MCDERMOTT AND OTHERS v. IRELAND AND KEEGAN v. IRELAND
Doc ref: 23213/09;62652/09 • ECHR ID: 001-113945
Document date: September 25, 2012
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FIFTH SECTION
DECISION
Applications nos . 23213/09 and 62652/09 Bridget MCDERMOTT and Others against Ireland and Christine KEEGAN against Ireland
The European Court of Human Rights (Fifth Section), sitting on 25 September 2012 as a Chamber composed of:
Dean Spielmann , President, Karel Jungwiert , Boštjan M. Zupančič , Ann Power-Forde , Angelika Nußberger , André Potocki , Paul Lemmens , judges, and Claudia Westerdiek , Section Registrar ,
Having regard to the above applications lodged on 3 April and 15 October 2009,
Having regard to the observations submitted by the Government and the observations in reply submitted by the applicants,
Having deliberated, decides as follows:
THE FACTS
1. The five applicants, Bridget McDermott, Elizabeth Bissett , Mr Edward and Mrs Patricia Kennedy as well as Christine Keegan, are Irish nationals who live in Dublin. They are represented before the Court by Ms Yvonne Walsh, a solicitor practising in Dublin . The Irish Government (“the Government”) are represented by their Agent, Mr P. White, of the Department of Foreign Affairs and Trade.
2. The case concerns the death of the applicants ’ children in a fire in 1981 in the Stardust Ballroom (“the Stardust”) in Dublin . The facts of the case, as submitted by the parties, may be summarised as follows.
1. The fire
3. In the early hours of 14 February 1981 a catastrophic fire swept through the Stardust in which approximately 850 persons were present. 48 persons died and 128 were seriously injured. The overwhelming majority of the victims were 18-25 years of age. It remains the greatest disaster to have occurred in the history of the State.
4. Three of the first applicant ’ s children died in the fire, the second applicant lost a daughter as did the third and fourth applicants. Two of the fifth applicant ’ s daughters also died in the fire and a third was injured.
5. Within minutes of the first call to the Police Control Centre, all available police officers in the area were dispatched to the scene. A police investigation commenced immediately. An investigation team, of over 70 persons of various specialities, was assembled at the special incident centre under the control of the Chief Superintendent from the Central Detective Unit. Extensive forensic examinations were carried out and approximately 1500 witness statements were taken. Post-mortem examinations were carried out by State pathologists. The Coroner held Inquests (the Coroner ’ s Act 1962) in March 1982 and made findings as to the physical causes of death. In 2007 DNA tests allowed the identification of the remaining five unidentified bodies (not the deceased children of the applicants).
2. Report of the Tribunal of Inquiry (“the Tribunal”)
6. On 20 February 1981 the Tribunal was established (Tribunal of Inquiry Evidence Acts 1921 and 1979) to inquire into all aspects of the fire including its cause. It was chaired by Mr Justice Ronan Keane assisted by three assessors: a Professor of the Department of Fire Safety Engineering of the University of Edinburgh ; the Chief Inspector of Fire Services in Denmark ; and the Head of the Construction Division of An Foras Forbartha (the National Institute for Physical Planning & Construction Research). It sat for 122 days (March-November 1981), it heard evidence from 363 witnesses including victims, next-of-kin of the deceased and many experts and it commissioned extensive tests.
7. The Tribunal ’ s Report dated the 30 June 1982 made findings and recommendations in relation to a very broad range of issues.
8. The Tribunal found that there had been serious deficiencies as regards the content of, compliance with and application of applicable planning, building, electrical, safety and fire standards by the owners of the Stardust, by relevant State bodies and officials. The Tribunal treated one of the owner ’ s evidence “with great reserve”, which owner bore a special responsibility for the “recklessly dangerous” practice of keeping the emergency doors chained which was done with “reckless disregard” for the safety of those on the premises. The Tribunal found that, without all of these deficiencies, the injuries sustained would have been unquestionably less and the death toll would almost certainly have been reduced.
