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Notice PaperNo. 2 Thursday, October 17, 2013 10:00 a.m. |
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Introduction of Government Bills |
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Introduction of Private Members' Bills |
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Notices of Motions (Routine Proceedings) |
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Questions |
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Q-12 — October 16, 2013 — Mr. Cotler (Mount Royal) — With regard to aboriginal justice, broken down by year from 2006 to the present: (a) how much money was dedicated to the Aboriginal Justice Strategy (AJS); (b) how much money was devoted to other aboriginal justice programs; (c) with respect to (a) and (b), by program, how much money was spent; (d) by whom were monies in (a) and (b) spent, on what dates, and for what purpose; (e) broken down by province and territory, on what dates were provinces and territories consulted with respect to funding of the AJS for the upcoming year; (f) broken down by province and territory, on what dates were the provinces and territories consulted with respect to other aboriginal justice programs; (g) broken down by province and territory, how much did each request of the government with respect to the AJS; (h) broken down by province and territory, with which First Nations did the government consult with respect to the AJS; (i) with which First Nations groups and non-governmental organizations (NGOs) did the government consult with respect to the AJS; (j) with which other stakeholders did the government consult with respect to the AJS; (k) which stakeholders were informed of budget decisions relative to the AJS, by what means and on what dates; (l) broken down by province and territory, how much did each request of the government with respect to other aboriginal justice programs; (m) broken down by province and territory, with which First Nations did the government consult with respect to other aboriginal justice programs; (n) with which First Nations groups and NGOs did the government consult with respect to other aboriginal justice programs; (o) with which other stakeholders did the government consult with respect to other aboriginal justice programs; (p) how does the government determine stakeholders regarding aboriginal justice concerns; (q) by whom, with what criteria, and when was the AJS budget determined; (r) in what ways, by whom, and when is AJS evaluated; (s) in which Federal-Provincial-Territorial Ministers' meetings was the AJS raised; (t) what commitments were made by the government; (u) were those commitments met; (v) which stakeholders were informed of budget decisions relative to other aboriginal justice programs, by what means and on what dates; (w) by whom, with what criteria, and when were these budgets determined; (x) in what ways, by whom, and when are these programs evaluated; (y) in which Federal-Provincial-Territorial Ministers' meetings were these programs raised; (z) what commitments were made by the government; (aa) were those commitments met; (bb) in what ways do these programs work to implement the Gladue principles; (cc) in what other ways are the Gladue principles being implemented; (dd) by what means, how often, with which criteria, and by whom does the government evaluate its implementation of the Gladue principles; (ee) what programs and strategies are in place to ensure both respect for and compliance with the Gladue principles; (ff) how many Gladue courts operate in Canada; (gg) in what ways is the government engaged with Gladue courts; (hh) in what ways does the government support Gladue courts; (ii) in what ways does the government ensure training for judges on the Gladue principles; (jj) in what ways does the government ensure training for prosecutors on the Gladue principles; (kk) in what ways does the government ensure the consideration of Gladue principles in its filings and submissions before the courts; (ll) in what ways is the government addressing the over-representation of aboriginals in prisons; (mm) what are the principles of the government’s aboriginal justice approach; (nn) how does the government evaluate whether its approach to aboriginal justice is working; (oo) by what specific standards, by whom and how often do such evaluations occur; (pp) in what ways does the government undertake predictions or forecasts with respect to the incarceration of aboriginal offenders; (qq) how are these forecasts taken into account in criminal justice policy development; (rr) in what ways are proposed justice laws evaluated for their impact on aboriginal persons; (ss) in what ways is the government incorporating aboriginal justice into its overall justice strategy; (tt) what policies exist to ensure aboriginal justice concerns are taken into account at every stage of policy and legislative development; (uu) who is responsible for keeping statistics on aboriginal justice; (vv) with respect to (uu), what statistics are available and from which departments; and (ww) with respect to (vv) what are the figures for each of the last three years? |
Q-22 — October 16, 2013 — Mr. Cotler (Mount Royal) — With regard to the Minister of Citizenship and Immigration’s statement in the House of Commons on March 14, 2012, that “we have issued an operational bulletin to our visa officers and CBSA (Canada Border Service Agency) agents indicating that the African National Congress (ANC) is an organization that has undergone substantial change and, therefore, membership in it should no longer be considered grounds for inadmissibility”: (a) when was this directive issued, (i) was this directive issued in written form, (ii) if so, is it publically available and where can it be accessed, (iii) on what date was it posted to the website of Citizenship and Immigration Canada, (iv) why, as of June 4, 2013, is it unavailable on the website of Citizenship and Immigration Canada, (v) what are the details of the directive, (vi) how was the directive communicated to CBSA agents, (vii) how was the directive communicated to Citizenship and Immigration Canada personnel in Canada, (viii) how was the directive communicated to Embassy and Consulate personnel abroad, (ix) with respect to (vii) and (viii), on what dates did said communication occur, (x) on what date did the directive become effective; (b) does the exemption to inadmissibility created by this directive apply only to ANC members or does it apply to members of any organization that has undergone a fundamental change, (i) if the former, does it apply to both current and former ANC members regardless of the time period during which they were associated with the organization, (ii) if the latter, are there specific guidelines regarding the determination of whether an organization has undergone a fundamental change, (iii) if so, are these guidelines publically available and where can they be accessed, (iv) if not, how is this determination made, (v) what organizations are currently considered to have undergone fundamental change; (c) under what sections of the Immigration and Refugee Protection Act (IRPA) have ANC members been found inadmissible, (i) broken down by year and section, how many ANC members have been found inadmissible, (ii) how long did the determination of inadmissibly take in each case; (d) does this directive necessarily exempt the ANC from inadmissibility pursuant to section 34 of the IRPA; (e) does this directive necessarily exempt the ANC from inadmissibility pursuant to section 37 of the IRPA; (f) does the new directive apply to any organization that has undergone a fundamental change; (g) what provisions of IRPA are specifically targeted by this new directive to ensure that inadmissibility determinations do not solely rest on ANC membership; (h) are specific determinations regarding the admissibility to Canada of current and former ANC members based on individual answers provided to questions on visa application forms; (i) upon a finding that a current or former ANC member is not admissible to Canada, can this determination be appealed and, if so, on what grounds; (j) is it necessary that an applicant have engaged in criminal activity related to his current or former membership in the ANC in order to be denied admissibility based on his membership in this organization, (i) if so, is it necessary that the applicant have a criminal record, (ii) is it necessary that the conduct at issue be currently criminalized in Canada in order to result in inadmissibility pursuant to section 37 of the IRPA; (k) were there any exemptions to the inadmissibility of a current or former ANC member prior to the adoption of this new operational directive; (l) have the new directive and any resulting operational guidelines been applied since their adoption to the cases of any current or former ANC members; (m) to whom can an applicant present evidence that a relevant organization has undergone a fundamental change; (n) what standard of evidence is required for showing that an organization has undergone a fundamental change, (i) how are such decisions made, (ii) by whom and applying what criteria; (o) is a finding of inadmissibility in this regard, or a finding as to the applicability of the “fundamental