[2018] UKFTT 606 (HESC)
Bailii
England and Wales
Updated: 17 June 2021; Ref: scu.637287
[2018] UKFTT 606 (HESC)
Bailii
England and Wales
Updated: 17 June 2021; Ref: scu.637287
[2009] EWHC 1286 (Admin)
Bailii
England and Wales
Updated: 16 June 2021; Ref: scu.346917
[2015] EWHC 1996 (Admin)
Bailii
England and Wales
Updated: 11 June 2021; Ref: scu.550335
[2010] EWHC 2549 (Admin)
Bailii
England and Wales
Updated: 11 June 2021; Ref: scu.425334
Mr Justice Collins
[2005] EWHC 1954 (Admin)
Bailii
England and Wales
Updated: 09 June 2021; Ref: scu.230113
Lady Justice Nicola Davies
[2021] EWCA Civ 623
Bailii
Medical Act 1983 40
England and Wales
Updated: 04 June 2021; Ref: scu.662312
The claimant challenged a refusal by the Authority to provide medical care of the sort requested.
Held: Lord Bingham said: ‘I have no doubt that in a perfect world any treatment which a patient, or a patient’s family, sought would be provided if doctors were willing to give it, no matter how much it costs, particularly when a life was potentially at stake. It would however, in my view, be shutting one’s eyes to the real world if the court were to proceed on the basis that we do live in such a world. It is common knowledge that health authorities of all kinds are constantly pressed to make ends meet. They cannot pay their nurses as much as they would like; they cannot provide all the treatments they would like; they cannot purchase all the extremely expensive medical equipment they would like; they cannot carry out all the research they would like; they cannot build all the hospitals and specialist units they would like. Difficult and agonising judgments have to be made as to how a limited budget is best allocated to the maximum advantage of the maximum number of patients. That is not a judgment which the court can make. In my judgment, it is not something that a health authority such as this authority can be fairly criticised for not advancing before the court.’
Sir Thomas Bingham MR, Stephen Brown P, Simon Brown LJ
[1995] EWCA Civ 49, [1995] Fam Law 480, [1995] 6 Med LR 250, [1995] 1 FLR 1056, [1995] 2 FCR 485, [1995] 2 All ER 129, [1995] COD 407, [1995] 1 WLR 898
Bailii
England and Wales
Cited by:
Cited – AC v Berkshire West Primary Care Trust, Equality and Human Rights Commissions intervening Admn 25-May-2010
ac_berkshireAdmn10
The claimant, a male to female transsexual, challenged a decision by the respondent to refuse breast augmentation treatment. The Trust had a policy ‘GRS is a Low Priority treatment due to the limited evidence of clinical effectiveness and is not . .
Cited – Aintree University Hospitals NHS Foundation Trust v James SC 30-Oct-2013
The hospital where a gravely ill man had been treated had asked for a declaration that it would be in his best interests to withhold certain life-sustaining treatments from him. When can it be in the best interests of a living patient to withhold . .
These lists may be incomplete.
Updated: 02 June 2021; Ref: scu.416729
[2009] EWHC 1045 (Admin)
Bailii
England and Wales
Updated: 02 June 2021; Ref: scu.346708
Appeal from a direction by the Secretary of State under section 142 Education Act 2002 that his name be included on the list of people prohibited from working with children because of his unsuitability.
[2006] EWCST 796(PT)
Bailii
England and Wales
Updated: 26 March 2021; Ref: scu.266843
The Claimants challenged the lawfulness of a scheme established under the 2006 Act prohibiting those placed on lists established under the scheme from working with children and/or vulnerable adults.
Wyn Williams J
[2010] EWHC 2761 (Admin)
Bailii
Safeguarding Vulnerable Groups Act 2006
England and Wales
Updated: 26 March 2021; Ref: scu.425899
[2006] EWHC 1576 (Admin)
Bailii
England and Wales
Updated: 26 March 2021; Ref: scu.242946
A claim was brought under the section which provides that it is unlawful ‘for an Authority or Body which can confer an authorisation for, or facilitates, engagement in a particular profession or trade to discriminate.’ It was claimed that there had been a breach of the section in respect of the failure to appoint a doctor to a vacancy or inclusion on a medical list of a locality.
References: [1991] 1 WLR 1053
Statutes: Race Relations Act 1976 12(1)
Jurisdiction: England and Wales
This case is cited by:
These lists may be incomplete.
Last Update: 27 November 2020; Ref: scu.194287
The various applicants sought judicial review of the operation of the Protection of Vulnerable Adults List insofar as they had been placed provisionally on the list, preventing them from finding work. One complaint was that the list had operated retrospectively.
Held: An entry could be made on the list for an offence which predated the Act. The temporary nature of the provisional listing did not mean that the applicants’ human rights were not engaged. They were, and the procedures adopted did infringe those rights because of the absence of any independent tribunal to which the people affected could complain. The availability of judicial review was insufficient to cure the defect.
