FIFTH SECTION
CASE OF THE ASSOCIATION FOR EUROPEAN INTEGRATION
AND HUMAN RIGHTS AND EKIMDZHIEV v. BULGARIA
(Application no. 62540/00)
JUDGMENT
STRASBOURG
28 June 2007
This judgment will become final in the circumstances
set out in Article 44 § 2 of the Convention. It may be
subject to editorial revision.
In the case of the Association for European Integration
and Human Rights and Ekimdzhiev v. Bulgaria,
The European Court of Human Rights (Fifth Section), sitting
as a Chamber composed of:
Mr P. Lorenzen, President,
Mrs S. Botoucharova,
Mr K. Jungwiert,
Mr V. Butkevych,
Mrs M. Tsatsa-Nikolovska,
Mr R. Maruste,
Mr M. Villiger, judges,
and Mrs C. Westerdiek, Section Registrar,
Having deliberated in private on 5 June 2007,
Delivers the following judgment, which was adopted on
that date:
PROCEDURE
1. The case originated in an application (no.
62540/00) against the Republic of Bulgaria lodged with
the Court under Article 34 of the Convention for the Protection
of Human Rights and Fundamental Freedoms (“the Convention”)
on 13 September 2000. It was lodged by the Association
for European Integration and Human Rights, a non‑profit
association founded in March 1998 and having its registered
office in Plovdiv (“the applicant association”) and by
Mr Mihail Ekimdzhiev, a Bulgarian national who was born
in 1964 and lives in Plovdiv (“the second applicant”).
2. The applicant association was represented
by the second applicant, who is a lawyer and who acted pro
se. The Bulgarian Government (“the Government”) were
represented by their Agent, Ms M. Kotseva, of the Ministry
of Justice.
3. The applicants alleged that the Bulgarian
legislation allowing the use of secret surveillance measures
infringed their rights under Articles 6 § 1, 8 and 13 of
the Convention, as it fell short of the standards stemming
from the Court's case‑law under these provisions.
4. On 10 June 2005 the Court decided to give
notice of the application to the Government. Under the
provisions of Article 29 § 3 of the Convention, it decided
to examine the merits of the application at the same time
as its admissibility.
THE FACTS
I. THE CIRCUMSTANCES OF THE CASE
5. One of the principal aims of the applicant
association is the protection of human rights. The second
applicant is a lawyer. His practice includes acting as
counsel in civil and criminal cases in the courts in Plovdiv
and representing applicants in proceedings before the European
Court of Human Rights.
6. Their application is directed against the
Special Surveillance Means Act of 1997, a piece of legislation
which presently regulates the use of special means of surveillance
in Bulgaria. The applicants do not aver that surveillance
measures have in fact been ordered or implemented against
them, nor that they have been indirectly involved in a
surveillance measure directed against other persons. They
contend that under the law as it stands they may be subjected
to such measures at any point in time without any notification
prior to, during, or after the said measures are applied.
II. RELEVANT DOMESTIC LAW AND PRACTICE
A. The Constitution of 1991
7. The relevant provisions of the Constitution
of 1991 are:
Article 32
“1. The private life of citizens shall be inviolable.
Everyone shall have the right to be protected against unlawful
interferences with his private and family life and against
encroachments on his honour, dignity and reputation.
2. No one may be spied on, photographed, filmed,
recorded, or subjected to similar actions without his or
her knowledge or despite his or her express disagreement,
except in cases provided for by law.”
Article 33 § 1
“The home shall be inviolable. No one may enter or remain
in it without the consent of its inhabitant, except in
the cases expressly specified by law.”
Article 34
“1. The freedom and secret of correspondence
and other communications shall be inviolable.
2. This rule may be subject to exceptions only
with the permission of the judicial authorities when necessary
for uncovering or preventing serious offences.”
Article 41 § 2
“Citizens shall have the right to information from state
bodies or agencies on any matter of legitimate interest
to them, unless the information is a state secret or a
secret protected by law, or affects the rights of others.”
Article 117 § 2
“The judiciary shall be independent. In carrying out their
duties the judges, the jurors, the prosecutors and the
investigators shall have regard solely to the law.”
B. The Special Surveillance Means Act of 1997
8. The Special Surveillance Means Act of 1997
(„Закон за специалните разузнавателни средства“ – “the
SSMA”), which presently is the principal legislative enactment
regulating the use of special means of surveillance, was
adopted in October 1997. It underwent minor amendments
in August 1999 and June 2000, more extensive ones in February
2003, and some further minor changes in April 2006. Its
essential provisions have however remained intact since
its adoption and the account which follows is based on
their present version.
9. The SSMA governs the conditions for and
the manner of use of special means of surveillance, as
well as the control of their use and of the results obtained
thereby (section 1(1)). It defines special means of surveillance
as technical devices which can be used for creating photographs,
audio and video recordings and marked objects, as well
as the methods for operating them (section 2(1)).
10. By section 3(1) of the SSMA, special means
of surveillance may be used when necessary to prevent or
uncover serious offences (Article 93 § 7 of the Criminal
Code of 1968 defines a “serious” offence as one punishable
by more than five years' imprisonment), if the requisite
intelligence cannot be obtained through other means. Section
4 provides that special means of surveillance may also
be used for activities relating to national security.
11. Special means of surveillance may be used
against persons suspected, on the basis of the information
available, of planning, committing, or having committed
serious offences, or against persons who might be unwittingly
involved in the above by the suspected perpetrators. Such
means may also be used against persons and objects related
with national security (section 12(1)). Such means may
also be used in respect of persons who have agreed to that
in writing, to protect their lives or property (section
12(2)).
12. Only the following bodies may request the
use of special means of surveillance and draw on the intelligence
obtained thereby, in the spheres of their respective competencies:
(i) the central “Security” and “Police” services of the
Ministry of Internal Affairs, as well as the national and
territorial directorates of that Ministry; (ii) the “Military
Information” and “Military Police and Military Counter‑Intelligence”
services of the Ministry of Defence; (iii) the National
Intelligence Service; (iv) the National Investigation Service,
the Sofia Investigation Service and the regional investigation
services; (v) the Prosecutor‑General, the Supreme Cassation
Prosecutor's Office, the Supreme Administrative Prosecutor's
Office, the Military Appellate Prosecutor's Office, the
appellate prosecutor's offices, the Sofia City Prosecutor's
Office and the regional and regional‑military prosecutor's
offices (section 13(1) and (2)).
13. The procedure for deploying special means
of surveillance starts with a written application by the
head of the respective service. The application must set
out in detail the circumstances grounding the suspicion
that a serious offence is being planned or committed or
has been committed, so as to justify the use of surveillance.
It must also fully describe the steps which have already
been undertaken and the results of the hitherto inquiries
or investigations. It has to contain information allowing
the identification of the persons or objects to be subjected
to surveillance, its duration, and the methods to be used.
Finally, the application has to specify the name of the
official to be informed of the results obtained (section
14(1)).
14. The application is made to the president
of the Sofia City Court or of the respective regional court,
or to a duly authorised deputy (for military personnel
the application is made to the president of the deputy‑president
of the respective military regional court) who may issue
a warrant (section 15(1)). If they refuse to issue
a warrant, the application may be re‑submitted to the president
or a duly authorised deputy of the respective court of
appeals (section 15(3)). The decision whether or not
to issue a warrant must be taken immediately upon receipt
of the application, and the originals of the application
and of the warrant must be returned to the service which
has made the application (section 15(2)).
