These claims cannot be settled by the courts…All that courts can do is enforce certain rights along the way…but the courts cannot settle the claims.Footnote 1
[Des légalistes] trouvaient toujours quinze raisons pourquoi je ne pouvais pas faire telle chose. Les avocats n’étaient pas innovateurs.Footnote 2
1. IntroductionFootnote 3
Signed in 1975, the James Bay and Northern Québec Agreement (hereafter JBNQA, or the Agreement) is the first Indigenous treaty settlement of Canada’s modern land claims era. Aboriginal and treaty rights were subsequently constitutionalized in 1982, with modern land claim agreements explicitly protected in 1983. Three decades later, the Supreme Court of Canada (SCC) called the JBNQA “an epic achievement in the ongoing effort to reconcile the rights and interests of Aboriginal peoples and those of non-Aboriginal peoples in Northern Québec.”Footnote 4 Indeed, the Agreement enjoys supra-legislative status in the Canadian hierarchy of legal norms.Footnote 5 Today, the constitutionality of the JBNQA is at the very least presumed; mostly, it is unquestioned. This was not always so. This paper goes back to the JBNQA’s beginnings, establishing that, in 1975, its drafters faced a very different legal assessment of its future constitutionality. Confidential legal advice held that the Agreement as then drafted certainly transgressed exclusive federal legislative authority over “Indians and lands reserved for the Indians.”Footnote 6 Despite this legal advice, the Québec government (and its negotiating partners) chose to enact the Agreement. Why did they proceed with the Agreement? How did provincial negotiators understand and weigh their policy options, given the political and judicial risks they faced?
Drawing on Premier Robert Bourassa’s archived dossier of the JBNQA negotiations, we show that internal and external legal counsel repeatedly advised that the constitutionality of the JBNQA as then negotiated could only be satisfactorily addressed through a formal amendment to the British North America Act, 1867 (BNA Act). In response, provincial negotiators did not push their federal counterparts to set the formal constitutional amendment process into motion. Rather, they adopted a two-pronged approach. First, they included a clause intended to dissuade likely litigants from pursuing this jurisdictional question in the courts. Second, in whatever time this clause bought the Agreement signatories, provincial negotiators sought to build public and media support for the Agreement. The province’s negotiators argued for technical modifications to the project precisely because such changes would, they posited, sway public and press opinion in favour of the Agreement, with the courts following suit.Footnote 7 The province’s negotiators believed that future courts, as rational strategic actors, would not invalidate a treaty with long-term support from both the larger public and its Indigenous signatories. In other words, Robert Bourassa’s negotiators understood the JBNQA’s future to rest on its political, rather than legal, foundations.
This concrete case of political bargaining should be of interest to scholars of judicial politics in political science, history, law, and elsewhere. The fact that the provincial negotiators of the JBNQA undertook what they were advised was a clear transgression of the constitutional division of powers lends empirical support to predictions generated in the recent game theoretic literature on federalism enforcement. Specifically, the JBNQA falls in line with predictions from a safeguard theory of federalism. Jenna Bednar’s theoretical framework sets out why transgression is more rational than full compliance.Footnote 8 However, the saga of the negotiation of the JBNQA pushes further than Bednar’s influential model. The JBNQA is an important case where provincial and federal governments were able to coordinate on a cooperative transgression strategy under a crucial and counterintuitive presumption: a perceived certainty in the short term that the courts would strike down the transgression if given the chance. This confirms a strategic logic explored in other formal theory work on the limited effectiveness of a judicial safeguard in preventing such transgressions.Footnote 9 This empirical case also pushes beyond what the formal theoretical work in federalism enforcement has focused on so far. In 1975, provincial negotiators were operating under a shared belief that courts would invalidate legislation in the short term, but given a successful long-term political strategy, the threat of judicial invalidation was believed to decrease significantly.
We proceed as follows. Part 2 canvasses the theoretical literature in political science, setting out the conditions under which we would expect governments to transgress the division of powers. A key point from the literature is that transgressions can be rational despite a very high probability of a judicial veto. Parts 3 and 4 move into the empirical case, setting out the historical context of the Agreement. The historical sections illustrate Québec’s changing preferences regarding the division of powers. Québec preferred to support the federal jurisdiction over “Indians and lands reserved for the Indians” until the 1970s, but shifted its preference to challenging that division of powers after 1970. To support these claims, we establish the conditions under which territories were transferred to Québec, and the interest the province had in those territories prior to the negotiation of the JBNQA.
We show how the Quiet Revolution led the Lesage government to seek administrative delegation from the federal government over Inuit affairs, and then how the Dorion Commission deemed administrative delegation an insufficient response to what the Commission considered the province’s proper role in Nouveau Québec.Footnote 10 This establishes the immediate political context for why the Bourassa government saw the JBNQA as not only a bargain with the Cree and Inuit, but also as a means to decrease the federal government’s legislative jurisdiction in the James Bay territory. This historical context addresses the potential counter-argument that the Agreement’s aim was merely to formalize the general application of provincial laws in Nouveau Québec.
Part 5 sets out the confidential strategic discussions of the Bourassa negotiating team on the Agreement, based on access to Robert Bourassa’s archived dossier. This section reveals the strategic calculus at the heart of the Agreement, confirming much of what the theoretical literature sets out as the conditions under which transgression can occur. The negotiators ultimately decided against formally amending the division of powers, instead transgressing it on the assumption that a political equilibrium on the Agreement would hold given enough time. In Part 6, we examine the state of that equilibrium through a case in which litigants chose to pursue the s. 91(24) question in court—an early moment when the equilibrium had not totally taken hold. We look at a case in the early 1980s when Inuit groups opposed to the JBNQA put the question of federalism to the courts, only to subsequently withdraw the question. Other Indigenous parties have since litigated the Agreement, but not specifically on s. 91(24) grounds. We investigate such litigation by briefly considering the SCC’s federalism review of the JBNQA in the 2010 Moses decision. We conclude that, as the SCC has not actually ruled on the JBNQA’s validity on s. 91(24) grounds, it remains open whether Robert Bourassa’s government has won the long game. The final Part concludes, returning to the federalism and judicial politics literatures.