change” exemption, at the complete discretion of the particular border guard who reviews a particular application, (i) is a finding of inadmissibility in this regard reviewable, (ii) if reviewable, to whom is an application for review made and are the relevant procedural guidelines for review specified, (ii) if there are specified guidelines for review, where can they be accessed; (p) has the Minister proposed any further measures to address the problem of the inadmissibility to Canada of current and former ANC members, (ii) if the Minister has directed that new measures be applied in this regard, to whom has the directive been made and where can they be accessed, (iii) if the Minister has not directed that new measures be applied in this regard, what steps are being taken to ensure that current and former members of the ANC are not automatically denied admissibility to Canada on the basis of their association with that organization; (q) on what occasions and through what channels has the government discussed the ANC visa issue with the Government of South Africa; (r) was the Government of South Africa advised of the operational bulletin and if so, on what date; (s) how is the operational bulletin being evaluated for its effectiveness and what steps are in place to ensure it is working; and (t) prior to their recent South Africa trip, were the Governor General, Foreign Affairs Minister, and Parliamentary Secretary to the Minister informed of the operational bulletin and, if so, on what dates and by whom? |
Q-32 — October 16, 2013 — Mr. Cotler (Mount Royal) — With regard to the State Immunity Act (SIA): (a) what is the process by which the Governor in Council sets out the names of foreign states that are believed to support or to have supported terrorism on the list established pursuant to the SIA; (b) what is the Minister of Foreign Affairs’ role in this process; (c) what is the Minister of Public Safety and Emergency Preparedness’ role in this process; (d) do the Ministers engage in regular consultations for the purpose of reviewing and updating the list, (i) how frequently do the Ministers engage in such consultations, (ii) how do the Ministers determine when to consult in this regard, (iii) how do the Ministers determine what states to consider when engaging in such consultations, (iv) on whose initiative are such consultations undertaken, (v) what guidelines control the consultation process, (vi) are consultations conducted privately, (vii) are the minutes of these consultations recorded and, if so, where can they be accessed, (viii) what information is available regarding the substance of these consultations; (e) what foreign states are currently being considered for listing pursuant to the SIA, (i) are the Ministers currently involved in any consultations in this regard, (ii) at what stage do these consultations currently stand, (iii) are there any plans for upcoming consultations in this regard; (f) what steps are being taken to determine whether reasonable grounds exist to believe that any other states not currently listed have been or are engaged in the support of terrorism; (g) what has been the impact thus far of listing states, (i) broken down by state, how many lawsuits of which the government is aware were initiated against these states prior to the listing, (ii) broken down by state, how many lawsuits of which the government is aware are currently pending against listed states, (iii) how much has the government thus far spent in cases in (ii), (iv) who is responsible for defending cases in (ii), (v) what budget exists for defending cases in (ii); (h) on what evidence does the Minister of Foreign Affairs rely in making the determination that reasonable grounds exist to believe that a state is or has been engaged in the support of terrorism, (i) does a determination by the Ministers that a foreign state is or has been engaged in the support of terrorism automatically result in a recommendation by the Minister of Foreign Affairs to list that state pursuant to the SIA, (ii) is it necessary that both Ministers agree in the determination that reasonable grounds exist in order for the Minister of Foreign Affairs to recommend the listing of the state pursuant to the SIA, (iii) what evidentiary rules control the type of evidence that may be considered in making this determination, (iv) can and does the Minister rely on classified information in making this determination, (v) may individuals and groups make submissions in this regard, (vi) how may such submissions be made, (vii) what publically available sources are consulted in the consultation process, (viii) which individuals are involved in the consultation process; (i) does the listing of a state result in that state being subject to the jurisdiction of a Canadian court in an action brought pursuant to the Justice for Victims of Terrorism Act (JVTA) in all instances; (j) in what instances may a listed state enjoy immunity from the jurisdiction of a Canadian court in an action brought pursuant to the JVTA; (k) what types of immunity are covered by the SIA, (i) what types of immunity are not covered by the SIA, (ii) can a state that is listed still claim any type of immunity from the jurisdiction of a Canadian court, (iii) what claims in (ii) will the government defend on behalf of a state, (iv) how, by whom, and applying what standards is the determination in (iii) made; (l) with regard to the listed state of Iran, (i) is it the policy of the government that all Iranian-owned property located in Canada is immune from attachment, (ii) what specific Iranian-owned properties located in Canada are immune from attachment, (iii) on what basis are such properties immune from attachment, (iv) by whom, and applying what standard is the determination in (iii) made; (m) with regard to listed and non-listed states, on what basis does the government support diplomatic immunity for states in civil actions, and how is the determination on (l) made, by whom, and with reference to what authorities; (n) with regard to listed states, on what basis do these states benefit from diplomatic immunity, (i) who makes the determination on the part of the government to invoke such immunity, (ii) in what instances, if any, have states requested that such immunity be invoked, (iii) does the government’s obligation to protect diplomatic or consular properties include the obligation to defend a listed state in court, (iv) is it the government’s policy that it is obligated to defend a listed state in court, (v) if so, to what extent and how is this determination made, (vi) in what cases has the government made this argument, (vii) in what cases is the government making this argument, (viii) how much has the government spent so far on cases in (vii); (o) with respect to the listing of Iran, was the decision in part based on evidence that the former Iranian embassy in Ottawa has been used to support terrorism, (i) if so, how was the government aware that the embassy was being used for such purposes and on what dates, (ii) does the use of the property that is located in Canada of a foreign state in support of terrorism exempt that property from the immunity provided by the SIA, (iii) does the use of the property that is located in Canada of a foreign state in support of terrorism exempt that property from all immunity, (iv) what type of immunity can still be claimed by a listed foreign state to protect property that is located in Canada that has been or is being used in support of terrorism, (v) does diplomatic immunity protect embassy property even where the relevant embassy was used or is being used in violation of international law or in support of terrorism; (p) with respect to the listed state of Iran, how much money has been spent defending it in court, (i) what are the anticipated costs of defending the Islamic Republic of Iran in court, (ii) is there a government policy or directive indicating the acceptable costs to be expended in defending the Islamic Republic of Iran in court, (iii) from where does the government obtain the funds necessary to defend the Islamic Republic of Iran in court, (iv) what is the maximum amount of money that the government will spend in defense of the Islamic Republic of Iran in court; (q) with respect to the listed state of Iran, can the property located in Ottawa at which the former embassy of Iran was located be attached in a civil action by victims of Iranian-sanctioned terrorism to enforce a judgment against the Islamic Republic of Iran, (i) what are the government’s obligations toward the Islamic Republic of Iran in this regard, (ii) does the government know this property to be currently owned by the Islamic Republic of Iran, (iii) does the government know this property to have at any time been owned by the Islamic Republic of Iran, (iv) is it necessary that the property be currently owned by the Islamic Republic of Iran for it to receive immunity from the jurisdiction of a Canadian court; (r) can the property located in Ottawa at which the former residence of the Ambassador of Iran to Canada is located be attached in a civil action by victims of Iranian-sanctioned terrorism to enforce a judgment against the Islamic Republic of Iran, (i) what are the government’s obligations towards the Islamic Republic of Iran in this regard, (ii) does