15. After the warrant is issued, the Minister
of Internal Affairs or a deputy‑minister designated in
writing by the Minister makes a written order for the deployment
of special means of surveillance (section 16). In urgent
cases, this step of the procedure may be skipped and the
deployment may start immediately upon the issue of the
warrant (section 17). However, in that case the Minister
or the deputy‑minister must be informed without delay (ibid.).
16. Section 18(1) of the SSMA provides for
an exception to the procedure outlined above in cases where
there is an immediate risk that a serious intentional offence
may be committed or where there is an immediate threat
to national security. In such cases, the Minister of Internal
Affairs or a deputy‑minister designated by the Minister
may order the deployment of special means of surveillance
without a judicial warrant. The deployment of these means
must be discontinued if the warrant is not issued within
twenty‑four hours (section 18(2)). In that case, the president
or the vice‑president of the respective court decides whether
the material obtained is to be kept or destroyed (ibid.).
He or she may thus retrospectively validate the use of
special means of surveillance (section 18(3)).
17. The Minister of Internal Affairs or a deputy‑minister
authorised in writing may discontinue the use of special
means of surveillance at any time before the planned end
of the surveillance. In that case, the president or the
vice‑president of the respective court must be informed
in writing (section 19).
18. The only services which are authorised
to deploy special means of surveillance are the “Operative
and Technical Information”, the “Operative Tracking” and
the “Protection of the Means of Communication” directorates
of the Ministry of Internal Affairs (section 20(1)). However,
the National Intelligence Service and the intelligence
services of the Ministry of Defence may also deploy such
means in the performance of their duties (section 20(2)).
19. Special means of surveillance may be used
for a maximum of two months (section 21(1)). This
time may, if necessary, be extended by the president or
the vice‑president of the respective court for up to six
months, by a fresh warrant (section 21(2)).
20. The use of special means of surveillance
must be discontinued after the expiry of the time‑limit
set in the warrant, after the desired aims have been attained,
or if the use of the means proves fruitless (section 22(1)).
21. The intelligence obtained by such means
must be recorded (section 24). It must then, immediately
after being obtained, be put down in writing by the service
which has in fact deployed the means (section 25(1)). The
resulting document, which must faithfully reflect the contents
of the recordings, is sent to the body which has requested
the use of such means, possibly along with photographs
and recordings (section 25(2), (3) and (4)). While the
special means of surveillance are still being used, the
original recordings must be kept at the service which has
deployed them (section 25(5)).
22. If at the end of the period of authorised
surveillance the sought intelligence has been obtained,
the service which has deployed the means of surveillance
draws up a note of physical evidence (section 27). The
same is done if the sought intelligence has been obtained
before the end of the period, pursuant to the written request
of the body which has requested the measures (section 26).
Conversely, if the use of the means is fruitless, the body
which has requested it advises in writing the service which
deploys them that their use is to be discontinued. In that
case no note of physical evidence is drawn up and the material
obtained is destroyed (section 28(1) and (2)).
23. The note of physical evidence must conform
to the requirements of the Code of Criminal Procedure (section
29(1)). It has to be signed by the head of the service
which has deployed the means (section 29(2)) and refer
to the application for their use, the order of the Minister
or the deputy‑minister and the judicial warrant (section
29(3)). It has to specify the time and place of the use
of the means, the types of devices and methods employed,
the intelligence obtained, the textual reproduction of
this intelligence, and the physical conditions under which
the intelligence has been acquired (section 29(4)). The
raw data is part of the record (section 29(5)). The
evidence thus obtained is kept by the Ministry of Internal
Affairs pending the opening of a criminal investigation.
After the opening of an investigation the evidence is kept
by the respective judicial authorities (section 31(1) and
(2)). The intelligence which is not used as evidence has
to be destroyed by the directorate which has deployed the
means within ten days and the destruction has to be recorded
in minutes (section 31(3)).
24. If the special means of surveillance have
yielded results outside the scope of the initial application
for their use and if these results come within the purview
of other bodies allowed to request the use of such means
(see paragraph 12 above), the Minister of Internal Affairs
or the duly authorised deputy‑minister must be notified
immediately. He or she then decides how this intelligence
is to be used (section 30).
25. The information obtained by using special
means of surveillance may not be used for ends other than
the prevention and detection of offences, or the gathering
of evidence for the perpetration of offences, in accordance
with the conditions and the manner specified by the law
(section 32).
26. All persons who come across information
about the use of special means of surveillance under the
conditions and according to the manner set out in the SSMA,
or intelligence obtained thereby, are under a duty not
to disclose it (section 33).
27. The overall control over the use of special
means of surveillance and the intelligence obtained thereby
is entrusted to the Minister of Internal Affairs, who may
issue instructions for the application of the SSMA (section
34(1) and paragraph 2 of the concluding provisions of the
Act). The directorates which deploy these means may also
carry out inspections to check whether special means of
surveillance have been unlawfully used (section 34(2)).
28. To date, no instructions or regulations
on the implementation of the SSMA have been published in
the State Gazette.
C. The Constitutional Court's judgment in case
no. 17/1997
29. In a judgment of 10 February 1998, published
in the State Gazette on 17 February 1998 (реш. № 1
от 10 февруари 1998 г. по конституционно дело № 17 от 1997
г., обн., ДВ, бр. 19 от 17 февруари 1998 г.) the Constitutional
Court rejected an application by the Prosecutor‑General
to declare sections 18(1), 19, 30 and 34(1) of the SSMA
contrary to Articles 34 § 2 and 117 § 1 of the Constitution.
30. The court started by noting that the special
means of surveillance regulated by the SSMA amounted to
interferences with private life, home and correspondence,
all of which were permissible under Articles 32 §
2, 33 and 34 § 2 of the Constitution (see paragraph 7 above).
31. The court then proceeded to examine section
18(1) of the SSMA, which allows, under certain conditions,
the use of special means of surveillance before the issue
of judicial warrant. It held that Article 34 § 2 of
the Constitution could not be read as requiring the prior
issue of warrant in every case. The risk of abuse by the
executive was reduced by the facts that the possibility
of dispensing with prior judicial control was narrowly
circumscribed and that immediate subsequent control was
mandatory. This state of affairs was also compatible with
Article 8 of the Convention and Article 17 of the International
Covenant on Civil and Political Rights. In the court's
view, the SSMA provided an even higher level of protection
than these instruments.
32. As regards section 19 of the SSMA, the
court found that the possibility for the Minister of Internal
Affairs to discontinue the use of special means of surveillance
was not violative of Article 117 § 2 of the Constitution.
While by Article 34 § 2 of the Constitution and section
15 of the SSMA the judiciary alone was empowered to authorise
the use of such means, it was not the only branch of government
which could order the termination of their use. The prerogative
of the Minister did not therefore impinge on the independence
of the judiciary.
33. With regard to section 30 of the SSMA,
the court held that its true meaning, when read in the
context of the Act as a whole, was not that the Minister
of Internal Affairs could order the use of special means
of surveillance anew if intelligence outside the scope
of the initial request for their use was obtained. It was
rather to be construed as allowing the Minister to decide
to which authority to forward the intelligence already
obtained. His powers in this respect were thus not in breach
of Article 117 § 2 of the Constitution.
34. Concerning section 34(1) of the SSMA, which
entrusts the overall control over the system to the Minister
of Internal Affairs, the court noted that it was impossible
to empower another minister, let alone a non‑executive
body, with such functions, because that would disrupt the
equality between, and the independence of, the three branches
of government. This followed also from paragraph 2 of the
concluding provisions of the SSMA, which allowed the Minister
to issue instructions for its application. Moreover, the
logic of the system, which was apparent from the wording
of section 31 of the Act, required that the Minister be
made responsible for controlling the use of the special
means of surveillance until the moment when the intelligence
obtained thereby was given to the judicial authorities.