It bears clarifying that we make no claims here regarding the actual constitutionality of the JBNQA. It is beyond the scope of this paper to provide an answer to the question of whether the Agreement was then or is now an unconstitutional transgression of the division of powers. In other words, this paper does not seek to answer whether the province’s 1975 legal advice was then or still is sound advice.Footnote 11 Of importance here is that provincial negotiators in 1975 received advice from credible legal experts saying that the JBNQA was a clear transgression of the division of powers. The negotiators then acted as if they accepted that advice as sound, but then chose neither to seek formal constitutional amendment, nor a reference to the SCC on the constitutional question. Instead, they worked to insulate the Agreement from future litigation on the s. 91(24) question, and to make it strategically attractive for future judges to change, rather than enforce existing interpretations of, the division of powers.
2. Transgressions as Rational: Expectations from the Political Science Literature
Our interest here is a government’s choice to act, despite its belief that a court is highly likely to invalidate that act. This section of the paper inserts our interest within the political science literature on federalism. We rely most heavily here on the theoretical work of Jenna Bednar. Bednar highlights that federalism’s distribution of authority across central and sub-national governments needs to be defended in order to achieve the federation’s goals.Footnote 12 However, a federation successful over the long term also allows the distribution of power to evolve. In other words, a federation needs to respond strongly to overt government challenges to the distribution of authority, while not over-reacting to minor transgressions of that distribution.
This work pushes us to think less categorically and more ambivalently about transgressions. Bednar’s work concludes that transgressions are both a rational and expected strategy of all governments within a federation, central and sub-national alike. Given policy complexity, governments face inherent difficulties in deciding whether: 1) another government has actually transgressed the distribution of powers; and 2) whether a possible transgression is significant enough, in other words crossing some threshold, to merit costly intergovernmental enforcement.Footnote 13 Bednar’s model concludes that, given these difficulties, it is irrational for any government in a federation to fully comply with the division of powers. When the probability of a policy action being perceived as crossing an enforcement threshold is low, then it is better to deviate a little than to fully comply. Moreover, when the probability is high that a policy action will be perceived as significantly passing an enforcement threshold, then there can be a short-term value to transgressing: “the government may as well take as much as it can get in the short run, knowing that punishment is coming.”Footnote 14 When Bednar extends the model to add judicial enforcement to intergovernmental enforcement, her conclusion changes only somewhat. Adding a judicial enforcer of the division of powers will decrease the extent of transgressions, but will not eliminate them entirely. In other words, the existence of strong and independent judicial review will help manage, but not fully deter, transgressive government behaviour. Bednar tells us that we should not be surprised that governments may choose to transgress when judicial invalidation is highly likely.Footnote 15
The recent game theoretic work by Gemma Sala builds on this literature, asking under what conditions the threat of judicial review will make governments comply with the division of powers in equilibrium.Footnote 16 Sala’s model is different than Bednar’s. Sala builds a model of policy interaction between two governments, where a government wishing to enact a policy is uncertain about whether a court will veto the legislation if the other government chooses to litigate. In this game, two governments can choose to negotiate over a proposed policy, allowing for the possibility that one government will enact a transgressive policy that the other will not challenge in court. Sala’s model predicts that governments can do so in equilibrium when a) the probability of a judicial veto is high; and b) the governments’ policy preferences are sufficiently aligned so that there is a mutual interest in finding a compromise that keeps the non-enacting government out of court, despite the high probability of it winning.Footnote 17 A key assumption in Sala’s model is the absence of external litigants. Under this condition, governments cooperating in equilibrium can shield transgressive policies from judicial review.
These game theoretic frameworks of federalism encourage empirically-minded scholars to take transgressions seriously as a rational governmental response under certain conditions. Both Bednar and Sala help us understand why transgression can be an equilibrium strategy even when the threat of judicial invalidation is high. Sala points to the possibility that governments can coordinate transgression given sufficient overlap in policy incentives, and when there is no outside litigant. In the following sections, we build on the foundations of these theories. We describe the political context from which the JBNQA arose, explaining why Québec negotiators decided the province’s long-term interests would be better served not just in pushing the boundaries of the division of powers, but in challenging it altogether.
3. The BNA Act and Nouveau Québec before the Dorion Report (1970)
The Indigenous peoples of the territories relevant to the JBNQA have their own vocabularies for these lands. In the settler imaginary of the 1970s, these lands are known as Nouveau Québec. They are ‘new’ because under the constitutional structure of the Dominion of Canada, Parliament transferred these lands from the Northwest Territories to the province of Québec over two periods. The first was in 1898, extending the province’s territorial boundary northward to the 52nd parallel. The second was in 1912, with Parliament then extending the provincial boundary to the Hudson Strait.Footnote 18 Section 2 of the 1912 Act delegated the responsibility of negotiating any surrender of Indigenous interests in the territory—and the costs thereof—to Québec:
2(c) That the Province of Québec will recognize the rights of the Indian inhabitants in the territory above described to the same extent and will obtain surrenders of such rights in the same manner as the Government of Canada has heretofore recognized such rights and has obtained surrender thereof and the said Province shall bear and satisfy all charges and expenditures in connection with or arising out of such surrenders.
(d) That no such surrender shall be made or obtained except with the approval of the Governor in Council.
(e) That the trusteeship of the Indians in the said territory and the management of any lands now or hereafter reserved for their use shall remain in the Government of Canada, subject to the control of Parliament.