9. While the Tribunal ’ s conclusions were critical of the Department of the Environment (responsible for the fire services, building regulations and planning), the Report did not point to the particular fault or deficiencies of individual officials in the Department and no administrative or disciplinary enquiries were later pursued. The Report mentioned by name a number of officials of Dublin Corporation but it did not appear to allot individual blame given the system failures at issue. Some responsibility was attributed to a Senior Building Surveyor in Dublin Corporation as regards failing to follow up on the use of carpet tiles on the walls. However, the Report accepted that it was possible, as the Surveyor had argued, that the relevant regulations were not clear on this subject.
10. As to the police investigation, the Tribunal found that it was exhaustive and meticulous and to be commended, although there had been “serious short comings” in the forensic investigation. Some of the owners and staff of the Stardust did not give the police the assistance to which they were entitled, one member of staff deliberately attempting to deceive the police on whether the exit doors had been locked.
11. The Tribunal went on to make broad recommendations on the approach to be adopted to fire safety in Ireland (“serious shortcomings in the approach to fire safety in Ireland which much be remedied as a matter of urgency”) including on education, training, allocation of responsibility for fire safety and legislative/regulatory changes as well as recommendations concerning the enforcement of standards.
12. As to the cause of the fire, it made two findings. On the one hand, it found, based on the absence of any evidence, that the cause of the fire was “not known and may never be known”. On the other hand, based on a hypothesis, it found that the more probable “explanation” was that the fire was started deliberately in the West Alcove of the Stardust. However, the Tribunal went on, erroneously as later accepted, to adopt its hypothetical explanation of arson as a “finding of fact” and as its conclusion as to the probable cause of the fire.
13. The Tribunal ’ s finding of arson provoked anger and immediate protestations among the survivors and the bereaved. It was perceived as casting a suspicion of criminal wrongdoing over all who attended the Stardust on the night of the fire. It was considered to exclude negligence proceedings against the owners of the Stardust and that it facilitated the award of damages for malicious damage by the State to the owners (see immediately below). It would appear that the fifth applicant ’ s husband set up the Stardust Victims Committee (“the Committee”) in May 1985, its main objective being to campaign for a further inquiry.
3. Decisions not to prosecute
14. A police preliminary investigation report was completed in April 1981: nothing factual as to the origin of the fire had come to light. The police report and file was forwarded the Director of Public Prosecutions (“DPP”) who directed that no prosecution be pursued. In September 1982, following the conclusion of the Tribunal, a further police file (including an engineering report which was unable to identify evidence of any fault in the electrical, heating or ventilation systems which could have started the fire) was sent to the DPP, who again directed that no prosecution be pursued. At the time, no reasons were given for the DPP ’ s decisions. All police investigation material was made available to the Stardust Tribunal.
4. Award to owners for malicious damage
15 . In 1983 the owners of the Stardust brought a claim in malicious damage against the State. They relied on their own expert evidence and, while they did not specifically rely on the Tribunal ’ s Report, they did rely heavily on experts who had given evidence to the Tribunal to the effect that the fire had been caused deliberately. The State ’ s expert witness considered he could not refute this evidence and the Circuit Court accepted their evidence. In June 1983 that court found in favour of the owners, the trial judge stating that he had no doubt that the fire was malicious. In July 1983 the owners were awarded a total of 581,000 Irish Pounds (IR£). The State was legally advised that an appeal had no reasonable prospect of success.
5. Compensation for victims and their families
16. On 22 October 1985 the Government established the Stardust Victims Compensation Tribunal (“the Compensation Tribunal”) to award ex gratia compensation for loss attributable to the fire. This tribunal comprised a High Court judge, a barrister and solicitor. Bereaved persons could claim compensation and acceptance of an award was conditional on discontinuing, or waiving the right to take, civil actions. Rejection of an award left claimants free to take civil actions except before the Criminal Injuries Compensation Board. Awards could not be appealed and no award could be made for the benefit of a deceased ’ s estate. Claimants were entitled to be heard and could call witnesses unless the tribunal considered it unnecessary. Claimants ’ costs, even those already incurred in discontinued civil actions, would be discharged by the State. Approximately 950 applications were received. Cases were heard from November 1985 to December 1986. Given the distressing circumstances of the fatalities, claimants were awarded the maximum statutory amount for mental distress. 66 applicants were refused compensation and 64 withdrew their applications. Approximately 823 awards, totalling IR£ 10,458,115.00, were made. All awards were accepted.
