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Douglas John
Edwin CRABBE
Crabbe's capture occurred at the Yulara Tourist
Village construction site after a search by police and Aboriginal
trackers. William Hugh O'Neill, the catering manager from the
Yulara Construction Camp, testified that he found Crabbe walking
towards him near the construction camp on the morning of August
18. Crabbe waited with O'Neill for police to arrive, asking the
extent of the damage to the motel. Crabbe was informed by O'Neill
that at least four people had died, including "one of my boys from
the kitchen".
At the trial in March 1984 a witness testified
that Crabbe had been rude and aggressive in the bar. This witness
reported she had later seen Crabbe on the floor of the bar, being
held down by three men. A second witness corroborated that a man
had been involved in a scuffle with three men. The witness
testified that after the truck crashed into the bar he saw the man
who had been involved in the scuffle leave the truck's cabin and
exit "very quickly" towards the rear of the truck via the gaping
hole the truck left in the side of the building. The witness had
been knocked down by the truck.
Crabbe offered no reason for his actions. At
trial he pleaded memory loss from his removal of the second
trailer until waking to the sound of the truck's exhaust amid the
damaged bar room after impact. He was convicted of all five counts
of murder by a jury. The judge sentenced him to the mandatory term
of life imprisonment on each count of murder, each term to run
consecutively. Asked if he had anything to say, Crabbe replied
"No, nothing." Crabbe later appealed to the High Court of
Australia, which found that the judge at the original trial had
erred in his summing up to the jury and the convictions were set
aside and a retrial ordered.
In early 2005, Crabbe was moved to a prison in
Perth, Western Australia after strong pleas from his family,
including his sister, Flo. Crabbe will be eligible for release on
parole on 18 August 2013 at the age of 66; if he is paroled, he
will be on parole for the rest of his life.
Aftermath
The episode was documented by Australian rock
band Hunters and Collectors on their 1984 album The Jaws of
Life, with the lyrics of the opening track, "42 Wheels", sung
from Crabbe's point of view. The artwork of the original vinyl LP
includes the memorial plaque at the pub where the incident
happened.
PARTIES: THE QUEEN v CRABBE, Douglas John Edwin
TITLE OF COURT: SUPREME COURT OF THE NORTHERN
TERRITORY
JURISDICTION: SUPREME COURT OF THE TERRITORY
EXERCISING TERRITORY JURISDICTION
FILE NO: 8322499
DELIVERED: 8 December 2004
HEARING DATES: 26 November 2004
JUDGMENT OF: MARTIN (BR) CJ
REASONS FOR JUDGMENT
Introduction
[1] This is an application by the Director of
Public Prosecutions (“the Director”) pursuant to the provisions of
the Sentencing (Crime of Murder) and Parole Reform Act 2003 (“the
Act”). The respondent is serving sentences of life imprisonment
for five crimes of murder. The Director seeks an order revoking
the non-parole periods of 25 years fixed by the Act in respect of
those sentences together with an order fixing non-parole periods
longer than 25 years. The Director does not apply for an order
refusing to fix a non-parole period.
History
[2] In the early hours of 18 August 1983 the
respondent drove his 25 ton Mack Truck into a crowded bar of the
Inland Hotel at Yulara. Five persons were killed and 16 were
injured.
[3] The respondent was charged with five counts
of murder. After a trial in March 1984 during which the respondent
gave evidence, a jury convicted the respondent of all five counts.
On appeal the convictions were set aside and a retrial was ordered.
The second trial concluded on 7 October 1985 when a jury convicted
the respondent of the five counts of murder.
[4] As required by the legislation in force in
October 1985, the learned Sentencing Judge sentenced the
respondent to imprisonment for life with respect to each of the
five counts of murder. At that time the legislation did not permit
the court to fix a non-parole period. Imprisonment for life meant
imprisonment for the term of the respondent’s natural life without
any possibility of release other than by way of Executive clemency.
The New Scheme
[5] The Act came into operation on 11 February
2004. It brought about a substantial reform of the sentencing
regime applicable to sentences of life imprisonment imposed for
the crime of murder. The history of the laws relating to sentences
for murder and the relevant provisions of the Act are set out in
the reasons for judgment in R v Leach [2004] NTSC 60.
[6] The Act amended the Sentencing Act and
introduced s 53A to that Act. Section 53A provides for the fixing
of non-parole periods in respect of sentences of life imprisonment
imposed for the crime of murder after the Act commenced. Upon
conviction for a single crime of murder, s 53A(1)(a) provides that
the court must fix at least the “standard” non-parole period of 20
years unless the circumstances identified in s 53A(3) apply. If
those circumstances apply, and such circumstances include
sentencing for two or more convictions for murder, the court is
required to fix a non-parole period of at least 25 years. The
“standard” non-parole period of 20 years is specified as
representing the non-parole period “for an offence in the middle
of the range of objective seriousness.”
[7] Although s 53A(1)(a) directs the court to
fix at least the “standard” non-parole period of 20 years, power
is given to fix a non-parole period that is shorter than 20 years.
The court may only fix a shorter period if satisfied that
“exceptional circumstances” exist which “justify fixing a shorter
period.” Subsection (7) prescribes the circumstances that are
capable of amounting to exceptional circumstances for these
purposes and directs that the court “must not have regard to any
other matters.” By way of contrast, when the circumstances require
the fixing of a non-parole period of at least 25 years, there is
no provision authorising the court to impose a non-parole period
that is less than 25 years.
[8] Section 53A(4) empowers the court to fix a
non-parole period that is longer than either 20 or 25 years:
“if satisfied that, because of any objective or subjective factors
affecting the relative seriousness of the offence, a longer non-parole
period is warranted.”
[9] The court may also refuse to fix a non-parole
period. Section 53A(5) provides that the court may refuse to fix a
period:
“if satisfied the level of culpability in the commission of the
offence is so extreme the community interest in retribution,
punishment, protection and deterrence can only be met if the
offender is imprisoned for the term of his or her natural life
without the possibility of release on parole.”
Transitional Provisions
[10] It is against the background of the
previous legislation and the change in the sentencing regime that
the transitional provisions applicable to the application before
me must be considered. The relevant provisions for present
purposes are as follows:
“PART 5 – TRANSITIONAL PROVISIONS
Division 1 – Prisoners currently serving life
imprisonment for murder
17. Application of Division
This Division applies in relation to a prisoner
who, at the commencement of this Act, is serving a sentence of
imprisonment for life for the crime of murder.
18. Sentence includes non-parole period
Subject to this Division –
(a) the prisoner's sentence is taken to include
a non-parole period of 20 years; or
(b) if the prisoner is serving sentences for 2
or more convictions for murder – each of the prisoner's sentences
is taken to include a non-parole period of 25 years, commencing on
the date on which the sentence commenced.
19. DPP may apply for longer or no non-parole
period
(1) The Supreme Court may, on the application
of the Director of Public Prosecutions –
(a) revoke the non-parole period fixed by
section 18 in respect of the prisoner and do one of the following:
(i) fix a longer non-parole period in
accordance with subsection (3) or (4);
(ii) refuse to fix a non-parole period in
accordance with subsection (5); or
(b) dismiss the application.
(2) The Director of Public Prosecutions must
make the application –
(a) not earlier than 12 months before the first
20 years of the prisoner's sentence is due to expire; or
(b) if, at the commencement of this Act, that
period has expired – within 6 months after that commencement.
(3) Subject to subsections (4) and (5), the
Supreme Court must fix a non-parole period of 25 years if any of
the following circumstances apply in relation to the crime of
murder for which the prisoner is imprisoned:
(a) the victim's occupation was police officer,
emergency services worker, correctional services officer, judicial
officer, health professional, teacher, community worker or other
occupation involving the performance of a public function or the
provision of a community service and the act or omission that
caused the victim's death occurred while the victim was carrying
out the duties of his or her occupation or for a reason otherwise
connected with his or her occupation;
(b) the act or omission that caused the
victim's death was part of a course of conduct by the prisoner
that included conduct, either before or after the victim's death,
that would have constituted a sexual offence against the victim;
(c) the victim was under 18 years of age at the
time of the act or omission that caused the victim's death;
(d) at the time the prisoner was convicted of
the offence, the prisoner had one or more previous convictions for
the crime of murder or manslaughter.