Surrenders negotiated pursuant to the Act required the approval of the federal Governor in Council. Clause 2(e) appears to restate the division of powers. Upon the conclusion of any land surrender treaty, s. 91(24) would continue to apply to any “lands reserved for the Indians” within the territory.Footnote 19 The geographic scope of s. 91(24)’s reach in Nouveau Québec rests on how one defines “lands reserved for the Indians.” The Privy Council addressed the question in the 1888 St. Catherine’s Milling Footnote 20 case, concluding that the phrase, “according to [its] natural meaning,” was “sufficient to include all lands reserved, upon any terms or conditions, for Indian occupation.” In its view, “all such lands, and Indian affairs generally, shall be under the legislative control of one central authority.”Footnote 21 This expansive wording means that any such lands, defined either through treaty or statute or any other instrument, fall within the legislative ambit of Parliament. Provincial laws whose explicit purpose, or “pith and substance,” is to regulate Indians or lands reserved for them would be ultra vires.
Québec declined to enter into land surrender negotiations in Nouveau Québec in the period after 1912. The 1912 boundary extension was not sufficient to entice the province to spread its administrative presence north for many years. After the collapse of fur prices and the trading economy in the 1930s, Québec was reluctant to assume the fiscal burdens of administering relief to the Inuit population in northern Québec. This reluctance led Québec to argue that the Inuit population in the province fell under federal jurisdiction, being “Indians” under the BNA Act.Footnote 22 In 1939, the SCC accepted the province’s argument, reasoning that Parliament’s intention in 1867 was for “Indians” under s. 91(24) to mean “aborigines.”Footnote 23
Following the decision, the federal government began to establish a stronger administrative presence in Nouveau Québec by installing RCMP detachments at Inukjuak (Port Harrison) and Kuujjuaq (Fort Chimo). Over the course of the 1950s, the federal government started administering health and education policies for the Inuit and Cree. According to federal records, “…[u]ntil 1960 only the federal government had officials in this area; in that year the Québec Provincial Police established detachments in two settlements, and the R.C.M. Police were withdrawn.”Footnote 24
Québec’s interest in expanding its administrative reach north was marginal until the nationalist crucible of the 1960s. The provincial government could always have done so without any discussion with the federal government, as the provinces have constitutional authority over health and education. It was largely held that provincial laws of general application could have been used to assert Québec’s administrative and jurisdictional presence over all of the peoples in Ungava, Indigenous or not. This view was confirmed in federal archival records: “although Parliament alone has the exclusive authority to make laws in relation to Eskimos, a province may, by properly framed laws relating to a matter coming within section 92 or 93 of the British North America Act, include Eskimos with other persons in the province for whom such services are provided. In fact, generally they cannot be excluded.”Footnote 25
The beginning of the Quiet Revolution awakened the province’s interest in asserting itself in Nouveau Québec. Bringing together policy change and cultural transformation, the Quiet Revolution bound state expansion and modernization to national identity.Footnote 26 However, making such assertions real on the ground is financially costly. The “general application” approach, which we could characterize as a full compliance approach to the division of powers, gave rise to an important financial burden. Acting within the province’s health and education jurisdiction would saddle Québec with the full financial costs of its northern expansion. A more financially attractive option was not to act directly within its own established jurisdictions, but to persuade the federal government to delegate its administrative (not jurisdictional) authority over Inuit to Québec. Under this strategic approach, financial responsibility would remain with the federal government per the political norm that legislative jurisdiction under s. 91(24) “…carries with it the responsibility of providing money to be devoted to the carrying out of policies in relation to the Indians.”Footnote 27 From an analytical perspective, this alternative has the province deviating from a dualist federalism towards a point where the province muddies policy accountability by acting within federal jurisdiction as the federal government’s administrative agent.Footnote 28 While this is not a violation of the division of powers, this is arguably a deviation from a dualist full compliance approach.
This cost-effective alternative did not go unnoticed by the federal government. In 1961, René Lévesque—provincial minister of natural resources and minister responsible for provincial administration in Ungava—opened an informal discussion with the federal government on the issue of the province “tak[ing] over the work carried out by the Department of Indian Affairs and Northern Development among the Eskimos in northern Québec.”Footnote 29 After starting this dialogue, Lévesque established a pilot training program for provincial administrators in Ungava in 1962. But federal officials identified a crucial limit on the effect of the training program: “…this move, however, loses much of its impact if it is restricted to the non-native people who form a very small part of the population.” Turning to motive, the memorandum observed: “This probably goes far in explaining Mr. Lévesque’s eagerness to assume responsibility for the administration of Eskimo affairs.”Footnote 30 In December of 1962, a formal letter broaching the topic was reportedly sent from Premier Lesage to Prime Minister Diefenbaker. The issue came to a head in early 1964, when René Lévesque demanded that “…the federal government hand over the administration of the Eskimos in this area to the government of Québec by April 1st, 1964.”Footnote 31
The matter came on the federal cabinet agenda in February 1964. The then minister for northern affairs and national resources, Arthur Laing, wrote a memo to cabinet on the issue. Québec sought administrative delegation of services to Inuit, but “also wanted the federal government to continue to pay.”Footnote 32 The federal cabinet considered it politically risky, although constitutionally justifiable, to reject Lévesque’s request. In other words, federal enforcement of its administrative autonomy under s. 91(24) had its own political costs. The chief imperative of the federal government was to manage its political relationship with the Lesage government: “If Canada were to reject outright Québec’s request and preserve the status quo, relations with the Québec government…would become severely strained…. Therefore, while this position would be constitutionally defensible, Québec’s offer to administer Eskimo affairs should not be rejected outright.”Footnote 33 The Prime Minister noted that the issue needed to be handled delicately, because “the issue was also a symbolic one in Québec as a result of the strong position taken by Mr. Lévesque.”Footnote 34 The Prime Minister was thus advised that he might need to address the issue directly with Premier Lesage.Footnote 35
Soon after, the governments drafted an agreement providing for Québec’s transition to sole administrator of Inuit affairs by April 1970, with the federal government retaining a supervisory and cost-sharing role.Footnote 36 It looked like Québec’s move away from full compliance would pay off. However, the transition apparently did not go as planned. Indigenous political mobilization intervened in the aftermath of the Trudeau White Paper on Indian policy. The Inuit of Québec objected to an intergovernmental agreement reached without any community consultation. In 1969, the two governments dropped the April 1970 deadline and instead appointed a federal-provincial commission (the Neville-Robitaille Commission) with a mandate to consult with the Inuit of Nouveau Québec on the administrative transition. During consultations, the commissioners were clear with the Inuit that Québec’s administrative role did not lessen the federal government’s jurisdiction. To illustrate, the following is an extract from the meeting with Inuit in Ivujivik, on March 1, 1970. Mr. Robitaille, the provincial government representative, said:
In the 1930s, there were discussions as to who would take care of the Eskimos. It was brought to court and the Supreme Court decreed that Ottawa was going to supervise the Eskimos. This was said by Mr. Neville today here and also in the letter sent to the Eskimos. That is why Mr. Neville said that the federal government was going to continue to supervise services to the Eskimos in Northern Québec. But the federal government, while keeping jurisdiction, wants the province to administer these services.Footnote 37
The Neville-Robitaille commission reported in 1970. The report is noteworthy for the resistance of the Inuit to idea of a sole provincial administrator, as well as their insistence that Inuit control over the lands on which they dwelled be addressed prior to any such administrative transfer.Footnote 38
Our central take-away is that Québec pursued its mid-1960s administrative expansion by deviating somewhat from a full compliance strategy. The fiscal benefit of being the federal government’s administrative agent clearly outweighed the political cost of supporting the federal government’s legal jurisdiction while being its subordinate. This calculation would dramatically change in 1971.