the government know this property to be currently owned by the Islamic Republic of Iran, (iii) does the government know this property to have at any time been owned by the Islamic Republic of Iran, (iv) is it necessary that the property be currently owned by the Islamic Republic of Iran for it to receive immunity from the jurisdiction of a Canadian court; (s) can the property located in Toronto at which the former Iranian cultural center is located be attached in an action by victims of Iranian-sanctioned terrorism to enforce a judgment against the Islamic Republic of Iran, (i) what are the government’s obligations towards the Islamic Republic of Iran in this regard, (ii) does the government know this property to be currently owned by the Islamic Republic of Iran, (iii) does the government know this property to have at any time been owned by the Islamic Republic of Iran, (iv) is it necessary that the property be currently owned by the Islamic Republic of Iran for it to receive immunity from the jurisdiction of a Canadian court; (t) by whom, how often, and by what criteria will the SIA’s effectiveness be evaluated and who is responsible for this review; (u) by what means were listed states informed of their listing, (i) on what dates, (ii) by whom, (iii) is there a policy with regard to informing states of their having been listed, (iv) if so, what is it; (v) what education, outreach, and awareness efforts have been made to inform Canadians of the listing of states and their corresponding obligations, (i) what education, outreach, and awareness efforts have been made to inform Canadian companies of the listing of states and their corresponding obligations, (ii) what education, outreach, and awareness efforts will be made to inform Canadians of the listing of states and their corresponding obligations, (iii) what education, outreach, and awareness efforts will be made to inform Canadian companies of the listing of states and their corresponding obligations; and (w) what education, outreach, and awareness efforts were made with respect to changes to state immunity occasioned by the coming into force of the JVTA, (i) in particular, how were judges informed of the changes, (ii) how were states informed of the possibility of a listing pursuant to the JVTA, (iii) were efforts made to reach out to potential claimants affected by changes to the SIA, (iv) if so, what were these efforts, how were they undertaken, by whom, and on what dates? |
Q-42 — October 16, 2013 — Mr. Cotler (Mount Royal) — With regard to international treaties and conventions dealing in whole or in part with human rights and with Canada’s international obligations in this regard: (a) does the government have any formal or informal procedures for regular review of those international human rights treaties that Canada has not yet signed, ratified, or otherwise accepted; (b) does the government have any formal or informal guidelines according to which it determines whether the specific obligations contained in a treaty or other international undertaking conflicts with the Constitution Act, 1867, and if so where can these guidelines be accessed; (c) do the guidelines referred to in (b) specify the standard according to which the government determines if any obligation contained in a treaty or other international undertaking violates any section of the Constitution Act, 1867; (d) has the government engaged in any review of its obligations under the Convention on the Elimination of Racial Discrimination (CERD); (e) does the government have any formal or informal guidelines according to which it determines whether the specific obligations contained in a treaty or other international undertaking require implementing legislation in order for Canada to be able to ratify or otherwise accept it, and if so where can these guidelines be accessed; (f) does the government have a position as to whether international agreements that establish a complaints mechanism or communications procedure for enforcement of the rights and obligations contained therein are necessarily unconstitutional; (g) does the government have a policy as to whether Canada will accept such agreements referred to in (f); (h) does the government undergo review of proposed international human rights agreements that would establish such a mechanism or procedure referred to in (f) on a case by case basis, (i) who is involved in this review, (ii) are the provinces and other interested stakeholders consulted in this regard; (i) has the government engaged in any discussions or consultations regarding Canada’s failure to make the relevant declaration under Article 14 of CERD, which would indicate Canada’s acceptance of the Committee on the Elimination of Racial Discrimination’s competence to receive individual complaints, (i) has the government or any minister consulted with any individuals or organizations who have expressed any positions with regard to Canada’s failure to make the declaration referred to in subsection (i), (ii) does Canada’s failure to make the necessary declaration referred to in (a) cause it to be derelict with regard to its treaty obligations, pursuant to either CERD or any other international treaty or tenet of customary international law, (iii) is there any process, formal or otherwise, by which an individual can issue a complaint or communication to any international or intergovernmental organization or international tribunal pertaining to Canada’s obligations under CERD, (iv) has the government received any complaints or communications from any individuals, organizations, or State Parties to CERD regarding its obligations under the CERD, (v) has the government taken any action in response to such complaints referred to in (iv), (vi) does the government have a position as to whether Article 14 of CERD violates any section of the Constitution Act, 1867 and, if so, what specific sections does it violate, (vii) has the government engaged in any consultations, either with the provinces or with any other relevant stakeholders, regarding Canada’s failure to sign and accept Article 14 of CERD; (j) has the government engaged in any review of its obligations under the International Covenant on Economic, Social, and Cultural Rights (ICESCR), (i) has the government engaged in any discussions or consultations regarding Canada’s failure to sign the Optional Protocol to the International Covenant on Economic, Social, and Cultural Rights (Optional Protocol), which establishes a communications procedure for individuals to file a complaint before the ICESCR Committee alleging a violation of the rights or obligations contained in the treaty, (ii) has the government or any minister consulted with any individuals or organizations who have expressed any positions with regard to Canada’s failure to sign the Optional Protocol referred to in (i), (iii) does Canada’s failure to sign the Optional Protocol referred to in (i) cause it to be derelict with regard to its treaty obligations, pursuant to either ICESCR or any other international treaty or tenet of customary international law, (iv) is there any process, formal or otherwise, by which an individual can issue a complaint or communication to any international or intergovernmental organization or international tribunal pertaining to Canada’s obligations under ICESCR, (v) has the government received any complaints or communications from any individuals, organizations, or State Parties to ICESCR regarding its obligations under ICESCR, (vi) has the government taken any action in response to such complaints referred to in (v), (vii) does the government have a position as to whether the Optional Protocol referred to in (i) violates any section of the Constitution Act, 1867 and, if so, what specific sections does it violate, (viii) has the government engaged in any consultations, either with the provinces or with any other relevant stakeholders, regarding Canada’s failure to sign and accept the Optional Protocol referred to in (i); (k) has the government engaged in any review of its obligations under the Convention Against Torture and Other Cruel, Inhuman or Degrading Treatment or Punishment (CAT), (i) has the government engaged in any discussions or consultations regarding Canada’s failure to sign the Optional Protocol to the Convention Against Torture or Other Cruel, Inhuman or Degrading Treatment or Punishment (Optional Protocol), which establishes a system of unannounced visits by international and national monitoring bodies to places where persons are being deprived of their liberty, (ii) has the government or any minister consulted with any individuals or organizations who have expressed any positions with regard to Canada’s failure to sign the Optional Protocol referred to in (i), (iii) does Canada’s failure to sign the Optional Protocol referred to in (i) cause it to be derelict with regard to its treaty obligations, pursuant to either CAT or any other international treaty or tenet of customary international law, (iv) is there any process, formal or otherwise, by which an individual can issue a complaint or communication to any international or intergovernmental organization or international tribunal pertaining to Canada’s obligations under the Optional Protocol referred to in (i), (v) has the government received any