I. INTRODUCTION
Law governs the interface between humans and their environment on the basis of science,Footnote 1 or rather a range of sciences such as ‘physics, chemistry, biology (including ecology) and interdisciplinary scientific fields such as meteorology and the medical sciences’.Footnote 2 Science pertaining to the human–environment interface involves not only understanding and explaining causal relationships, but also making predictions.Footnote 3 The range of disciplines, methods and objectives with which scientific knowledge is pursued (and the language with which it is expressed) makes it difficult for lawyers and judges to bridge the ‘interdisciplinary divide’ between science and law.Footnote 4 This has led to examinations of the prospects and trade-offs of specialized judicial bodies.Footnote 5 Where international courts lack a specialized chamber or division to address cases marked by complex scientific or technical issues, the need for assistance from independent scientific or technical experts has often been noted in scholarship.Footnote 6
Judges seldom possess the relevant expertise or the time to stay abreast of developments in scientific concepts,Footnote 7 and yet conflicting or unclear factual claims backed by complex technical or scientific evidence are one of the main features of environmental cases.Footnote 8 This evidence typically addresses questions surrounding the foreseeability, imminence and significance of risks posed by certain actions or omissions, the appropriateness or adequacy of measures to prevent or remedy potential or actual environmental harm, the notorious issue of causal link, and the valuation of harm to legally protected interests. Admittedly, problems posed by complex scientific evidenceFootnote 9 are not unique to environmental cases,Footnote 10 and similar problems arise, for example, in cases concerning the protection of public health.Footnote 11 The European Court of Human Rights (ECtHR or the Court) is often confronted by the Sisyphean challenge of adjudicating cases involving complex scientific evidence,Footnote 12 and the significance of this challenge was recently brought to the fore by Judge Eicke in his dissenting opinion in Verein KlimaSeniorinnen Schweiz and Others v Switzerland,Footnote 13 in which he noted:
After all, the necessary (and detailed) engagement with scientific evidence in the context of what the Court in Powell and Rayner v. the United Kingdom … described (in the context of the arguably simpler issue of aircraft noise) as ‘this difficult social and technical sphere’ is not currently part of the Court's working practices.Footnote 14
With the aim of highlighting the need for the ECtHR to make more frequent recourse to independent scientific experts in the adjudication of environmental cases, this article critically analyses how the Court engages with complex scientific evidence in such cases.Footnote 15 The ‘black box’ in which judicial assessment of proof submitted by the applicants operates, the problems caused by the Court's deference to scientific fact-finding at the national level, and the lacunae in the Court's reasoning in its judgments in environmental cases are symptomatic of a significant issue which could be addressed if the Court were to better utilize its power to consult experts. The role of such experts is not to assume the task of the Court in assessing evidence and making findings of fact, but rather to assist the Court in understanding the science involved and enable the judges to make their own educated evaluation of the evidence. The use of the power to consult independent experts could provide the means to ensure that the Court's understanding of scientific evidence is accurate and enable it to provide reasoned evaluation of the evidence in its judgments. Since environmental cases thus far have exclusively been brought by individual applicants, a discussion of the unique evidentiary difficulties arising in inter-State cases is outside the scope of this article.Footnote 16
The structure of the article is as follows. Section II presents the Court's approach to fact-finding in environmental cases. Section III explores how the Court has shaped its evidentiary rules through its case law in response to the ‘evidentiary difficulties’ that arise in environmental cases. First Section III.A. examines the topic from the applicant's perspective, noting that despite the adjustment of rules concerning the burden and standard of proof to reflect the asymmetrical position of the applicants and respondent States, evidentiary issues remain due to the ‘black box’ assessment of evidence of a scientific nature, while Section III.B explains the burden and standard of proof applicable to the respondent State in environmental cases. Section IV problematizes the Court's deferential approach to science-based determinations made by national authorities and highlights its unwillingness to engage in an assessment of their merit. Section V exposes the problem with how the Court's reasoning is presented in its judgments in environmental cases where it is not aided by prior evaluations of the state of the environment and robustness of protection measures by competent authorities at the national level. Compliance with obligations of due diligence in cases involving environmental risks depends on whether the respondent State properly appraised those risks and responded adequately. With the help of examples, it is argued that in cases where the Court should explain the failure by the respondent State to exercise due diligence, it instead draws its conclusion based on the occurrence of harm or other adverse outcomes (which, while relevant, are not dispositive). This reveals the Court's inability to provide clear science-based reasoning on the protection gaps or flaws in the respondent State's conduct. Section VI underlines the importance of the Court properly engaging with scientific evidence when adjudicating environmental cases for the sake of maintaining its legitimacy. Section VII presents a possible solution, operationalizing Rule A1 of the Annex to the Rules of the Court concerning investigations,Footnote 17 which permits the Court to consult independent experts.