4. Administrative Delegation Is No Longer Enough: The JBNQA in the Shadow of the Dorion Report
In 1966, Québec created the Commission on Québec’s Territorial Integrity, chaired by University of Laval geographer Prof. Henri Dorion. While René Lévesque was pursuing his administrative position with respect to the Inuit in Nouveau Québec, the Dorion Commission went about its work under the radar. Five years after its inception, the Dorion Commission released the fourth volume of its final report, in March 1971. This volume specifically addressed the issue of Indigenous peoples and lands within Québec territorial borders. The Dorion volume marked a pivotal departure from the assumptions underlying Québec’s previous strategy for northern expansion. Acting as the federal government’s administrative agent, coupled with federal supervision and funding, was no longer a politically palatable means of securing the provincial state’s role in Nouveau Québec.
The Dorion Report made two recommendations of direct relevance to this paper. First, the Report called on Québec to enter into negotiations with the federal government. It argued that the province’s territorial integrity was threatened by the federal government’s jurisdictional authority under s. 91(24). According to the Commission, securing Québec’s territorial integrity required a new jurisdictional configuration: “La mise au point d’une politique d’ensemble en vue de promouvoir davantage la communauté amérindienne et harmoniser ses rapports avec la communauté québécoise ambiante exige l’ouverture immédiate de pourparlers entre les deux ordres de gouvernement aux fins de rendre possible la prise en charge par le Québec de la compétence sur les Indiens et les Esquimaux.”Footnote 39
Federal-provincial discussions were necessary for Québec’s takeover of s. 91(24), and the Report endorsed the suggestions of the 1969 federal White Paper as a means to this end: “…que des pourparlers soient entrepris auprès du gouvernement fédéral pour que celui-ci mette à exécution dès que possible les propositions de son Livre Blanc à l’effet que la juridiction sur les Indiens et les Esquimaux du Québec soit remise au gouvernement du Québec.”Footnote 40 Other recommendations included replacing the federal reserve system with “Aboriginal municipalities,” which would have the same rights as standard municipalities but would enjoy more protection.Footnote 41 The Report also suggested convincing the federal government to give up all property rights—as well as territorial rights—related to Indian reserves.Footnote 42 Indian lands were to be documented in a provincial government database and would be subject to Québec’s law.Footnote 43 It is clear that the Dorion Report recommended that the division of powers be changed, and that intergovernmental negotiations were required for this to happen. However, it is not clear whether Dorion understood that its preferred outcome would require a formal amendment of the BNA Act.
According to the Dorion Report, Québec’s territorial integrity remained weak so long as Indigenous peoples within its territorial boundaries had valid claims against the Québec state. The Commission thus identified a second key task for the province. The province was to enter into discussions with northern Indigenous peoples, as foreseen by the 1912 boundaries extension act, to address and potentially reach a settlement with respect to their rights and grievances.Footnote 44 Soon after the release of the Dorion Report, the Premier met with the Association des Indiens du Québec (AIQ) to begin these discussions on a province-wide basis.
This sets the political scene for the introduction of the James Bay hydroelectric project. A month after the preliminary discussions with the AIQ had begun, the Bourassa government publicly announced its intention to build the James Bay hydroelectric complex. The issue of hydroelectric development had by then become deeply entwined with provincial nationalist state-building. The mantra of the age was maîtres chez nous (masters in our own house).Footnote 45 Autonomy was embodied in a hybrid of political, cultural and economic power. In due course, the nationalization of electricity was deemed Québec’s economic “key to the kingdom.”Footnote 46 Importantly, Lesage’s Liberal government had already passed laws establishing new Crown corporations and enlarging Hydro Québec.Footnote 47 Daniel Johnson’s Union Nationale government followed suit, creating Crown corporations aimed at resource development, and giving a green light to Hydro Québec’s Churchill Falls scheme.Footnote 48
Upon winning the 1970 provincial elections, Robert Bourassa’s Liberal government remained committed to economic expansion.Footnote 49 Bourassa’s undertaking of the scheme was in keeping with the policies of his predecessors.Footnote 50 However, the James Bay project represented an unprecedented and irrevocable expansion of the provincial state into Nouveau Québec.
5. Negotiating the Agreement: Legal Context and Calculus
The hydro plan became core to the discussions between Québec and the AIQ, with the AIQ demanding that the project not go ahead before a province-wide treaty was reached.Footnote 51 This request was denied. Québec would not entertain delays to the proposed James Bay project. In July, it passed Bill C-50, the James Bay Region Development Act, creating the Société de développement de la Baie James (SDBJ) as the entity mandated to manage the project.Footnote 52 While the SDBJ organized to develop the project’s early work, discussions with the AIQ plodded on with no progress on the James Bay project.