complaints or communications from any individuals, organizations, or State Parties to CAT regarding its obligations under CAT, (vi) has the government taken any action in response to such complaints referred to in (v), (vii) does the government have a position as to whether the Optional Protocol referred to in (i) violates any section of the Constitution Act, 1867 and, if so, what specific sections does it violate, (viii) has the government engaged in any consultations, either with the provinces or with any other relevant stakeholders, regarding Canada’s failure to sign and accept the Optional Protocol referred to in (i), (ix) has the government received any requests either from a State Party to CAT or from any international or national monitoring group or other organization to visit a specific location in order to confirm allegations that Canada is derelict with regard to its obligations under CAT or where an individual is alleged to be deprived by Canada of their liberties, and if so how has the government responded, (l) has the government engaged in any review of its obligations under the Amendment to Article 43(2) of the Convention on the Rights of the Child, the Optional Protocol to the Convention on the Rights of the Child on the Involvement of Children in Armed Conflict, and the Optional Protocol to the Convention to the Convention on the Rights of the Child on the Sale of Children, Child Prostitution, and Child Pornography, (i) has the government engaged in any discussions or consultations regarding Canada’s failure to sign the Optional Protocol to the Convention on the Rights of the Child on a communications procedure (Third Optional Protocol), which establishes a complaints procedure by which individuals can allege a State Party’s violation of its obligations set out in the conventions or optional protocols referred to in (i), (ii) has the government or any minister consulted with any individuals or organizations who have expressed any positions with regard to Canada’s failure to sign the Third Optional Protocol referred to in (i), (iii) does Canada’s failure to sign the Third Optional Protocol referred to in (i) cause it to be derelict with regard to its treaty obligations, pursuant to either ICESCR or any other international treaty or tenet of customary international law, (iv) is there any process, formal or otherwise, by which an individual can issue a complaint or communication to any international or intergovernmental organization or international tribunal pertaining to Canada’s obligations under the Optional Protocol referred to in (i), (v) has the government received any complaints or communications from any individuals, organizations, or State Parties to any of the international agreements referred to in (i) regarding its obligations under any of those agreements, (vi) has the government taken any action in response to such complaints referred to in (v), (vii) does the government have a position as to whether the Third Optional Protocol referred to in (i) violates any section of the Constitution Act, 1867 and, if so, what specific sections does it violate, (viii) has the government engaged in any consultations, either with the provinces or with any other relevant stakeholders, regarding Canada’s failure to sign and accept the Third Optional Protocol referred to in (i); (m) has the government engaged in any discussions or consultations regarding Canada’s failure to sign the International Convention on the Protection of the Rights of all Migrant Workers and Members of their Families (ICPRMW), (i) does Canada’s failure to sign the ICPRMW referred to in (e) cause it to be derelict with regard to its obligations pursuant to any international treaty or tenet of customary international law, (ii) is there any process, formal or otherwise, by which an individual can issue a complaint pertaining to Canada’s obligations towards migrant workers and temporary foreign workers under international law, (iii) is it the position of the government that temporary foreign workers in Canada who believe there rights pursuant to either domestic or international law have been violated should be allowed to remain in Canada pending the outcome of judicial proceedings in this regard, (iv) is there any formal policy in place by which temporary foreign workers in Canada can ensure that they are not deported pending the outcome of judicial proceedings relating to an alleged violation of their rights under international law, (v) does Canada have an obligation under international law to ensure that temporary foreign workers have access to Canadian courts to adjudicate violations of their rights under domestic or international law, (vi) is there any legal or constitutional barrier to Canada becoming a State Party to the ICPRMW referred to in (e); and (n) has the government engaged in any review of its obligations under the Convention on the Rights of Persons with Disabilities (CRPD), (i) has the government engaged in any discussions or consultations regarding Canada’s failure to sign the Optional Protocol to the CRPD, (ii) has the government or any minister consulted with any individuals or organizations who have expressed any positions with regard to Canada’s failure to sign the Third Optional Protocol referred to in (i), (iii) does Canada’s failure to sign the Optional Protocol referred to in (i) cause it to be derelict with regard to its treaty obligations, pursuant to either CRPD or any other international treaty or tenet of customary international law, (iv) is there any process, formal or otherwise, by which an individual can issue a complaint or communication to any international or intergovernmental organization or international tribunal pertaining to Canada’s obligations under the Optional Protocol referred to in (i), (v) has the government received any complaints or communications from any individuals, organizations, or State Parties to the international agreement referred to in (n) regarding its obligations under any of those agreements, (vi) has the government taken any action in response to such complaints referred to in (v), (vii) does the government have a position as to whether the Optional Protocol referred to in (i) violates any section of the Constitution Act, 1867 and, if so, what specific sections does it violate, (viii) has the government engaged in any consultations – either with the provinces or with any other relevant stakeholders – regarding Canada’s failure to sign and accept the Third Optional Protocol referred to in (i)? |
Q-52 — October 16, 2013 — Mr. Dewar (Ottawa Centre) — With regard to residency questionnaires for citizenship applications: (a) what is the total number of questionnaires sent out by Citizenship and Immigration Canada for each of the last five years; (b) what is the total number of questionnaires sent to citizenship applicants living in the riding of Ottawa Centre for each of the last five years; (c) what is the total number of questionnaires sent out by province for each of the last five years; (d) if the use of questionnaires has increased, what is the rationale; and (e) what are the names of all documents describing the criteria of assessment used to determine whether a residency questionnaire will be administered to an applicant? |
Q-62 — October 16, 2013 — Mr. Dewar (Ottawa Centre) — With regard to the property owned by Public Works and Government Services Canada (PWGSC) at 250 Lanark Avenue in Ottawa: (a) is the property designated as surplus; (b) if so, is the property designated as surplus strategic or surplus routine; (c) does PWGSC intend to dispose of the property; (d) if so, what is the planned timeframe for the disposal of the property; (e) how is the green space at the property currently being used; (f) what are the reasons for restricting public access to the green space at the property? |
Q-72 — October 16, 2013 — Mr. Godin (Acadie—Bathurst) — With regard to the Government-wide Chart of Accounts: (a) how does the Receiver General for Canada fulfill his official languages obligations; (b) how does the Treasury Board Secretariat fulfill its official languages obligations; (c) what positive measures have been taken as regards official languages; (d) are official languages integrated into the Chart and if so, how, or if not, why not; (e) how does the Chart allow for data on financial transactions to be identified, collected and reported in such a way as to fulfill the government’s official languages obligations; and (f) what are the program codes regarding official languages, and for which institutions are they used? |
Q-82 — October 16, 2013 — Mr. Godin (Acadie—Bathurst) — With regard to the Roadmap for Canada’s Official Languages 2013–2018: (a) has the Treasury Board of Canada Secretariat issued a directive or other instruction to all federal institutions participating in the implementation of the Roadmap to ensure that they consult the official language minority communities when establishing objectives, parameters, targets and performance indicators for their programs under the Roadmap; (b) how will Canadian Heritage ensure that the institutions participating in the implementation of the Roadmap effectively consult the official language minority communities in a timely manner to determine the program objectives, parameters, targets and performance indicators that must be identified before presenting an overview memorandum to Treasury Board; (c) among the federal institutions participating in the implementation of the Roadmap, are there any that have already consulted the communities with regard to program objectives, parameters, targets and performance indicators and, if so, which community groups and organizations were consulted; and (d) what deadline was given to the federal institutions for consulting the communities and for presenting their memorandum to Heritage Canada? |