17. The fifth applicant ’ s husband challenged the refusal by the Compensation Tribunal of an award for nervous shock. While it was accepted that he had suffered grief and sorrow, he had not suffered a psychiatric illness and was not therefore entitled to damages for nervous shock under the scheme. By judgment of 16 December 1986 the Supreme Court rejected his case ( The State (John Keegan and Eoin Lysaght v. the Stardust Victims Compensation Tribunal ([1987] I.L.R.M. 202). Mr Keegan died that same day. The Keegan family award (including damages for mental distress and loss of earnings) totalled IR£ 170,800.
18. In 1991 the Compensation Tribunal published a report which recorded general conclusions and the total sum of compensation paid. The report criticised the fact that it was only before it that that many victims had been able to be medically examined and treated by doctors for the first time since the fire. The report therefore recommended that the Government put in place contingency plans, not only for rescuing victims and for their treatment in hospital, but also for monitoring their later progress.
6. The Committee ’ s actions to re-open the Tribunal findings
19. In February 2004 the Committee submitted a report to the Department of Justice, Equality and Law Reform (“the Department of Justice”). The Department of Justice referred the report for expert analysis which concluded that the Committee ’ s report did not contain any new evidence. The Committee was informed of this in a meeting in November 2004. A letter 14 February 2008 from the police to the solicitor of the Committee explained the scope of this expert analysis and detailed why there was no new evidence warranting the police re-visiting the investigation. The applicants maintained that they were given a copy of this letter only after the Coffey Review (paragraphs 21-32 below).
20. The Committee then obtained reports from three fire experts whose evidence was that a more probable cause of the fire was that it started, or involved combustibles in, the Store Room (in the roof space) which contained a considerably greater fuel load than the West Alcove. The findings were published in a report called “ Nothing but the Truth” and the report was the subject of a television documentary in February 2006. In July 2006 the Committee, through its solicitors, presented a full submission for a further inquiry (also called “Nothing but the Truth”) to the Government. In December 2006 the Committee was informed that, while the expert advice to the Taoiseach (Prime Minister) was that the report contained no new material which would justify holding an enquiry, he was willing to arrange for an independent examination of the Committee ’ s submissions by an appropriate person with legal experience.
7. The Coffey Review and Report
21. Further to negotiations between the Government and the Committee, an agreement was reached on the appointment of an independent person to review the case made by the Committee for a further inquiry. In May 2008 the appointment of Mr Paul Coffey S.C. was agreed. On 10 July 2008 the Government established the independent “Coffey” review of the Committee ’ s case for a renewed inquiry to establish the cause of the fire. The terms of reference were:
“2. ... [Mr Coffey] shall:
- consider the [Report of the Tribunal];
- consider all the issues which are raised by the [Committee], as are summarised in the submission “Nothing But The Truth” and in the supplemental submission to “Nothing But The Truth” (delivered on the 4th of May, 2007), and all the evidence and submissions as may be presented on their behalf as he considers necessary and relevant to the case for a further inquiry.
- In the course of a private examination of the issues,
(a) meet such people and secure such advice as he considers necessary to ensure complete understanding of the matters and issues.
(b) facilitate a detailed presentation by the [Committee] of the case for renewed inquiry as they see it.
(c) have such regard to as he thinks appropriate to submissions, if any, as may be made by other persons/parties including any Government Departments or Agency or the owners of the Stardust together with any observations on or response thereto from the [Committee].
- carry out such inquiries or investigations that he, in his sole discretion, considers necessary for clarification of the issues raised by the [Committee], but he shall not initiate any further investigations into the cause of the fire.
3. Following his assessment of the issues raised by the [Committee] and related matters, as set out above, Mr Coffey shall, without undue delay, report to the Government and shall therein make a recommendation as to whether a new inquiry should be established and may make such other recommendations as he considers appropriate.”
22. Mr Coffey advertised in local and national newspapers seeking submissions. He heard submissions from all interested persons and parties. The Committee, whose legal representation was financed by the Government, gave oral evidence over 3 days and made written submissions. A large body of documents was gathered, all of which were made available to the Committee ’ s legal representatives. Mr Coffey considered he was entitled to assess not only the applicants ’ new evidence, but any other issue pertinent to the question of the need for a further enquiry.