In early May 1972, the AIQ—now joined by the Inuit—turned to litigation. At the Québec Superior Court, they argued that the James Bay Region Development Act was ultra vires the province’s legislative authority.Footnote 53 Interestingly, the case was deliberately filed as a federalism case, not an Aboriginal rights case. In the words of Cree Chief Billy Diamond, “…Indians rights were being held in reserve for another court action at a later date.”Footnote 54 Six months after initiating proceedings—frustrated by fruitless discussions with the province—the plaintiffs sought an interlocutory injunction to stop work on the project while their federalism claim was before the courts. The injunction was to stop the hydro project on the basis of its negative impact on Cree and Inuit traditional livelihoods. In November 1973, Justice Albert Malouf famously granted it.Footnote 55 Justice Malouf’s injunction was almost immediately overturned by the Québec Court of Appeal, although that reversal had no effect on the underlying federalism claim still before the courts. Nonetheless, the short-lived Malouf injunction seemed to have roused the provincial government. Bourassa subsequently replaced his chief negotiator with a member of his legislative caucus, appointing Hon. John Ciaccia to this critical role.
In November 1974, one year after his appointment, Ciaccia delivered an agreement in principle (AIP) with the Grand Council of the Crees, the Northern Québec Inuit Association, the provincial government, the various provincial entities involved in the project, and the federal government.Footnote 56 The AIP committed the Inuit and Cree to surrender their Aboriginal title to the lands under the 1898 and 1912 boundary extension acts, to allow the James Bay project to proceed, and to drop their federalism litigation against the James Bay Region Development Act. In return, the province agreed to technical modifications of the project, a financial compensation package, a new land and rights regime, and the establishment of Cree and Inuit governance and administrative institutions. Importantly, the AIP purported to secure Québec’s legislative jurisdiction over the lands on which the Inuit and Cree had negotiated treaty rights.Footnote 57 The AIP thus went well beyond the administrative delegation the province had sought in the 1960s.
Between the signing of the AIP and the signing of the Final Agreement, the draft agreement was examined by various lawyers. Robert Bourassa’s files contain four separate legal opinions on the AIP. The first was from the “legal committee”;Footnote 58 the second was the internal legal advice of the SDBJ;Footnote 59 the third was the internal opinion of the provincial Ministry of Justice;Footnote 60 and the fourth was an outside opinion, written by a provincial court judge.Footnote 61 The four opinions share the same bottom line. All advised that the agreement as negotiated was ultra vires provincial jurisdiction. We thus arrive at the constitutional question posed by s. 91(24). What happens when a treaty—an intergovernmental agreement—tries to extend provincial jurisdiction over “Indians, and Lands reserved for the Indians”?
The legal committee opinion set out the basic problem, and outlined what it saw as the possible courses of action going forward. Here, the legal problem was described in this way:
The key principle of the Agreement in Principle is the guarantee to the native parties of certain legal safeguards while preserving the continuance of Provincial jurisdiction in the areas concerned…The dilemma of the Legal Committee revolves around the desire to preserve the continuance of Provincial jurisdiction over all lands affected by the Agreement in Principle (with the exception of those lands referred to as Category 1A lands), as well as to ensure the jurisdiction of the Province in matters affecting the native peoples pursuant to the Agreement in Principle.Footnote 62
The chief obstacle was the definition of “lands reserved for the Indians” as set out in St. Catherine’s Milling: “sufficient to include all lands reserved, upon any terms or conditions, for Indian occupation.” To the extent that the proposed Agreement provided for “Indian occupation” beyond Category IA lands, it would have the effect of expanding the reach of s. 91(24) over those very lands. The lawyers warned that the terms of the treaty would have the (from the province’s point of view) perverse effect of expanding federal jurisdiction, rather than erasing it. The legal committee noted that, while “no precedent has been found in the jurisprudence dealing with the legislative authority of a province in relation to Indian lands which have not yet been set aside as reserves under the Indian Act…the wide St. Catherine’s Milling interpretation of S. 91(24) does not appear to admit any exceptions in favour of this particular case as such.”Footnote 63
The legal committee also identified a second risk, which asked whether provincial laws of general application could apply to “lands reserved” under s. 91(24) at all. This concern arose from a dissent by Chief Justice Bora Laskin in a hunting and treaty rights case from Alberta, Cardinal v Attorney General (Alberta).Footnote 64 The key question in Cardinal was the degree to which provincial game laws, i.e., laws of general application, could apply on reserves defined as such under the federal Indian Act. In his dissent, Justice Laskin relied on St. Catherine’s Milling to argue that such reserves were enclaves “withdrawn from provincial regulatory power.”Footnote 65 The court’s majority rejected this enclave interpretation, and it was subsequently criticized in legal scholarship.Footnote 66 However, the legal committee viewed Cardinal as upholding the wide definition of “lands reserved for Indians” and providing “additional doubt of whether even generally applicable provincial laws can incidentally affect Indians or Indian lands.”Footnote 67 On the basis of these two precedents, the legal committee expressed its hesitations as follows: “This constitutional state of affairs, coupled with the Provincial interpretation of ‘the continuance of Provincial jurisdiction’ as including both legislative and administrative competence in the areas and matters affected by the Agreement in Principle, have caused the Legal Committee great anxiety and serious doubts in its attempts to formulate legal means for securing the constitutionality of ‘the Final Agreement.”’
The legal committee then turned to reviewing the provincial government’s options in light of this anxious situation. The first was to seek “the surest of all legal solutions”: a constitutional amendment of s. 91(24) of the BNA Act by the British Parliament. This, however, was seen as politically unfeasible. Therefore, the legal committee did not even suggest wording for a formal amendment. The second option was to amend the 1912 Québec boundaries extension act, hoping to rid the province of the burdens imposed by s. 2(c) and s. 2(e) of that act. However, they noted that the effect of the repeal was unknown, as it would not change s. 91(24) of the BNA Act. The option of federal referential legislation might have worked in transferring administrative competence to the province but was vulnerable to future revocation by Parliament. Moreover, it was “…insufficient for the desire of the Province to have continued legislative as well as administrative jurisdiction in the areas concerned.” The last option was for the federal government to establish “ethnic” native corporations, but the committee said that this presented “extensive technical difficulties” and was not a “viable solution.” As a result, the committee concluded that there was no way “…to secure the constitutional validity” of the agreement in the absence of a formal constitutional amendment.