(4) The Supreme Court may fix a non-parole
period that is longer than a non-parole period referred to in
section 18 or subsection (3) if satisfied that, because of any
objective or subjective factors affecting the relative seriousness
of the offence, a longer non-parole period is warranted.
(5) The Supreme Court may refuse to fix a non-parole
period if satisfied the level of culpability in the commission of
the offence is so extreme the community interest in retribution,
punishment, protection and deterrence can only be met if the
offender is imprisoned for the term of his or her natural life
without the possibility of release on parole.
20. Appeals
(1) For Part X of the Criminal Code, a decision
of the Supreme Court under section 19(1)(a)(i) or (ii) fixing or
refusing to fix a non-parole period is taken to be a sentence
passed by the Court.
(2) The Director of Public Prosecutions may
appeal to the Court of Criminal Appeal under Part X of the
Criminal Code against a decision of the Supreme Court under
section 19(1)(b) dismissing an application as if the decision were
a sentence passed by the Court fixing a non-parole period of 20 or
25 years (as the case may be).
(3) On an appeal under subsection (2), the
Court of Criminal Appeal may confirm the decision of the Supreme
Court or substitute another decision that would have been
available to the Supreme Court.
21. Effect of decisions
(1) The failure of the Supreme Court to comply
with section 19(3), (4) or (5) when fixing or refusing to fix a
non-parole period does not invalidate the prisoner's sentence.
(2) For section 5 of the Parole of Prisoners
Act, a non-parole period fixed by or under this section is taken
to be a non-parole period fixed in pursuance of the Sentencing
Act.”
[11] The effect of the transitional provisions
is to direct that all sentences of life imprisonment for the crime
of murder which were being served at the commencement of the Act
are taken to include a non-parole period. Section 18(b) provides
that if the prisoner was serving sentences of life imprisonment
for two or more convictions for murder, each of those sentences is
taken to include a non-parole period of 25 years. All other life
sentences for murder are taken to include a non-parole period of
20 years (s 18(a)). The non-parole periods fixed by s 18 are taken
to have commenced on the date on which the sentence of life
imprisonment commenced.
[12] The periods of 20 and 25 years fixed by s
18 of the Act correspond with the minimum periods that s 53A of
the Sentencing Act directs be fixed in respect of sentences
imposed after the commencement of the Act. However, unlike the
direction found in s 53A(2), there is no direction in the
transitional provisions that the non-parole period of 20 years is
a “standard” period which represents a period for an offence “in
the middle range of objective seriousness”.
[13] Section 19 of the Act provides that on
application by the Director, the court may revoke the non-parole
period fixed by s 18 and either fix a longer non-parole period or
refuse to fix a non-parole period. There is no power to fix a non-parole
period less than the period fixed by s 18.
[14] A prisoner serving a sentence of life
imprisonment at the time that the Act commenced is not able to
make any application in respect of a non-parole period fixed by s
18. Unlike the prisoner who is sentenced after the commencement of
the Act, therefore, the prisoner already serving a sentence has no
prospect of receiving a non-parole period of less than 20 years.
The minimum period fixed by s 18 is 20 years and such a prisoner
is unable to make any application in respect of that period.
[15] On an application by the Director in
respect of a non-parole period of 20 years fixed by s 18 of the
Act, if any of the circumstances set out in s 19(3) of the Act
apply in relation to the crime of murder for which the prisoner
was sentenced, the court must fix a non-parole period of at least
25 years. Those circumstances are identical to the circumstances
now found in s 53A(3) of the Sentencing Act which, if they exist
in respect of a crime of murder for which sentence is imposed
after the commencement of the Act, require the court to fix a non-parole
period of at least 25 years.
[16] On an application by the Director,
pursuant to s 19(4) of the Act the court may fix a non-parole
period longer than the periods of 20 or 25 years:
“if satisfied that, because of any objective or subjective factors
affecting the relative seriousness of the offence, a longer non-parole
period is warranted”.
[17] This is the same test as that to be
applied when determining whether to impose a longer non-parole
period than 20 or 25 years in respect of sentences imposed after
the commencement of the Act (s 53A(4)). The attention of the court
is drawn to the “relative seriousness of the offence” as
determined by reference to any “objective or subjective factors”
affecting that relative seriousness. The court is required,
therefore, to consider the objective circumstances of the
offending together with any matters personal or subjective to the
offender which affect the gravity of the offending. Having
assessed those matters the court must determine whether, by reason
of those matters, a longer non-parole period is “warranted”.
[18] As to the power to refuse to fix a non-parole
period on an application by the Director, pursuant to s 19(5) of
the Act the Legislature has set for the court a different test to
be applied from that by which the court decides whether to impose
a longer non-parole period. Section 19(5) provides that the court
may refuse to fix a period:
“if satisfied the level of culpability in the commission of the
crime is so extreme the community interest in retribution,
punishment, protection and deterrence can only be met if the
offender is imprisoned for the term of his or her natural life
without the possibility of release on parole".
[19] The terms of s 19(5) are identical to s
53A(5) of the Sentencing Act which empowers a court to refuse to
fix a non-parole period in respect of sentences of life
imprisonment imposed after the commencement of the Act. These
provisions focus on the “level of culpability in the commission of
the crime”. The court is directed to determine whether that level
of culpability is “so extreme” that the specified community
interests can only be met if the offender is imprisoned for life
without the possibility of release on parole.
[20] The net effect of the transitional
provisions is to create a degree of equality between those who
were serving sentences before the commencement of the Act and
those who are sentenced after that commencement. In substance, a
minimum non-parole period of either 20 or 25 years is
automatically applied to prisoners whether sentenced before or
after the commencement of the Act unless the court orders
otherwise. The tests for determining whether to fix a longer
period or to refuse to fix a non-parole period are the same for
each category of prisoner. A significant difference is that those
sentenced after the commencement of the Act have the opportunity
of attempting to persuade the sentencing court to fix a period
shorter than the “standard” period of 20 years by establishing the
existence of specified “exceptional circumstances”. Those
sentenced before the Act commenced are deprived of that
opportunity.
Sentencing Principles
[21] Although the respondent has previously
been sentenced, on an application by the Director pursuant to s 19
of the Act, essentially the court is required to undertake a
sentencing exercise. Unless excluded by the Act, the well settled
principles and the provisions of the Sentencing Act governing the
exercise of the sentencing discretion apply. These include the
principles enunciated by the High Court in The Queen v Olbrich
(1999) 199 CLR 270. The Court may take into account facts adverse
to the interests of the respondent only if those facts are agreed
or have been proved beyond reasonable doubt. If the respondent
seeks to establish facts in mitigation, the respondent bears the
burden of establishing those facts on the balance of probabilities.
[22] Those sentencing principles must be
applied when considering the objective or subjective factors
affecting the relative seriousness of the offence as required by s
19(4) of the Act. Similarly, when addressing s 19(5), the usual
principles will apply to the determination of the facts relevant
to an assessment of the level of culpability of the respondent in
the commission of the offence and to the determination of the
underlying facts such as the likelihood of re-offending and the
progress or otherwise towards rehabilitation.
Facts
[23] The crimes occurred in the early hours of
18 August 1983. The respondent was then aged 36 years. He had been
a truck driver all his working life having been driving since the
age of 14.
[24] On 17 August 1983 the respondent spent the
day driving his 25 ton Mack Truck to various localities and
unloading his trailers. That evening after a meal the respondent
went to the Inland Hotel where he drank at the bar for an hour or
so before the barman refused to serve him because he was causing
trouble. The respondent walked behind the bar and confronted the
barman. A scuffle followed during which the respondent was
forcibly removed from behind the bar and restrained. The
respondent and another man fell to the floor briefly before the
respondent was let up. He dusted himself off and, at about 12.30pm
left the bar.
[25] The respondent walked approximately 500
metres back to his truck. He then drove the truck and two attached
trailers a small distance to the Uluru Motel. At the motel the
respondent unhitched one of the trailers. That was an exercise
that required a degree of skill and dexterity, although it must be
recognised that the respondent was very experienced in the
operation of the truck and the trailers.
[26] After unhitching a trailer, the respondent
drove the truck and trailer back to the Inland Hotel. The
affidavit of Mr Martin Fisher sworn in support of the Director’s
application summarises the events at the hotel as follows:
“Crabbe then manoeuvred the 25 ton Semi and
trailer, at speed, around a blind bend, through a car park, around
a minibus, turned and drove it through the bessa brick wall into
the crowded bar, crushing the people there. Leaving the engine
running, he then got out of the truck, smiled down at one of his
victims, stepped over some bodies and ran. This was at 1.10am. It
had been 40 minutes between being thrown out and driving the truck
into the bar. He was captured the next morning walking out of the
bush 22 kilometres away.”
