F.5. Consideration
116 In my view, as submitted by the QCAA, the determination of whether the commercial transaction exception applies in the present case raises two questions.
117 First, does the proceeding "concern" a commercial transaction for the purposes of s 11(1) of the FSI Act?
118 The connecting term "concerns" "connotes a relationship between the proceeding and a commercial transaction": Firebird at [187] (Nettle and Gordon JJ). That relationship contemplates that there is an "underlying commercial transaction involved in the dispute", or, put another way, that the proceeding seeks to "enforc[e] … [a] claimant's rights arising from a commercial transaction": Firebird at [79], [188] (French CJ and Kiefel J).
119 To determine whether the connection required by s 11(1) is present, it is necessary to consider the "substance of the case pleaded" against the foreign State or separate entity: see Garuda HCA at [24] (French CJ, Gummow, Hayne and Crennan JJ).
120 The conduct the subject of the case pleaded against Garuda was that it and other airlines had entered into anti-competitive arrangements and understandings to impose surcharges on commercial freight services to Australia: Garuda HCA at [24].
121 In Garuda FCAFC, the Full Court held that Garuda was not immune from this Court's jurisdiction. Although the Full Court accepted that Garuda was a separate entity of a foreign State for the purposes of the FSI Act, the Full Court found that the proceeding concerned a "commercial transaction" within the meaning of s 11: Garuda FCAFC at [54] (Lander and Greenwood JJ), [227] (Rares J).
122 Justice Rares stated at [200]:
The definition of "commercial transaction" in s 11(3) does not simply comprehend transactions. It contains words of extension that considerably broaden its operation. This follows from the section's use of the words "or a like activity in which the State has engaged and, without limiting the generality of the foregoing". The literal meaning of the classes of transactions and "like activity" to which s 11(3) refers is wide and general.
123 Justice Rares noted that the commercial transaction exception should be construed to promote the object and purpose underlying the FSI Act. He stated that this was to give effect to the doctrine of restrictive immunity, which itself "was intended to allow foreign States to be brought before municipal courts at the suit of persons who traded with them": Garuda FCAFC at [207], [208]. Justice Rares observed at [215] that the ALRC had conceived that the scope of the commercial transaction exception was "very broad". His Honour stated at [219]:
The restrictive theory of State immunity is concerned, relevantly, to assimilate, as much as possible, the position of a foreign State to that of any other person who engages in commercial or like dealings, or associated activity, with others.
124 Justices Lander and Greenwood agreed with Rares J that the commercial transaction exception applied to Garuda (at [54]), stating at [61]-[62]:
Shortly put, s 45 [of the Trade Practices Act] makes it unlawful for a corporation to make a contract or arrangement or arrive at an understanding, a provision of which would be likely to have the effect of substantially lessening competition, or to give effect to such a provision.
It seems to us that a contract arrangement or understanding of that kind is a commercial transaction within the meaning of s 11(3) whether it is a transaction which contravenes s 45 of the Trade Practices Act or otherwise.
125 Before the High Court, Garuda challenged the Full Court's finding that the proceeding concerned a commercial transaction within the meaning of s 11 of the FSI Act. Garuda argued that the exception did not apply as the proceeding did not seek to vindicate any private law right in respect of any freight contract. It submitted that the ACCC did not plead the terms of any contract, did not seek any remedy with respect to any contract and no party to any contract was joined in the proceeding. The High Court rejected this submission, stating at [41]-[42] (French CJ, Gummow, Hayne and Crennan J):
This postulated dichotomy between private and public law as controlling the meaning of "concerned" in s 11(1) should not be accepted.
The definition of "commercial transaction" fixes upon entry and engagement by the foreign State. It does not have any limiting terms which would restrict the immunity conferred by ss 9 and 22 to a proceeding instituted against the foreign State by a party to the commercial transaction in question. Further, it should be emphasised that the definition does not require that the activity be of a nature which the common law of Australia would characterise as contractual. The arrangements and understandings into which the ACCC alleges Garuda entered were dealings of a commercial, trading and business character, respecting the conduct of commercial airline freight services to Australia. The definition of a "commercial transaction" is satisfied.
126 The term "concerns" in s 11(1) of the FSI Act requires the Court to "look to the source of rights in issue in the proceeding": Firebird at [135] (Gageler J).
127 In CCDM, Jackman J explained by reference to the reasoning of the High Court in Garuda HCA that the "source of rights in issue in the proceeding" for the purposes of s 11(1) of the FSI Act is the alleged conduct which gave rise to the right to the relief that was sought. His Honour stated that in Garuda HCA, the source of the relevant rights was thus not the Trade Practices Act 1974 (Cth) that Garuda had allegedly contravened, but rather "the alleged conduct of the airline in contravention of that statute", being the conduct which gave rise to the right to the relief sought: CCDM at [111]. The conduct in Garuda as explained above was the entry into price fixing arrangements and understandings with other airlines with respect to the carriage of air freight to Australia.