23. The Committee summarised the issues raised by it as follows:
“(1) that the Tribunal ’ s finding of fact that the fire was probably caused deliberately is based on hypothesis and not established by evidence and is for that reason inherently unsatisfactory;
(2) that the hypothesis upon which the Tribunal ’ s finding is based is itself demonstrably flawed because it cannot be reconciled with the known facts of the fire including evidence accepted by the Tribunal;
(3) that new expert and factual evidence establishes as a probability that the fire began in the Lamp Room and spread via the Store Room to the West Alcove;
(4) that the “methodology” used by the Tribunal was flawed insofar as insufficient scrutiny or examination was given to the possibility that the fire originated in the roof space having regard to the very considerable quantity of combustible material that was contained in the Store Room and the fact that the Store Room was effectively in the roof space;
(5) that only the very considerable fuel load in the Store Room could have provided the basis for the rapid development of the fire which engulfed the Stardust within minutes.”
24. On 23 January 2009 the Coffey Report was published. Having reviewed the evidence and submissions of the Committee together with the Tribunal ’ s database of material, Mr Coffey concluded (paragraph 5.8) that the Committee had established a prima facie case that:
“(1) the Tribunal ’ s finding of fact that the fire was probably started deliberately is on its face a mere hypothetical explanation for the probable cause of the fire and is not demonstrated by any evidence that the fire was started deliberately;
(2) in the absence of any such evidence and on the basis of new expert evidence relating to the early collapse of the ceiling in the West Alcove, the explanation cannot be demonstrated to be objectively justifiable.”
25. Mr Coffey was further satisfied, on a prima facie basis, that:
“(1) that neither the Tribunal nor the Committee have identified any evidence which can establish the cause of the fire;
(2) that the new and other evidence relied upon by the Committee at its highest merely establishes that the fire began in the roof space but does not establish its point of origin or cause.”
26. As to the Committee ’ s call for a new inquiry to establish the cause of the fire, Mr Coffey considered that, in the absence of any identified evidence which could establish its cause, the issue was whether a new inquiry would serve any useful purpose. He continued:
“5.11 It could be argued that a further inquiry would at least establish whether the fire began in the West Alcove or in the roof space. However, it seems to me that at a remove of nearly three decades from the date of the fire and in the absence of any identified evidence which can establish the cause of the fire wheresoever it arose, the public interest would not be served in establishing a further inquiry solely for that purpose. It could also be argued that there should be a further enquiry to establish the probable cause of the fire. However, it seems to me that in the absence of any identified evidence capable of establishing the cause of the fire, such an inquiry can only at best produce a hypothetical finding neither capable of proof or disproof and therefore of no obvious or any forensic value.”
27. Mr Coffey went on to point out that:
“5.12 The real difficulty is one of record and lies in the fact that despite having made a finding based on the absence of evidence that “the cause of the fire is unknown”, the Tribunal has failed to acknowledge and record this finding as its conclusion as to the cause of the fire. Instead the Tribunal has only recorded its finding as to the probable cause of the fire. In so concluding and in the absence of any evidence that the fire was started deliberately, the Tribunal has placed on the public record a finding of probable criminal wrongdoing which is prima facie speculative and fraught with evidential and logical difficulties. Moreover, insofar as it is stated to be a “finding of fact”, the finding is so phrased as may well give the mistaken impression to a reasonable man or woman in the street that it is a finding established by evidence that the fire was started deliberately and not a mere hypothetical explanation for the probable cause of the fire.”
28. Mr Coffey found this to be profoundly unsatisfactory to the survivors and the bereaved who, through the Committee, argued that such was the scale of the disaster that it has become a matter of communal if not national history to an extent that engaged a public interest in ensuring that the public record was factually accurate and established by evidence.
29. However, the new and other evidence relied on by the Committee, at its highest, established that the cause of the fire was unknown, a finding already made but not properly acknowledged and recorded by the Tribunal. As to how to correct this, Mr Coffey proposed alternative solutions. Since the Tribunal was established by Parliament, the Government could consider whether it could correct the public record by placing on the record of the Houses of Parliament an acknowledgement of the Tribunal ’ s findings that there was no evidence that the fire was started deliberately and that the cause of the fire was unknown; or, if such an acknowledgement could not be made by the Government, a further limited inquiry would be needed but simply to clarify the public record in this limited respect.