[27] One of the witnesses described the impact
of the truck with the wall as like a bomb going off.
[28] As to whether the respondent smiled down
at one of his victims, counsel for the respondent noted that two
other witnesses did not see the respondent smile. However, I am
satisfied that the respondent did smile at a victim, Mr Hannigan,
who was trapped under the truck.
[29] Mr Hannigan gave evidence that he was
knocked down by the truck onto his backside. He finished up just
behind the front right hand tyres of the truck covered with an
amount of debris from the bar and a bessa block or two. Mr
Hannigan said the light was on in the bar. At first he panicked
because he thought the truck was going to reverse over his legs.
In what he described as a “rather loud” voice, he called for help.
He looked toward the cabin area where he noticed movement and
again called for help. Mr Hannigan said the cabin door opened and
the driver began to alight. He again called out. The respondent
looked down on him and their eyes met. According to Mr Hannigan
the respondent then smiled at him, stepped over his head onto what
was left of the bar and ran from the bar. The respondent did not
display any difficulty in doing so.
[30] In cross-examination Mr Hannigan agreed he
had a very brief glimpse of the driver. When it was suggested to
him that he was mistaken about the appellant smiling, Mr Hannigan
responded that he had no doubt at the time that the respondent
smiled at him. Mr Hannigan’s description in cross-examination when
asked the time that elapsed between the cabin door opening and the
person stepping over him was as follows:
“Almost immediately. He opened up the door, swung it open. I
called to him. He looked down at me, recognised me, smiled,
stepped over me and was gone almost – in – in – in the one
movement. There was no stopping.”
[31] In re-examination Mr Hannigan said that as
the respondent was beginning to dismount from the truck it
appeared he was going to dismount in a normal fashion down towards
Mr Hannigan. In an instant reaction he called out for help to make
sure that the respondent was aware of him and it was then that the
respondent looked straight down at him. He described the smile as
a “very basic smile”.
[32] There is no evidence to suggest that the
respondent had any grievance with the patrons in the bar. It
appears that he had consumed a substantial quantity of alcohol,
but there was no suggestion that he was so drunk that he was
incapable of forming a specific intent. The respondent did not
display any difficulty in getting to his feet after the scuffle in
the bar or in running out of the bar. In addition, he was capable
of driving his truck and two trailers to the motel, uncoupling one
of the trailers, driving the truck and trailer back to the hotel
and then manoeuvring the truck and trailer at speed immediately
before driving into the wall of the hotel.
[33] The respondent gave evidence at the first
trial. That evidence was read to the jury in the second trial. The
respondent said he recalled being dragged from behind the bar and
being choked until he was let up. He said he felt slightly
embarrassed. He thought he realised he had made a fool of himself.
He said the message had sunk in and he walked out. The respondent
denied having any feelings other than embarrassment.
[34] In substance, although the respondent said
he recalled a number of subsequent movements and the removal of
the second trailer, he maintained that he had no memory of driving
the truck into the wall of the hotel. He said that after the
committal proceedings some recall returned, but not of driving
into the wall. He had a memory of someone saying “Run. Run. The
cops are coming” and of running himself. His next recollection was
waking up draped over a bush in the scrub.
[35] The respondent told the jury that he did
not consider his ejection from the bar was a possible reason for
driving the truck into the wall of the hotel. He said he did not
believe he was capable of doing something like that. The
respondent said he did not accept in his own mind that he was the
driver. He did not think that alcohol played any role.
[36] Asked if he knew that if he drove the
truck against the wall while there were people in the bar it would
be likely to kill some of those people, the respondent replied:
“It would be highly likely”.
[37] As a consequence of the evidence given by
the respondent, the trial Judge allowed the prosecutor to
cross-examine about two previous incidents in which the respondent
had been involved. The decision to allow the cross-examination was
the subject of an appeal to the Full Federal Court in Crabbe v R
(1984) 56 ALR 733. In the course of his judgment, Muirhead J
observed that the respondent gave evidence-in-chief “designed no
doubt to portray [the respondent] as a hard working man of
stability”. His Honour pointed out there was little if any cross-examination
on the question of intoxication and that the defence “did not
endeavour to portray a drunken man whose capacity to reason or
control his vehicle was reduced”. His Honour’s judgment continued
(748):
“His [the appellant’s] evidence, relating to his feelings after he
had been manhandled and ejected from the bar was quite clear. He
told the jury his only feeling was one of embarrassment; an
acceptance that he was in the wrong. Any sense of hostility was by
implication denied; again a picture of a man who realised he had
been in the wrong and who accepted the consequences of his conduct
in good spirit. It was against this background that the appellant
gave evidence on three occasions in remarkably similar terms. It
was not one “off the cuff” remark. On each occasion the answer
went further than acceptance of a suggestion or denial of a
counter suggestion as to previous behaviour under stress whilst
drinking.
(1) “I don’t consider myself capable of doing something like that”
(p 352).
(2) “I still don’t believe that I’d be capable of doing something
like that” (p 354).
(3) “I don’t feel I’d be capable of doing such a thing … it’s
completely against me you know” (p 357).
These answers were given towards the end of his testimony, in an
apparently considered fashion. The repetition of the questions was
unusual; it may have been designed to emphasise to the jury that
the accused was a mild type of fellow, careful of property. It
seems to me that the appellant, bearing in mind what he had said
earlier as to his years of experience on Territory roads, thus
endeavoured to convey to the jury that he was a man without
violence, a man who did not bear a grudge after a bar-altercation,
a man too careful of vehicles he has driven to deliberately damage
them.”
[38] On the basis that the respondent had given
evidence of good character, he was cross-examined about prior
incidents.
[39] In February 1983 the respondent was at
Threeways near Tennant Creek. He had been drinking alcohol at the
roadhouse. The respondent denied he was affected by alcohol, but
said he was short of sleep.
[40] According to the respondent, three youths
in a car were giving a young bowser attendant a hard time by
language and spinning the wheels backwards and forwards on the
driveway. The respondent told them they were a bunch of hoons and
they started on him with language. They asked what he was going to
do about it. Provoked in that way the respondent went over to the
car and grabbed a youth through the window.
[41] The respondent admitted assaulting a
person who was inside the car and that he tried to get that person
out of the car. He agreed that the person was saying he did not
want to fight him. The respondent said he tried to open the door
and admitted bringing the door back past its limit of travel. The
victim said “don’t dent the car. It cost me $1800” or something
like that and ran away. The respondent admitted chasing the youth
and taking his boots off for that purpose because he could not
catch the youth.
[42] During the incident the respondent said
“I’ll [obscenity] dent the car all right”. The respondent got onto
the bonnet of the car and jumped on it. He did the same to the
roof of the car. His explanation for doing these acts was to
entice the victim back.
[43] The respondent admitted telling the police
that he was provoked by obscenities and general words. He
described the victim and others as a “pack of scumbags”. The
respondent pleaded guilty to wilful and malicious damage to the
vehicle.
[44] The second incident occurred on 24 March
1983, three months before the respondent committed the crimes
under consideration. The respondent was at the Curtin Springs
store where a country and western night was occurring. While
drinking in the bar he got into an argument with other patrons.
The bar manager approached him and asked him to calm down. The
proprietor intervened. A scuffle occurred inside the hotel and
others intervened trying to restrain the respondent.
[45] The scuffle moved outside. A police
officer joined in and the respondent was held down on the ground.
He agreed he was held in much the same manner as he was held down
at the Inland Motel three months later.
[46] At Curtin Springs while he was being held
down the respondent was told to calm down. Eventually he stopped
struggling and was let up. He was told that if he behaved himself
he could re-enter the bar. After he re-entered the bar another
argument occurred. As a consequence a second scuffle involving the
respondent, the proprietor of the roadhouse and a police officer
occurred.
[47] The respondent agreed that on both
occasions he had struggled violently. He agreed he would have used
abusive language during the course of the events.
[48] After the scuffles the respondent was told
by the proprietor that he was barred from the pub. The respondent
agreed that he was angry, not about the scuffles or being barred,
but about the people involved. He said he became angry on the
second occasion. He had moved to a corner where he was sitting
quietly drinking, but he was provoked by one of the people who was
in the first argument. The respondent said he became very angry.