References: [2006] EWHC 2886 (Admin), Times 27-Nov-2006, [2007] 1 All ER 825
Links: Bailii
Judges: Stanley Burnton J
Statutes: Care Standards Act 2000 82, European Convention on Human Rights 6
Jurisdiction: England and Wales
This case cites:
This case is cited by:
These lists may be incomplete.
Last Update: 25 October 2020; Ref: scu.246075
The claimants as PR’s of a deceased prisoner claimed under the 1998 Act as to his treatment whilst in prison.
Held: The Claimants failed to establish violations of Articles 2 or 3 and their claim against both Defendants was dismissed.
References: [2016] EWHC 23 (QB), [2016] WLR(D) 28, [2016] 4 WLR 32, [2016] Med LR 75
Links: Bailii
Judges: Lang DBE J
Statutes: European Convention on Human Rights 2 3
This case is cited by:
These lists may be incomplete.
Last Update: 16 October 2020; Ref: scu.559010
References: [2012] NIQB 75
Links: Bailii
Ratio: Application by chair of Inquiry for production of Hospital’s medical notes without the direct consent of the patients.
Held: The order was made.
Jurisdiction: Northern Ireland
Last Update: 01-Dec-16
Ref: 466477
References: [2009] UKFTT 9 (HESC)
Links: Bailii
Ratio:
Last Update: 03-Sep-16
Ref: 311994
References: Unreported, 1 April 2004
Coram: Judge LJ, Elias, Stanley Burnton JJ
Ratio:The license holder of a fertility clinic was accused of keeping an embryo otherwise than in pursuance of the licence. The clinic had employed a respected consultant who had carried out the task, but had done so unlawfully.
Held: The Act made a clear distinction between the person responsible for keeping the embryos and the license holder. The licence holder might be subject to disciplinary procedures within the licence system, but he had not been the person responsible within the Act in this case.
Statutes: Human Fertilisation and Embryology Act 1990
Last Update: 07-Jul-16
Ref: 196067
References: [2015] EWFC 13
Links: Bailii
Coram: Theis J
Ratio The required Form PP was not on the clinic’s file. Theis J set out four issues which accordingly arose: (1) Did X sign the Form PP so that it complied with section 37(1) of the 2008 Act? (2) If X did, was the Form PP subsequently mislaid by the clinic? (3) Was the treatment ‘provided under a licence’ as required by section 37(1)? (4) If the Form PP form was not signed can the court ‘read down’ section 37(1) to enable the court to make the declaration of parentage sought? She summarised her conclusions as follows: ‘I have concluded, on the facts of this case, that it is more likely than not that X did sign the PP form on 26 October 2012, and it has subsequently been mislaid by the clinic. I have also concluded, in the circumstances of this case, the failure by the clinic to maintain records did not amount to a breach of the licence so as to invalidate it, so that the treatment was ‘provided under a licence’ as required by s. 37(1).’
Ratio Theis J summarised the statutory record requirements: ‘Section 12(1)(d) HFEA 1990 provides that one of the conditions of every licence granted is that ‘proper records shall be maintained in such form as the Authority may specify in directions’. Direction 0012 requires licensed centres to maintain for a period of 30 years certain specific records, including ‘all consent forms and any specific instructions relating to the use and/or disposal of gametes and embryos’ (paragraph 1(f)). Licence condition T47 provides ‘All records must be clear and readable, protected from unauthorised amendment and retained and readily retrieved in this condition throughout their specified retention period in compliance with the data protection legislation’. At paragraph 31.2 of the guidance it provides ‘A record is defined as ‘information created or received, and maintained as evidence by a centre or person, in meeting legal obligations or in transacting business. Records can be in any form or medium providing they are readily accessible, legible and indelible’.’
It is clear from the findings I have made about the clinic not keeping the PP form for X that the CRM is in breach of Direction 0012.’
Statutes: Human Fertilisation and Embryology Act 2008
This case is cited by:
(This list may be incomplete)
Last Update: 17-May-16
Ref: 542927
References: [2015] EWFC 12
Links: Bailii
Last Update: 17-May-16
Ref: 542924
References: [2008] UKFTT 4 (HESC)
Links: Bailii
Last Update: 26-Apr-16
Ref: 311985
References: [2008] UKFTT 3 (HESC)
Links: Bailii
Ratio Objection to inclusion on the Protection of Vulnerable Adult’s List
Last Update: 25-Apr-16
Ref: 311986
References: (1996) 186 CLR 71, [1996] HCA 57
Links: Austlii
Coram: Brennan CJ, Dawson, Toohey, Gaudron, McHugh, Gummow JJ
High Court of Australia – Medicine – Doctor/patient relationship – Medical records – Patient’s right to access – Contractual right – Doctor’s duty to act in patient’s ‘best interests’ with utmost good faith and loyalty – Patient’s proprietary right or interest in information contained in records – Whether doctor under fiduciary duty to grant access – ‘Right to know’.