128 In the present case, the conduct giving rise to the claims for contravention and relief was the alleged involvement by the QCAA in the police operation conducted by the MOI that culminated in the invasive examinations of the first to fourth applicants, and its failure to take steps to prevent (a) the applicants from being directed to disembark the aircraft and onto the tarmac, and (b) the invasive examinations from taking place. That is the "substance of the case pleaded" against the QCAA.
129 Second, can the alleged commercial transaction constituting the source of the rights in the proceeding be properly characterised as "a commercial, trading, business, professional or industrial or like transaction into which the foreign State [or separate entity] has entered or a like activity in which the State [or separate entity] has engaged", within the meaning of s 11(3) of the FSI Act? The expression "like activity" refers back to the concept of "a commercial, trading, business, professional or industrial or like transaction": CCDM at [114].
130 In Wells Fargo Bank Northwest National Association v Victoria Aircraft Leasing Ltd (2004) 185 FLR 48; [2004] VSC 262, Dodds-Streeton J said at [106]-[107]:
The term "commercial transaction" is widely defined in s 11 to bear a meaning beyond "commercial" proper, as it expressly includes not only a "commercial" transaction but extends to a "trading, business, professional or industrial or like" transaction. The ALRC Report stated that "the object of the definition of "commercial" in the context of jurisdiction was to focus on the nature of a specific transaction".
The term "commercial", is used in distinction from "non-commercial", and must be given content. The group of defining qualities in the "generality" of s 11(3) significantly omit criteria such as "political", "diplomatic", "governmental", "intelligence" "foreign policy" or "domestic". No doubt other significant fields of human activity are omitted.
131 There is a measure of circularity in the definition of a "commercial transaction" in s 11(3) of the FSI Act. A "commercial transaction" is stated to be a "commercial, trading, business, professional or industrial or like transaction" and three non-exclusive examples are provided. The examples provided are (a) contracts for the supply of goods or services, (b) loan agreements or other transactions for the provision of finance, and (c) guarantees or indemnities of financial obligations, other than employment contracts or bills of exchange. What is otherwise meant by "commercial" is not specified except to the extent that the other language in s 11(3) provides a necessary context and informs the meaning to be given to "commercial".
132 Consistent with the requirement to construe the words of a statute harmoniously (see Project Blue Sky Inc v Australian Broadcasting Authority (1998) 194 CLR 355 at [69]-[70]; DSG Holdings Australia Pty Ltd v Helenic Pty Ltd (2014) 86 NSWLR 293; [2014] NSWCA 96 at [92] (Leeming JA)), in construing the definition of a "commercial transaction" for the purposes of s 11(3) of the FSI Act, it is appropriate to look to the definition of the related term "commercial property" in s 32(1) and s 32(3) in Pt IV of the FSI Act. Those sections provide that "commercial property" is "property, other than diplomatic or military product, that is in use by the foreign State concerned substantially for commercial purposes". The definition of "commercial property" is thus inextricably linked to a "substantial use" by a foreign State for "commercial purposes". The purposive link is express in these sections, unlike s 11(3). Nevertheless, it demonstrates an evident legislative intention to direct attention to "purpose" in determining whether something can be characterised as "commercial".
133 In that context, the following reasoning of Nettle and Gordon JJ in Firebird at [229]-[230], although addressing the exception to immunity in s 32(1) and s 32(3) of the FSI Act, is instructive:
229 On that basis, Bathurst CJ concluded that although Nauru Airlines engages in some commercial activities including flights on a charter basis, the funds in the Airline Leasing Accounts were not used for commercial purposes, because:
"[T]he primary purpose of the investment in Nauru was to provide aircraft services to what would otherwise have been an isolated community. In these circumstances it does not seem to me that the moneys in the bank account [are] used for purposes which, whether by loans or other investment, could be said to be for commercial purposes."
230 With respect, that conclusion was correct. As Bathurst CJ deduced, funding Nauru Airlines was part of Nauru's ordinary governmental functions of providing an otherwise isolated Nauruan community with aircraft services. The fact that the airline, as opposed to Nauru, may have engaged in commercial activities was beside the point. The purpose of the loans was not to generate profits but to ensure that the people of Nauru were provided with air transportation.
134 Their Honours were considering the character of the funds in an account that the State of Nauru used to provide government loans to Nauru Airlines. Their Honours focused not on the nature of the activity being conducted by the airline using the loans made by the Nauru government, but rather the reason why the government was providing the funding to the airline.