He agreed it was a similar type of provocation to the provocation
that occurred at Threeways.
[49] The respondent said he was very slow to be
provoked at any time, even when he was drinking. He said he
usually became happier when drinking, but when it was put to him
that sometimes he became more aggressive with drinking, the
respondent replied:
“I have become more aggressive when I’ve been drinking, yes.”
[50] It is unnecessary to canvass the evidence
in further detail. It was open to the jury to reject the
respondent’s evidence that he had no memory of driving the truck
into the wall of the hotel. Even if the jury was of the view that
it was reasonably possible that the respondent had no memory of
the events, it was open to the jury to convict the respondent.
[51] As a consequence of the way in which the
Crown presented its case and the directions to the jury, there
were two states of mind that were sufficient for convictions of
murder. First, that the Crown had proved the respondent
intentionally drove the truck into the wall with an intention to
cause death or grievous bodily harm to persons in the bar.
Alternatively, the jury could have convicted on the basis that
although not satisfied that the respondent possessed such specific
intention, the jury was satisfied that when the respondent drove
the truck into the wall he knew that his act of driving the truck
into the wall would probably cause death or grievous bodily harm.
The jury was told that such a state of mind was sufficient for
murder even if that knowledge was accompanied only by indifference
as to whether or not death or grievous bodily harm might be caused.
[52] I am not satisfied that the jury convicted
on the basis that the respondent intended to kill or cause
grievous bodily harm. Nor does the material satisfy me of the
existence of such a specific intent. It is more likely that the
jury convicted on the basis that the respondent knew it was
probable that his actions would cause death or grievous bodily
harm. For the purposes of assessing the relative seriousness of
the respondent’s crimes, I proceed on that basis.
[53] As to the respondent’s attitude to the
probability that he would cause death or grievous harm, and as to
his attitude immediately following the entry of the truck into the
bar, I have referred to the evidence of Mr Hannigan. I am unable
to discern any basis for rejecting that evidence.
[54] I am satisfied that when the respondent
drove his truck into the wall with the knowledge that it would
probably kill or cause grievous bodily harm, he was utterly
indifferent to whether death or grievous bodily harm ensued. I am
satisfied that when he climbed out of the truck, Mr Hannigan
called for help and the respondent heard that call. He looked at
Mr Hannigan, smiled, stepped over him and over the rubble within
the bar. As the respondent exited from the truck and the bar, he
was utterly indifferent to the harm he had caused.
[55] Consideration must be given to the
respondent’s consumption of alcohol. It appears that he had
consumed a quantity of alcohol. I am satisfied, however, that the
respondent was not significantly affected by alcohol. He was able
to scuffle and move about without displaying any obvious signs of
intoxication. He was capable of driving the truck and of
uncoupling a trailer. He proved to be capable of manoeuvring the
truck and trailer at speed.
[56] Although the respondent was not
significantly affected by alcohol, nevertheless the effects of
alcohol played a role in the commission of the offence. The
respondent had previously demonstrated a tendency to be
argumentative when affected by alcohol. He had also demonstrated a
tendency to react with physical aggression in the face of
provocation. On this appeal, through counsel the respondent said
that he now recognises that he was “an immature fool”. Counsel
submitted that the respondent now recognises that he possessed a
reactive personality. He never walked away from a confrontation.
Counsel suggested that sleep deprivation over a number of years
was relevant in this context.
[57] In the context of the respondent’s mental
state, I have had the assistance of a helpful report from a
psychologist who examined the respondent in October 2004. Details
of the respondent’s background are provided. There is nothing in
that background of particular relevance to the facts of the
respondent’s criminal conduct. It is not the type of background
that would ordinarily attract mitigation of penalty.
[58] The respondent was not suffering from any
mental illness, psychological illness or psychological symptoms
suggestive of psychosis. It was the view of the psychologist that
it is highly likely that the respondent has never been psychotic.
The psychologist reported that as at October 2004 the respondent
had a good degree of intelligence and insight. There is nothing
related to the respondent’s mental state or psychological
condition capable of affecting the gravity of the respondent’s
criminal conduct.
[59] Prior to the commission of the crimes, the
respondent had committed a number of offences of a relatively
minor nature. The prior offending was not such as to have any
relevance to an assessment of the gravity of the respondent’s
criminal conduct.
[60] As mentioned, the respondent was aged 36
at the time he committed the crime. There is no issue of youth or
immaturity relevant to an assessment of the gravity of the
criminal conduct.
[61] Finally as to the facts, the extent of the
harm caused by the respondent’s crimes is reflected by the death
of five persons and injuries to 16 others, four of whom were
injured seriously. In addition, the court is now in a position to
gain an appreciation of the harm caused to the indirect victims
through the deaths of the five persons. The victim impact
statements provided on this appeal graphically demonstrate the
severity of the ongoing and wide ranging impact of the
respondent’s crimes.
21 Years of Incarceration
[62] The respondent has been in prison for
approximately 21 years. He is now deeply remorseful and acutely
aware of the ongoing impact of his crimes.
[63] The respondent is highly regarded by
Correctional Services officers with whom he has had contact over
the last 21 years. From his early days in custody the respondent
has maintained a strong work ethic and has been consistently
described as placid, well behaved and courteous. The respondent
has undertaken numerous courses of study and physical skills. He
has acquired skills in mechanics, welding, electrical
refrigeration, automotive air-conditioning, computers, first aid
and woodwork. He has taken every opportunity to work within a
Community Support Program conducted by Correctional Services. This
has included working outside the confines of the prison. The
respondent’s right to engage in that type of activity was earnt
through his exemplary conduct and industry. The President of an
Association for which the respondent worked during the Program has
spoken highly of the respondent’s dedication and care for the work
he performed. In an enlightened reference, the President concluded:
“I and the Committee feel the work he [the respondent] is doing
and the contact that he has with club members and the public will
greatly aid in his reintegration into the civilian population in
the not too distant future. I and a lot of clubs throughout the
Darwin region support the Community Support Program and we hope
that it continues not only for our benefit but also for those who
work in it.”
[64] In short, the respondent has been a model
prisoner. He has achieved this not just by staying out of trouble.
He has made every conceivable positive effort to rehabilitate
himself and to prove that he is no longer a risk to the community.
The totality of the material before me inspires confidence that
the respondent, who is now aged 57 years, can in due course be
safely released into the community.
Relative Seriousness of the Offence
[65] As I have said, in determining whether to
fix a non-parole period longer than the 20 or 25 years
automatically fixed by s 18(b) of the Act, the court is required
by s 19(4) to determine whether it is satisfied that “because of
any objective or subjective factors affecting the relative
seriousness of the offence, a longer non-parole period is
warranted.” In determining that question, for the reasons
discussed in Leach, in my opinion evidence is admissible of
matters occurring or emerging since the imposition of sentence if
relevant to the seriousness of the offence. This brings into focus
the question as to what factors the Legislature intended be
encompassed within the description “factors affecting the relative
seriousness of the offence”.
[66] In the case of this particular respondent,
one of the critical questions is whether the respondent’s
subsequent rehabilitation can properly be regarded as a factor
affecting the relative seriousness of his crimes.
[67] The starting point is to consider the
ordinary and natural meaning of the words of the provisions in the
context in which they appear. There is nothing ambiguous about
that meaning. The court is required to consider factors
“affecting” the relative seriousness of the offence. The Oxford
English Dictionary (1989) defines “affect” as meaning:
“To make a material impression on; to act upon, influence, move,
touch, or have an effect on.”
[68] The New Oxford Dictionary of English
(1988) defines “affect” as meaning “have an effect on; make a
difference to.” The following note appears:
“Affect is primarily a verb meaning “make a difference to””.
[69] Ordinarily, only those circumstances which
are causally connected or have a nexus with the commission or the
offence would fit the description of factors which make a
difference to the seriousness of the offence. As a matter of the
ordinary use of language, it does not appear that the
rehabilitation of an offender over many years subsequent to an
offence can be regarded as a factor capable of making a difference
to the seriousness of the crime.