Brendan CJ said that fiduciary duties could arise either from agency or from a relationship of ascendancy or influence by one party over another, or dependence or trust on the part of that other. An obvious example of the ‘agency’ type of situation was the case where a person received money or other property for and on behalf of or as trustee of another person: ‘It is plain that fiduciary duties may well arise as aspects of a commercial relationship. Moreover, it is clear that legal and equitable rights and remedies are capable of co-existence, even in a single transaction.’
This case is cited by:
(This list may be incomplete)
Last Update: 06-Nov-15 Ref: 554212
Links: Canlii
Coram: The Honourable Madam Justice Lynn Smith
Supreme Court of British Columbia – [1] The plaintiffs have challenged the Criminal Code of Canada provisions prohibiting physician-assisted dying, relying on the Canadian Charter of Rights and Freedoms. In the Reasons for Judgment that follow, I describe the evidence and legal arguments that have led me to conclude that the plaintiffs succeed in their challenge. They succeed because the provisions unjustifiably infringe the equality rights of Gloria Taylor and the rights to life, liberty and security of the person of Gloria Taylor, Lee Carter and Hollis Johnson.
[2] Under s. 52 of the Constitution Act, the provisions are declared invalid, but the operation of that declaration is suspended for one year. During the period of suspension, a constitutional exemption will permit Ms. Taylor the option of physician-assisted death under a number of conditions.
[3] I will summarize, in brief, my findings of fact and legal reasoning.
[4] Palliative care, though far from universally available in Canada, continues to improve in its ability to relieve suffering. However, even the very best palliative care cannot alleviate all suffering, except possibly through sedation to the point of persistent unconsciousness (palliative sedation).
[5] Currently accepted and legal end-of-life practices in Canada allow physicians to follow patients’ or substitute decision-makers’ instructions to withhold or withdraw life-sustaining treatment from patients. Accepted practices also allow physicians to administer medications even in dosages that may hasten death, and to administer palliative sedation. Ethicists and medical practitioners widely concur that current legal end-of-life practices are ethically acceptable. Some of these currently accepted practices bear similarities to physician-assisted death, but opinions differ as to whether they are ethically on a different footing.
[6] Medical practitioners disagree about the ethics of physician-assisted death. There are respected practitioners who would support legal change. They state that providing physician-assisted death in defined cases, with safeguards, would be consistent with their ethical views. However, other practitioners and many professional bodies, including the Canadian Medical Association, do not support physician-assisted death.
[7] Despite a strong societal consensus about the extremely high value of human life, public opinion is divided regarding physician-assisted death. The substantial majority of committees that have studied the question, in Canada and elsewhere, oppose physician-assisted death but a minority support it.
[8] The most commonly expressed reason for maintaining a distinction between currently accepted end-of-life practices and physician-assisted death is that any system of safeguards will not adequately protect vulnerable people.
[9] Most Western countries do not permit physician-assisted dying or assisted dying, but a few do (Netherlands, Belgium, Luxembourg and Switzerland). Three of the United States permit physician-assisted dying, in the case of Oregon and Washington through legislation. The jurisdictions that permit physician-assisted dying have created safeguards to ensure that only defined categories of patients are involved, and that protocols including second opinions and reporting requirements are followed. Research findings show differing levels of compliance with the safeguards and protocols in permissive jurisdictions. No evidence of inordinate impact on vulnerable populations appears in the research. Finally, the research does not clearly show either a negative or a positive impact in permissive jurisdictions on the availability of palliative care or on the physician-patient relationship.
[10] The defendants identify a number of areas of risk for patients if physician-assisted death is permitted, for example relating to the patients’ ability to make well-informed decisions and their freedom from coercion or undue influence, and to physicians’ ability to assess patients’ capacity and voluntariness. The evidence shows that risks exist, but that they can be very largely avoided through carefully-designed, well-monitored safeguards.
[11] I turn to the legal issues.
[12] The Supreme Court of Canada Rodriguez decision from 1993 is a binding authority with respect to certain aspects of the plaintiffs’ claims.
[13] Rodriguez decides that s. 241(b) of the Criminal Code (the assisted suicide prohibition) engages Ms. Taylor’s rights to security of the person and liberty under s. 7 of the Charter, and that the legislation is not arbitrary. It leaves open whether the legislation infringes Ms. Taylor’s right to life. Further, it does not decide whether any of the plaintiffs has been deprived of s. 7 rights through legislation that is not in accordance with two principles of fundamental justice that had not yet been identified as such when Rodriguez was decided. Those are the principles that laws must not be overbroad, and that laws must not be grossly disproportionate.