II. FROM EVIDENCE TO FACT-FINDING
The Court's mandate is to ensure the parties to the European Convention on Human Rights (ECHR) observe the international legal obligations they have assumed under that Convention.Footnote 18 The Court does not execute this mandate in abstraction, but rather through the adjudication of cases brought before it.Footnote 19 These cases entail the assessment by the Court of claims brought by applicants alleging a violation by the respondent State(s) of obligations under the ECHR and the Protocols theretoFootnote 20 through specific conduct which has been established as ‘fact’.Footnote 21 Evaluation of a legal claim in a given case is preceded by the process of ‘fact-finding’, ie a judicial process in which the facts are established and then classified as relevant or irrelevant for the case.Footnote 22 It is worth clarifying that the term ‘fact-finding’ is also used in scholarship in a narrower sense, referring specifically to that part of the process described above where specific mechanisms envisaged in Rule A1 of the Annex to the Rules of the Court concerning investigations are used, in order to establish or bring clarity to the facts. This article refers to fact-finding in its broader understanding, involving the examination of evidence adduced by both parties to the case, as well as that which has been obtained by the Court of its own volition.
In the Nachova v Bulgaria caseFootnote 23 the ECtHR described its approach to evidence as follows:
[I]n the proceedings before the [Court], there are no procedural barriers to the admissibility of evidence or pre-determined formulae for its assessment. It adopts the conclusions that are, in its view, supported by the free evaluation of all evidence, including such inferences as may flow from the facts and the parties’ submissions.Footnote 24
This freedom aligns with the discretion granted by the ECHR to the Court on procedural matters. However, the ECtHR's freedom to admit and evaluate evidence is nuanced given its vertical relationship with domestic courts in the Council of Europe (CoE) Member States.Footnote 25 The fact-finding process in the ECtHR is typically much shorter than in cases before other international courts, because the admissibility requirement of the exhaustion of domestic remedies means the case has already been through the national courts of the respondent State.Footnote 26 The Court generally takes advantage of this, relying to a great extent on the facts as they have been established by national authorities or ‘pre-digested’ by domestic courts, as well as on their evaluation of those facts.Footnote 27 The subsidiary role of the ECtHR naturally suggests that it should place heavy reliance on such factual determinations. The Court has recognized that its reliance on prior fact-finding at the domestic level for the purposes of its own fact-finding is of particular importance in ‘cases concerning the environment’ owing to certain ‘evidentiary difficulties’ that they ‘usually’ present.Footnote 28 This practice is accepted as long as the domestic fact-finding has been conducted in accordance with established standards. Indeed, the ECtHR would be overburdened if it were to perform fact-finding ab initio in every case, especially when the case involves facts of a technical nature. However, the ECtHR's reluctance to reopen facts which have been ‘established’ at the domestic level may lead to unfair outcomes, particularly as it is suggested that the practice tends to advantage the respondent State rather than the applicant.Footnote 29 The ECtHR's role as a fact finder becomes crucial, and therefore the focus of critical attention, in cases where there are justified doubts about domestic fact-finding.Footnote 30
Environmental cases typically involve claims that the respondent State's conduct has caused or risks causing environmental deterioration, which in turn has had or risks having an adverse impact on the human rights of individual applicant(s) under Articles 2 (right to life), 6 (right to a fair trial), 8 (right to respect for private and family life) and 13 (right to an effective remedy) of the ECHRFootnote 31 and Article 1 (protection of property) of Protocol No 1 to the ECHR.Footnote 32 This article focuses on environmental cases where Articles 2 or 8 are implicated. It is worth noting that in its environmental case law, the Court has more frequently analysed Article 8 on the merits than Article 2. It has also found more violations of Article 8 than of Article 2.Footnote 33 This prompted Judge Serghides in Pavlov and Others v Russia to recognize that Article 8 ‘also necessitates and entails the implicit sub-right to a healthy environment which is indispensable for the exercise and enjoyment of the right to respect for one's private life’.Footnote 34 In contrast to Article 8, the applicability of Article 2 entails a high threshold of severity of the injury: the case must involve a risk of death.Footnote 35 Environmental cases where a violation of Article 2 was found have involved risks to life arising from the permitting of inherently hazardous activitiesFootnote 36 or in the management of natural disaster risks.Footnote 37 However, to a great extent, the Court has applied the same principles as those set out in Article 2 when examining cases involving environmental issues under Article 8.Footnote 38
Environmental cases under Article 2 and Article 8 involve questions of law which necessitate the establishment of scientific facts. This is a process which may (depending on the circumstances of the case) be very different from traditional fact-finding.Footnote 39 D'Aspremont and Mbengue classify the questions which arise in international adjudication into three general types: (i) the establishment of the fact at the origin of the wrongful act, the availability of exception or the establishment of circumstances precluding wrongfulness; (ii) the establishment of the damage actually suffered by the victim; and (iii) the establishment of the causality between the wrongfulness and the damage.Footnote 40As will be explained below, it is the applicant who bears the burden of proof with respect to most (but not all) of these questions. Moreover, the standards of proof applicable to the facts relating to each question are different, with the Court exercising flexibility in making certain assessments in order to treat the applicants fairly. However, such flexibility is not applied to all questions in respect of which the applicant bears the burden of proof, and thus it is important to bear in mind the distinct nature of the various determinations.