The three opinions following the legal committee opinion shared the same basic read of the law in 1975. The legal committee at SDBJ pointed to constitutional amendment, arguing that “…l’amendement à la Constitution par Londres était la seule solution acceptable.”Footnote 68 The Ministry of Justice found that “la position constitutionnelle du Québec est intenable,”Footnote 69 relying again on St. Catherine’s Milling:
Je suis d’opinion que les terres des catégories I, II et III sont toutes des “terres réservées” au sens de l’article 91(24) de la Constitution puisqu’elles sont toutes réservées pour l’occupation indienne et le jugement du Conseil privé dans la cause de St. Catherine’s Milling ne précise pas s’il s’agit d’une occupation exclusive ou non, mais il précise qu’il s’agit d’une occupation suivant n’importe lequel (sic) terme ou condition.Footnote 70
According to the Ministry, most lands under the JBNQA were “lands reserved for Indians,” thus falling under federal jurisdiction. Similarly, the provincial judge’s opinion concluded that Québec’s position was “carrément anticonstitutionnelle.”Footnote 71 Should the agreement go to the courts, it was his conclusion that “le Québec verrait une très grande partie de son territoire tomber sous juridiction fédérale.”Footnote 72 Deeming the JBNQA unconstitutional, the judge surmised that the territories under the Agreement were at risk of falling to the federal government in the event of litigation. Québec stood to lose the very jurisdiction it sought to consolidate.
Given the above legal advice, what were provincial negotiators to do? According to the legal advice, the AIP was a slam-dunk transgression of the division of powers. The authors of the SDBJ opinion recounted how, in response to this advice, provincial negotiators began exploring the possibility of inserting a delayed cancellation clause within the draft Agreement, whose chief purpose was to dissuade any Indigenous party from litigating the issue. This clause would prescribe that, in the event of a court concluding that category IB, II and III lands were “lands reserved for the Indians,” the lands would go back to Québec and would be freed from Canadian or Indian rights after two years. Should this happen, Canada and Québec committed themselves during the two-year window, “de façon formelle à prendre les dispositions nécessaires, incluant l’amendement à la Constitution Canadienne par Londres si nécessaire…”.Footnote 73 This, of course, would not be as secure as getting the constitution amended prior to the signing of the final agreement, but it would have to do. Ultimately, the proposed clause was included in the Agreement, as section 2.10.Footnote 74
Québec indisputably took a gamble on the JBNQA. The decision to take the plunge was a calculated risk. The province wanted to move ahead quickly with the James Bay project, as delays increased its already significant cost. It also wanted to stop the existing litigation on the constitutionality of Bill C-50. However, the Cree were absolutely insistent that the Final Agreement be signed by November 11, 1975—all their chartered flights and helicopters were flying home on the twelfth.Footnote 75 The James Bay Cree and Inuit were prepared to sign the deal before then. Pursuing a constitutional amendment would take a lot of time, with no guaranteed results. Indeed, we found no archival documentation showing that provincial negotiators thought a constitutional amendment was ever a feasible option.
The deal needed to go ahead in November 1975, whatever the risks. And so the signatories proceeded accordingly. Going forward, the key to making the Agreement work was to dissuade litigation but also, and centrally, to build public and media opinion in favour of the Agreement. A portion of the judicial politics literature argues that there is a correlation between Supreme Court decisions and public opinion. Specifically, some scholars argue that judges are attuned to prevailing public sentiment.Footnote 76 Archival evidence shows that negotiators encouraged the Bourassa government to take the risk precisely because they thought that public opinion in favour of the Agreement could be secured. The courts would thus bend to the winds of public opinion and would uphold the legislation:
I believe that even the Courts are influenced by public opinion. If the press continues to criticize the Province’s treatment of the Native people in James Bay and calling for a halt of the project, this will definitely influence at least the English speaking members of the Bench – including the Supreme Court…A public statement must be made by the Government of Québec.…This statement must reflect an enlightened attitude by the Government in its treatment of Native people. This will be a first for Québec and will gain respect and the support of all of the people of Canada. If this is done there will be less cause for concern before the courts.Footnote 77
In their eyes, to litigate against the JBNQA would benefit no one. Québec would lose its jurisdictional expansion, Ottawa would aggravate an already tempestuous relationship with the increasingly nationalist province, the Cree and Inuit would risk losing their treaty rights, and the courts would—as speculated by the negotiators—lose their public legitimacy. The players put their faith in a climate of public pressure and nationalist politics. The Bourassa government took a gamble and bet that the Agreement would ultimately be won through its political support, and that courts would eventually mould their doctrinal decisions to the realities of politics.
The JBNQA was given effect through both federal and provincial legislation.Footnote 78 It was the first modern comprehensive land claim agreement, and has structured the legal and administrative relationship between the Inuit and James Bay Cree since. It has also been renegotiated, increasing the expansion of Cree governance authority over category II and III lands.
6. The JBNQA and Federalism Review: An Open Constitutional Question
The goal in this penultimate section is to substantiate a simple claim: that the core constitutional question at the heart of the JBNQA remains an open one, more than four decades after its signing. The expansion of hydroelectric development in the Agreement’s territories has subsequently been litigated in the lower courts, but the decisions in these cases have not called into question the Agreement’s validity on s. 91(24) grounds.Footnote 79 First, we set out what we have learned about an early legal challenge to the Agreement. Second, we outline the conclusions of the SCC in the single federalism decision on the Agreement: the 2010 Moses decision.