30. Finally, noting the failure by the State to act on the earlier recommendation of the Compensation Tribunal, Mr Coffey recommended that a committee be formed to monitor the progress of victims and to ensure that counselling and medical treatment, where necessary and appropriate, was afforded to survivors and the bereaved at the expense of the State.
31. On the day the Coffey Report was published, the Government published a statement acknowledging and accepting the conclusions and recommendation of the Coffey Report. On 3 February 2009 and 9 July 2009 Dáil Éireann (the House of Representatives) and Seanad Éireann (the Senate) respectively, passed motions acknowledging and accepting the conclusions and recommendation of the Coffey Report and, notably, that the cause of the fire was unknown and that arson was merely a hypothetical explanation which had not been demonstrated.
32. In October 2009 the Government published a Public Notice concerning Counselling Services which began operating in February 2010.
8. Regulatory change since the Report of the Tribunal
33. A building regulation regime was introduced by the Building Control Act 1990 and the Building Regulations and Building Control Regulations 1991. The Fire Services Act 1981 was brought into force in 1985 and updated in 2003 and Regulations were also adopted thereunder which, inter alia , made locking of exits and blocking escape routes from places of assembly an offence. The Licensing of Indoor Events Act 2003 provided for increased powers for fire authorities to inspect premises, issue warning notices and, where necessary, serve closure notices. A series of Codes of Practices and Guidelines have been published by the Department of the Environment providing fire safety advice for persons in control of premises. Following a full review of fire services in Ireland in 2001, the Fire Services Change Programme was implemented to further enhance fire safety enforcement powers. A Major Emergency Development Programme (2006-2009) was introduced to improve responses to major emergencies and a National Directorate for Fire and Emergency Planning was formed in 2009. The numbers of fire services ’ staff sharply increased and fire services funding and training significantly improved. Following the criticisms of it in the Tribunal Report, Dublin Corporation significantly increased staffing especially in fire prevention, established a training centre and purchased new fire stations and equipment as well as a new communications centre.
COMPLAINTS
34. The applicants complained under Articles 1, 2, 6, 8, 13, 14 and 17 about deficiencies in the investigation into the deaths of their children in the Stardust fire and that those responsible had not therefore been punished.
THE LAW
35. Invoking numerous Articles of the Convention, the applicants complained about the lack of an effective and independent investigation, about the results of that investigation and about the consequent failure to punish those persons and bodies who were responsible.
36. Their principal concern was the Tribunal ’ s finding of arson: they considered that it was not supported by the evidence, that it created hurtful perceptions and consequences (including an award of damages to the owners whose conduct had been seriously criticised), that it had unfairly limited their avenues of redress; and that the Chairman was partial in that regard (he had allegedly attended a dinner at which the arson theory was agreed). Moreover, the real cause had not been established. The applicants raised several allegations on evidential matters: that certain evidence was flawed (the maps of the Stardust); that certain evidence was ignored (prior unimplemented warnings to the owners about an overloaded and irregularly modified electrical system and about the locked/blocked exit doors); and that their expert chemist was appointed late which expert never attended at the Tribunal or examined any report on their behalf. They also maintained that there was, therefore, inadequate regulatory follow-up or punishment. As to the Coffey Review, Mr Coffey only heard the Committee, the Committee ’ s solicitor had been selected for it and Mr Coffey was incorrect to find that there was insufficient evidence to warrant a further Tribunal.
37. While the parties ’ submissions concerned the six-month time-limit, exhaustion of domestic remedies and the merits, t he Court has first examined the timeliness objection of the Government.
38. The Government argued that the case was submitted outside of the six-month time-limit for which Articled 35 § 1 provides. The core issue raised by the Committee since the Tribunal, and by the applicants before this Court, was that the Tribunal Report had incorrectly recorded the cause of the fire. However, that Report was published in 1982. The only remaining issue was whether there was any revived obligation given some relevant intervening fact or other element which could re-open the time-limit. The Coffey Review investigated this very point - whether there was new material which would justify the holding of a new inquiry - and found that there was no new evidence to establish the cause of the fire so that any new investigation thereof could only lead to a hypothetical finding. Accordingly, even if the State was required to consider whether there was new evidence so as to trigger a requirement to hold a further investigation, which was denied, that had been complied with. Furthermore, the Coffey Review undermined the applicants ’ submission that there was new material relevant to establishing the cause of the fire: there was simply no basis for suggesting that there was new evidence such as would re-activate the investigative obligation. Indeed, the Coffey Review went further than required under the Brecknell v. the United Kingdom case-law (no. 32457/04, 27 November 2007) since it reviewed the Committee ’ s evidence as well as large sections of the relevant evidence which had been before the Tribunal.