III. BURDEN AND STANDARD OF PROOF IN ENVIRONMENTAL CASES
A. The Applicant's Burden
The applicant must provide proof of facts which demonstrate that there has been a prima facie breach of the Convention and that the applicant qualifies as a ‘victim’ for the purposes of admissibility.Footnote 41 While it has not been declared explicitly in the Court's jurisprudence, the applicant bears the burden of proving their allegations in relation to the merits of the case.Footnote 42 These include the applicability and breach of ECHR provisions as well as the causal link between such breach and the harm suffered by the applicant and quantifying such harm for the purpose of just satisfaction.Footnote 43
In environmental cases, proof of each of these contentions may require the applicant to bring forth scientific evidence. This may include natural science evidence looking at interactions between different environmental components,Footnote 44 risk assessments demonstrating the nature and level of risks the applicant faces,Footnote 45 evidence concerning the State's risk assessment and management techniques,Footnote 46 evidence concerning standard practices and technological interventions,Footnote 47 and medical evidence connecting adverse impacts on the applicant's or the general population's life, health or well-being.Footnote 48 In practice, evidence which is relevant for assessing the applicant's victim status is usually also relevant in assessing their claims as to the applicability of the ECHR provisions.Footnote 49
The standard of proof (ie how convincing the evidence needs to be for the applicant's burden of proof to be discharged) applied by the ECtHR is ‘proof beyond a reasonable doubt’.Footnote 50 While seemingly stringent, the Court has indicated that this evidentiary standard must be understood as an autonomous one.Footnote 51 The strictness of this standard as it is usually applied in criminal prosecutions cannot be transposed to litigation before the ECtHR. The applicant cannot be expected to be in the same position as a prosecutor who has the benefit of findings from a formal investigative process which usually precedes the proceedings before the appropriate court. The difficulty posed by the stringency of this evidentiary standard can be tempered on the basis of principles attached to its application.Footnote 52 One such principle is that ‘proof beyond reasonable doubt’ can follow from the coexistence of sufficiently strong, clear and concordant inferences or similar unrebutted presumptions of fact.Footnote 53 The level of persuasion necessary for reaching a conclusion on such proof is also variable, and is intrinsically linked to the specificity of the facts, the nature of the allegation made and the ECHR right at stake.Footnote 54 This approach is exemplified in Fadeyeva v Russia,Footnote 55 a case where the applicant was aggrieved by air pollution. In this case, the applicant's medical record could not prove that air pollution levels at her residence were a causal factor for her specific health condition. However, the applicants’ arguments were backed by expert evidence confirming the risks of increased adverse health conditions of persons residing near the polluting steel mill,Footnote 56 and findings that the pollution levels clearly exceeded the safe concentrations of toxic elements defined in Russian environmental legislation.Footnote 57 As Shelton explains, the Court found that:
exceeding these limits produced a presumption of unsafe conditions potentially harmful to health and well-being. This presumption, together with the evidence submitted, led the court to conclude that the applicant's health deteriorated as a result of her prolonged exposure to the industrial emissions from the steel plant.Footnote 58
The Court's approach in Fadayeva addresses an earlier critique of its jurisprudence on risk management: that the burden of proof on applicants was ‘diabolical’ since there was no accommodation of the unequal position of applicants compared to respondent States in terms of access to knowledge about adverse effects on health at the various stages of risk regulation by the State.Footnote 59 Instead of the applicant having to provide direct evidence for causation, the fact of a causal link between pollution and adverse effects to health could be presumed based on proof of exposure, along with certain pieces of evidence of a general nature (eg as to level of pollution in the relevant areas, and epidemiological evidence speaking to the link between the pollution and types of harms akin to those alleged to have been suffered by the applicant). Another way in which this asymmetry could pose a challenge for the applicant is when the State does not properly document environmental harms.Footnote 60 This problem has been addressed by the Court through its elaboration of the obligation on States to provide information to relevant populations about risks, derived from Articles 2 and 8 of the ECHR.Footnote 61
Evidentiary difficulties experienced by applicants in environmental cases have a relationship with States’ procedural obligations with respect to the environment under the Aarhus Convention concerning the collection and dissemination of environmental information.Footnote 62 Proper performance of these obligations may provide applicants with evidence to support their causality arguments.Footnote 63 More significantly, a failure to perform these procedural obligations, coupled with the materialization of environmental harm and the consequent interference with rights, would lead to the finding of a violation. In cases where the respondent State has acted in compliance with these obligations, the applicants would be able to rely on this information to prove causality in relation to interference with their rights, and the severity of the interference.
However, the flexibility shown by the Court in the face of the asymmetry in the parties’ ability to adduce evidence stops short when it comes to proof of the cause of the applicants’ injuries for the purpose of compensation or ‘just satisfaction’ which the Court has the power to award under Article 41 of the EHCR.Footnote 64 The Court has been inconsistent regarding the significance of applicants’ exposure to unsafe levels of environmental pollution when awarding non-pecuniary damages.Footnote 65 Applicants who claim to have suffered from exposure to environmental pollution have lost out on compensation awards despite having been successful in proving that the respondent State violated their rights.Footnote 66 This is presumably because of the very nature of scientific evidence which can be adduced in relation to such causality. While science is a highly authoritative method of understanding the factual realities of natural processes, the knowledge produced as a result of the scientific method is burdened with uncertainty.Footnote 67 This ‘scientific uncertainty’ runs deeper than a lack of precise knowledge at the relevant timeFootnote 68 or contradictory expert opinions,Footnote 69 stemming from the framing of evidence in terms of ‘probabilities’ as opposed to absolute certainties. Thus far, the Court has only referred to ‘probabilistic reasoning’ in one case, Tătar v Romania.Footnote 70 It justified this approach by noting the problem of the plurality of potential causes, suggesting that in the absence of evidence on the issue, ‘probabilistic reasoning’ could be used where there was ‘sufficient and convincing statistical evidence’ in situations of scientific uncertainty.Footnote 71 In the particular case, the Court found that a study by a local hospital documenting the increase in the number of respiratory tract diseases was not sufficient to establish a probabilistic causal link.Footnote 72 The Tătar judgment does not give any guidance on what statistical evidence would meet the threshold of sufficiency and demonstrate a causal link by way of probabilistic reasoning.