135 In Firebird, Nettle and Gordon JJ contrasted the approach in Pt IV of the FSI Act with the approach of the English Court of Appeal in Alcom Ltd v Republic of Colombia [1984] AC 580. Their Honours explained at [223]:
It is different under the purpose-based approach which applies under Pt IV of the Immunities Act. In determining whether property is held by a foreign State for a commercial purpose, it is necessary to bear in mind the individual circumstances of the foreign State. What may properly be regarded as a commercial purpose in the context of one foreign State's circumstances may well be considered a governmental purpose in the context of another state's circumstances. That point was made by Steele J in Carrato v United States [(1982) 141 DLR (3d) 456] in relation to the Canadian approach to the commercial activity exception to immunity from jurisdiction (which requires the court to consider both the nature of the act and also its purpose). As Steele J said: "acts that some persons might normally consider to be commercial are not so when they are done in the performance of a sovereign act of State". An activity can also be multi-faceted and so, for the purposes of the commercial activity test of immunity from jurisdiction, "it is necessary to consider which aspect of that activity is most relevant to the proceedings". Parity of reasoning dictates that the same is true of purpose.
(Footnotes omitted.)
136 In order to address the question of whether the impugned activity falls within the commercial transaction exception in s 11(3) of the FSI Act, it is necessary to characterise the particular acts that the claimant for foreign State immunity is alleged to have done.
137 In the present context, the aspect of the impugned activity that is most relevant to the proceedings is the QCAA's alleged participation in, or failure to prevent, the police investigation conducted by the MOI culminating in the invasive examinations in the ambulance on the tarmac.
138 Further, as Nettle and Gordon JJ explained in Firebird at [228], in approving the reasoning of Bathurst CJ in the Court of Appeal of the New South Wales Supreme Court:
Hence, as his Honour said, where funds are to be used for the purpose of government administration, performance of a government's civic duties and functions to its citizens or the advancement of the community, "the fact that that object is achieved by entering into commercial transactions [does not mean] that the funds are used for commercial purposes.
(Footnotes omitted.)
139 In the present case, the MOI police operation was conducted in purported performance of the State of Qatar's civic duties to maintain law and order. More specifically, it was conducted for the purpose of identifying and potentially prosecuting a woman who had allegedly committed a criminal offence by abandoning a newborn baby in a toilet cubicle in the terminal of the Doha Airport.
140 In my view, the QCAA's alleged participation in, or failure to prevent, the police investigation conducted by the MOI culminating in the invasive examinations in the ambulance on the tarmac cannot plausibly be characterised as conduct falling within the commercial transaction exception within s 11(3) of the FSI Act. The conduct did not have the character of a "commercial, trading, business, professional or industrial or like transaction".
141 Nor, contrary to the applicants' submissions, is it sufficient to demonstrate that the conduct in issue in the proceeding formed part of some broader commercial activity.
142 In Wells Fargo, Dodds-Streeton J said at [108]-[109]:
In my opinion, if a transaction is substantially, essentially or predominantly of a political, diplomatic, governmental or intelligence or like character, it is not a "commercial transaction" despite the fact that it incorporates, or possibly incorporates, some elements of the specified transactions in s 11(3)(a)-(c).
Whether or not the transactions in s 11(3)(a)-(b) are ipso facto commercial, the incorporation of only subsidiary or minor "commercial, trading, business, professional, industrial or like" elements in a transaction which is predominantly one of a political, diplomatic, governmental or intelligence character, or an admixture of those elements, in my view will not render it a "commercial transaction". Immunity would not be lost pursuant to s 11 of the Act.
143 In CCDM, the relevant issue was whether India's conduct in annulling a commercial agreement constituted a "like activity" within the meaning of s 11(3) of the FSI Act. The applicants in CCDM submitted that the Annulment should be construed as a "like activity" to a commercial transaction because it "operated with respect to" a commercial transaction. Justice Jackman did not accept that contention.
144 Moreover, Jackman J concluded at [120]:
In the present case, the Annulment was made by the body vested with the highest form of executive policy-making in India, and was stated to be for reasons of public policy. Such an act of State cannot be characterised as a "like activity" to "a commercial, trading, business, professional or industrial or like transaction" within the meaning of s 11(3). It certainly bears no resemblance to any of the non-exhaustive list of commercial transactions in s 11(3). There is no evidence that the Annulment satisfied the definition of "commercial transaction" in s 11(3), let alone sufficient evidence for the Applicants to have discharged their onus of proof.
145 His Honour also noted that "the repudiation of a commercial agreement by a State is not necessarily a commercial activity and may well be made as an act of State for reasons which are not at all commercially based": at [119].
146 The QCAA's alleged participation in, or failure to prevent, the MOI police investigation were distinct acts of a separate entity of a foreign State. That conduct could not be brought within the commercial transaction exception on the basis that the applicants were fare paying passengers on a commercial airline and the relevant conduct took place on the premises of an international commercial airport.