39. The applicants considered their cases to have been introduced in time. They considered that they had rightly pursued a new inquiry as opposed to judicial review of the Tribunal. The State had refused for many years to hold a further inquiry until finally agreeing to the Coffey Review. The Coffey Report did not recommend a new Inquiry and the report was published on 23 January 2009. It was the refusal of the State, through the Coffey Report, to conduct a new inquiry that constitutes the final domestic decision against which they complained. The first application (the first four applicants) was submitted within six months of that report (in April 2009). While the fifth applicant submitted her application in October 2009, she maintained that she should be given an extension of the time-limit: she had tragic and difficult family circumstances to deal with, she and her husband had been active for 27 years in seeking an effective investigation, the flaws in the Coffey Review were profound and the State had not made a specific timeliness objection to her application.
40. As to the six-month time-limit, the Court recalls that ( Varnava and Others v. Turkey [GC], nos. 16064/90, 16065/90, 16066/90, 16068/90, 16069/90, 16070/90, 16071/90, 16072/90 and 16073/90, ECHR 2009):
“41. As a rule, the six-month period runs from the date of the final decision in the process of exhaustion of domestic remedies. Where it is clear from the outset however that no effective remedy is available to the applicant, the period runs from the date of the acts or measures complained of, or from the date of knowledge of that act or its effect on or prejudice to the applicant ... . Nor can Article 35 § 1 be interpreted in a manner which would require an applicant to seize the Court of his complaint before his position in connection with the matter has been finally settled at the domestic level. Where, therefore, an applicant avails himself of an apparently existing remedy and only subsequently becomes aware of circumstances which render the remedy ineffective, it may be appropriate for the purposes of Article 35 § 1 to take the start of the six-month period from the date when the applicant first became or ought to have become aware of those circumstances ... .
42. Consequently, where a death has occurred, applicant relatives are expected to take steps to keep track of the investigation ’ s progress, or lack thereof, and to lodge their applications with due expedition once they are, or should have become, aware of the lack of any effective criminal investigation ... .”
43. As to whether a new element could trigger a fresh obligation to investigate, it is true that information purportedly casting new light on the circumstances of the death can later come into the public domain. The issue is then whether, and in what form, the procedural obligation to investigate can be revived. In this respect, it is recalled that where there is a plausible, or credible, allegation, piece of evidence or item of information relevant to the identification and eventual prosecution or punishment of the perpetrator of an unlawful killing, the authorities are under an obligation to take further investigative measures, although the reasonable steps required will vary with the facts of the situation ( Brecknell v. the United Kingdom , cited above, §§ 65-72 ) . It is according to those principles that the Court will assess the question of any fresh obligation on the authorities to investigative the cause of the fire, the central issue in the present case.
44. The Court has therefore first examined whether it can be considered that the applicants have lodged their applications with due expedition or diligence having regard to the investigation ’ s progress ( Varnava and Others v. Turkey ([GC], § 38, paragraph 40 above).
45. The Court notes that, following a prompt and detailed police investigation into the fire, the Tribunal carried out a vast inquiry in 1981. This inquiry was the principal investigative act initiated by the State to investigate the cause of the fire and any related deficiencies. The Tribunal published its detailed Report in 1982. That Report criticised certain aspects of the police investigation, established facts in so far as it could, made conclusions as to the cause of the fire, highlighted persons, bodies and regulatory frameworks considered to have been in some way inadequate and/or responsible and made numerous broad recommendations in those respects. As to the cause of the fire, it found that the evidence was such that the cause of the fire could not be established but it adopted, erroneously as it later emerged, the hypothesis of arson as a concluding finding of fact.