When it comes to evidence brought forth in support of compensation claims, the evaluation of its sufficiency occurs within a ‘black box’, which is to say that the Court processes the evidence in a clandestine manner, preventing the interested parties from knowing how it evaluates their claims. A standard of proof, by its very nature, cannot be defined so precisely that applicants can always know exactly which evidence they must present to cross the persuasive threshold. Guidance as to the requisite adequacy of evidence can only be gleaned from how the Court engages with evidence produced by the applicants in each individual case. Thus, a problem arises when the Court does not publicly engage with evidence that is of a scientific nature. For example, in some judgments the Court refers to the applicants’ (lack of) proximity to the source of pollution as a decisive factor in determining the presence or absence of a causal link between pollution and the claimed effects on the applicants’ health and well-being, rather than addressing the adequacy of the level of exposure.Footnote 73 This suggests that the submitted scientific evidence relating to duration of exposure and the relative impact on the applicant's health was assessed in the background (within internal deliberations), whilst the easily measured and evidenced geographical proximity of the source of pollution was publicly noted (in the judgment) as a proxy. As will be explained below,Footnote 74 the ‘black box’ problem is also encountered when the Court assesses scientific or technical evidence adduced by the respondent State when it seeks to justify the impugned conduct.
B. The Respondent's Burden
Once the applicant has demonstrated that there is a prima facie case of infringement of their right, the respondent State must seek to discharge its burden of proving to the Court that justificatory circumstances were present, by adducing evidence supporting the assertion.Footnote 75 This relates only to Article 8 cases, as Article 2 contains an absolute right which cannot be derogated from. Article 8, on the other hand, provides in its second paragraph that interference with the right may be justified if it is:
in accordance with the law and is necessary in a democratic society in the interests of national security, public safety or the economic well-being of the country, for the prevention of disorder or crime, for the protection of health or morals, or for the protection of the rights and freedoms of others.Footnote 76
The respondent State must demonstrate that its conduct struck a fair balance between the competing interests involved.Footnote 77 However, the nature of the obligation that is at the heart of Article 2 environmental cases is similar to that in Article 8 environmental cases, ie the obligation is one of conduct rather than result. The respondent State need only demonstrate that it acted with due diligence, or, to be more specific, that it had ‘put in place a legislative and administrative framework designed to provide effective deterrence against threats to the right to life’Footnote 78 and applied that framework ‘effectively in practice’.Footnote 79 Thus the Court's assessment of the respondent's compliance with obligations under Article 2 appears similar to the assessment performed in Article 8 environmental cases, despite the absence of a justification clause attached to the former provision. The reason that the Court gives for this is that the relevant State conduct occurs within ‘difficult social and technical spheres’ where the respondent State enjoys a ‘wide margin of appreciation’.Footnote 80
Respondent States often submit scientific evidence to the Court when seeking to discharge their burden of proof in relation to the justifiability of the impugned conduct,Footnote 81 but they may also do so to refute the applicants’ initial assertions. A State may adduce contrary scientific evidence to assert that its conduct posed/poses no risk of serious harm to the applicantFootnote 82 or (where the harms have materialized) that it could not have foreseen risks arising from its conduct at the given time.Footnote 83 As noted above, the Court has stated that in establishing the facts of the case, it will rely ‘mainly, although not exclusively’ on the findings of the national courts and other competent national authorities.Footnote 84 In situations where these findings are ‘obviously inconsistent or contradict each other’, the Court will ‘assess the evidence in its entirety’.Footnote 85 These propositions suggest that the Court takes a deferential attitude towards the substantive veracity of the findings of the national courts and authorities of the respondent State. The following section will critically analyse this deferential approach.
IV. JUDICIAL DEFERENCE TO NATIONAL DETERMINATIONS
In environmental cases, there are several types of findings of national courts and other competent authorities: determinations as to the existence or foreseeability of a significant risk to life, health or well-being of individuals or groups (‘risk-foreseeability determinations’); determinations as to the acceptability of an allocation of burdens arising from such risks across the population, ie striking a ‘fair balance’ of different competing interests (‘fair-balance determinations’); and determinations as to the choice of measures for alleviating such risk or reducing the weight of the burdens placed upon certain individuals or populations (‘determinations as to response measures’).