[70] It hardly needs to be said that, subject
to legislative requirements and exceptions, the established
principles of sentencing dictate that factors such as an
offender’s plea of guilty, remorse and rehabilitation are
important factors in the determination of both a head sentence and
a non-parole period. Allowing for differing weight to be given to
various factors depending upon whether a head sentence or a non-parole
period is being determined, the factors to be taken into account
in fixing the non-parole period will be the same as those factors
relevant to the fixing of a head sentence: Power v The Queen
(1974) 131 CLR 623 at 627; R v Robinson and Barrett (1979) 22 SASR
367 per King CJ at 269 and 270; Bugmy v The Queen (1990) 169 CLR
525 per Mason CJ and McHugh J at 531. In the context of the
statutory regime applicable to the fixing of non-parole periods in
respect of sentences of life imprisonment imposed for the crime of
murder, therefore, a clear legislative direction is required
before the court will find that the Legislature intended to
exclude such factors thereby overriding the application of
established principles of sentencing.
[71] In considering the statutory context in
which the transitional provisions must be interpreted, it must be
borne in mind that prior to the commencement of the new regime
brought about by the Act, there was no power to fix a non-parole
period in respect of a sentence of life imprisonment imposed for
the crime of murder. Subject to Executive clemency, that sentence
meant imprisonment for the term of the offender’s natural life
without the possibility of release on parole. The new sentencing
regime introduced in February 2004 brought about a dramatic change
to that situation. It would not be surprising to find that the
Legislature accompanied that change with guidance for the court in
respect of the fixing of non-parole periods for sentences of life
imprisonment imposed for the crime of murder. However, the
Legislature has not restricted itself to the provision of
guidelines. It has gone much further by prescribing minimum non-parole
periods.
[72] Section 5 of the Sentencing Act identifies
both the purposes for which sentences may be imposed and the
matters to which the court shall have regard in the sentencing
process. Those purposes and matters are entirely consistent with
the well established principles of sentencing. Those provisions do
not exclude other established principles of sentencing to the
extent that those principles are not inconsistent with the
provisions of the Sentencing Act.
[73] As a consequence of the Legislative
provisions of the new regime, however, to a large extent s 5 of
the Sentencing Act and the ordinary principles of sentencing have
been displaced in respect of the fixing of a non-parole period for
the crime of murder. Depending on the circumstances, s 53A of the
Sentencing Act directs the court to impose at least the minimum
periods of either 20 or 25 years. If the circumstances require
that the court fix a period of at least 25 years, the court does
not possess a discretion to impose a period less than 25 years. To
that extent s 5 and the well established principles of sentencing
are excluded.
[74] In respect of the minimum of 20 years
fixed for a single crime of murder, s 53A(6) enables the court to
fix a non-parole period shorter than 20 years “if satisfied there
are exceptional circumstances that justify fixing a shorter non-parole
period”. However, the discretion of the court is significantly
limited because s 53A(7) defines what is capable of amounting to
“exceptional circumstances” and directs that the court must not
have regard to any other matters. Subsections (7)-(9) are relevant
for these purposes and are in the following terms:
“(7) For there to be exceptional circumstances sufficient to
justify fixing a shorter non-parole period under subsection (6),
the sentencing court must be satisfied of the following matters
and must not have regard to any other matters:
(a) the offender is –
(i) otherwise a person of good character; and
(ii) unlikely to re-offend;
(b) the victim’s conduct, or conduct and condition, substantially
mitigate the conduct of the offender.
(8) In considering whether the offender is unlikely to re-offend,
the matters the sentencing court may have regard to include the
following:
(a) whether the offender has a significant record of previous
convictions;
(b) any expressions of remorse by the offender;
(c) any other matters referred to in section 5(2) that are
relevant.
(9) The sentencing court must give reasons for fixing, or refusing
to fix, a non-parole period and must identify in those reasons
each of the factors it took into account in making that decision.”
[75] This brief overview is sufficient to
demonstrate that in fixing minimum non-parole periods in
connection with sentences of life imprisonment for the crime of
murder imposed after the commencement of the Act, subject to a
very limited exception the Legislature has excluded the operation
of both s 5 and the ordinary principles of sentencing. Regardless
of where the crime of murder sits in the scale of seriousness, and
regardless of any other factors normally relevant to the
imposition of sentence and the fixing of a non-parole period, a
minimum of either 20 or 25 years must be fixed. It is in this
context that the power contained in s 53A(4) to fix a longer non-parole
period and the identical power contained in s 19(4) of the Act
applying to the respondent must be construed.
[76] Two relevant powers exist. The court may
either refuse to fix a period or fix a longer period. As mentioned,
in determining whether to refuse to fix a non-parole period, the
court is required to focus on the “level of culpability in the
commission of the crime”. The court is also directed to an
assessment of the community interest in retribution, punishment,
protection and deterrence. The community interest in those
features may change over the years of incarceration and must be
determined as at the date of the application. Matters such as the
offender’s progress by way of rehabilitation, plea of guilty and
remorse will all be relevant to an assessment of those features of
the community interest.
[77] In directing the attention of the court to
those aspects of the community interest, in substance the
Legislature has brought into consideration all of the factors
normally relevant to the imposition of sentence and the fixing of
a non-parole period; that is, those factors relevant by reason of
s 5 of the Sentencing Act and the well established principles of
sentencing.
[78] The Legislature has chosen, however, to
employ a different test when the court is considering whether to
impose a non-parole period longer than the minimum. In directing
the attention of the court solely to “objective or subjective
factors affecting the relative seriousness of the offence”, the
Legislature has pointedly omitted reference to the community
interest in matters such as retribution, punishment, protection
and deterrence. Is the court to infer, therefore, that the
Legislature intended that the court should disregard the usual
sentencing considerations such as retribution, punishment,
protection of the community and general deterrence? Does it follow
that the Legislature intended that the court should ignore the
rehabilitation of an offender that has occurred over many years in
custody because, although rehabilitation is directly relevant to
questions such as protection of the community and personal
deterrence, it does not affect the relative seriousness of the
offence committed many years previously?
[79] The New South Wales Court of Criminal
Appeal had occasion to consider the meaning of a legislative
direction to take into account objective or subjective factors
that affect the relative seriousness of an offence in an appeal
against sentence, including a non-parole period, in R v Way [2004]
NSWCCA 131. The relevant provisions of the Crimes (Sentencing
Procedure) Act 1999 (NSW) (“the NSW legislation”) with which the
Court was concerned applied to offences committed on or after 1
February 2003. Those provisions give directions concerning the
fixing of “standard” non-parole periods unless the Court
determined there were reasons for setting a longer or shorter non-parole
period. As is the situation with respect to the minimum non-parole
period of 20 years in the Northern Territory, the NSW legislation
states that the “standard” non-parole period “represents the non-parole
period for an offence in the middle of the range of objective
seriousness” for specified offences.
[80] The New South Wales provisions contain
detailed guidance for the court that does not appear in the
Northern Territory legislation. The New South Wales legislation
states that the reasons for which the court may set a longer or
shorter period than the standard non-parole period are those
referred to in s 21A of that legislation. Section 21A directs that
the court is to take into account the “aggravating” and
“mitigating” factors listed in s 21A together with:
“(c) any other objective or subjective factor that affects the
relative seriousness of the offence.”
[81] The aggravating and mitigating factors to
which the court is directed by the New South Wales legislation are
the types of factors usually found in sentencing legislation and
which are taken into account when sentencing in accordance with
the well established sentencing principles. The mitigating factors
specified in s 21A include matters such as prospects of
rehabilitation, remorse, plea of guilty and degree of pre-trial
disclosure by an offender as provided by the legislation. These
are factors that settled sentencing principles treat as relevant
in mitigation of penalty. Such factors do not necessarily have a
nexus with the commission of the offence. Notwithstanding the
absence of such a nexus, however, it is a reasonable
interpretation of the New South Wales legislation that by listing
the factors to be taken into account as aggravating and mitigating,
and by giving a direction that in addition to those factors the
court was required to take into account “any other objective or
subjective factor that affects the relative seriousness of the
offence”, the legislation was indicating that it regarded all of
the factors listed under the headings of “aggravating” and
“mitigating” as factors that affect the relative seriousness of
the offence.
[82] The court observed that by providing
guidance in the form of specified aggravating and mitigating
factors, the Legislature did not intend to overrule or disturb the
well established body of principles.
[83] After discussing the “abstract” offence in
the middle of the range of objective seriousness and the
assessment of whether an offence falls within that range, the
court turned to the construction of the words “objective
seriousness” as those words appear in the direction that the
standard non-parole period represents the non-parole period “for
an offence in the middle of the range of objective seriousness for
offences …”.