Q-92 — October 16, 2013 — Mr. Thibeault (Sudbury) — With regard to the importation of consumer electronic products and devices, broken down by fiscal year since 2006-2007: (a) what is the total value of consumer electronic devices and other products imported into Canada under tariff codes (i) 8519.81.29, (ii) 8521.90.90, (iii) 9948.00.00; and (b) how much was paid in tariffs for the importation into Canada of consumer electronic devices and other products under tariff codes (i) 8519.81.29, (ii) 8521.90.90, (iii) 9948.00.00? |
Q-102 — October 16, 2013 — Mr. Dubé (Chambly—Borduas) — With regard to the funds allocated by the government for the Toronto 2015 Pan/Parapan American Games, and the 2012-2016 Host Program Contribution Agreement between Canadian Heritage (Sport Canada) and the Organizing Committee of the Toronto 2015 Pan/Parapan American Games: (a) how much has been allocated to all the sports venues, including but not limited to the CIBC Athletes’ Village, the CIBC Pan Am and Parapan Am Games Athletics Centre and Field House, the Markham Pan Am and Parapan Am Centre, the Welland Flatwater Centre, the Caledon Equestrian Park, and the Hamilton Soccer Stadium; (b) what are the specific details of the amounts allocated to construct new sports infrastructures and those allocated to renovate existing sports infrastructures; (c) for each of the capital projects (especially the sites for test events, training, competitions and support services), what are the specifics of all the interim quarterly activity/results reports describing the status of each project as stipulated in Annex E, Interim and Final Results Reporting Requirements, of the 2012-2016 Hosting Program Contribution Agreement; and (d) the amount allocated to ensure compliance with the provisions of the Contribution Agreement related to official languages and related services provided by the government for the Games? |
Q-112 — October 16, 2013 — Mr. Bélanger (Ottawa—Vanier) — With regard to the Translation Bureau: (a) how many words were translated from French to English and from English to French for the years (i) 2009, (ii) 2010, (iii) 2011, (iv) 2012, (v) 2013; and (b) what was the Bureau’s baseline budget, how many permanent, term and contract employees did it have, and what amount did the various federal institutions allocate for translation in the years (i) 2009, (ii) 2010, (iii) 2011, (iv) 2012, (v) 2013? |
Q-122 — October 16, 2013 — Mr. Casey (Charlottetown) — Regarding the measures "totaling two billion dollars" contained in the Enhanced New Veterans Charter Act, tabled by the government in November 2010: (a) over what time frame is this money to be spent; and (b) how much of the $2 billion has already been spent? |
Q-132 — October 16, 2013 — Mr. Casey (Charlottetown) — With regard to the Department of Veterans Affairs, what are the contents of all news releases, media advisories or any form of communication, national, regional or "proactive local outreach” in scope, issued by the Department between November 6 and November 15, 2012? |
Q-142 — October 16, 2013 — Mr. Regan (Halifax West) — With regard to the Canadian Radio-Television Telecommunications Commission (CRTC): (a) what is the position of the government on the matter of overturning decisions of the CRTC; (b) what criteria or policies are used by the Cabinet to overturn decisions of the CRTC; (c) how many times since 2006 has the Cabinet overturned decisions of the CRTC and what were those decisions; and (d) who are the current members of the CRTC and what are each member’s date of appointment or reappointment? |
Q-152 — October 16, 2013 — Mr. Regan (Halifax West) — With regard to the Standards Council of Canada (SCC): (a) does the SCC consider the Canadian Standards Association (CSA) a commercial entity or a regulatory entity; (b) does the SCC believe that CSA owns any portion of Canadian law; (c) does the SCC believe that the CSA is afforded an exemption, or exemptions, to Canadian law; (d) does the SCC believe that the CSA has the right to restrict public access to Canadian law; (e) what is the average annual value transferred from CSA to provincial governments in payment for those contributions; (f) what percentage of CSA members’ payments for Canadian Electrical Code (CEC) influence are diverted to non-CEC activities; (g) does the SCC believe that the CSA practice of trading influence over, or control of, legislative processes in exchange for money or other value consideration is a violation of law; (h) does the SCC believe that the CSA practice of leveraging regulatory authority for commercial advantage is an abuse of regulatory authority; (i) what is the increase in annual revenue experienced by CSA, expressed both in percent and in Canadian dollars, resulting from this decision to tighten the Code development cycle by 25 percent; (j) what is the average annual value of royalty payments made to CSA by each of the government of British Columbia and the government of Ontario in exchange for the right to print the statutes that CSA claims to own and that these jurisdictions have passed into law; (k) does CSA provide access to Canadian law at different costs to different customers according to the values that these customers have at various times paid to CSA; (l) does the SCC assure Parliament that CSA does not leverage any value in any form, including contributions of content and labour, from activities related to the CEC for any of its commercial developments including the CSA Handbook; and (m) does the SCC believe that articles and documentation that are developed as part of a legislative process and that are to constitute part of law in any jurisdiction of Canada may not be concealed from the public for purposes of commercial advantage or financial gain, nor may they be leveraged preferentially, by time or by access or by other advantage, by any entity for purposes external to the legislated passage of those articles or documentation? |
Q-162 — October 16, 2013 — Mr. Regan (Halifax West) — With regard to the government's September 2007 announcement of a “one-time, tax-free, ex gratia payment of $20,000 related to the testing of unregistered U.S. military herbicides, including Agent Orange, at Canadian Forces Base Gagetown in New Brunswick during the summers of 1966 and 1967” : (a) how much money was budgeted for these payments; (b) how many payments were issued; (c) how much of the money budgeted was not paid out in ex gratia payments; and (d) what was done with the money that was not paid out? |
Q-172 — October 16, 2013 — Mr. Regan (Halifax West) — With regard to spending in the federal riding of Halifax West, how much money was spent between 2007 and 2012: (a) through the Infrastructure Stimulus Fund; (b) through the Municipal Rural Infrastructure Fund; (c) through the Canada Strategic Infrastructure Fund; (d) through the Infrastructure Canada program; and (e) how much money has the Atlantic Canada Opportunities Agency directed to businesses and projects in the federal riding of Halifax West between 2007 and 2012? |
Q-182 — October 16, 2013 — Mr. Mulcair (Outremont) — With regard to government spending in the constituency of Outremont, what was the total amount of government funding since fiscal year 2005-2006 up to and including the current fiscal year, broken down by (i) the date the money was received in the riding, (ii) the dollar amount of the expenditure, (iii) the program from which the funding came, (iv) the ministry responsible, (v) the designated recipient? |
Q-192 — October 16, 2013 — Ms. Michaud (Portneuf—Jacques-Cartier) — With regard to the Translation Bureau: (a) what was the total number of translator, interpreter and editor positions at the Bureau, per year, since 2005-2006; (b) what is the Bureau's total number of client institutions; (c) what was the total number of client institutions, per year, since 2005-2006; and (d) what is the total amount invoiced to these institutions for (i) translation or editing services, (ii) interpretation services? |