It is not just the information (including scientific evidence) relied upon in making these determinations, but the determinations themselves which become part of the evidentiary basis for the purposes of adjudication. Each type of determination is related to the others. For example, a determination as to how the burdens arising from the risk in question will be shared across the population must be informed by how probable and how serious the risk is;Footnote 86 and the kinds of measures that the State may take to soften (potential) impacts on an individual or a group will depend how it has decided to balance the competing interests at stake. While each of these determinations ought to be based on the scientific knowledge that is available at the time,Footnote 87 they all contain subjective elements—thus requiring the Court to contend with them while allowing the authorities responsible for making such determinations some margin of appreciation. In relation to fair-balance determinations, the following quote from the judgment in Fadayeva clarifies the Court's approach:
It remains open to the Court to conclude that there has been a manifest error of appreciation by the national authorities in striking a fair balance between the competing interests of different private actors in this sphere. However, the complexity of the issues involved with regard to environmental protection renders the Court's role primarily a subsidiary one. The Court must first examine whether the decision-making process was fair and such as to afford due respect to the interests safeguarded to the individual by Article 8 … and only in exceptional circumstances may it go beyond this line and revise the material conclusions of the domestic authorities.Footnote 88
In relation to determinations as to response measures, the Court has consistently held that ‘[i]n cases involving environmental issues, the State must be allowed a wide margin of appreciation and be left a choice between different ways and means of meeting its obligations’.Footnote 89
Risk-foreseeability determinations are very different from the other two types of determinations identified above, since the scientific evidence on the basis of which such determinations are made often stands primarily on ‘country non-specific grounds’.Footnote 90 To explain by way of example, the evidence that certain chemicals which create air pollution increase risks of respiratory illnesses for children is likely to be equally true for children in Luxembourg as it would be for children in Poland. Establishing that the national authority ‘knew or ought to have known’ that the activities in question in a case posed significant risks for the applicants is crucial for commencing the inquiry into its responsibility for violations of rights.Footnote 91 In the authors’ view, authoritative findings by independent scientific institutions should play an important role when the Court is confronted with risk-foreseeability determinations by respondent States,Footnote 92 unless it is apparent that such determinations necessarily depend on country-specific factors. Thus, it is appropriate to exercise caution in reviewing determinations made by national authorities—nuancing their type rather than painting them all with a broad brushstroke of ‘wide margin of appreciation’ simply because they relate to the area of environmental protection or urban planning.
In the absence of domestic fact-finding suggesting that the State knew about the existence of significant risks, the Court has placed heavy reliance on scientific evidence concerning the existence, nature and significance of risks from sources like the United Nations Environmental Programme (UNEP) and the World Health Organization (WHO).Footnote 93 Furthermore, the Court has shown that it is capable of using scientific outputs of independent sources as a way to validate the risk-foreseeability determinations of national authorities on which the respondent State based their conduct.Footnote 94 Could it not, conversely, also use external evidentiary sources as a way to scrutinize State conduct? It is conceivable that in the process of arriving at risk-foreseeability determinations, risks evidenced by sound science are downplayed in light of economic considerations.Footnote 95 Rather than showing deference to national authorities’ risk-foreseeability determinations, it is arguable that the Court should be willing, in appropriate cases, to engage in an exercise that verifies their scientific basis.
Another aspect worth examining is the Court's approach regarding fair-balance determinations and the State's choice of response measures, where the difference of views between the applicant and respondent pertains to interpretations of the evidence, as occurred in Hatton and Others v the United Kingdom.Footnote 96 The applicants challenged the United Kingdom's (UK) handling of noise pollution from night flights at Heathrow airport. The UK's solution—the ‘1993 Scheme’—limited aircraft movements during the ‘night’ (defined as the period between 23.00 and 07.00) and imposed stricter limitations on this airport within the ‘night quota period’ between 23.30 and 06.00. Aircraft were rated for noisiness, with units defined as quota counts (QCs): 0.5 QCs for the quietest aircraft and 16 QCs for the noisiest.Footnote 97 During the night period, aircraft rated 8–16 QCs were not allowed to take off, and aircraft rated at 16 QCs were not allowed to land.Footnote 98 The scheme did not track the types of aircraft operating during the night quota period, but rather, airports were allotted a noise quota which they could not exceed. The system was designed to encourage airports to lower the frequency of movements of aircraft with higher QCs and increase the frequency of aircraft with lower QCs.Footnote 99
The parties disagreed about whether the 1993 regime actually led to a deterioration of the noise climate at night in light of new findings made in 1998.Footnote 100 These findings were contained in a periodic review of the scheme, and suggested that ‘the noise climate around Heathrow may have improved during the night quota period, but probably deteriorated over the full night period’.Footnote 101 The deterioration was attributed to the increase in traffic between 06.00 and 07.00, ie, outside the night quota period.Footnote 102 Whether or not it could be concluded that the applicants’ sleep quality was detrimentally affected depended on an interpretation of the evidence, ie whether the improvement in noise climate between 23.30 and 06.00 was more salient than the overall deterioration between 23.00 and 07.00. In response to the disagreement, the Court laconically held that it was ‘not able to make any firm findings on this point’.Footnote 103
The Court dismissed the disagreement between the parties as to the implications of the new evidence on impacts of the 1993 Scheme on the noise climate as irrelevant to the analysis under Article 8 of the ECHR. Without resolving the disputed issue, the Court proceeded to conclude that that there was ‘no indication that the authorities’ decision to introduce a regime based on the quota count system was as such incompatible with Article 8’.Footnote 104 Had the Court made a finding on the disagreement in favour of the applicants, it would have heightened the burden on the UK government to prove that the balance it struck between competing interests was based on due consideration of the latest information on noise climate deterioration. Resolving the disagreement appears to have been crucial in order to conclude upon the non-arbitrariness of the noise quota system, considering that residents near Heathrow regarded their sleep quality between 06.00 to 07.00 to be just as important to their health as their sleep quality between 23.30 and 06.00.Footnote 105 Even assuming that this lapse by the Court did not affect the final finding that there was no violation of Article 8 by the UK, the legitimacy of the judgment would have been enhanced had the Court employed its investigative powers to resolve the disagreement between the parties instead of holding that it was ‘unable’ to take a side.