[84] In that context, the court made the
following observations:
“85 The multiplicity of purposes of sentencing set out in s 3A of
the Act, quoted above, do not suggest a narrow perspective as to
the range of facts and matters that are to be regarded as
“objective” facts and matters which may affect the judgment
involved in assessing “seriousness”. It is too narrow a
perspective to confine attention to the physical acts of the
offender and their effects, as those acts or effects could be
observed by a bystander. The inquiry which we consider to have
been intended is one that would take into account the actus reus,
the consequences of the conduct, and those factors that might
properly have been said to have impinged on the mens rea of the
offender (see for example Fox and Freiberg, Sentencing, 2nd
Edition at paras 3.506 to 3.510).
86 Some of the relevant circumstances which can be said
“objectively” to affect the “seriousness” of the offence will be
personal to the offender at the time of the offence but become
relevant because of their causal connection with its commission.
This would extend to matters of motivation (for example duress,
provocation, robbery to feed a drug addiction), mental state (for
example, intention is more serious than recklessness), and mental
illness, or intellectual disability, where that is causally
related to the commission of the offence, in so far as the
offender’s capacity to reason, or to appreciate fully the
rightness or wrongness of a particular act, or to exercise
appropriate powers of control has been affected: Channon v The
Queen (1978) 20 ALR 1 and R v Engert (1995) 84 A Crim R 67. Such
matters can be classified as circumstances of the offence and not
merely circumstances of the offender that might go to the
appropriate level of punishment. Other matters which may be said
to explain or influence the conduct of the offender or otherwise
impinge on her or his moral culpability, for example, youth or
prior sexual abuse, are more accurately described as circumstances
of the offender and not the offence.
87 Questions of degree and remoteness arise which will need to be
developed in the case law. There are potential areas of overlap.
For example, impaired mental or intellectual functioning can go to
either, or both, the seriousness of the offence and punishment, so
far as deterrence is concerned.
88 In an assessment of the objective seriousness of the subject
offence it seems to us that attention must accordingly be given to
the factors mentioned above. Some of these relevant factors will
be elements of the offence itself. Others will fall within the
list of aggravating and mitigating factors referred to in s 21A
(2) and (3) of the Act, so far as they relate to purely objective
considerations.” (my emphasis)
[85] In the context of the New South Wales
legislation, the court regarded matters personal to an offender at
the time of the offence as objectively affecting the seriousness
of the offence if they were “causally related” to the offence.
This view was confirmed shortly after the passages I have cited
when the court noted that there has always been a need to compare
an offence in the abstract with an individual offence when
assessing the relative seriousness of the individual offence. The
court said:
“90 In that comparison, it is necessary to reflect the distinction
between circumstances which go to the seriousness of the offence
considered in a general way, and matters that are more
appropriately directed to the objectives of punishment.
91. If that distinction is respected then the spectrum of offences,
and the identification of those which fall in the mid range of
seriousness can be confined to matters which are directly or
causally related to its commission.”
[86] After referring to the observations in
Veen v The Queen [No 2] (1998) 164 CLR 465 that an antecedent
criminal history illuminates the moral culpability of the offender
or shows dangerous propensity or shows a need for both personal
and general deterrence, the court expressed the view that such
factors “are more relevant to the measure of punishment for the
individual offender, than they are to a consideration of where the
offence before the court falls within the spectrum of conduct
which may constitute the offence in the abstract”. The judgment
continued:
“93 The existence of this dichotomy between matters relevant to
the offence and to the offender, or put another way, between
matters to be taken into account as relevant to an assessment of
the objective seriousness of an offence, and matters going to the
punishment of the offender for its commission, has not always been
fully recognised, or at least expressly reflected, in the reasons
which are given for sentence.
94 That is illustrated by reference to the terms in which the
authorities have spoken of the factor last mentioned, namely re-offending
while on conditional liberty, and of the factor that the offender
has a prior record for similar offences.”
[87] Having discussed differing approaches to
an antecedent criminal history which in some cases had been
treated as demonstrating an increased animus and culpability for
an offence and in others as more related to the aspect of
punishment, the court observed that it has not previously been
necessary to draw a distinction between factors affecting
objective seriousness and those which do not have a nexus with the
commission of the offence:
“98 Prior to enactment of legislation of the kind which is seen in
Division 1A of Part 4 it was probably not necessary for any strict
line to be drawn between matters which related to the offence, and
to the offender, respectively, since the focus was placed upon the
question of setting a sentence that reflected the overall criminal
culpability involved.
99 The position has now changed in relation to sentencing in
respect of offences for which standard non-parole periods have
been set, in so far as there needs to be an examination of the
level of objective seriousness involved in the offence, in which
considerations that do not have a nexus with its commission are to
be placed to one side.”
[88] The observations to which I have referred
were made in the context of a requirement to assess the objective
seriousness of an offence in order to compare the objective
seriousness of the particular crime with an abstract offence in
the middle of the range of objective seriousness for that type of
crime. The court then observed that in addition to the specified
aggravating and mitigating factors, the legislation specifically
required the court to take into account “any other objective or
subjective factor that affects the relative seriousness of the
offence”. The court also noted that s 21A specifically states:
“The matters referred to in this subsection are in addition to any
other matters that are required or permitted to be taken into
account by the court under any Act or rule of law”.
[89] In that context, the court concluded that
the provisions in their entirely indicated that the factors listed
in s 21A were not intended to operate as an exhaustive or
exclusive code. In the view of the court, the provisions
demonstrated a Legislative intention “that existing statutory and
common law factors may still property be taken into account in
determining a sentence even though they are not listed in s 21A(2)
or (3).” The court went on to say that such factors could include
hardship to a family where it qualifies as exceptional or the fact
that serving a sentence will be unduly onerous by reason of
illness or by the reason of the fact that it will be served in
strict protection.
[90] In the light of that analysis, the court
concluded that the sentencing Judge must ask and answer the
question: “Are there reasons for not imposing the standard non-parole
period?” The court determined that the question would be answered
by considering:
“(i) the objective seriousness of the offence, considered in the
light of the facts, which relate directly to its commission,
including those which may explain why it was committed, so as to
determine whether it answers the description of one that falls
into the mid range of seriousness for an offence of the relevant
kind;
(ii) the circumstances of aggravation, and of mitigation, which
are present in the subject case, or which apply to the particular
offender, as listed in s 21A(2) and (3), and as incorporated by
the general provisions in s 21A(1)(c) and by the concluding
sentence to s 21A(1).”
[91] I have considered the decision in Way at
some length because it contains a very helpful analysis of the
appropriate approach, in the context of the New South Wales
legislation, to the determination of the objective seriousness of
an offence where the legislation has directed that a standard non-parole
period represents the non-parole period for an offence in the
middle of the range of objective seriousness for the offence under
consideration. In that context, and in the context of provisions
specifically directing the court to take into account specified
aggravating and mitigating factors and “any other objective or
subjective factor that affects the relative seriousness of the
offence”, the court determined that the legislation preserved the
“well established body of principles that have been developed by
the courts over a long period of time.”
[92] The court also determined that in
assessing the objective seriousness of an offence, regard could be
had to matters personal to an offender if such matters had a
causal connection with the commission of the crime. For that
purpose, other matters personal to an offender such as moral
culpability which were not directly or causally related to the
commission of the crime, but were more appropriately directed to
the objectives of punishment, must be put aside. In determining a
sentence, however, the court was not confined to factors causally
connected to the commission of the crime and was entitled to take
into account all those factors regarded as relevant in accordance
with the well established common law principles of sentencing.
[93] The issue for consideration is whether the
same approach is permitted under the Northern Territory
legislation. As mentioned, when considering whether to fix a non-parole
period longer than 20 years in respect of a sentence of life
imprisonment for murder imposed after the commencement of the Act,
the court is given guidance in the same terms as the New South
Wales legislation that the standard non-parole period of 20 years
“represents the non-parole period for an offence in the middle of
the range of objective seriousness” for offences of that type. In
determining where an offence stands in the range of objective
seriousness, there is no impediment to applying the reasoning in
Way. I find that reasoning persuasive.
[94] A more difficult question is whether the
reasoning in Way can be applied in determining which objective or
subjective factors can properly be regarded as affecting the
relative seriousness of the offence when deciding whether a longer
non-parole period is warranted.