Therefore, the judicial control over the intelligence thus
gathered had not been infringed and the resulting situation
was compatible with Article 117 § 2 of the Constitution.
35. Two judges dissented in part.
36. One of them was of the opinion that section
34(1) of the SSMA, which entrusts the control over the
use of special means of surveillance to the Minister of
Internal Affairs, was unconstitutional. In his view, this
provision was not sufficiently precise and the powers it
conferred to the Minster were not clearly delineated. It
followed from the reading of the SSMA as a whole that the
Minister had powers in respect of both the use and the
control over the use of special means of surveillance,
which was inadmissible. The resulting lack of external
control meant that section 34(1) was unconstitutional.
When the law spoke about control over the system, it meant
control over both its functioning as a whole and control
in specific cases. To bestow controlling functions to the
Minister, who also played a key part in the operation of
the system, did not provide sufficient safeguards against
the unwarranted use of special means of surveillance.
37. The other dissenting judge considered that
section 18(1) of the SSMA was unconstitutional, in that
it allowed the Minister of Internal Affairs to order the
use of special means of surveillance without the prior
issue of judicial warrant, even in cases when their use
would interfere with the freedom of correspondence or other
communications. In his view, Article 34 § 2 of the Constitution,
which protects those freedoms, required prior judicial
authorisation in all cases.
D. The Codes of Criminal Procedure of 1974
and 2005
38. Articles 111‑13a of Code of Criminal Procedure
of 1974 (“the Code of 1974”) also regulated the use of
special means of surveillance in the context of pending
or impending criminal proceedings. They coincided almost
verbatim with the provisions of the SSMA. One difference
was that Article 111b § 6 provided that the judge who issued
the warrant had to be informed in writing when the use
of the means was discontinued. If their use had been fruitless,
he or she was to order the destruction of the material
obtained.
39. These provisions were superseded by Articles
172‑77 of the Code of Criminal Procedure of 2005 (“the
Code of 2005”), which entered into force on 29 April 2006.
40. By Article 172 §§ 1 and 2 of the Code of
2005, the investigation authorities may use special means
of surveillance for investigating certain serious offences,
which are exhaustively listed, if the relevant facts cannot
be established in another manner or if their establishment
would be extremely difficult. Such means may be used for
a maximum duration of two months (Article 175 § 3), which
may, if needed, be extended by four months (Article 175
§ 4).
41. The procedure starts with a reasoned application
made by the prosecutor in charge of the case (Article 173
§ 1). The application must contain information about the
offence under investigation, a description of the hitherto
investigative steps and their results, information about
the persons or objects which will be subjected to surveillance,
the methods which will be used and the duration of the
surveillance (Article 173 § 2). The surveillance warrant
is issued under the hand of the president of the respective
regional court or of a specifically authorised deputy (Article 174
§ 1). He or she must issue the warrant or refuse to do
so immediately after receiving the application, and give
reasons (Article 174 § 3). If he or she refuses, the
application may be re‑submitted to the president of the
respective court of appeals or a specifically authorised
deputy (Article 174 § 4). All applications and warrants
are recorded in a special non‑public register (Article
174 § 6). The Code of 2005 makes no provision for exceptions
from this procedure save in the case of an undercover agent,
who may, in urgent cases, start to operate pursuant to
a prosecutor's order, which must be confirmed by the respective
judge within twenty‑four hours (Article 173 § 4).
42. After the issue of warrant the special
means of surveillance are deployed in accordance with the
provisions of the SSMA (Article 175 § 1). The judge who
issued the warrant must be informed in writing when the
use of the means is discontinued. If their use has been
fruitless, the judge orders the destruction of the material
obtained (Article 175 § 6).
E. Relevant provisions of the Protection of
Classified Information Act of 2002
43. The Protection of Classified Information
Act of 2002 („Закон за защита на класифицираната информация“
– “the PCIA”), which was enacted in April 2002 and amended
several times thereafter, provides a comprehensive framework
for the creation, processing and storage of classified
information, as well as the conditions and the procedure
for providing access to such information (section 1(1)).
“Classified information” includes information which is
a state or an official secret (section 1(3)).
44. Section 25 defines a “state secret” as
the “information set out in Schedule No. 1 [to the Act],
the unregulated access to which could endanger or prejudice
the interests of the Republic of Bulgaria and which relates
to the national security, the defence, the foreign policy,
or the protection of the constitutional order”. Schedule
No. 1 to the Act sets out a list of the categories of information
which are liable to be classified as being a state secret.
Thus, the information about special means of surveillance
(technical devices and/or the manner of their use) used
pursuant to the law is a state secret (point 6 of part
II of Schedule No. 1). So is the intelligence obtained
as a result of the use of such means (point 8 of part II
of Schedule No. 1).
45. Section 26(1) defines an “official secret”
as the “information created or stored by state or local
government authorities, which is not a state secret, but
the unregulated access to which could have a negative impact
on the interests of the State or on another legally protected
interest”. By section 26(2), the information classified
as an “official secret” must be set out in a statute.
46. Section 34(1) lays down time‑limits for
protecting classified information. They vary from thirty
years for information marked as “highly secret” to two
years for information graded as an “official secret”. These
time‑limits may be extended, but by not more than the double
of their original length (section 34(2)). After the expiration
of these time‑limits the access to this information is
effected in accordance with the Access to Public Information
Act of 2000 (section 34(3)).
47. While the information is classified, it
may be accessed only under certain conditions and by limited
categories of persons, which must, in most cases, undergo
a security check and obtain a security clearance (sections 36‑71).
48. Section 33(3) provides that classified
information may not be destroyed earlier than one year
after the expiration of the time‑limit for its protection.
The destruction of such information is possible only by
virtue of a decision of the State Information Security
Commission, made pursuant to the proposal of a special
commission (section 33(4)). The Commission's decision is
subject to review by the Supreme Administrative Court (section 34(5)).
F. The judgment of the Supreme Administrative
Court in case no. 9881/2003
49. In a final judgment of 12 February 2004
(реш. № 1195 от 12 февруари 2004 г. по адм. д. № 9881/2003
г.), given pursuant to an appeal by a person who had been
refused information on whether the use of special means
of surveillance had been authorised against him during
the period 1 January 1996 – 1 November 2001, the Supreme
Administrative Court held that while Article 41 of the
Constitution enshrined the right to obtain information
from a state body, that right was subject to limitations
when, for instance, this information was a state or an
official secret. It was apparent from section 33 of the
SSMA that information about the use of special means of
surveillance was not to be disclosed. The refusal to provide
the requested information was thus compatible with Article
32 § 2 of the Constitution and Article 8 of the Convention.
The appellant's argument that the refusal had been in breach
of the Protection of the Personal Data Act of 2002 was
inapposite, because the material gathered pursuant to the
SSMA was outside the purview of the Protection of the Personal
Data Act of 2002, as was the information whether the use
of special means of surveillance had been authorised. The
appellant's further arguments that the information requested
was not a state or an official secret within the meaning
of sections 25 and 26 of the PCIA and could moreover
be divulged because of the expiry of the two‑year time‑limit
under section 34(1)(4) of that Act were likewise unavailing,
because that Act did not apply retroactively.
G. The judgment of the Supreme Administrative
Court in case no. 996/2004
50. In a final judgment of 15 May 2004 (реш.
№ 4408 от 15 май 2004 г. по адм. д. № 996/2004 г.), given
pursuant to an appeal by the same person as in case no.