V. SCIENCE-BASED REASONING: WHERE LEGITIMACY HANGS IN THE BALANCE
When the national authorities have made findings of fact that fail to capture the reality of the applicants’ situation or the respondents’ conduct, the Court becomes responsible for conducting its own assessment of the risks that the applicants had been subjected to and the adequacy of the respondent State's actions to protect them from those risks. This can be seen in the judgment in Pavlov and Others v Russia.Footnote 106 The ECtHR found that the domestic court had limited itself to merely establishing that the relevant authorities had taken some measures to address the pollution, ‘without addressing a central issue in the proceedings of whether those measures were in fact effective and capable of remedying the adverse consequences of industrial pollution for the applicants’.Footnote 107 The judgment continued:
The Court reiterates that it is mindful of its subsidiary role in deciding what is necessary for achieving one of the aims mentioned in Article 8 § 2 of the Convention …, however in the present case … it appears that it cannot benefit from a prior assessment by the national courts of the balancing of the competing interests at stake and therefore will proceed to such an assessment on its own, taking account of the information available to the domestic court at the material time and all subsequent developments.Footnote 108
The conclusion reached by the Court was that while the respondent acted with due diligence to address the environmental pollution from 2014 onwards, the same could not be said with respect to the period between 1999 and 2014. The assessment which preceded the Court's conclusion on the insufficiency of the measures taken by the authoritiesFootnote 109 was based on scientific evidence and inferences of a sociological nature. The scientific evidence consisted of findings in the environmental reports prepared by the State authority that there were high levels of air and water pollution in the area, which were attributable in large part to local industrial polluters and the use of ‘outdated’ technology.Footnote 110 The latter finding is perhaps more interesting. The Court pointed to documentation on penalties imposed on polluting industries on the one hand, and the lack of improvement in the environmental conditions in the area on the other. It also argued that the quantum of the penalties was ‘rather small’ relative to the level of pollution in the area,Footnote 111 and more severe sanctions like suspensions of operations and closures were not routinely imposed.Footnote 112 Taken together, the Court arrived at the inference that the penalties were insufficient to produce the desired result (of requiring the polluters to take remedial measures).Footnote 113
From the text of the judgment, it is unclear where the Court's ‘own assessment’ of the evidence began and ended, given that the relevant parts of the judgment only made references to the evaluations made by the State authority in its own environmental reports. In regard to the finding that the State conduct before 2014 was insufficient for the purposes of protecting the applicants’ right under Article 8, the Court only cited evidence concerning the period before 2008 rather than 2014. The majority's failure to explain the insufficiency of measures taken by the respondent before 2014 was met with criticism by Judge Lobov, who argued in his dissenting opinion that the Court ‘[turned] an obligation of means into an obligation of result’.Footnote 114
Whilst Pavlov is a relatively exceptional environmental judgment given its high level of scrutiny in the assessment of regulatory responses to pollution, it is also symptomatic of the Court's difficulty with providing cogent science-based reasoning on the insufficiency or inadequacy of State responses to environmental problems. There are also other examples of this which are worth highlighting. In Di Sarno and Others v Italy,Footnote 115 the Court held, based on the environmental pollution in the municipality of Somma Vesuviana between the end of 2007 and May 2008, that:
[I]n spite of the margin of appreciation left to the respondent state, there is no denying that the protracted inability of the Italian authorities to ensure the proper functioning of the waste collection, treatment and disposal service adversely affected the applicants’ right to respect for their homes and their private life, in violation of Article 8 of the Convention in its substantive aspect.Footnote 116
This judgment also showed no evidence of the Court attempting to scrutinize the domestic legal and administrative framework, or the specific measures taken thereunder, to expose the State's ineffectual mitigation of the ‘waste crisis’.
A similar approach can be seen in the Court's KlimaSeniorinnen judgment. Here, the Court regarded Switzerland's failure to meet its greenhouse gas emissions reduction target of 20 per cent (compared to the level in 1990) by 2020Footnote 117 as one of the dispositive reasonsFootnote 118 for its conclusion that Switzerland breached its obligation under Article 8 to adopt and ‘effectively apply’ regulations and measures for the mitigation of climate change.Footnote 119 The judgment does not reflect on Switzerland's argument that it had taken several measures prior to 2020 which it believed ‘should have enabled’ it to meet the 2020 target.Footnote 120 There was no explanation as to why these measures were not in line with due diligence.