46. Once the Tribunal Report was published in 1982, the victims and next-of-kin immediately protested against the conclusion on arson. While the police twice sent a file to the DPP, including once after the Tribunal ’ s Report, the last decision not to prosecute was taken in 1982 and there were no developments or other elements thereafter which could have suggested to the applicants that there was a later possibility of a criminal prosecution. In mid-1985 the Stardust Victims Committee appears to have been set up to campaign for a further inquiry. In 1985 the State also set up a compensation scheme (the Compensation Tribunal) which can be said to have concluded, at the very latest, by 1991 with the publication of its final report, although all payments (including to the fifth applicant ’ s family) had been accepted at an earlier date so that the pursuit of any ongoing or future civil actions had already been waived by the beneficiaries. Finally, a lthough the Tribunal Report criticised certain bodies and individuals, no administrative or disciplinary proceedings were initiated in those respects and no indication was ever given to the applicants that such actions would be forthcoming.
47. In such circumstances, the Court considers that the six-month time-limit can be considered to run, at the very latest, after 1991 when the Compensation Tribunal report was published and by when it must have been obvious to the applicants that there was no realistic possibility of any additional investigative steps - whether another inquiry or administrative, disciplinary or criminal procedures - being initiated by the State.
48. Moreover, the Court does not consider that a new investigative obligation arose later ( the above-cited Brecknell v. the United Kingdom case-law) because the expert evidence and other information later obtained and submitted by the Committee from 2004 to 2008, including to the Coffey Review, cannot be considered to constitute a new plausible allegation, piece of evidence or item of information relevant to the core investigatory issue pursued by the present applicants namely, the holding of a new inquiry into the cause of the fire and the consequent identification of any responsibility for it ( Brecknell v. the United Kingdom , cited above, § 71; Karefyllides and Others v. Turkey ( dec .), no. 45503/99, 1 December 2009; and Gutierrez Dorado and Carmen Dorado Ortiz v. Spain ( dec .), § 41, no. 30141/09, 27 March 2012) . Indeed, the Coffey Review was established to examine in depth the precise question of the nature and impact of the Committee ’ s evidence. Having advertised for submissions, having analysed the Committee ’ s new evidence and heard the Committee ’ s legal representative ’ s submissions over three days (as well as their later written submissions) and having examined other evidence available to it (including the evidence which was before the Tribunal), the independent reviewer, Mr Coffey S.C., concluded that there was no new evidence before it which could contribute to the establishment of the cause of the fire so that no useful purpose would therefore be served by holding another inquiry. In sum, the Coffey Report re-confirmed the prior and consistent position of the State that there was no evidential reason to hold a new inquiry.
49. The applicants noted in their observations that they did not receive a copy of the letter of 14 February 2008 which was after the Coffey Review. However, the applicants do not indicate how this letter - which explained some of the reasons why the police did not pursue prosecutions in 1982 - could constitute relevant new evidence.
50. The Coffey Review did lead to one concrete change: implemented by later Parliamentary motions, the Review ensured that the public record was corrected as regards the erroneous conclusion of arson in the initial Tribunal Report. However, that step was to the applicants ’ benefit. In addition, and whether or not the earlier incorrect finding contributed to the malicious damages award to the owners (and the Government submitted that it did not), that matter would not be relevant to any positive obligations on the State under Article 2 to the applicants themselves.
51. Finally, even if the broader regulatory response of the State, also impugned by the applicants, could be considered to fall within the scope of any procedural obligation to the applicants themselves ( Taylor Family and Others v. the United Kingdom , no. 23412/94, Comm. Dec. 30.8.94, D.R. 79 p. 127; McBride v. the United Kingdom (( dec .), no. 1396/06, 9 May 2006; and Bailey v. the United Kingdom , ( dec .) no. 39953/07, 19 January 2010), their complaint about this would also be subjected to the same and above-described requirements of expedition and due diligence as their principal complaints about the investigation ( Gutierrez Dorado and Carmen Dorado Ortiz v. Spain ( dec .), § 43, cited above).
52. Accordingly, by introducing their applications in 2009, it must be concluded that the applicants did not display the diligence required to comply with the requisites derived from the Convention and its case-law on Article 35 § 1 of the Convention. The applications have been introduced out of time and must be rejected in accordance with Article 35 §§ 1 and 4 of the Convention.
For these reasons, the Court unanimously
Declares the applications inadmissible.
Claudia West erdiek Dean Spielmann Registrar President