9881/2003 (see paragraph 49 above), concerning a further
refusal to inform him of measures of covert surveillance
against him, the Supreme Administrative Court held that
his request for such information had properly been denied,
because the information relating to special means of surveillance
and the intelligence obtained by using them was a state
secret within the meaning of section 25 of the PCIA and
points 6 and 8 of part II of Schedule No. 1 to the PCIA
(see paragraphs 43‑45 above). On the other hand, the eventual
intelligence obtained pursuant to a warrant to use special
means of surveillance, as well as the warrant itself, were
an official secret within the meaning of section 26(1)
of the PCIA. This followed also from the prohibition to
divulge information about special means of surveillance
laid down in section 33 of the SSMA. The court went on
to hold that the fact that the use of special means of
surveillance could only be authorised by the presidents
of the regional courts was sufficient to ensure independent
judicial review of the activities of the executive and
provided sufficient safeguards against unwarranted restriction
on the citizens' rights.
H. The Criminal Code of 1968
51. Article 145a § 1 of the Criminal Code of
1968 criminalises the use of information obtained through
special means of surveillance for ends other than protecting
national security or combating crime. The offence is aggravated
if it has been committed by officials who have acquired
or have come across this information in connection with
the performance of their duties (paragraph 2 of that Article).
It is furthermore an offence to unlawfully use information
obtained through such means with a view to misleading a
judicial authority (Article 287a § 1 (4) of the Code).
There is no reported case‑law on the application of these
texts.
I. Relevant official reports and newspaper
publications
52. In the end of 2000 the Supreme Cassation
Prosecutor's Office carried out a special inquiry on the
use of special means of surveillance by the Ministry of
Internal Affairs during the period 1 January 1999 – 1 January
2001. While the inquiry was pending, the prosecutor in
charge gave an interview, published in the daily Trud on
24 November 2000, in which he said that the Ministry of
Internal Affairs was obstructing the inquiry. The report
of the inquiry, which was finalised in January 2001, was
presented to the National Assembly, the Council of Ministers,
the Supreme Judicial Council and the Ministry of Internal
Affairs, but was apparently not made available to the general
public. Nevertheless, some of the report's findings were
leaked to and reported by several daily newspapers. The
report stated that the overall number of warrants for the
use of special means of surveillance during the period
1 January 1999 – 1 January 2001 was just over 10,000, and
that not including tapping of mobile phones. Out of these,
only 267 or 269 had subsequently supplied evidence for
use in criminal proceedings. In 243 cases special means
of surveillance had been used against persons in respect
of whom there had been no grounds for suspecting that they
had committed a serious intentional offence. In a number
of cases the orders for the deployment of such means had
not been signed by the Minister of Internal Affairs himself,
but by unknown persons on his behalf. In 36 cases the dates
of the applications for warrants and of the warrants themselves
had been modified. In 28 cases the warrants had not been
assigned a number. In some cases the warrants had authorised
measures implemented more than twenty‑four hours before
their issue. In two cases the persons in respect of whom
the warrants had been issued were not the persons under
investigation.
53. In an interview published by the daily Trud on
26 January 2001 the Minster of Internal Affairs said that
during his thirteen months in office he had signed 4,000
orders for the use of special means of surveillance.
54. During the period December 2002 – February
2003 various newspaper publications reported a number of
cases where it was alleged that the services of the Ministry
of Internal Affairs had unlawfully used special means of
surveillance. The allegations included illegal tapping
of the telephones of opposition leaders, journalists, a
former constitutional court judge, and other judges. In
an interview published on 11 December 2002 the Minister
of Justice stated that “a tremendously high number of wiretappings
take place in Bulgaria, but apparently for aims different
from those of the criminal process”.
THE LAW
I. ADMISSIBILITY
A. The parties' submissions
55. The Government disputed the applicant association's
status as a victim within the meaning of Article 34 of
the Convention. In their view, legal persons could not
invoke the protection of Article 8 of the Convention. The
Government relied on the former Commission's decision in
the case of Scientology Kirche Deutschland v. Germany (no.
34614/97, Commission decision of 7 April 1997, unreported).
56. The applicants replied that even if it
were to be admitted that legal persons could not have a
private or family life within the meaning of Article 8
of the Convention, the same was not true of correspondence,
in the form of mail or of telephone or electronic communications.
They further pointed out that the applicant association
was a “human rights watchdog”. It mounted strategic human
rights cases, which was often viewed with resentment and
hostility by the authorities. Several lawyers, widely known
for their criticism of the authorities, were working on
staff. Domestic and international human rights organisations,
as well as people seeking legal advice, some of whom were
prisoners, accounted for a large part of its correspondence.
There was therefore a reasonable likelihood that its communications
– which in practice were indistinguishable from those of
the lawyers working for it – could have been monitored.
Moreover, as these communications were between lawyers
and clients and their monitoring could have an incidence
on the rights enshrined in Article 6 of the Convention,
the Court had to apply a more rigorous standard in assessing
the potential interference with them.
B. The Court's assessment
57. Article 34 of the Convention provides,
as relevant:
“The Court may receive applications from any person, non-governmental
organisation or group of individuals claiming to be the
victim of a violation by one of the High Contracting Parties
of the rights set forth in the Convention or the Protocols
thereto. ...”
58. The Court considers that this case closely
resembles the cases of Klass and Others v. Germany, Malone
v. the United Kingdom, and Weber and Saravia v.
Germany. In all these cases the Court found that to
the extent that a law institutes a system of surveillance
under which all persons in the country concerned can potentially
have their mail and telecommunications monitored, without
their ever knowing this unless there has been either some
indiscretion or subsequent notification, it directly affects
all users or potential users of the postal and telecommunication
services in that country. The Court therefore accepted
that an individual may, under certain conditions, claim
to be the victim of a violation occasioned by the mere
existence of secret measures or of legislation permitting
them, without having to allege that such measures were
in fact applied to him or her (see Klass and Others,
judgment of 6 September 1978, Series A no. 28, pp. 16‑20,
§§ 30‑38; Malone v. the United Kingdom, judgment
of 2 August 1984, Series A no. 82, p. 31, § 64; and Weber
and Saravia v. Germany ((dec.), no. 54934/00, §§ 78
and 79, ECHR 2006‑...).
59. In line with its holdings in these cases,
the Court finds that the second applicant, being an individual,
can claim to be victim, within the meaning of Article 34,
on account of the very existence of legislation in Bulgaria
permitting secret surveillance. It notes in this connection
that the applicants do not contend that measures of surveillance
were actually applied to them; it is therefore inappropriate
to apply a reasonable‑likelihood test to determine whether
they may claim to be victims of a violation of their Article
8 rights (see Halford v. the United Kingdom, judgment
of 25 June 1997, Reports of Judgments and Decisions 1997‑III,
pp. 1018‑19, §§ 55‑57).
60. As regards the applicant association, the
Court notes that it has already held that a legal person
is entitled to respect for its “home” within the meaning
of Article 8 § 1 of the Convention (see Société Colas
Est and Others v. France, no. 37971/97, § 41, ECHR
2002‑III; Buck v. Germany, no. 41604/98, § 31,
28 April 2005; and Kent Pharmaceuticals Limited and
Others v. the United Kingdom (dec.), no. 9355/03,
11 October 2005). The applicant association is therefore,
contrary to what the Government suggest, not wholly deprived
of the protection of Article 8 by the mere fact that it
is a legal person. While it may be open to doubt whether,
being such a person, it can have a “private life” within
the meaning of that provision, it can be said that its
mail and other communications, which are in issue in the
present case, are covered by the notion of “correspondence”
which applies equally to communications originating from
private and business premises (see Halford, cited
above, p. 1016, § 44; Aalmoes and Others v. the Netherlands (dec.),
no. 16269/02, 25 November 2004; and Weber and Saravia,
cited above, § 77, with further references). The former
Commission has already held, in circumstances identical
to those of the present case, that applicants who are legal
persons may fear that they are subjected to secret surveillance.