Q-202 — October 16, 2013 — Mr. Atamanenko (British Columbia Southern Interior) — With regard to the horse slaughter industry in Canada: (a) what was the reason for the temporary halt, initiated by European Union (EU) officials, to horse meat imports from Canada on October 12, 2012; (b) has Canada participated in talks with EU officials regarding the safety of horse meat from Canada since that time, (i) if so, what topics were discussed, (ii) what conclusions were reached; (c) what restrictions effective in 2013 will be imposed upon the Canadian horse meat industry by the EU, (i) what is the anticipated impact of these restrictions on the frequency and type of drug residue testing on horse meat in Canada as well as on the data required on Equine Information Documents (EIDs), (ii) will the restrictions on prohibited/non-permitted drugs be further tightened; (d) is there any oversight by the Canadian Food Inspection Agency (CFIA) on transport drivers and horse meat dealers listed on EIDs as current owners to check for a history of violations of the United States Department of Agriculture, Ministry of Transport, or CFIA transport regulations, (i) does the CFIA enhance its scrutiny of such violators or conduct follow-up investigations on those who have been flagged for violations, (ii) is this information shared with any other inter-connected government agency either in Canada or in the United States; (e) how often do CFIA inspectors do a visual inspection of the transports that arrive at the slaughter plants to ensure that the horses have been transported safely; (f) how many transport violations concerning horse slaughter transportation have been issued to transport drivers within the last five years, (i) how many warnings of violations have been issued, (ii) if the warnings have been ignored, how does the CFIA restrict or prohibit those transport drivers from conducting business in Canada; (g) how often does the CFIA conduct inspections of feedlots and how many warnings or violations were imposed in the last five years because of these inspections; (h) in the last five years, how many times has the CFIA conducted audits of processes and procedures regarding the export shipments of live horses to foreign countries, (i) how many audit reports were prepared, (ii) how many warnings were issued to shippers; (i) how does the CFIA ensure that e-coli or the potential for e-coli is properly erased from horses and horse meat during and after the slaughter process; (j) how often are in-house video cameras scrutinized in plants and does the CFIA keep these videos to scrutinize at a later date, and how does the CFIA address inappropriate behaviour by slaughter plant personnel that may be uncovered in video recordings; (k) after conditions at Les Viandes de la Petite-Nation were revealed in 2011, were structural changes instituted at that slaughter facility and, if so, which ones, and were changes concerning the safe use of a rifle rather than captive bolt gun instituted and, if so, did the CFIA see a reduction in the number of horses regaining consciousness after switching from captive bolt gun to rifle; (l) what accountability measures are taken towards recorded owners of horses whose carcasses were condemned for reasons of disease, malnourishment or other abuse; (m) are the carcasses of horses that test positive for prohibited drugs used for rendering, and if not, how does the CFIA oversee the safe disposal of contaminated carcasses and ensure that condemned carcasses are not combined in any way with normal rendering; (n) how often does the CFIA inspect slaughter house feedlots and out buildings for dead or downer horses, (i) are there any reports kept by plant personnel regarding dead or downer horses, (ii) if so, does the CFIA inspect these reports at any time, (iii) how many dead or downer horses have been involved since January 1, 2010, and what were the circumstances surrounding these cases; (o) what protocols are in place to ensure that equine blood and other body fluids are being properly diverted from municipal town water systems; (p) does the CFIA conduct audits or oversee EIDs when obvious erroneous information is listed by the recorded owner and is the slaughter plant required to flag these EIDs for scrutiny by the CFIA when there are obvious or deliberate errors or omissions; (q) what do slaughterhouses do with registration papers that may accompany thoroughbreds, standardbreds, quarter horses or other breeds to slaughter facilities; (r) does the CFIA compile statistics on breeds that are most likely to have been administered prohibited drugs; (s) what are the “animal well-being program” and “program to monitor animal slaughter” mentioned in the response to written question Q-714 on September 17, 2012, and what results have been seen from the use of these programs; (t) are horse slaughter facilities checking with ID scanners for microchips, (i) if not, does the CFIA plan to implement a microchip ID program and if so, when is the deadline for its implementation; (u) has a database been developed for Equine Information Documents and who is responsible for oversight and maintenance of the database; and (v) how many horse fatalities and serious injuries have occurred during loading or air transport of slaughter horses to Japan and any other countries, between January 1, 2008, and April 1, 2013, (i) what reasons were recorded for the fatalities or injuries, (ii) how was each case resolved? |
Q-212 — October 16, 2013 — Ms. Liu (Rivière-des-Mille-Îles) — With regard to the Indirect Costs Program: (a) what percentage of indirect costs were covered by the program for each fiscal year since 2005; and (b) in the case of McGill University and l'Université Laval, what percentage of indirect costs were covered by the program for each fiscal year since 2005? |
Q-222 — October 16, 2013 — Mr. Nantel (Longueuil—Pierre-Boucher) — With regard to the UNESCO Convention on the Protection and Promotion of the Diversity of Cultural Expressions, on an annual basis: (a) what human and financial resources have been allocated to the Convention’s implementation since its ratification, for fiscal years (i) 2013-2014, (ii) 2014-2015; (b) what projects, groups and associations have received funding since its ratification; (c) has the Department of Canadian Heritage reviewed its policies to ensure they comply with the Convention; (d) what action does the government intend to take in 2013-2014 and 2014-2015 to implement the Convention; (e) how many meetings on the Convention have the government and the provinces held since its ratification; (f) how many UNESCO meetings on the Convention have Canadian delegates attended; (g) with regard to the Canada-Europe free-trade agreement, how many meetings between the Department of Canadian Heritage and the Department of Foreign Affairs, Trade and Development have been held to date? |
Q-232 — October 16, 2013 — Mr. Stoffer (Sackville—Eastern Shore) — With regard to Canadian Forces and RCMP veterans who have exhausted all their redress options at the Veterans Review and Appeal Board (VRAB) and pursue their right to apply to the Federal Court of Canada for a judicial review of the decision: (a) how many veterans pursued their right to apply to the Federal Court of Canada for a judicial review from 2006 to 2013 inclusive; (b) what is the total amount of money spent by all departments and agencies, including all costs associated with the work of the Department of Justice, for judicial reviews of VRAB decisions from 2006 to 2013 inclusive; (c) what is the average cost to the Crown and government for a judicial review case, including a breakdown of average costs including salaries, court transcription services, courier fees, witnesses, and other items; (d) what was the cost for each judicial review from 2006 to 2013 inclusive; and (e) what is the average amount of time it takes for a judicial review decision from start to finish? |
Q-242 — October 16, 2013 — Mr. Stoffer (Sackville—Eastern Shore) — With regard to Correctional Service of Canada (CSC): (a) how many adults serving custody sentences in the federal correctional system previously served in the Canadian Forces (CF) and RCMP from 2001 to 2013 inclusive; (b) how many of these adults specified above served their custody sentence in (i) federal minimum security prisons, (ii) federal medium security prisons, (iii) federal maximum security prisons; (c) how many offenders on conditional release previously served in the Canadian Forces and RCMP from 2001 to 2013 inclusive; (d) what is a breakdown on the types of offences committed by adults with previous service in the CF and RCMP for those serving custody sentences in federal correctional facilities and offenders on conditional release from 2001 to 2013 inclusive; (e) has CSC determined a re-conviction rate for adults who previously served in the CF or RCMP from 2001 to 2013 inclusive; (f) what is a breakdown of the types of rehabilitative needs adults who previously served in the CF and RCMP accessed while serving their custody sentence or conditional release (including psychological, social, or occupational training opportunities) from 2001 to 2013 inclusive; and (g) how many adults serving their custody sentence or conditional release with prior CF or RCMP service were treated for Post-traumatic Stress Disorder or Operational Stress Injuries from 2001 to 2013 inclusive? |
Q-252 — October 16, 2013 — Mr. Pacetti (Saint-Léonard—Saint-Michel) — With regard to the Department of National Defence: between January 1, 2008, and December 31, 2012, how many investigations were initiated by the National Investigation Service (NIS), which the Office of the Chief of Defence Staff (CDS) or the Vice-Chief of Defence Staff (VCDS) ordered, directed, requested, enjoined, required, instructed, commanded charged, told or requisitioned the Provost Marshal or the Commanding Officer of the NIS to (i) conduct such an investigation and (ii) to report back or keep the Office of the CDS or the VCDS generally appraised of the conduct or outcome of the said investigation, and for each investigation, what was the date the NIS investigation was initiated, the rank of the Canadian Forces member being investigated, the general nature of the investigation and the date upon which the NIS investigation was concluded? |
