Document

PO-2210

File #  PA-020385-1
Institution/HIC  Ministry of Health and Long-Term Care
Summary  NATURE OF THE APPEAL: The Ministry of Health and Long-Term Care (the Ministry) received a request under the Freedom of Information and Protection of Privacy Act (the Act ) for the following information: I am looking for two IHS Assessment reports that were completed by the College of Physicians and Surgeons of Ontario (Independent Health Facilities) on November 21, 2000 and May 8, 2002 for [a named IHF] located at [a specific address]. The Ministry identified two responsive records. It then notified the named IHF and an individual whose interests could be affected by disclosure. After considering submissions from the IHF, the Ministry advised the requester that the reports would be disclosed in part, subject to certain severances under section 21 of the Act (invasion of privacy) for portions that contain the educational or employment history of identifiable individuals. The requester did not appeal this decision. However, the IHF (now the appellant) appealed the Ministry's decision to disclose the remaining portions of the two reports. The appellant contends that these portions qualify for exemption under section 17(1) of the Act (third party commercial information). Mediation did not resolve the appeal, so it was transferred to the adjudication stage. I initially sent a Notice of Inquiry to the appellant and the Ministry outlining the facts and issues in the appeal and seeking representations. Both parties submitted representations. I then sent a copy of the Notice to the requester, along with the Ministry's representations and the non-confidential portions of the appellant's representations. The requester also provided representations, the non-confidential portions of which were in turn shared with the appellant. The appellant submitted additional representation in reply. RECORDS: The records at issue consist of two Assessment Reports prepared for the Independent Health Facilities Program dated December 20, 2000 and May 15, 2002. DISCUSSION: THIRD PARTY INFORMATION The Ministry decided to disclose the two reports (other than portions that qualify for exemption under section 21) on the basis that they do not qualify for exemption under section 17(1) of the Act . Accordingly, the appellant, as the only party resisting disclosure, bears the onus of establishing the requirements of the section 17(1) exemption. For the reports to qualify for exemption under sections 17(1) the appellant must satisfy each part of the following three-part test: the reports must reveal information that is a trade secret or scientific, technical, commercial, financial or labour relations information; the information must have been supplied to the Ministry in confidence, either implicitly or explicitly; and the prospect of disclosure of the record must give rise to a reasonable expectation that one of the harms specified in sections 17(1)(a), (b) or (c) will occur. [Orders 36, P-373, M-29 and M-37] Part 3: Harms I have decided to deal with part 3 of the section 17(1) test first. For part 3 to apply, the appellant must demonstrate that disclosing the reports "could reasonably be expected to" lead to the specified result. To meet this test, the appellant must provide "detailed and convincing" evidence to establish a "reasonable expectation of harm". Evidence amounting to speculation of possible harm is not sufficient [ Ontario (Workers' Compensation Board) v. Ontario (Assistant Information and Privacy Commissioner) (1998), 41 O.R. (3d) 464 (C.A.)]. The harms identified in sections 17(1)(a), (b) and (c) are: (a) significant prejudice to the competitive position or significant interference with the contractual or other negotiations of a person, group of persons, or organization; (b) result in similar information no longer being supplied to the Ministry where it is in the public interest that similar information continue to be so supplied; (c) undue loss or gain to any person, group, committee or financial institution or agency. Some of the appellant's submissions regarding the harms component of section 17(1) relate to a requester in a different appeal involving the same records, and have no relevance to the harms arguments here. The appellant's remaining representations on harms consist of the following arguments: Further to this, [the appellant's] competitors would have access to [the appellant's] trade secrets, technical as well as commercial information should [the] Reports be disclosed. They would then be able to reap the advantage of [the appellant's] efforts and diligence. [The appellant's] competitors would also be able to use the information in the Reports to unfairly tarnish [the appellant's] reputation. This would result in an undue gain being bestowed upon [the appellant's] competitors. Finally, as indicated above, the purpose of the Reports is to improve the quality of service offered in health care facilities. If service providers feel that the inspections of the facilities and the reports generated thereby would harm them in any way, they will be far less cooperative with the inspectors. This will reduce the effectiveness of the inspections and the reports which would in turn prevent the parties from working together to improve services which would in turn harm the general public. The Ministry takes a different view. In reaching its decision to provide the requester with access, the Ministry states: The presentation of [the appellant] is not to disclose any part of the reports because [the appellant] believes the reports contain confidential technical and commercial information and potentially prejudicial concerns about the facility; however, I do not feel that [the appellant] has provided sufficient evidence of either this position or of the harm to its business that could result from disclosure. … The requester also disagrees with the appellant. In responding to the appellant's arguments on the harms component of section 17(1), the requester submits: … We requested the assessment to protect the general public. It is very disheartening to see that a corporation that is in the business of providing health care would not want to cooperate with inspectors even if the reports were not deemed confidential. How can these reports truly harm the appellant? We all learn from our mistakes … but if this can be prevented in the future have we not all gained something from this? In its final set of representations, the appellant replies as follows: [The appellant] endeavours to provide an exceptional quality of care and appreciates the feedback it receives from inspectors who have examined [the appellant's] facilities, however, like any business in a highly competitive field, [the appellant] must take the necessary steps to ensure that its trade secrets and proprietary information remains confidential. As outlined in our previous representations, the disclosure of [the appellant's] confidential information would allow its competitors to take advantage of [the appellant's] research and development and to tarnish [the appellant's] reputation by misrepresenting the information in the ass
Legislation
  • FIPPA
  • 17(1)(a), (b) & (c)
Subject Index
Signed by  Tom Mitchinson
Published  Dec 02, 2003
Type  Order
<< Back
Back to Top
25 Years of Access and Privacy
To search for a specific word or phrase, use quotation marks around each search term. (Example: "smart meter")