Judgments such as these give the impression that the Court regards the persistence of unabated environmental pollution over long periods as a proxy for a lack of diligence in the respondent's response to the problem. The use of a proxy-based approach to reasoning as opposed to elaboration on cause and effect (between the respondent's identifiable acts or omissions and corresponding positive or negative impacts on the environment, or lack thereof) has several drawbacks.Footnote 121 This article does not intend to reappraise the conclusions reached by the Court in environmental cases, but, rather, seeks to expose this lacuna in the Court's reasoning ability. In order to ensure that their judgments enjoy epistemic legitimacy, courts have to reflect in their decisions on scientific evidence and the conclusions that have been drawn from it,Footnote 122 rather than concealing the assessment of such evidence within the ‘black box’ or, indeed, failing to engage with it at all. Given the nature of the obligation at the heart of these cases, the use of scientific rationality as the epistemic underpinning of their reasoning would be the correct approach.
VI. LEGITIMACY THROUGH EPISTEMIC RESPONSIBILITY
International courts and tribunals may take a range of approaches when dealing with scientific evidence, which d'Aspremont and Mbengue have classified into four schools: the ‘nihilist’ school;Footnote 123 the ‘protectionist’ school;Footnote 124 the ‘adversarial’ school;Footnote 125 and the ‘outsourcing school’.Footnote 126 Thus far, this article has avoided pigeonholing the ECtHR into a particular school in relation to scientific evidence. Unlike the International Court of Justice (ICJ) or the Dispute Settlement Body of the World Trade Organization (WTO-DSB), the Court typically hears cases brought by individuals against a State, after having had recourse to domestic remedies. This has led the Court to adopt a peculiar modified adversarial approach.Footnote 127
This approach comes with certain disadvantages for applicants considering their asymmetrical position in comparison to the respondent State with regard to their ability to produce relevant evidence. The Court's method of accommodating this asymmetry and ensuring fairness in its procedure has been to increase the flexibility of the evidentiary rules relating to the applicant. The Court can thus conclude that the applicant's claims have been proven beyond reasonable doubt despite the absence of direct evidence on the basis of the coexistence of sufficiently strong, clear and concordant inferences or of similar unrebutted presumptions of fact. The process that the Court will use to arrive at an evaluation of ‘sufficiency’ in this regard is unknown to the parties to the case and to observers. Clearly, the Court needs to consider scientific facts given that the material that applicants typically submit to the Court, aside from evidence which has been generated through the respondent States’ compliance with procedural obligations and domestic court proceedings, is largely comprised of abstract scientific material. Concerning the respondent's burden of proof, the Court has shown ‘epistemic deference’ towards certain determinations made by national authorities which are or ought to have been based on non-country specific scientific evidence,Footnote 128 and it is argued above that it would be reasonable to review such determinations by having recourse to independent sources of evidence, for instance, from international bodies like the WHO and UNEP.
A common thread that runs through the analysis presented in this article is that the Court's current approach towards the assessment of scientific evidence is not ideal, and there are concerns regarding what it makes of certain evidence and how it translates its assessment of such evidence into cogent reasoning in its judgments. Explaining failures on the part of State authorities to act in a diligent manner may, especially in environmental cases, require well-articulated reflections on scientific evidence. It would thus be a clear advantage for the Court to step into the ‘outsourcing’ school of approaching scientific evidence and rely on its power to consult independent scientific experts, which could help to elucidate the science and enable the Court to engage directly with it in reaching a decision, and openly describe their assessment of the evidence in the judgment.
VII. OPERATIONALIZING THE COURT'S POWER UNDER RULE A1
The Court has the inherent power to seek assistance in carrying out its tasks by hearing experts. This power is codified in Rule A1 of the Annex to the Rules of the Court concerning investigations. The provision is agnostic as to the specific tasks for which expert assistance may be used. The authors suggest that assistance with scientific fact-finding would be the optimal use for this power by the Court. For instance, where there is disagreement between the parties on matters of science the Court could be apprised by experts of the methodology underlying the collection of information and its evaluation by the authorities of the respondent State, and advised on the relevant scientific concepts which must be understood in order to interpret the content of environment-related obligations properly. The ambiguity created by the recent KlimaSeniorinnen judgment's discussion of ‘net neutrality’Footnote 129 is a stark reminder of why it is important that the Court understands and elaborates upon the meaning of popular climate science concepts when referencing them.Footnote 130 More broadly, however, the exercise of this power may have a more subtle yet significant function, assisting the Court to produce judgments with enhanced epistemic legitimacy.
Typically, Rule A1 has been invoked by the Court in cases where there is a paucity of evidence or lack of clarity in the factual matrix of a case as constructed based on the parties’ submissions, including the evidence that they have adduced. The power has been used more frequently to conduct fact-finding missions and witness-hearings than to commission or hold consultations with scientific or technical experts.Footnote 131 As to the discretionary nature of this power, Judge Gyulumyan argued in her dissenting opinion in Chiragov v Russia that:
[w]here the facts cannot be established on the basis of the parties’ written submissions, the right of the Court to initiate a fact-finding mission turns into a legal obligation to do so in order to be in line with its obligations under the Convention.Footnote 132
While this refers to ‘fact-finding missions’, the argument can be extended to expert consultations as well.Footnote 133 In line with this view, it would be inconsistent with the ECHR for the Court to adopt a nihilist or purely adversarial approachFootnote 134 when confronted with difficulties understanding or resolving contestations between parties concerning scientific evidence. Admittedly, not all situations where it might be advantageous to consult scientific experts can be characterized as ones where the Court is obligated to seek such assistance. However, the legitimacy-enhancing function of expert consultations in the Court's adjudication of environmental cases serves as a strong argument in favour of utilizing this power.