It is well known that not all Indigenous peoples from Nouveau Québec were satisfied with the JBNQA upon its signing. Those dissatisfied included the Inuit communities of Povungnituk, Ivujivik, and Saglouc. The inhabitants of these communities—constituting roughly a third of the Inuit population in Nouveau Québec—were known as the “Inuit dissidents of Nouveau Québec” by virtue of their refusal to sign onto the JBNQA.Footnote 80 From their perspective, to recognize the Agreement “…serait reconnaître l’abandon de leurs droits aborigènes.”Footnote 81 An article published in Le Soleil on December 16, 1981, describes Inuit communities intending to take legal action against the Agreement:
C’est ainsi qu’hier à l’occasion d’une importante conférence de presse, leurs représentants ont annoncé qu’ils contesteront devant les tribunaux, bien sûr la légalité de cette convention qui a en quelque sorte, permis le développement hydro-électrique de la baie James, mais aussi la validité de toutes les lois fédérales et provinciales qui en ont découlé en plus de la constitutionnalité même de la cession en 1912 par le gouvernement fédéral de cet immense territoire (Terre de Rupert) qui avait doublé la superficie du Québec.Footnote 82
We were able to locate indirect evidence of these proceedings in a July 1982 Québec Superior Court decision by Justice Walter Austin Johnson, relating to the authority of the Kativik School Board created under the JBNQA.Footnote 83 The following is a timeline of events that is reconstructed from Justice Johnson’s written decision. Sometime in 1981, the dissenting communities of Povungnituk and Ivujivik objected to the Kativik School Board operating schools in those communities. The communities asked the provincial government to operate the schools instead. In November 1981, the provincial government subsequently issued an Order in Council, asserting its authority under the Loi sur le Ministère de l’Éducation to displace the Kativik School Board. The Kativik School Board litigated the issue.Footnote 84 In April 1982, Justice John Hannan nullified the Order in Council, deciding in effect that the enactment of the JBNQA removed the government’s authority to displace the Kativik School Board. A group of parents whose children attended the schools in question subsequently sought to suspend Justice Hannan’s decision. This group of parents were part of a larger dissenting group who had commenced a legal action in December 1981, arguing in that action that the JBNQA and all of its enacting legislation were ultra vires.Footnote 85 In Justice Johnson’s courtroom, these parents argued that Justice Hannan had not had the benefit of hearing their constitutional arguments, and hence the Order in Council should continue to be in force. Justice Johnson denied the parents their petition, arguing in effect that the JBNQA would be presumed constitutional until a court determined otherwise: “The resistance to [the JBNQA] and the problems arising therefrom may apparently continue but, in the light of the existing legislation until the merits of the constitutional questions raised in the said action and in the present motion have been decided the parties involved will have to work within the framework of that legislation.”Footnote 86
This raises the question of what finally came of the dissenting communities’ constitutional arguments. Here the trail of publicly accessible sources runs cold. There is no reported judicial decision that we could find. Also, the file associated with Justice Johnson’s 1982 decision, which would have included the relevant supporting documentation on the 1981 case, was destroyed as part of the usual judicial document management process approved by the courts and the Minister of Justice.Footnote 87 In the absence of a judicial decision on the constitutional question, we might reasonably conclude that the litigation was withdrawn. We do know that no decision on the merits of the constitutional question made its way through the courts of appeal.
The only federalism case on the Agreement to reach the Canadian Supreme Court was Québec (Attorney General) v Moses in 2010. Moses concerned the JBNQA’s provisions addressing environmental assessment procedures for future development projects. The case involved a mining company which sought to develop a vanadium mine on category III land, which would have negative environmental side effects. The mine proponent engaged the provincial environmental assessment procedure under the Agreement. The question before the Court was whether the mine proponent was additionally required to submit to a federal environmental assessment, under auspices of the Canadian Environmental Assessment Act (CEAA), before obtaining a federal permit to harm a fish habitat. The CEAA is federal legislation of general application, and was not in existence when the JBNQA was negotiated and enacted. The case asked the SCC to examine the status of the Agreement; how to interpret the text of the Agreement; whether the Agreement was consistent with federal environmental statute; and, if inconsistencies existed, whether the Agreement was paramount. The court split five to four, with the majority finding that the mine operator was indeed subject to an additional assessment under the CEAA.
We note at the outset that none of the parties in the case made an argument before the court casting doubt on the Agreement’s constitutional validity. In their facta, they mounted no argument that the Agreement itself was an unconstitutional expansion of provincial powers over “Indians and lands reserved for Indians.” The argument that so concerned Bourassa’s legal advisors in 1975 was not put directly in front of the court in Moses. The court did not conduct a comprehensive assessment of the Agreement’s constitutionality on all possible federalism grounds, and such a thing was not to be expected. However, the majority and dissenting opinions are interesting given the degree to which they draw broad federalism conclusions on the basis of the limited federalism review in this case.