It has accordingly accepted that they may claim to be victims
(see Mersch and Others v. Luxembourg, nos. 10439‑41/83,
10452/83 and 10512/83 and 10513/83, Commission decision
of 10 May 1985, Decisions and Reports (DR) 43, p. 34, at
pp. 113‑14). The applicant association is therefore entitled
to the protection afforded by Article 8.
61. Furthermore, unlike the situation obtaining
in the cases of Scientology Kirche Deutschland (cited
above) and Herbecq and Association “Ligue des droits
de l'homme” v. Belgium (nos. 32200/96 and 32201/96,
Commission decision of 14 January 1998, DR 92‑A, p. 92),
the Article 8 rights in issue in the present case are those
of the applicant association, not of its members. There
is therefore a sufficiently direct link between the association
as such and the alleged breaches of the Convention. It
follows that it can claim to be a victim within the meaning
of Article 34 of the Convention.
62. The Government's objection must therefore
be rejected.
63. The Court further considers that the application
is not manifestly ill‑founded within the meaning of Article
35 § 3 of the Convention, nor inadmissible on any other
grounds. It must therefore be declared admissible.
II. ALLEGED VIOLATION OF ARTICLE 8 OF THE CONVENTION
64. The applicants alleged that by giving the
authorities a wide discretion to gather and use information
obtained through secret surveillance and by failing to
provide sufficient safeguards against abuse, the SSMA entailed
by its very existence a violation of Article 8 of the Convention.
Article 8 reads, as relevant:
“1. Everyone has the right to respect for his
private ... life ... and his correspondence.
2. There shall be no interference by a public
authority with the exercise of this right except such as
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.”
A. The parties' submissions
65. The applicants conceded that the Constitution
of 1991 and the SSMA provided a basis for the impugned
interference with their Article 8 rights. However, they
were of the view that this was not enough to justify the
interference as being “in accordance with the law”. The
Court's case‑law required a very detailed national law
on secret surveillance, and was even more demanding when
it came to monitoring of lawyers and their offices. Sections
16, 18(1) and 34 of the SSMA were particularly problematic
in this respect. Indeed, in his dissenting opinion a constitutional
court judge had found that section 34(1) of the SSMA, which
entrusted control over the system of secret surveillance
solely to the Minister of Internal Affairs, did not provide
sufficient safeguards against arbitrary interferences with
the rights to private life and correspondence. This lack
of effective control was further reinforced by the blurred
provisions of section 34(2) of the SSMA. Similarly,
section 30 of the Act gave the Minister full discretion
to decide what to do with intelligence falling outside
the scope of the initial application for the use of special
means of surveillance. So did a number of other texts.
Section 18 of the SSMA did not map out a procedure for
informing the judiciary that surveillance had started without
its prior sanction, nor a procedure for acquainting them
with the intelligence gathered. Moreover, this provision
allowed the Minister to make an unlimited number of consecutive
orders for surveillance, thus making possible monitoring
without judicial sanction for prolonged periods of time.
The SSMA did not provide for judicial control of the destruction
of material not used as evidence in criminal proceedings,
nor for control over the obligation of the services deploying
special means of surveillance to discontinue their use
pursuant to the request of the agency which has requested
them. The Act did not set out in detail the procedures
for obtaining ex post facto judicial authorisation
of surveillance ordered by the Minister of Internal Affairs
in urgent cases, for transcribing the raw data obtained,
and for destroying the unused data. It did not prohibit
the issuing of consecutive warrants on the basis of the
same facts, and thus allowed the circumvention of the six‑month
time‑limit for surveillance.
66. Concerning the necessity of the interference,
the applicants pointed out that the number of secret surveillance
measures was extremely high, as evidenced by the report
of the Supreme Cassation Prosecutor's Office and various
interviews given by high‑ranking officials. So was the
number of breaches of the SSMA. Another material circumstance
was the complete lack of notification of the persons concerned
and the attendant impossibility of obtaining any information
on the matter.
67. The Government submitted that the interference
was allowed by the Constitution of 1991 and the SSMA and
was intended to protect national security and prevent disorder
and crime. By law, special means of surveillance could
only be used in respect of a limited class of persons.
There was a special procedure to safeguard against arbitrary
action. It included a reasoned application to a judge,
who was the only official with the power to authorise the
use of special means of surveillance. Exceptions from this
prior judicial control were only possible in urgent cases.
Even in such cases the surveillance had to be ordered by
the Minister of Internal Affairs and approved ex post
facto by a judge. In 1997 the SSMA had been the subject
of a challenge before the Constitutional Court, which had
found it compatible with the Constitution of 1991. The
fact that the law did not provide for the notification
of the persons concerned was fully compatible with this
Court's holding in the case of Klass and Others (cited
above). The applicants' reliance on the report of the Supreme
Cassation Prosecutor's Office was misguided, because this
report related only certain cases where the SSMA had been
breached and was accordingly not pertinent for determining
the issue before the Court in the instant case.
68. In sum, the Government were of the view
that, while abuses could not fully be ruled out, the SSMA
provided adequate guarantees against unlawful infringements
of the rights of individuals. It was beyond doubt that
averting and uncovering certain offences and protecting
national security was unthinkable without the use of special
means of surveillance. The SSMA kept the delicate balance
between these aims and respect for the rights enshrined
by Article 8 of the Convention.
B. The Court's assessment
1. Was there an interference
69. Having regard to its established case‑law
in the matter (see Klass and Others, p. 21, §
41; Malone, p. 31, § 64; and Weber and Saravia,
§§ 77‑79, all cited above), the Court accepts that
the existence of legislation allowing secret surveillance
amounts in itself to an interference with the applicants'
rights under Article 8 of the Convention. Indeed, this
point was not disputed by the parties.
70. It is therefore necessary to examine whether
this interference is justified under the terms of paragraph
2 of that Article: whether it is “in accordance with the
law” and “necessary in a democratic society” for one of
the purposes enumerated in that paragraph.
2. Was the interference justified
71. The expression “in accordance with the
law”, as used in Article 8 § 2, does not only require
that the impugned measure should have some basis in domestic
law. It also refers to the quality of this law, demanding
that it should be accessible to the person concerned, who
must moreover be able to foresee its consequences for him
or her, and compatible with the rule of law (see, among
many other authorities, Malone, cited above, Kruslin
v. France, judgment of 24 April 1990, Series
A no. 176‑A, p. 20, § 27; Huvig v. France, judgment
of 24 April 1990, Series A no. 176‑B, p. 52, § 26; Kopp
v. Switzerland, judgment of 25 March 1998, Reports 1998‑II,
p. 540, § 55; and Amann v. Switzerland [GC],
no. 27798/95, § 50, ECHR 2000‑II).
72. It is obvious that the SSMA provides a
legal basis for the interference. The first requirement
does not therefore raise any problem.
73. The second requirement, that the law be
accessible, does not raise any problem either.
74. As to the third requirement, the law's
foreseeability and compatibility with the rule of law,
the Court notes the following principles emerging from
its case‑law.
75. In the context of covert measures of surveillance,
the law must be sufficiently clear in its terms to give
citizens an adequate indication of the conditions and circumstances
in which the authorities are empowered to resort to this
secret and potentially dangerous interference with the
right to respect for private life and correspondence (see,
among other authorities, Malone, cited above,
p. 32, § 67; Valenzuela Contreras v. Spain,
judgment of 30 July 1998, Reports 1998‑V, p. 1925,
§ 46 (iii); and Khan v. the United Kingdom, no.
