3.2 The Determination
24 The Board of the ACC made the Determination on 4 September 2013. By cl 4 of the Determination, the Board purports to authorise the ACC "to investigate specified criminal activity until 30 June 2016" pursuant to ss 7C(1)(c) and 7A(c) of the ACC Act. Clause 5 of the Determination requests that the ACC provide a report to the Board on the outcomes of the investigation at or before the first Board meeting after 30 June 2016.
25 As to the criteria for making the Determination, cl 6 of the Determination states:
Pursuant to paragraph 7C(1)(d) and subsection 7C(3) of the Act, the Board:
(a) has considered whether ordinary police methods of investigation into specified criminal activity are likely to be effective;
(b) determines that ordinary police methods of investigation into specified criminal activity are not likely to be effective; and
(c) determines that the investigation authorised by this instrument is a special investigation.
26 Clause 7 in turn states that "[t]he general nature of the circumstances or allegations constituting specified criminal activity are set out in Schedule 1." "Specified criminal activity" is defined by cl 3 of the Determination to mean "the federally relevant criminal activity described in Schedule 1" and by cl 8 includes offences against a law of the Commonwealth, State or Territory.
27 The purposes of the investigation are set out in cl 9 which provides:
The purposes of the investigation are:
(a) to collect and analyse criminal information and intelligence relating to specified criminal activity by HRCTs and associated entities, to disseminate that information and intelligence in accordance with the Act and to report to the Board; and
(b) to identify entities involved in specified criminal activity by HRCTs, to collect evidence about that activity, and to facilitate the apprehension, and if appropriate, the prosecution of such entities (including through the referral of information to other bodies); and
(c) to reduce the incidence and effect of specified criminal activity by HRCTs (including any adverse impacts on Australia's national interests) including through:-
(i) disruption and prevention;
(ii) making the markets, sectors, infrastructure and capabilities exploited by HRCTs more resilient to HRCT activity; and
(d) to make appropriate recommendations to the Board and other bodies about reform of:
(i) the law relating to relevant offences;
(ii) relevant administrative practices; and
(iii) the administration of the courts in relation to trials of relevant offences.
28 The expression "Highest risk criminal targets" or "HRCTs" to which cl 9 refers is defined in cl 3 of the Determination to mean:
…entities, including those entities identified within the (classified) National Criminal Target List (NCTL), which an authorised ACC officer has reasonable grounds for suspecting:
(a) may be engaged in specified criminal activity in one or more jurisdiction;
(b) may have a high level of intent and ability to commit specified criminal activity; and
(c) may have one or more of the following attributes:
(i) a high degree of resilience to disruption by law enforcement;
(ii) a thorough understanding of law enforcement methodology and its limitations and employ counter-strategies;
(iii) access to law enforcement or regulatory information;
(iv) a willingness and capacity to corrupt officials;
(v) a willingness and capacity to pervert the course of justice through intimidation of witnesses and the use of violence;
(emphasis added)
29 The use of the word "and" as highlighted above makes it plain, in my view, that an HRCT is an entity in respect of which an authorised ACC officer must have reasonable grounds for suspecting that all of the criteria in subclauses (a) to (c) are met.
30 Schedule 1 to the Determination, which is referred to in cl 7 and in the definition of "specified criminal activity" in cl 3, is entitled "Authorised investigation". That Schedule relevantly provides as follows:
1 Matter to be investigated
The matter to be investigated is whether, in accordance with the allegations mentioned in clause 3 and in the circumstances mentioned in clause 2, federally relevant criminal activity:
(a) was committed before the commencement of this Instrument; or
(b) was in the process of being committed on the commencement of this Instrument; or
(c) may in future be committed;
and, if so, the nature and extent of that activity and the identity and role of entities involved in it.
2 Circumstances
The general nature of the circumstances constituting federally relevant criminal activity that may have been, may be being, or may in future be, occurring are those implied or suggested from information available to the ACC and other Australian law enforcement agencies indicating that:
(a) HCRTs are responsible for a significant proportion of serious and organised crime, and represent a serious risk to Australia's economy, business and institutions and thereby Australia's national interests;
(b) HRCTs are typically involved in the trade of illicit commodities such as drugs and firearms but may be enablers of criminal activity (e.g. through the provision of money laundering services or secure communications). HRCTs are increasingly involved in cyber and technology enabled crime and have international linkages; or
(c) HRCT criminal activity is resilient to traditional law enforcement investigations and ACC experience with the investigation of such HRCT activity indicates that, to be effective, ACC and partner bodies need to adopt a collaborative approach encompassing each of the following elements:-
(i) the development of more comprehensive intelligence in relation to the nature and extent of HRCT criminal activity (including evaluation of persons not currently listed on the NCTL or whose impact on Australians or Australia's national interests is not yet fully assessed);
(ii) preventing, disrupting, disabling and dismantling identified HRCT criminal enterprises through enforcement, regulation, policy and other action;
(iii) enhanced collaboration with international bodies and private sector bodies; and
(iv) the use of ACC coercive powers to facilitate the collection of intelligence and evidence in relation to HRCT criminal activity not available through other information collection methods.