Q-262 — October 16, 2013 — Mr. Pacetti (Saint-Léonard—Saint-Michel) — With regard to Canadian Forces (CF) health issues: (a) how many CF members reported suffering from symptoms of Lyme disease for each of 2006-2012 inclusive; and (b) for each reported case, what is (i) the date of the suspected occurrence, (ii) the location of each occurrence, (iii) the rank of the injured CF member, (iv) whether the member was treated and returned to full duty? |
Q-272 — October 16, 2013 — Mr. Pacetti (Saint-Léonard—Saint-Michel) — What is the total amount of government funding, allocated within the constituency of Saint-Léonard—Saint-Michel in the fiscal year 2009-2010, listing each department or agency, initiative and amount? |
Q-282 — October 16, 2013 — Mr. Pacetti (Saint-Léonard—Saint-Michel) — What is the total amount of government funding, allocated within the constituency of Saint-Léonard—Saint-Michel in the fiscal year 2010-2011, listing each department or agency, initiative and amount? |
Q-292 — October 16, 2013 — Mr. Julian (Burnaby—New Westminster) — With regard to the 267,000 cubic meters of low and intermediate level radioactive wastes that are stored above ground in concrete containers at the Chalk River Laboratories: (a) what is the long-term plan for the containment and safe storage of these wastes; (b) how has the safety of these containers been demonstrated and what is their design life; (c) how has their long term performance been (i) evaluated, (ii) verified; (d) is there an update on the proposed deep geological repository at the Chalk River property and what is (i) the project description, (ii) the project scope; (e) how much will the deep geological repository cost; (f) how has the long term performance been evaluated for the proposed deep geological repository; (g) has a post-closure safety assessment been done; (h) what has been the process for public participation in this project’s development to date; (i) what are the future plans for public participation; and (j) what is the peer review process for this proposed deep geological repository? |
Q-302 — October 16, 2013 — Mr. Julian (Burnaby—New Westminster) — With regard to the 23,000 liters of highly enriched uranium (HEU) waste that will be transported from Chalk River to the United States: (a) will the government subject this plan to outside scrutiny to discuss the environmental and safety concerns; (b) how much highly enriched uranium waste is currently being stored at Chalk River; (c) how has the safety of the HEU waste been evaluated, including current and proposed waste management approaches; (d) what are the containers and transportation aspects; and (e) what is the government’s plan for the remainder of this HEU and the waste in the future? |
Q-312 — October 16, 2013 — Mr. Julian (Burnaby—New Westminster) — With regard to the government’s pledge to end the use of highly enriched uranium (HEU) to produce medical isotopes by 2016: (a) what is the progress of producing medical isotopes without HEU; (b) what is the cost and plan for decommissioning the National Research University reactor at Chalk River and what is the management plan for decommissioning wastes; (c) how much money will the government save through the privatization of Atomic Energy of Canada Limited (AECL); (d) does the government have a plan if it does not meet its 2016 pledge to stop using HEU to produce medical isotopes; (e) how will the government handle cost runs related to the short, medium and long term management of nuclear wastes? |
Q-322 — October 16, 2013 — Mr. Julian (Burnaby—New Westminster) — With regard to all ministerial visits to British Columbia, from September 1, 2013 to October 16, 2013, that involved discussions or announcements related to energy: (a) what was the total cost of these visits; (b) what were the costs of these visits, broken down by (i) minister, (ii) event, (iii) travel cost per person, (iv) travel cost per event, (v) advertising or promotional cost per event; (c) what is the list of events; and (d) who travelled for these events? |
Q-332 — October 16, 2013 — Mr. Karygiannis (Scarborough—Agincourt) — With regard to ministerial business, including that of the Prime Minister, since May 2, 2011: (a) how many invitations to speak at, appear at, or attend a function has each minister or the Prime Minister, or their ministerial or departmental staff, accepted or initiated; (b) how many requests to speak at, appear at, or attend a function has each minister or the Prime Minister, or their ministerial or departmental staff, made; (c) what were the details of each such invitation or request, including the date, location, and nature of the function; (d) what were the costs of transportation, accommodation, meals, and security related to the travel of the minister or Prime Minister to and from each such function; (e) what were the costs of transportation, accommodation, and meals incurred by the minister's or Prime Minister's exempt staff members in relation to each such function; and (f) what are the file numbers of any files generated in respect of each such function? |
Q-342 — October 16, 2013 — Mr. Thibeault (Sudbury) — With regard to Industry Canada's "More Choices" campaign, relating to the government’s auction of the 700Mhz spectrum, what was the total spending by the government (a) on print advertising to promote this campaign; (b) on television advertising to promote this campaign; (c) on radio advertising to promote this campaign; (d) on online or web advertising to promote this campaign; and (e) to design the www.canada.ca/morechoices website? |
Q-352 — October 16, 2013 — Mr. Thibeault (Sudbury) — With regard to government‘s funding for tourism, and the return on investment which this funding produces, what is the estimated economic multiplier for spending by (a) the Canadian Tourism Commission; and (b) other departments on tourism-related projects, in terms of (i) government revenues, (ii) Gross Domestic Product? |
Q-362 — October 16, 2013 — Ms. Foote (Random—Burin—St. George's) — With regard to the closure of the Department of Fisheries and Oceans’ (DFO) library in St. John’s, Newfoundland and Labrador (N.L.): (a) what are the anticipated costs, both (i) broken down by individual expense, (ii) in total, of closing the library; (b) does the space that housed the library belong to the government, (i) if so, what are the plans for the space, (ii) if not, how long does the government plan to continue to rent the space and for what purpose; (c) how many total items were housed in the library, and of these (i) how many are digitized, (ii) how many are not digitized, (iii) how many will be transferred to the DFO library in Nova Scotia, (iv) how many will be given away, (v) how many are going to be destroyed; (d) what criteria were used in selecting which DFO libraries to close; (e) was there a consultation period preceding the decision to close, and if so, what were the results of the consultation; (f) how many people were employed at the library in each calendar year from fiscal year 2005 until the present, broken down by (i) part-time workers, (ii) full-time workers, (iii) contract workers; (g) how many jobs will be lost as a result of the library closure; (h) will employees be given the option to relocate to the Nova Scotia library; (i) what is the plan to ensure that all resources, physical and digital, remain available to Newfoundlanders and Labradorians, (i) how much does the government expect this process to cost, (ii) will any of these costs be downloaded to the library user, (iii) how will library users return physical items, (iv) who will pay for the return of items mentioned in sub-question (iii), (v) what is the expected individual cost per each physical item borrowed by people located in N.L., (vi) how is the individual cost calculated; (j) what is the plan to digitize items in cases of copyright conflict, and how much does the government expect this plan to cost; (k) what is the anticipated cost, both (i) broken down by individual expense, (ii) in total, to maintain the online portal “WAVES” system annually; (l) how many items are included in DFO’s collection of “grey material”, (i) how many of these will be digitized, (ii) what will happen to the balance of these materials; (m) what is the average elapsed time between the moment a request to make departmental publications available on WAVES is received, and the moment when the departmental publication is received; and (n) what is the anticipated time it will take for a physical item to be received in N.L. after being requested? |
Q-372 — October 16, 2013 — Ms. Foote (Random—Burin—St. George's) — With regard to the $65 million dollars provided to Veterans Affairs Canada’s funeral and burial program, managed by The Last Post Fund, over two years as indicated on page 254 of Budget 2013: (a) why did the government choose to provide $63 million in fiscal year 2013-2014 and only $2 million in fiscal year 2014-2015; (b) what happens to the balance of the $65 million if The Last Post Fund fails to spend the allotment corresponding to each fiscal year; (c) which organizations or stakeholders were consulted with regard to this specific funding measure; (d) how much was this program allotted in each year since 2005; (e) how much did this program spend in each year since 2005; and (f) how much does the government expect to spend in each of fiscal years 2013-2014 and 2014-2015? |