35394/97, § 26, ECHR 2000‑V). In view of the risk of abuse
intrinsic to any system of secret surveillance, such measures
must be based on a law that is particularly precise. It
is essential to have clear, detailed rules on the subject,
especially as the technology available for use is continually
becoming more sophisticated (see Kruslin, p. 23,
§ 33; Huvig, p. 55, § 32; Amann,
§ 56 in fine; and Weber and Saravia,
§ 93, all cited above).
76. To ensure the effective implementation
of the above principles, the Court has developed the following
minimum safeguards that should be set out in statute law
to avoid abuses: the nature of the offences which may give
rise to an interception order; a definition of the categories
of people liable to have their communications monitored;
a limit on the duration of such monitoring; the procedure
to be followed for examining, using and storing the data
obtained; the precautions to be taken when communicating
the data to other parties; and the circumstances in which
data obtained may or must be erased or the records destroyed
(see Weber and Saravia, cited above, § 95,
with further references).
77. In addition, in the context of secret measures
of surveillance by public authorities, because of the lack
of public scrutiny and the risk of misuse of power, the
domestic law must provide some protection against arbitrary
interference with Article 8 rights (see Klass and Others,
cited above, pp. 25‑26, §§ 54‑56; mutatis mutandis, Leander
v. Sweden, judgment of 26 March 1987, Series A no.
116, pp. 25‑27, §§ 60‑67; Halford, cited above,
p. 1017, § 49; Kopp, cited above, p. 541, § 64;and Weber
and Saravia, cited above, § 94). The Court must be
satisfied that there exist adequate and effective guarantees
against abuse. This assessment depends on all the circumstances
of the case, such as the nature, scope and duration of
the possible measures, the grounds required for ordering
them, the authorities competent to permit, carry out and
supervise them, and the kind of remedy provided by the
national law (see Klass and Others, cited above,
p. 23, § 50).
78. Turning to the facts of the present case,
the Court notes that, while in certain respects Bulgarian
law fully comports with the above requirements, in other
respects it falls short.
79. The SSMA circumscribes the purposes for
which covert monitoring may be used: preventing or uncovering
serious offences or protecting national security (see paragraph
10 above; see also Klass and Others, cited above,
p. 24, § 51; and Christie v. the United Kingdom,
no. 21482/93, Commission decision of 27 June 1994, DR 78‑A,
p. 119, at pp. 121‑22). Moreover, such monitoring may be
used only if there are grounds to suspect that a serious
offence is being planned or is or has been committed, and
only if the establishment of the facts by other methods
are deemed unlikely to succeed (see paragraph 10 above;
see also Klass and Others, cited above, p. 24,
§ 51). However, these latter requirements apparently apply
only with regard to combating criminal conduct, not protecting
national security (see paragraph 10 above).
80. Surveillance may only be allowed pursuant
to a written application giving reasons, which may be made
solely by the heads of certain services. The application
must identify the persons or objects to be placed under
surveillance. It must also set out the grounds for suspecting
these persons of planning, or committing, or having committed
an offence. Finally, the application must specify the duration
of the proposed surveillance and the methods to be used,
as well as all hitherto investigative steps (see paragraph
13 above).
81. The warrant authorising the surveillance
can be issued only under the hand of the president or the
vice‑president of a regional court, a military regional
court, or a court of appeals (see paragraphs 14 above).
This judicial authorisation must in principle be given
before the surveillance has taken place. It must also,
as a rule, be followed by an order of the Minister of Internal
Affairs or a specifically designated deputy (see paragraph
15 above).
82. Exceptions from the procedure outlined
above are only possible in urgent cases: the authorisation
is then given by the Minister of Internal Affairs or a
specifically designated deputy. However, a judicial warrant
must be issued not more than twenty-four hours after that
(see paragraph 16 above). Despite the applicants' allegations,
it is apparent that the SSMA envisages that this exception
is to be used sparingly and only in duly justified cases.
83. Surveillance may be authorised for a maximum
of two months. This time‑limit may be extended, up to six
months, only pursuant to a fresh application and warrant
(see paragraph 19 above).
84. It thus seems that during the initial stage,
when surveillance is being authorised, the SSMA, if strictly
adhered to – in particular, if care is taken not to stretch
the concept of “national security” beyond its natural meaning
(see Christie, cited above, p. 134; and, mutatis
mutandis, Al-Nashif v. Bulgaria, no.
50963/99, § 124, 20 June 2002) –, provides substantial
safeguards against arbitrary or indiscriminate surveillance.
However, the Court must also examine whether such safeguards
exist during the later stages, when the surveillance is
actually carried out or has already ended. On this point,
it notes the following elements.
85. Unlike the system of secret surveillance
under consideration in the case of Klass and Others (cited
above, p. 31, § 70; see also Weber and Saravia,
§ 57), the SSMA does not provide for any review of the
implementation of secret surveillance measures by a body
or official that is either external to the services deploying
the means of surveillance or at least required to have
certain qualifications ensuring his independence and adherence
to the rule of law. Under the SSMA, no one outside the
services actually deploying special means of surveillance
verifies such matters as whether these services in fact
comply with the warrants authorising the use of such means,
or whether they faithfully reproduce the original data
in the written record. Similarly, there exists no independent
review of whether the original data is in fact destroyed
within the legal ten‑day time‑limit if the surveillance
has proved fruitless (see, as examples to the contrary, Klass
and Others, p. 11, § 20; and Weber and Saravia,
§ 100; and Aalmoes and Others, all cited above).
On the contrary, it seems that all these activities are
carried out solely by officers of the Ministry of Internal
Affairs (see paragraphs 18, 21 and 22 above). It is true
that the Code of 1974 provided, in its Article 111b § 6,
that the judge who had issued a surveillance warrant had
to be informed when the use of special means of surveillance
has ended. So does Article 175 § 6 of the Code of 2005.
It is also true that there is an obligation under section
19 of the SSMA to inform the issuing judge when the use
of special means of surveillance has been discontinued
before the end of the authorised period (see paragraphs
38 and 42 above). However, the texts make no provision
for acquainting the judge with the results of the surveillance
and do not command him or her to review whether the requirements
of the law have been complied with. Moreover, it appears
that the provisions of the Codes of 1974 and 2005 are applicable
only in the context of pending criminal proceedings and
do not cover all situations envisaged by the SSMA, such
as the use of special means of surveillance to protect
national security.
86. Another point which deserves to be mentioned
in this connection is the apparent lack of regulations
specifying with an appropriate degree of precision the
manner of screening of the intelligence obtained through
surveillance, or the procedures for preserving its integrity
and confidentiality and the procedures for its destruction
(see, as examples to the contrary, Weber and Saravia,
§§ 45‑50; and Aalmoes and Others, both cited above).
87. The Court further notes that the overall
control over the system of secret surveillance is entrusted
solely to the Minister of Internal Affairs (see paragraph
27 above) – who not only is a political appointee and a
member of the executive, but is directly involved in the
commissioning of special means of surveillance –, not to
independent bodies, such as a special board elected by
the Parliament and an independent commission, as was the
case in Klass and Others (cited above, p. 12,
§ 21 and pp. 24‑25, § 53), or a special commissioner holding
or qualified to hold high judicial office, as was the case
in Christie (cited above, pp. 123-30, 135 and
137), or a control committee consisting of persons having
qualifications equivalent to those of a Supreme Court judge,
as was the case in L. v. Norway (no. 13564/88,
Commission decision of 8 June 1990, DR 65, p. 210, at pp.