3 Allegations
The general nature of the allegations constituting federally relevant criminal activity that may have been, may be being, or may in future be, committed is that HRCTs may be engaged, in concert with one another or with other entities, in one or more of the following activities:
(a) serious drug offences contrary to Part 9.1 of the Criminal Code which are punishable by imprisonment for a period of three years or more;
(b) the unlawful importation, possession or conveyance of, or dealing in, illegal drugs within the meaning of the Crimes Act 1914 (Cth) or the Customs Act 1901 (Cth);
(c) cross-border firearms trafficking contrary to Part 9.4 of the Criminal Code;
(d) offences involving violence punishable by imprisonment for a period of three years or more;
(e) tax evasion constituted by activity contrary to section 29D or section 86 of the Crimes Act 1914 (Cth), or sections 134.1, 134.2, 135.1, or 135.4 of the Criminal Code;
(f) money laundering, within the meaning of section 81 of the Proceeds of Crime Act 1987 (Cth);
(g) dealing with money or property contrary to sections 400.3, 400.4, 400.5, 400.6 (1), 400.6 (2) or 400.7 (1) of the Criminal Code;
(h) theft;
(i) identity crime, including offences against Part 10.8 of the Criminal Code;
(j) offences contrary to section 474.14 of the Criminal Code (using a telecommunications network with intention to commit a serious offence), which are serious and organised crime as defined in the Act;
(k) criminal associations and organisation offences contrary to sections 390.3, 390.4, 390.5 or 390.6 of the Criminal Code;
Connected offences
(l) any of the following activities, where those offences may have been, or may be, connected with a course of activity involving the commission of any of the offences referred to in paragraphs (a) to (k);
(i) perverting the course of justice;
(ii) corruption or improper interference with the due administration of justice within the meaning of section 33 of the Crimes Act 1914 (Cth);
(iii) intimidation of or interference with a witness or proposed witness in a judicial proceeding within the meaning of section 36A of the Crimes Act 1914 (Cth);
(iv) bribery of a Commonwealth public official, within the meaning of section 141.1 of the Criminal Code;
(v) giving a corrupting benefit to a Commonwealth public official, or receiving a corrupting benefit by a Commonwealth public official, within the meaning of section 142.1 of the Criminal Code;
(vi) abuse of public office by a Commonwealth public official within the meaning of section 142.2 of the Criminal Code;
(vii) market misconduct and other prohibited conduct relating to financial products and financial services contrary to Part 7.10 of the Corporations Act 2001 (Cth);
(viii) conduct in relation to securities contrary to Part 7.11 of the Corporations Law (Cth);
(ix) unlawful activities relating to the commission of any of the following offences (all of which constitute a serious offence within the meaning of the Proceeds of Crime Act 2002 (Cth)):
A an offence against section 15 (reports about transfers of currency into or out of Australia) of the Financial Transaction Reports Act 1988 (Cth) involving a transaction of at least $50,000 in value;
B an offence against section 29 (false or misleading information) of the Financial Transaction Reports Act 1988 (Cth) involving a transaction of at least $50,000 in value;
C an offence against section 24 (opening or operating accounts in a false name etc,) of the Financial Transaction Reports Act 1988 (Cth) where transactions on the relevant account total at least $50,000 in value during any six-month period;
D an offence against section 31 (conducting transactions to avoid reporting requirements) of the Financial Transaction Reports Act 1988 (Cth) where transactions in breach of that section by the person committing that offence total at least $50,000 in value during any six-month period;
E an offence against section 53 (reports about movements of physical currency into or out of Australia) of the Anti-Money Laundering and Counter-Terrorism Financing Act 2006 (Cth) involving a transaction of at least $50,000 in value;
F an offence against section 59 (reports about movements of bearer negotiable instruments into or out of Australia) of the Anti-Money Laundering and Counter-Terrorism Financing Act 2006 (Cth) involving a transaction of at least $50,000 in value;
G an offence against section 136 (false or misleading information) of the Anti-Money Laundering and Counter-Terrorism Financing Act 2006 (Cth) involving a transaction of at least $50,000 in value;
H an offence against section 137 (false or misleading documents) of the Anti-Money Laundering and Counter-Terrorism Financing Act 2006 involving a transaction of at least $50,000 in value;
I an offence against section 139 (providing a designated service using a false customer name or customer anonymity) of the Anti-Money Laundering and Counter-Terrorism Financing Act 2006 (Cth) where;
(1) the customer concerned had an account in relation to the provision of the designated service concerned; and
(2) transactions on the account total at least $50,000 in value during any six-month period beginning after the commencement of Part 12 of that Act;
J an offence against section 141 (non-disclosure of other name by which customer is commonly known) of the Anti-Money Laundering and Counter-Terrorism Financing Act 2006 (Cth) where:
(1) the customer concerned had an account in relation to the provision of the designated service concerned; and
(2) transactions on the account total at least $50,000 in value during any six-month period beginning after the commencement of Part 12 of that Act;
K an offence against section 142 (conducting transactions so as to avoid reporting requirements relating to threshold transactions) of the Anti-Money Laundering and Counter-Terrorism Financing Act 2006 (Cth) where the transactions in breach of that section by the person committing the offence total at least $50,000 in value during any six-month period;
L an offence against section 143 (conducting transfers so as to avoid reporting requirements relating to cross-border movements of physical currency) of the Anti-Money Laundering and Counter-Terrorism Financing Act 2006 (Cth) where the transactions in breach of that section by the person committing the offence total at least $50,000 in value during any six-month period;
(x) such other incidental offences the head of this ACC special investigation suspects may be directly or indirectly connected with, or may be a part of, a course of activity involving the commission of any of the offences referred to in paragraphs (a) to (k); and
(m) other unlawful activities that are related to or connected with these activities and that involve relevant offences against a law of a State that have a federal aspect.
(Notes and footnotes omitted)