Q-382 — October 16, 2013 — Ms. Foote (Random—Burin—St. George's) — With regard to changes in employment insurance (EI), in each province and economic region, broken down by age (18-24, 25-54, 55 and over), and for the time period between January and June, broken down by month and totaled for each year since 2004: (a) how many unemployed Canadians (i) applied for EI, (ii) received EI, (iii) how many applicants were rejected; (b) what was the cost to process these applications; (c) what were the total costs of these benefits; (d) how many in receipt of EI benefits in 2013 have previously received EI (i) one time, (ii) two times, (iii) three times or more; (e) how many claimants with three or more claims totaling more than sixty weeks in the past five years have had to accept a job that paid thirty percent less than their last job; (f) how many claimants worked while on EI; (g) how many total applicants have dependents, and how many of these applicants were rejected; (h) of the three new classes created, how many applicants fall under (i) long tenured workers, (ii) frequent claimants, (iii) occasional claimants; and (i) how many applicants live (i) in rural areas, (ii) in urban areas? |
Q-392 — October 16, 2013 — Mr. Hyer (Thunder Bay—Superior North) — With regard to the so-called “carbon bubble”, or the inflation of hydrocarbon and oil and gas sector company stock valuation beyond their utilisable assets, what modeling, planning, estimates or mitigation strategies have been carried out since 2008 on this investment bubble or its potential impacts on the Canadian economy by (i) the Department of Finance, (ii) Industry Canada, (iii) Natural Resources Canada, (iv) any other government department or agency? |
Q-402 — October 16, 2013 — Mr. Hyer (Thunder Bay—Superior North) — With regard to adaptation to climate change and future impacts of climate change on department or agency operations: (a) what planning has been done since October 14, 2008 by (i) the Department of National Defence, (ii) Health Canada, (iii) Transport Canada, (iv) Aboriginal Affairs and Northern Development Canada, (v) Agriculture and Agri-Food Canada, (vi) Canada Mortgage and Housing Corporation, (vii) Canada Revenue Agency, (viii) Canadian Environmental Assessment Agency, (ix) Canadian Northern Economic Development Agency, (x) Canadian Security Intelligence Service, (xi) Great Lakes Pilotage Authority, (xii) Industry Canada, (xiii) Foreign Affairs, (xiv) Infrastructure Canada, (xv) International Joint Commission, (xvi) National Capital Commission, (xvii) Parks Canada, (xviii) Public Health Agency of Canada, (xix) Fisheries and Oceans Canada, (xx) Natural Resources Canada, (xxi) Environment Canada, (xxii) Emergency Preparedness Canada; and (b) since October 14, 2008 what climate change economic impact assumptions have been made or budgetary estimates been done for the departments and agencies listed in (a)(i) through (xxii)? |
Q-412 — October 16, 2013 — Mr. Hyer (Thunder Bay—Superior North) — With regard to government funding distributed in the constituency of Thunder Bay—Superior North from the 2011-2012 fiscal year to the current fiscal year inclusive, listed by date: (a) what is the total amount of this funding, broken down by (i) department, (ii) agency, (iii) program, (iv) any other government body; and (b) how many full time and part-time jobs is this estimated to have created? |
Q-422 — October 16, 2013 — Mr. Simms (Bonavista—Gander—Grand Falls—Windsor) — With respect to interactions between the government and any citizens or residents of Canada, what interactions have taken place since January 1, 2010, broken down by (a) government department; (b) number of interactions by type per month; (c) minimum time between initial request and closure of the file; (d) maximum time between initial request and closure of the file; (e) average time between initial request and closure of the file; (f) number of the interactions that were satisfactorily resolved; (g) number of interactions that were closed without being resolved; (h) number of interactions that remain open and unresolved; and (i) what policy or policies govern these interactions? |
Q-432 — October 16, 2013 — Mr. Simms (Bonavista—Gander—Grand Falls—Windsor) — With respect to the Manolis L. shipwreck and subsequent oil leak in the Change Islands and all events and circumstances related to this incident, what are the details of all ministerial correspondence, letters, emails, internal recommendations, internal correspondence, internal action plans, briefing notes, or other written material pertaining to this incident? |
Notices of Motions for the Production of Papers |
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P-12 — October 16, 2013 — Mr. Cash (Davenport) — That an Order of the House do issue for a copy of records submitted to Ministers from the Summit Management Office concerning business compensation related to G20 activities. |
P-13 — October 16, 2013 — Mr. Cash (Davenport) — That an Order of the House do issue for a copy of all assessments of applications rejected and approved by the Summit Management Office concerning compensation related to G20 activities. |
P-14 — October 16, 2013 — Ms. Boivin (Gatineau) — That an Order of the House do issue for a copy of all research submitted to the Minister concerning Bill C-10, An Act to enact the Justice for Victims of Terrorism Act and to amend the State Immunity Act, the Criminal Code, the Controlled Drugs and Substances Act, the Corrections and Conditional Release Act, the Youth Criminal Justice Act, the Immigration and Refugee Protection Act and other Acts. |
P-15 — October 16, 2013 — Ms. Boivin (Gatineau) — That an Order of the House do issue for a copy of all research submitted to the Minister concerning Bill C-19, An Act to amend the Criminal Code and the Firearms Act. |
P-16 — October 16, 2013 — Ms. Charlton (Hamilton Mountain) — That a humble Address be presented to His Excellency praying that he will cause to be laid before the House a copy of all government correspondence with U.S. Steel since September 1, 2011. |
Business of Supply |
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Government Business |
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Private Members' Notices of Motions |
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M-453 — October 16, 2013 — Mr. Stewart (Burnaby—Douglas) — That, in the opinion of the House, federal departments and agencies conducting scientific research should identify, develop, and implement communication policies that: (a) actively support and encourage scientists to speak freely to the media and the public about scientific and technical matters based on their official research, including scientific and technical ideas, approaches, findings, and conclusions; (b) allow scientists to present viewpoints that extend beyond their scientific research and incorporate their expert or personal opinions providing they specify they are not speaking on behalf of, or as a representative, of their department or agency; (c) ensure that public affairs or communications officers, elected officials, and Ministerial staff do not restrict, limit, or prevent scientists from responding to media requests in a timely and accurate manner; (d) prohibit public affairs or communications officers, elected officials, and Ministerial staff from directing scientists to suppress or alter their findings; and (e) affirm the right of scientists to review, approve, and comment publicly on the final version of any proposed publication that significantly relies on their research, identifies them as an author or contributor, or purports to represent their scientific opinion. |
M-454 — October 16, 2013 — Mr. Storseth (Westlock—St. Paul) — That, in the opinion of the House, Section 7 of the Canadian Charter of Rights and Freedoms should be amended to recognize property rights of Canadians. |
M-455 — October 16, 2013 — Mr. Goldring (Edmonton East) — That, in the opinion of the House, one nationally standardized “point in time” should be recommended for use in all municipalities in carrying out homeless counts, with (a) nationally recognized definitions of who is homeless; (b) nationally recognized methodology on how the count takes place; and (c) the same agreed-upon criteria and methodology in determining who is considered to be homeless. |
Private Members' Business |
M-425 — October 16, 2013 — Mr. Wallace (Burlington) — That, in the opinion of the House, the government should continue to: (a) recognize the long-term health risks and costs of obesity in Canada; (b) support, promote and fund organizations and individuals who are involved in the physical well-being of Canadians; and (c) make the reduction of obesity of Canadians a public health priority. |
Pursuant to Standing Order 86(3), jointly seconded by: |
Ms. Adams (Mississauga—Brampton South) — May 8, 2013 |
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2 Response requested within 45 days |