215‑16 and 220). A dissenting judge in the Constitutional
Court had serious misgivings about this complete lack of
external control (see paragraph 36 above; and, mutatis
mutandis, Al-Nashif, cited above, § 127).
88. Moreover, the manner in which the Minister
effects this control is not set out in the law. Neither
the SSMA, nor any other statute lays down a procedure governing
the Minister's actions in this respect. The Minister has
not issued any publicly available regulations or instructions
on the subject (see paragraph 28 above). Moreover, neither
the Minister, nor any other official is required to regularly
report to an independent body or to the general public
on the overall operation of the system or on the measures
applied in individual cases (see, as examples to the contrary, Klass
and Others, p. 12, § 21 in limine and p.
25, § 53; Christie, pp. 123‑28 and 137; and L.
v Norway, p. 216, all cited above).
89. The Court further notes that if the intelligence
gathered falls outside the scope of the application for
the use of special means of surveillance, it is the Minister
of Internal Affairs who decides, discretionarily and without
any independent control, what is to be done with it (see
paragraph 24 above; see also, mutatis mutandis, Kopp,
cited above, p. 543, § 74). By contrast, German law, as
modified by the German Federal Constitutional Court, subjected
the transmission of intelligence to other services to very
strict conditions and entrusted the responsibility of checking
the existence of these conditions to an official qualified
to hold judicial office. Compliance with the relevant requirements
was also reviewed by the special independent commission
set up under German law (see Weber and Saravia,
cited above, §§ 125‑28).
90. Finally, the Court notes that under Bulgarian
law the persons subjected to secret surveillance are not
notified of this fact at any point in time and under any
circumstances. According to the Court's case‑law, the fact
that persons concerned by such measures are not apprised
of them while the surveillance is in progress or even after
it has ceased cannot by itself warrant the conclusion that
the interference was not justified under the terms of paragraph
2 of Article 8, as it is the very unawareness of the surveillance
which ensures its efficacy. However, as soon as notification
can be made without jeopardising the purpose of the surveillance
after its termination, information should be provided to
the persons concerned (see Klass and Others, p.
27, § 58; mutatis mutandis, Leander,
p. 27, § 66; and, more recently, Weber and Saravia,
§ 135, all cited above). Indeed, the German legislation
in issue in the cases of Klass and Others and Weber
and Saravia, as modified by the German Federal Constitutional
Court, did provide for such notification (see Klass
and Others, p. 8, § 11 and p. 11, § 19; and Weber
and Saravia, §§ 51‑54). The position in the Leander case
was similar (see, mutatis mutandis, Leander,
cited above, pp. 14‑15, § 31).
91. By contrast, the SSMA does not provide
for notification of persons subjected to surreptitious
monitoring under any circumstances and at any point in
time. On the contrary, section 33 of the SSMA, as construed
by the Supreme Administrative Court, expressly prohibits
the disclosure of information whether a person has been
subjected to surveillance, or even whether warrants have
been issued for this purpose (see paragraphs 26, 49 and
50 above). Indeed, such information is considered classified
(see paragraphs 43‑45, 49 and 50 above). The result of
this is that unless they are subsequently prosecuted on
the basis of the material gathered through covert surveillance,
or unless there has been a leak of information, the persons
concerned cannot learn whether they have ever been monitored
and are accordingly unable to seek redress for unlawful
interferences with their Article 8 rights. Bulgarian law
thus eschews an important safeguard against the improper
use of special means of surveillance.
92. Having noted these shortcomings, the Court
must now verify, in so far as the available information
permits, whether they have an impact on the actual operation
of the system of secret surveillance which exists in Bulgaria.
In this connection, the Court notes that the Bulgarian
Supreme Cassation Prosecutor's Office apparently found,
in a report of January 2001, that numerous abuses had taken
place. According to this report, more than 10,000 warrants
were issued over a period of some twenty‑four months, from
1 January 1999 to 1 January 2001, and that number does
not even include the tapping of mobile telephones (for
a population of less than 8,000,000). Out of these, only
267 or 269 had subsequently been used in criminal proceedings.
A significant number of breaches of the law had been observed
(see paragraph 52 above). Additionally, in an interview
published on 26 January 2001 the then Minster of Internal
Affairs conceded that he had signed 4,000 orders for the
deployment of means of secret surveillance during his thirteen
months in office (see paragraph 53 above). By contrast,
in Malone (cited above, p. 25, § 53 and p. 36,
§ 79), the number of the warrants issued was considered
relatively low (400 telephone tapping warrants and less
than 100 postal warrants annually during the period 1969‑79,
for more than 26,428,000 telephone lines nationwide). These
differences are telling, even if allowance is made for
the development of the means of communication and the rise
in terrorist activities in recent years. They also show
that the system of secret surveillance in Bulgaria is,
to say the least, overused, which may in part be due to
the inadequate safeguards which the law provides. By contrast,
in Klass and Others (cited above, p. 28,
§ 59) and in Christie (cited above, p. 137) there
were no indications that the practice followed was not
in strict accordance with the law.
93. Against this background, the Court concludes
that Bulgarian law does not provide sufficient guarantees
against the risk of abuse which is inherent in any system
of secret surveillance. The interference with the Article
8 rights of the applicants was therefore not “in accordance
with the law” within the meaning of paragraph 2 of that
provision. This conclusion obviates the need for the Court
to determine whether the interference was “necessary in
a democratic society” for one of the aims enumerated therein
(see Malone, p. 37, § 82; Kruslin, p.
25, § 37; Huvig, p. 57, § 36; and Khan,
§ 28, all cited above).
94. There has therefore been a violation of
Article 8 of the Convention.
III. ALLEGED VIOLATION OF ARTICLE 13 OF THE
CONVENTION
95. The applicants alleged that owing to the
lack of information on whether they had been subjected
to secret surveillance they were prevented from seeking
any redress therefor, in breach of Article 13 of the Convention.
Article 13 reads:
“Everyone whose rights and freedoms as set forth in [the]
Convention are violated shall have an effective remedy
before a national authority notwithstanding that the violation
has been committed by persons acting in an official capacity.”
96. Neither the applicants, nor the Government
have made submissions on this complaint.
97. Article 13 of the Convention requires that
where a person has an arguable claim to be the victim of
a violation of the rights set forth in the Convention,
they should have a remedy before a national authority in
order both to have their claim decided and, if appropriate,
to obtain redress (see, among many other authorities, Leander,
cited above, p. 29, § 77 (a)).
98. Having regard to its findings under Article
8 of the Convention, the Court considers that the applicants'
complaint has raised an arguable claim under the Convention
and that, accordingly, they were entitled to an effective
remedy in order to enforce their rights under that Article
(ibid., p. 30, § 79).
99. According to the Convention organs' case‑law,
in the context of secret surveillance an effective remedy
under Article 13 means a remedy that is as effective as
can be having regard to the restricted scope for recourse
inherent in such a system (see Klass and Others,
p. 31, § 69; mutatis mutandis, Leander,
p. 30, § 78 in fine; and Mersch and Others,
p. 118, all cited above). The Court must therefore
verify whether there exist under Bulgarian law remedies
which are effective in this limited sense. In this connection,
the Court notes that review of surveillance may intervene
at three stages: when it is first ordered, while it is
being carried out, or after it has been terminated.