[95] The decision in Way that all factors
relevant to the imposition of sentence in accordance with the well
established body of sentencing principles can be taken into
account was a decision reached in the context of the particular
New South Wales provisions. As I have said, there are significant
differences between the two sets of legislation. The New South
Wales provisions relate to sentences and non-parole periods
generally whereas the Northern Territory legislation under
consideration is limited to non-parole periods for sentences of
life imprisonment imposed for the crime of murder.
[96] In contrast to the Northern Territory
provisions, the New South Wales legislation specifically includes
for consideration most factors relevant to sentence at common law
including factors that do not have a causal connection to the
offence. It is in the context of the specific inclusion of those
matters that the New South Wales legislation also directs the
court to have regard to any other objective or subjective factor
that affects the relative seriousness of the offence.
[97] It is apparent, therefore, that the
context in which the relevant provisions of the Act are to be
interpreted is quite different from the New South Wales
legislation. In addition, as mentioned, in the Sentencing Act and
the transitional provisions the Legislature has chosen to direct
the court in different terms depending upon whether the court is
considering whether to refuse to fix a non-parole period or to fix
a longer period. In the former situation the terms of the
legislation effectively embody the principles found in s 5 of the
Sentencing Act and the common law. In the latter situation which
relates to the application under consideration, the Legislature
chose not to give the same direction.
[98] As to why different tests have been
imposed by the Act, in Leach I pointed out that the court would
only consider not fixing a non-parole period in respect of those
cases properly characterised as in the worst category of cases of
murder. It is not necessary, therefore, for the court to be
directed to any question of the relative seriousness of the
offending. In respect of the worst type of crimes, the Legislature
was concerned to direct the court to the moral blameworthiness of
the offender and to whether that blameworthiness was so extreme
that the specified community interests could only be met by
imprisonment for life without the possibility of release on parole.
[99] In cases where the court is considering
whether to fix a longer non-parole period, the court will not be
concerned only with those crimes falling within the worst category.
The crimes involved will cover the whole spectrum of crimes from
the lowest end of the scale of seriousness through to crimes
fitting within the worst category. In these circumstances, the
Legislature had directed the court to consider the “relative
seriousness of the offence”. In this way, the court is required to
determine where the offending sits in the scale of seriousness. It
is only when the court has determined where the offence sits in
that scale that, in the context of fixed minimum non-parole
periods, the court is able to determine whether a longer non-parole
period is warranted.
[100] The Legislature cannot have intended that
the court should take a narrow view of factors which affect the
relative seriousness of the crime. Ordinarily, when a court is
fixing a non-parole period the court is required to determine the
minimum period that “justice requires that [the offender] must
serve having regard to all the circumstances of [the] offence”:
Power v The Queen at 629; Deakin v The Queen (1984) 58 ALJR 367;
Bugmy. As was stated in Power, that determination is made
according to accepted principles of sentencing. In the context of
the fixed statutory minimum, when determining whether to fix a
longer non-parole period, in substance the court is engaged in the
same process.
[101] Adopting a broad interpretation which I
consider will achieve the purposes of the legislation, in my
opinion the objective and subjective factors to which the court
shall have regard are not limited to those that, literally
speaking, have a direct causal connection with the commission of
the offence. Factors such as immediate remorse, immediate
cooperation with authorities and an early plea of guilty, while
not directly linked in a causative way to the commission of the
crime, are so closely connected with the offender’s culpability as
to amount to factors affecting the relative seriousness of the
offence for the purposes of s 53A of the Sentencing Act and s
19(4) of the Act. To this extent, following detailed submissions
and analysis of the decision in Way, I have been persuaded that my
general observation in Leach that an offender’s plea of guilty and
cooperation with the authorities do not affect the relative
seriousness of the crime was incorrect ([64]). Such factors may
affect the relative seriousness. It is a question of degree and
timing.
[102] Having reached that view, the question
remains whether the broad interpretation I have adopted can
reasonably encompass prospects of rehabilitation or the
rehabilitation of an offender that has taken place over many years
subsequent to the commission of the crimes. It is here that I have
reached the view that the line must be drawn adverse to the
respondent.
[103] To find that the Legislature intended
that the court, in assessing the relative seriousness of the
offence, should take into account prospects of rehabilitation or
rehabilitation that has occurred over many years subsequent to the
commission of an offence is to distort the ordinary and natural
meaning of the words “affecting the relative seriousness of the
offence”. Prospects of rehabilitation or subsequent progress
towards rehabilitation cannot reasonably be regarded as factors
affecting the relative seriousness of the offence.
Warranted – Discretion
[104] The threshold question for the court in
considering the question of a longer non-parole period is whether
the court is satisfied that a longer non-parole period is
warranted. That question is answered by reference to any objective
or subjective factors affecting the relative seriousness of the
offence. Unless the court is satisfied by reason of those factors
that a longer non-parole period is warranted, the court is not
empowered to fix a longer non-parole period. In other words, the
discretion to fix a longer non-parole period is not enlivened
unless the court is satisfied that a longer period is warranted.
[105] Sections 53A(4) of the Sentence Act and
19(4) of the Act provide that if the court is satisfied that a
longer non-parole period is warranted, the court “may” fix a
longer non-parole period. The Legislature has not directed the
court to fix a longer non-parole period if satisfied that a longer
period is warranted. A discretion is conferred upon the court to
do so.
[106] Significantly, once the discretion to fix
a longer non-parole period is enlivened, neither the Sentencing
Act nor the Act purports to restrict the exercise of that
discretion. Nor do the provisions of those Acts provide any
guidance for the court in the exercise of that discretion. Subject
to the context in which the discretion is granted to the court,
and subject to the well recognised principles of sentencing, the
discretion is unfettered.
[107] In these circumstances the question
arises as to whether there is anything in the Sentencing Act or
the Act or in the context of the new sentencing regime which
evinces an intention on the part of the Legislature to fetter the
discretion exercised by the court in determining whether to fix a
longer non-parole period. In particular, is there any basis for
inferring an intention that the court should ignore prospects of
rehabilitation or rehabilitation that has occurred over many years
subsequent to the commission of the offence?
[108] On one view, it might be said that the
history of the treatment of persons convicted of murder and the
purposes of the new regime points in the direction of ignoring
questions of rehabilitation. Previously, regardless of any
objective or personal circumstances or issues of rehabilitation,
the community regarded the gravity of a crime of murder as
requiring that the offender remain in prison for the term of the
offenders’ natural life. The new regime has sought to ameliorate
that situation to a strictly limited extent. The view of the
community, reflected in the terms of the new regime, is that
regardless of any factors of mitigation, issues of scale of
seriousness or questions or rehabilitation, the crime of murder
requires the punishment of a long period of incarceration. It
could be said that consistently with that view, the court should
be guided only by the gravity of the crime when determining
whether a period longer should be fixed. On this view the court is
concerned only with determination of the minimum period that
justice requires the offender serve by reason of the gravity of
the criminal conduct. Questions of rehabilitation are left to the
Parole Board in deciding whether to release an offender on parole.
[109] The alternative view is that clear
direction is required before a court will infer an intention on
the part of the Legislature to exclude from the court’s
consideration those matters which s 5 and the well established
principles of sentencing otherwise require the court to consider
in a sentencing exercise. Generally when sentencing, and in
particular when fixing non-parole periods, the court is vitally
concerned with prospects of rehabilitation. Where a delay has
occurred between the offence and sentencing, progress that has
been made towards rehabilitation is usually an important
consideration. Rehabilitation is generally regarded as
particularly important when considering the question of a non-parole
period.
[110] As I observed in Leach, there are
powerful reasons why the Legislature would intend a court to
receive all relevant information capable of bearing upon the
assessments required of the court, including facts that have
emerged during the period of incarceration. The decisions required
of the court affect the liberty of prisoners. The court is
empowered to increase the very lengthy minimum periods fixed by
the transitional provisions. The nature of the orders to be
imposed and their impact upon the lives of prisoners dictate that
in the absence of the clearest words to the contrary, the
provisions should be interpreted as supporting a Legislative
intention that the court should have available to it all relevant
and up to date information concerning the prisoner.