The authors are aware that actively harnessing the potential of the Rule A1 power may be controversial.Footnote 135 One may question what makes an independent expert ‘independent’, and an ‘expert’. Questions such as this have been major stumbling blocks, for instance, in the debate about the safety of nuclear power, with experts disagreeing with each other and claiming that others’ views are based on politics rather than science.Footnote 136 Moreover, experience in other international tribunals demonstrates the considerable difficulty a court faces in selecting its own independent experts.Footnote 137 However, these concerns should invite further discussion on refining the process of identifying independent experts and delimiting their role under the Rule A1 procedure, rather than avoiding recourse to expert assistance. For example, valuable insights may be gained from the experience of the WTO-DSB into how to ensure procedural legitimacy in the appointment of scientific experts.Footnote 138 This discourse is important for the ECtHR, given the unavoidability of involving experts in legal issues before the Court,Footnote 139 and the prevalence of evidence from party-appointed experts and evidence generated at the local level by national authorities of the respondent State. The selection of appropriate institutions or individual experts fit for the purpose of assisting the Court will vary with each case, but, as a minimum, standards of procedural fairness under Article 6 of the ECHR should inform the Court's exercise of the Rule A1 power.Footnote 140
An important pragmatic consideration in the exercise of the Rule A1 power by the Court is that of costs. The CoE would have to bear the cost of paying experts consulted by the Court proprio motu.Footnote 141 It has been noted that financial considerations have motivated the Court to replace fact-finding missions with strategies like reversals in burden of proof and reliance on other readily available evidence from international organizations.Footnote 142 As this article has demonstrated, such adjustments to evidentiary rules may only amount to a half-measure in the face of the problems posed by complex scientific evidence in environmental cases. It is difficult to determine whether the financial costs of appointing scientific experts are comparable to commissioning a fact-finding mission and would create similar difficulties. Not all who are familiar with the workings of the Court share the concern that frequent reliance on the Rule A1 power to consult experts would be too expensive to justify.Footnote 143 In any event, a cost–benefit assessment of commissioning independent scientific experts to assist the Court may reveal that the investment is worth it in terms of the increase in legitimacy. It is not possible to demonstrate empirically whether such gains in the normative legitimacy of the ECtHR would translate into social legitimacy,Footnote 144 but there are scholars who suggest that they would.Footnote 145
A final point worth mentioning is the role played by amici curiae in relation to scientific fact-finding.Footnote 146 International rights-based litigation has witnessed a rise in interventions by non-governmental organizations (NGOs) and research organizations by means of amicus briefs (and oral presentations) meant to facilitate the work of international judges.Footnote 147 This is exemplified by the KlimaSeniorinnen case, where the Court granted leave to intervene to the highest number of third parties in a case to date.Footnote 148 While it is not evident from the KlimaSeniorinnen judgment that any of these interventions were relied upon or consequential for the Court's findings, some amicus curiae interventions have meaningfully directed the Court's attention to legal arguments and factual information not introduced to it by the parties to the case.Footnote 149 However, opinions of amici curiae cannot be equated with those of experts.Footnote 150 While experts are required to be non-partisan, the same cannot necessarily be said of amici curiae, although they are required to be as independent and impartial as possible, and cannot express direct support for either party.Footnote 151 Although amici curiae can add value to the fact-finding process, the robust selection procedure for experts lends significant probative value to their input.Footnote 152
VIII. CONCLUSION
This article has highlighted several different issues which can be described as symptoms of the deeper problem that the ECtHR has when it is confronted with scientific evidence, namely, its inability to understand, engage with and evaluate such evidence properly. These include problems in the Court's reasoning ability when it tries to account for the asymmetry in the applicant and respondent's respective abilities to adduce relevant scientific evidence, its questionable deference to determinations by national authorities in the respondent State, and its apparent inability to elaborate elements of due diligence and/or the shortcomings in the respondent's conduct based on analyses of evidence.
The article suggests that the ECtHR should seek to engage more robustly with scientific evidence, particularly in environmental cases which involve technical questions of science at almost every stage of proceedings, in order to avoid further damage to its perceived legitimacy. One way in which the ECtHR could do this would be to make liberal use of its power to seek assistance from independent scientific experts. The Court has been described as an underrated forum for environmental litigation,Footnote 153 and, criticism notwithstanding, its environmental jurisprudence will continue to grow as new cases are brought before it. Now more than ever, it must be explored not whether, but how the Court can improve its handling of scientific evidence in environmental cases, and the potential solution suggested in this article of operationalizing its power under Rule A1 to seek assistance from independent scientific experts warrants serious consideration by the Court.
ACKNOWLEDGEMENTS
The authors would like to thank Corina Heri and Nele Schuldt for their feedback on a previous iteration of this article, and Viktoriya Gurash for her assistance. They would also like to thank the editors Alex Mills and Anna Riddell-Roberts for all the help they provided during the editorial process.