100. It is obvious that when surveillance is
ordered and while it is under way, no notification of the
persons concerned is possible, as such notification would
jeopardise the surveillance's effectiveness. They are therefore
of necessity deprived of the possibility to challenge specific
measures ordered or implemented against them. However,
this does not mean that it is altogether impossible to
provide a limited remedy – for instance, one where the
proceedings are secret and where no reasons are given,
and the persons concerned are not apprised whether they
have in fact been monitored – even at this stage. Examples
of such remedies may be found in Klass and Others,
where individuals believing themselves to be under surveillance
could, albeit in exceptional cases, complain to the commission
overseeing the system of secret surveillance and also apply
to the German Federal Constitutional Court (see Klass
and Others, cited above, p. 31, § 70; see also Weber
and Saravia, § 57), in Christie, where recourse
was possible to a special tribunal (see Christie,
cited above, pp. 122‑23, 128‑29 and 136‑37), in Mersch
and Others, where it was possible to appeal to the
Council of State (see Mersch and Others, cited
above, p. 118), and in L. v. Norway, where complaints
were possible to a control committee (see L. v. Norway,
cited above, pp. 216 and 220). By contrast, Bulgarian law
does not provide any such mechanism, nor does it contain,
as already found (see paragraphs 84‑92 above), a sufficiently
effective apparatus for controlling the use of special
means of surveillance.
101. As regards the availability of remedies
after the termination of the surveillance, the Court notes
that, unlike the legislation in issue in Klass and
Others, and Weber and Saravia, as modified
by the German Federal Constitutional Court (see Klass
and Others, p. 8, § 11; and Weber and Saravia,
§§ 51‑54 and 136, both cited above), the SSMA does not
provide for notification of the persons concerned at any
point in time and under any circumstances. On the contrary,
in two judgments of 12 February and 15 May 2004 the
Supreme Administrative Court held that the information
whether a warrant for the use of means of secret surveillance
had been issued was not to be disclosed. The second judgment
stated that such information was classified (see paragraphs
49 and 50 above). It thus appears, that, unless criminal
proceedings have subsequently been instituted or unless
there has been a leak of information, a person is never
and under no circumstances apprised of the fact that his
or her communications have been monitored. The result of
this lack of information is that those concerned are unable
to seek any redress in respect of the use of secret surveillance
measures against them.
102. Moreover, the Government have not provided
any information on remedies – such as an application for
a declaratory judgment or an action for damages – which
could become available to the persons concerned if they
find out about any measures against them (see Hewitt
and Harman v. the United Kingdom, no. 12175/86,
Commission's report of 9 May 1989, DR 67, p. 103, § 55).
In Klass and Others the existence of such remedies
was not open to doubt (see Klass and Others, p.
31, § 71; see also Weber and Saravia, § 61, both
cited above).
103. In view of the foregoing considerations,
the Court concludes that Bulgarian law does not provide
effective remedies against the use of special means of
surveillance. There has therefore been a violation of Article
13 of the Convention.
IV. ALLEGED VIOLATION OF ARTICLE 6 § 1 OF THE
CONVENTION
104. The applicants complained under Article
6 § 1 of the Convention that because by law they were not
to be apprised at any point in time of the use of special
means of surveillance against them, they could not seek
redress against that in the courts. Article 6 § 1 provides,
as relevant:
“In the determination of his civil rights and obligations
or of any criminal charge against him, everyone is entitled
to a fair and public hearing within a reasonable time by
an independent and impartial tribunal established by law.”
105. Neither the applicants, nor the Government
have made submissions on this complaint.
106. The first issue to be decided is the applicability
of Article 6 § 1. The Court notes that it did not express
an opinion on the matter in its judgment in the case of Klass
and Others, where a similar complaint was made (see Klass
and Others, cited above, pp. 32‑33, § 75). However,
the former Commission did rule on it in its report in the
same case. It found that Article 6 § 1 was not applicable
either under its civil or under its criminal limb (see Klass
and Others, Report of the Commission, Series B no.
26, pp. 35‑37, §§ 57‑61). The Court does not perceive
anything in the circumstances of the present case that
can alter that conclusion.
107. There has therefore been no violation
of Article 6 § 1 of the Convention.
V. APPLICATION OF ARTICLE 41 OF THE CONVENTION
108. Article 41 of the Convention provides:
“If the Court finds that there has been a violation of
the Convention or the Protocols thereto, and if the internal
law of the High Contracting Party concerned allows only
partial reparation to be made, the Court shall, if necessary,
afford just satisfaction to the injured party.”
A. Damage
109. The applicants stated that they asked
the Government to ensure that the legislation on the use
of special means of surveillance be brought in line with
the standards stemming from the Court's case-law within
six months. Failing that, they claimed 5,000 euros (EUR)
in non‑pecuniary damages.
110. The Government have not made submissions
on these claims.
111. The Court reiterates that, in the context
of the execution of judgments in accordance with Article
46 of the Convention, a judgment in which it finds a violation
of the Convention or its Protocols imposes on the respondent
State a legal obligation not just to pay those concerned
any sums awarded by way of just satisfaction, but also
to choose, subject to supervision by the Committee of Ministers,
the general and/or, if appropriate, individual measures
to be adopted in its domestic legal order to put an end
to the violation found by the Court and make all feasible
reparation for its consequences in such a way as to restore
as far as possible the situation existing before the breach
(see, among other authorities, Assanidze v. Georgia [GC],
no. 71503/01, § 198, ECHR 2004‑II; and Ilaşcu and Others
v. Moldova and Russia [GC], no. 48787/99, § 487, ECHR
2004‑VII). Furthermore, in ratifying the Convention, the
Contracting States undertake to ensure that their domestic
law is compatible with it (see Maestri v. Italy [GC],
no. 39748/98, § 47, ECHR 2004‑I). The Court sees no reason
to presume at this juncture that the Government will not
comply with their obligation under Article 46 § 1 of the
Convention to abide in a timely fashion by the Court's
judgment, once it has become final and binding. It therefore
sees no reason to make any award to the applicants.
B. Costs and expenses
112. The applicants did not make a specific
claim for the reimbursement of costs and expenses and,
stating that the case had involved a considerable amount
of work, left the matter to the discretion of the Court.
113. The Government did not express an opinion
on the matter.
114. The Court notes that all the submissions
in the case were drafted by the manager of the applicant
association and by the second applicant. The Court cannot
make an award in respect of the hours the applicants themselves
spent working on the case, as this time does not represent
costs actually incurred by them (see Steel and Morris
v. the United Kingdom, no. 68416/01, § 112, ECHR
2005‑II, with further references). On the other hand, the
Court considers it reasonable to assume that the applicants
have incurred certain expenses for the conduct of the proceedings.
Ruling on an equitable basis, it awards them jointly EUR
1,000, plus any tax that may be chargeable.
C. Default interest
115. The Court considers it appropriate that
the default interest should be based on the marginal lending
rate of the European Central Bank, to which should be added
three percentage points.
FOR THESE REASONS, THE COURT UNANIMOUSLY
1. Declares the application admissible;
2. Holds that there has been a violation
of Article 8 of the Convention;
3. Holds that there has been a violation
of Article 13 of the Convention;
4. Holds that has been no violation
of Article 6 § 1 of the Convention;
5. Holds
(a) that the respondent State is to pay the
applicants jointly, within three months from the date on
which the judgment becomes final in accordance with Article
44 § 2 of the Convention, EUR 1,000 (one thousand euros)
in respect of costs and expenses, plus any tax that may
be chargeable;
(b) that from the expiry of the above‑mentioned
three months until settlement simple interest shall be
payable on the above amount at a rate equal to the marginal
lending rate of the European Central Bank during the default
period plus three percentage points;
6. Dismisses the remainder of the
applicants' claim for just satisfaction.
Done in English, and notified in writing on 28 June 2007,
pursuant to Rule 77 §§ 2 and 3 of the Rules of Court.
Claudia Westerdiek
Peer Lorenzen
Registrar
President