We start with the opinion of the dissenting minority, penned by Justices Louis LeBel and Marie Deschamps.Footnote 88 The dissent categorizes the JBNQA as “both an intergovernmental and an Aboriginal rights agreement,” that it is “binding” on its parties, and that it “may be viewed as a model for the many modern land treaties that have been signed since the 1982 constitutional amendments.”Footnote 89 The minority also observes that the agreement “settles and determines the obligations, in relation to the Territory, of the federal and provincial governments as between themselves,”Footnote 90 and as such is “therefore yet another example of what this Court has repeatedly called ‘co-operative federalism.’”Footnote 91 Importantly, the minority asserts the following: “The Agreement, which is of course both a s. 35 treaty and an intergovernmental agreement that was made binding by way of statutory implementation, involves no inappropriate delegation of jurisdiction or legislative authority.”Footnote 92
How did the minority’s position compare with that of the majority?Footnote 93 The first point we note is that Justice Ian Binnie, writing for the majority, also accepts the Agreement as a treaty protected under s. 35 of the Constitution Act, 1982.Footnote 94 He notes that “the James Bay Treaty was an epic achievement in the ongoing effort to reconcile the rights and interests of Aboriginal peoples and those of non-Aboriginal peoples in Northern Québec.”Footnote 95 There is a broad acceptance of the fundamental validity of the Agreement itself and of its enabling legislation, both federal and provincial. However, Justice Binnie does not go so far as to echo the dissenting minority’s broad assertion that no improper legislative delegation occurs anywhere within the text of the Agreement. But, like the minority, the majority holds that the Agreement was meticulously negotiated by parties well represented by legal counsel, and that the justices are to pay close attention to the text itself.Footnote 96
The majority and the minority essentially split on where their respective interpretations of the Agreement’s text lead them. The outcome where the federal fisheries minister is obliged to issue a permit upon provincial approval of a mine project is, for the minority, an acceptable outcome of cooperative federalism in the context of a supra-legislative agreement. For the majority, this is not an acceptable outcome, for this would effectively render the federal minister a delegate of the province. Justice Binnie writes: “I do not agree that the terms of the Treaty support such an anomalous result,”Footnote 97 objecting that his colleagues in the minority interpret the Treaty’s text to make it “a vehicle for provincial paramountcy.”Footnote 98 Instead, he argues that the CEAA environmental assessment provision is not, in his reading, inconsistent with the Treaty and so should be allowed to operate.Footnote 99 In the event that the “makers of the Treaty had intended the [provincial] Administrator’s approval (or Cabinet’s substituted approval) to be the end of the regulatory requirements, they would have said so, but they did not.”Footnote 100 But Justice Binnie does not explicitly say whether the majority would have endorsed the Treaty as a vehicle for provincial paramountcy, had either the text or extrinsic evidence not allowed for any other interpretation.
7. Conclusion
Jenna Bednar’s work gives us theoretical grounds for expecting governments to transgress the division of powers, even under a high probability that a transgressive policy would fail judicial review. Gemma Sala’s work allows for governments to coordinate on a transgressive outcome under the same condition. The empirical case of the James Bay Northern Québec Agreement lends support to these scholars’ theoretical contributions. The Agreement signatories considered both the immediate and long-term gains to completing the Agreement too important to walk away from. Given their impatience, what economists would call a high discount factor, negotiators preferred probable transgression over seeking formal constitutional amendment. The negotiators’ chief strategy was to inoculate the Agreement from future litigation, chiefly by prohibitively raising the signatories’ costs of litigating the s. 91(24) question via the Agreement’s inclusion of s. 2.10. Stepping beyond Bednar’s and Sala’s work, this empirical account also shows the provincial negotiators relying on a strategic theory of judicial decision-making in the event that their inoculation measure should eventually fail. They speculated that given enough time, the court would shift its enforcement threshold. In other words, they predicted that the Supreme Court would change the law to save a popular and politically functioning Agreement, rather than invalidate it to enforce its existing interpretation of the division of powers.
The scholarship dealing with the Agreement has not been silent on the nationalist motivations driving Québec to sign onto the treaty. However, research on the constitutional difficulty the provincial negotiators identified at the core of the Agreement is conspicuously absent. Our work here is the first to draw on archival data from Bourassa’s first government, and the first to set out that the negotiators of the Agreement were absolutely aware that they were taking a constitutional risk. We set out the goals, speculations, and strategies of provincial negotiators reporting to Robert Bourassa, confirming that the province understood itself to be in a strategic relationship with potential future litigants, courts, and public opinion, and how the Agreement was shaped by that strategic understanding. Conscious of the constitutional question at the heart of the Agreement, Québec’s negotiators took a gamble by speculating that the land claim agreement could evade judicial review so long as the political equilibrium with the Cree, the Inuit, and the public, held. To some degree, Bourassa has been proven right, in that the core constitutional question has not be squarely decided in the courts. But until it is —until a future Supreme Court rules to uphold the Agreement as written on s. 91(24) grounds—the gamble is still in play. In the here and now, the Agreement and the statutory authorities to give it effect are presumed to be constitutional; what this historical examination of the Agreement’s negotiation shows is that its negotiators considered that presumption rebuttable.
This begs many further questions, including whether Bourassa’s gamble was replicated across the modern comprehensive land claim settlements which have been concluded since, elsewhere in Canada. It is one that we cannot thoroughly answer here with a broad canvas of all post-JBNQA land claim agreements. However, there is reason to surmise the gamble was Bourassa’s alone. As Parts 4 and 5 of this paper laid out, Québec sought to use the James Bay treaty negotiations to expand provincial legislative authority vis-à-vis federal legislative authority in a very specific nationalist political context. In glaring comparison with the JBNQA, the Nisga’a Final Agreement explicitly sets out that it “does not alter the Constitution of Canada, including…the distribution of powers between Canada and British Columbia.”Footnote 101 The British Columbia Court of Appeal used this declaration to uphold the constitutional validity of the Nisga’a Agreement in the face of a constitutional challenge brought by some members of the Nisga’a nation.Footnote 102 And while the British Columbia Court of Appeal in that case agreed that treaties could not be used to effect an inter-delegation of power as between Parliament and the provincial legislatures, treaty agreements could effect a delegation of legislative powers from Parliaments and legislatures to a “subordinate” Indigenous body set out within that treaty agreement.Footnote 103
As we set out in the introduction, it is beyond the scope of this paper to develop an argument about whether Québec’s contemporary legal advisors, on the basis of today’s constitutional text and judicial precedents, would reach the same conclusion as their legal predecessors had in 1975: invalidity on s. 91(24) grounds. We have also refrained from speculating on what a present or future court would decide, should it actually accept the burden of answering the question. However, given the undeniable centrality of the Agreement to Indigenous-settler relations in Québec, we do think the following assertion is in order: that the SCC would be highly interested in a line of argument that would allow it to uphold the Agreement. Indeed, the SCC made much of its wish to encourage intergovernmental and Indigenous bargaining, after all.Footnote 104 The question will be whether upholding the JBNQA would require the SCC to unsettle federalism’s division of powers, a central component of our “constitutional architecture,”Footnote 105 in order to uphold this “epic agreement.” If s. 91(24)’s push met the Agreement’s shove, what would the SCC do? Bourassa’s negotiators had a theory of what it would do. It remains to be seen whether they were correct.