[14] Rodriguez does not determine whether s. 241(b) of the Criminal Code infringes Ms. Taylor’s equality rights under s. 15 of the Charter. The majority in Rodriguez concluded that, if there was an infringement of s. 15 (a question it did not decide), the infringement constituted a reasonable limit and was demonstrably justified under s. 1 of the Charter. Because the analytical approach to s. 1 of the Charter has been modified since Rodriguez, I have addressed the question of s. 1 justification on the evidentiary record in this case.
[15] The claim that the legislation infringes Ms. Taylor’s equality rights begins with the fact that the law does not prohibit suicide. However, persons who are physically disabled such that they cannot commit suicide without help are denied that option, because s. 241(b) prohibits assisted suicide. The provisions regarding assisted suicide have a more burdensome effect on persons with physical disabilities than on able-bodied persons, and thereby create, in effect, a distinction based on physical disability. The impact of the distinction is felt particularly acutely by persons such as Ms. Taylor, who are grievously and irremediably ill, physically disabled or soon to become so, mentally competent, and who wish to have some control over their circumstances at the end of their lives. The distinction is discriminatory, under the test explained by the Supreme Court of Canada in Withler, because it perpetuates disadvantage.
[16] The legislation’s infringement of s. 15 equality rights is not demonstrably justified under s. 1 of the Charter. The purpose of the absolute prohibition against physician-assisted suicide, as determined by Rodriguez, is to prevent vulnerable persons from being induced to commit suicide at times of weakness. That purpose is pressing and substantial and the absolute prohibition against assisted suicide is rationally connected to it. However, a less drastic means of achieving the legislative purpose would be to keep an almost-absolute prohibition in place with a stringently limited, carefully monitored system of exceptions allowing persons in Ms. Taylor’s situation – grievously and irremediably ill adult persons who are competent, fully-informed, non-ambivalent and free from coercion or duress – to access physician-assisted death. Thus, the legislation does not impair Ms. Taylor’s equality rights as little as possible. Further, the legislation has very severe adverse effects on Ms. Taylor and others in her situation, that are not outweighed by its benefits. For those reasons, and despite affording due deference to Parliament, I conclude that the legislation’s absolute prohibition falls outside the bounds of constitutionality.
[17] The claimed infringement of s. 7 rights differs as among the plaintiffs. With respect to Ms. Taylor, the legislation affects her rights to liberty and security of the person, as was found in Rodriguez. In addition, the legislation affects her right to life because it may shorten her life. Ms. Taylor’s reduced lifespan would occur if she concludes that she needs to take her own life while she is still physically able to do so, at an earlier date than she would find necessary if she could be assisted. With respect to Ms. Carter and Mr. Johnson, the legislation affects their rights to liberty because they are at risk of incarceration, at least in theory, for having helped a loved one who obtained assisted death in Switzerland.
[18] The legislation deprives the plaintiffs of their s. 7 rights inconsistently with the principles of fundamental justice. First, the legislation is overbroad. Second, the legislative response – an absolute prohibition – is grossly disproportionate to the objectives it is meant to accomplish. As with the s. 15 infringement, the s. 7 infringement would not be justified under s. 1.
[19] The declaration of invalidity is suspended for one year in order to permit Parliament to take whatever steps it sees fit to draft and consider legislation. For one of the successful plaintiffs, Gloria Taylor, to have an effective remedy, she must be granted a constitutional exemption during the period of suspension. She will be permitted to seek, and her physician will be permitted to proceed with, physician-assisted death under specified conditions.
References: Unreported, 27 April 2007
Mercantile Court, Birmingham – The surgeon appellant had been dismissed by the NHS Trust which employed him. The reason for his dismissal was described as ‘a breakdown in relations between yourself and your Consultant colleagues that is both mutual and most likely irrevocable’. The case proceeded on the assumption that the surgeon’s dismissal for that reason related to his conduct. There were factors not referred to in the court’s judgment which showed that the surgeon was in fact dismissed for his conduct which had caused those relationships to break down. The surgeon appealed against his dismissal.
Held: The appeal procedure depended on whether the dismissal had been for personal misconduct or professional misconduct. The dismissal had been for professional misconduct.
This case is cited by:
References: [2012] EWHC 2741 (COP), [2013] COPLR 139
Coram: Eleanor King J
The patient suffered extreme anorexia. A declaration was sought as to the possibility of discontinuing compulsory medical treatment. The medical opinion was that the course of action proposed had a ‘close to’ 100% likelihood of causing Ms L’s death; survival would in the view of the experts lead to serious adverse physical and psychological consequences for Ms L. No patient with such a low BMI was reported to have survived such an enforced re-feeding regime whilst in intensive care.
This case is cited by: