentenced to 9-month conditional sentence for single incident of sexual assault against minor.
The offender, a 56-year-old first-time offender, was found guilty of sexually assaulting his then-girlfriend's 13-year-old daughter in 2005.
The Crown sought a penitentiary term of 3 to 4 years, while the defence sought a conditional sentence.
The court considered the principles of denunciation and deterrence, but noted the offence was a single, transitory incident of touching by a person in a quasi-position of trust.
Applying the law as it existed at the time of the offence, the court found a conditional sentence was available and appropriate.
The offender was sentenced to a 9-month conditional sentence to be served under house arrest, along with a 20-year SOIRA order and a DNA order.
Eight‑month jail term imposed for possession and accessing child pornography.
The accused was sentenced following convictions for possession of child pornography and accessing child pornography under ss. 163.1(4)(a), 163.1(4)(b), and 163.1(4.1) of the Criminal Code.
Police discovered child pornography on multiple electronic devices after a member of the public observed the accused viewing images of young girls on a laptop in a public library.
The collection included over 160 images and several videos, including a number of hardcore depictions involving sexual acts with young children.
The court emphasized denunciation and deterrence as primary sentencing objectives for offences involving the abuse and exploitation of children.
The accused was sentenced to eight months’ incarceration less one month credit for pre‑trial custody, followed by two years’ probation and several ancillary orders including DNA sampling, sex offender registration for life, forfeiture of digital devices, and a five‑year prohibition order under s. 161.
Law firm permitted to continue acting after implementing comprehensive ethical screen for migrating lawyer.
The defendants brought a motion for a declaration that an ethical screen implemented by their counsel of record was sufficient to prevent the disclosure of the plaintiff's confidential information after a lawyer who previously represented the plaintiff joined the firm.
The plaintiff brought a cross-motion to disqualify the firm due to a conflict of interest.
The court applied the test from MacDonald Estate v. Martin and considered the Law Society's guidelines for ethical screens.
Finding that the firm had implemented timely and comprehensive institutional measures, the court concluded that a reasonably informed person would be satisfied that no use of confidential information would occur.
The defendants' motion was granted and the plaintiff's cross-motion was dismissed.
Pleading deficiencies strike several tort claims but GPS‑tracking trespass and confidence claims survive.
The defendants moved under Rules 21 and 25 of the Rules of Civil Procedure to strike the plaintiff’s statement of claim alleging civil conspiracy, unlawful interference with economic interests, trespass, and breach of confidence arising from alleged GPS tracking of the plaintiff’s service vehicles to obtain customer information.
The court held that the pleadings for civil conspiracy lacked the required material facts and particulars but granted leave to amend.
The claim for intentional interference with economic interests was struck without leave to amend because the pleadings failed to allege unlawful means directed at a third party as required by the Supreme Court’s formulation of the tort.
Allegations against individual corporate officers were struck as an abuse of process for failing to plead independent tortious conduct.
Claims for trespass to chattels and breach of confidence were allowed to proceed, while the trespass to land claim was struck with leave to amend.
Court rejects post-closing land price adjustment absent express contractual provision.
The defendant brought a motion for summary judgment seeking dismissal of a claim arising from a land purchase agreement involving residential development lands in Oshawa.
The plaintiff alleged that the Agreement of Purchase and Sale and related Omnibus Agreement required a post-closing readjustment of the purchase price where the net developable area of the lands was later reduced.
The court held that the contracts did not provide for post-closing adjustments to the purchase price, and that the closing adjustments based on the consultant’s calculation of net developable area were final.
The plaintiff’s later attempt to rely on a recalculation based on modified development constraints was not conducted using the contractual definition of net developable area and was based on the purchaser’s subsequent development choices.
Interpreting the agreements to allow indefinite post-closing adjustments would create commercial uncertainty and absurdity.
Summary judgment was granted dismissing the claim.
Summary judgment denied; triable issue whether subcontractor was unnamed insured under builder’s risk policy.
The subcontractor defendant moved for summary judgment dismissing a negligence action arising from the collapse of a partially constructed riding arena.
The subcontractor argued it was an unnamed insured under the owner’s builder’s risk policy and that the policy’s waiver of subrogation barred the insurer’s subrogated claim.
The court held that the evidentiary record was insufficient to determine whether the subcontractor was an unnamed insured and whether the contractual matrix supported a waiver of subrogation.
The absence of evidence regarding contractual risk allocation and the defendants’ own insurance policies created genuine issues requiring a trial.
The motion for summary judgment was dismissed and the claim was permitted to proceed.
Abuse of process claim struck for failing to plead collateral purpose or overt act.
The defendants moved under Rule 21.01 of the Rules of Civil Procedure to strike the plaintiff’s statement of claim alleging the tort of abuse of process.
The plaintiff alleged that the defendants improperly used enforcement proceedings and a court order requiring sale proceeds to be paid into court as leverage to compel payment of money beyond what a judgment creditor was entitled to receive.
The court held that the pleadings failed to establish the essential elements of abuse of process, including a collateral purpose and an overt act separate from the legal proceedings themselves.
The court also found that settlement negotiations were protected by settlement privilege and could not be relied upon as admissions of improper purpose.
Further, the claim for legal fees as “special damages” constituted an impermissible collateral attack on prior costs decisions and related court orders.
The statement of claim was therefore struck as disclosing no reasonable cause of action and as an abuse of process.
Valid consent defeated Charter challenge to warrantless laptop search.
The accused applied under s. 24(2) of the Charter to exclude evidence obtained from a warrantless search of his laptop at a public library, arguing that his consent to the search was not informed and therefore violated his s. 8 right against unreasonable search and seizure.
Police officers had asked for permission to search the laptop while investigating a report that the accused was viewing images of young girls.
The court applied the consent criteria from R. v. Wills and found that the accused voluntarily and knowingly consented to the search, understanding the nature of the investigation and the potential consequences.
The court rejected the argument that the officer fabricated the consent process and found the accused’s evidence less credible.
Even if a minor deficiency in the consent process existed, the court held the evidence would not be excluded under the Grant framework.
Contractor denied payment for remedial sewer trench repairs caused by insufficient compaction.
A contractor sought payment for remedial road repairs following settlement of municipal sewer trench backfill completed under contract with a municipality.
The contractor alleged the work was extra to the contract and alternatively claimed compensation on a quantum meruit or unjust enrichment basis, asserting that native soil specified for backfill was too wet to compact properly.
The municipality maintained that settlement resulted from insufficient compaction at the lower levels of the trench and that the contractor was contractually responsible for remediation at no additional cost.
The court accepted expert evidence that settlement was caused by poorly compacted backfill and found the contractor failed to prove unsuitable soil or any oral agreement for additional compensation.
The court held the remedial work was required due to deficiencies in the contractor’s work.
Drug trafficking offender with prior record receives reduced sentence due to strong rehabilitation.
Sentencing for possession of crack cocaine for the purpose of trafficking under s.5(2) of the Controlled Drugs and Substances Act and possession of proceeds of crime under s.354(1)(a) of the Criminal Code.
The offender had a significant prior criminal record including related drug trafficking offences and had committed the offence shortly after release from a previous custodial sentence.
Despite strong aggravating factors and the Crown seeking a sentence of 2½ to 3 years, the court gave weight to credible evidence of sustained rehabilitation during more than two years on strict bail conditions, including stable employment and family support.
Balancing denunciation and deterrence with rehabilitation, the court imposed a custodial sentence followed by probation and community service.
Drugs admitted after lawful detention and plain-view discovery during suspected drug transaction.
The accused was charged with possession of crack cocaine for the purpose of trafficking and applied under s. 24(2) of the Charter to exclude the drugs on the basis of alleged breaches of ss. 8 and 9.
Police observed a known drug user behaving suspiciously and subsequently watched him enter the accused’s vehicle.
During the encounter an officer observed a baggie of suspected crack cocaine in plain view in the vehicle door pocket, leading to the accused’s arrest and a search that revealed additional drugs.
The court rejected the accused’s version of events alleging an unlawful strip-style search and fabrication by police, finding the officers credible and concluding that the detention, arrest, and search were lawful.
The Charter application was dismissed and the drugs were admitted into evidence.