[111] The other factor which indicates a
Legislative intention that in exercising the discretion whether to
fix a longer non-parole period the court should have regard to all
matters ordinarily relevant to the fixing of a non-parole period,
including questions of rehabilitation, is the timing of
applications by the Director as required by s 19(2) of the Act. On
that aspect I adhere to the following views expressed in Leach
([69] – [70]):
[69] In considering this issue, regard must also be had to the
timing of applications by the Director as required by s 19(2) of
the Act. If a period of 20 or 25 years fixed by s 18 expired
before the commencement of the Act, s 19(2)(b) requires the
Director to make the application within six months of the
commencement of the Act. In other circumstances, s 19(2)(a)
provides that the Director must make the application not earlier
than twelve months before the first 20 years of the prisoner’s
sentence is due to expire. In substance, therefore, the
Legislature has specifically precluded the Director from making an
application before a prisoner has served at least 19 years.
[70] In my opinion, the obvious reason for imposing the
requirement that an application by the Director be delayed for
such a long time is to enable the court to be put in the best
position possible to make the assessments required of it. Numerous
authorities have emphasised the difficulties facing sentencing
Judges required to impose lengthy sentences of imprisonment and
lengthy non-parole periods when endeavouring to predict the likely
response of an offender to imprisonment. For example, in Bugmy v
The Queen (1990) 169 CLR 525, in a joint judgment, Dawson, Toohey
and Gaudron JJ observed that a minimum term of 18 years and 6
months was of such a length as to render impossible accurate
forecasts as to the risk of offending and the protection of the
community (537). Experience has demonstrated that on occasions
persons convicted of horrific crimes and who appear to be
incapable of rehabilitation have, over a period of many years,
responded favourably to incarceration. By precluding a Director’s
application for such a long period the Legislature has endeavoured
to minimise the difficulties associated with future predictions as
to human behaviour in response to lengthy periods of imprisonment.
[112] In my opinion, neither the terms of the
legislation nor the context of the new statutory regime imply that
in determining whether to exercise the discretion to fix a longer
non-parole period the court is not to take into account prospects
of rehabilitation or rehabilitation that has occurred subsequent
to the crime. There is nothing to indicate a Legislative intention
that the principles embodied in the Sentencing Act and the well
established common law principles of sentencing should not apply.
Quite the contrary. The Legislature has chosen not to fetter the
discretion and to ensure that the timing of an application by the
Director pursuant to the transitional provisions will enable the
court to receive the benefit of information as to an offender’s
progress or otherwise by way of rehabilitation over many years in
custody.
Range of Objective Seriousness
[113] The Director submitted that as s 53A of
the Sentencing Act states that the standard non-parole period of
20 years represents the non-parole period for an offence in the
middle of the range of objective seriousness for offences of
murder, the periods of 20 and 25 years automatically fixed by s 18
of the Act should also be regarded by the court as periods
appropriate to an offence in the middle of the range of objective
seriousness. In this way the court is given a guideline or
starting point from which to determine the relative seriousness of
the offence under consideration.
[114] It seems to me there is considerable
force in that submission in respect of the period of 20 years
automatically fixed by s 18 in respect of a sentence of life
imprisonment imposed before the commencement of the Act. As
mentioned, it is apparent that the transitional provisions
endeavour to create a degree of equality between prisoners serving
sentences before the commencement of the Act and those sentenced
after the Act commenced. Notwithstanding the absence of the
direction in the transitional provisions that the period of 20
years represents the period for an offence in the middle of the
range of objective seriousness, in my view it is reasonable to
infer that the Legislature intended the court proceed on that
basis when determining whether to fix a longer non-parole period
pursuant to the transitional provisions.
[115] In my opinion the same reasoning cannot
be applied when considering whether the Legislature intended that
the non-parole period of 25 years be regarded as representing the
period appropriate for an offence or offences in the middle of the
range of objective seriousness for offences of the type attracting
the minimum of 25 years. The Legislature chose not to give such a
direction in either the Sentencing Act or the transitional
provisions. If it was intended that the court should regard the 25
years as representing the period for an offence or offences in the
middle of the range of objective seriousness, given the direction
with respect to the standard non-parole period of 20 years it is
somewhat surprising that the Legislature omitted to give a similar
direction.
[116] The standard non-parole period of 20
years applies regardless of the circumstances of the crime and
circumstances of the offender. Without a direction that 20 years
represents the period for an offence in the middle of the range of
objective seriousness, the court would be deprived of any
reference point by which to determine the relative seriousness of
the offence when considering whether to impose a shorter or longer
non–parole period.
[117] The difficulty in giving a similar
direction with respect to those crimes requiring a minimum of 25
years is that the circumstances which require the fixing of a
minimum period of 25 years will almost inevitably elevate the
objective seriousness beyond the middle of the range. The
legislature has determined that those factors which require the
increased minimum period are aggravating factors which justify a
significant increase in the minimum non–parole period of five
years. Any increase of that magnitude is inconsistent with the
view that the offence requiring the minimum of 25 years represents
an offence in the middle of the range of objective seriousness.
[118] In addition, the minimum of 25 years must
be imposed if the offender is being sentenced for two or more
crimes of murder or if the offender has previously been convicted
of unlawful homicide. These criteria do not sit well with an
attempt to apply a presumption with respect to all crimes
requiring the minimum of 25 years.
[119] In my opinion, bearing in mind that the
minimum of 20 years represents a period appropriate for a single
crime of murder in the middle of the range of objective
seriousness, it is appropriate to regard 25 years as appropriate
for an offence otherwise in the middle of the range of objective
seriousness, but accompanied by any one of the aggravating
features specified in s 53A(3) of the Sentencing Act and s 19(3)
of the Act. If more than one of the features specified in those
sections is present, the objective seriousness of the crime is
increased. It is not appropriate to regard the addition of each
feature as requiring the addition of another five years to the
non-parole period, but each feature represents a circumstance of
aggravation.
[120] Those remarks relate to a single crime of
murder accompanied by one or more of the particular features which
require the fixing of at least 25 years as the non-parole period.
In the case of two or more crimes of murder, that reasoning cannot
apply. At best the court will be required to bear in mind that the
Legislature has determined that for a single crime of murder in
the middle of the range of objective seriousness, 20 years is the
minimum period. In addition, for a single crime in the middle of
the range of objective seriousness accompanied by one of the
specified aggravating features, the minimum is 25 years.
Findings
[121] I am satisfied that at the time the
respondent left the bar after the scuffle or soon after leaving
the bar, the respondent formed an intention to drive his truck
through the wall of the hotel. At that time the respondent knew
that if he drove his truck at speed into the wall, the size and
the momentum of the truck would inevitably mean that it would
break through the wall and into the bar.
[122] The respondent also knew that a
significant number of people were in the bar. He knew that if he
drove his truck through the wall, it was highly likely that
persons in the bar would be killed or seriously injured.
[123] The respondent’s intention to drive the
truck through the wall of the bar was formed at a time when he was
affected by alcohol, but not significantly affected. Alcohol was a
contributing factor to the respondent’s conduct. As the
consequence of the effects of alcohol, the respondent’s
inhibitions were lowered and his anger at being ejected from the
bar prevailed to the point where his violent reaction ensued. An
aggressive and physical response in such circumstances perceived
by the respondent as provocation was not an uncommon reaction when
the respondent was affected by alcohol. When the respondent
perceived that he was being provoked, he tended to become
argumentative and physically aggressive.
[124] I emphasize that this is not a case in
which the moral culpability of the respondent was reduced by
reason of his intoxication. The respondent was not a person of
impeccable character who, totally out of character, committed a
minor offence while significantly affected by alcohol.
[125] Intoxication is, unfortunately, often an
explanation for the commission of a crime. Rarely, however, is it
a mitigating factor: R v Sewell & Walsh (1981) 29 SASR 12. In some
circumstances, it may be an aggravating factor. In Sewell
reference was made to violent crimes committed by intoxicated
persons being more frightening to the average person.
[126] The respondent’s intoxication provides
part of the explanation for his conduct. I regard it as neither an
aggravating nor a mitigating factor.
[127] In arriving at this view I have not
overlooked the fact that the respondent was addicted to alcohol.
In my view, however, in the circumstances of the respondent’s
criminal conduct, the fact of his addiction cannot be treated as a
mitigating factor. There is no proper basis for the view that
alcoholism reduces the respondent’s moral culpability in the
commission of the crimes. This approach is consistent with the
approach to the relevance of addiction to other drugs,
particularly in the context of serious crimes: R v Proom (2003) 85
SASR 120.
[128] I have also had regard to the reports of
the psychologist and Dr Wake, the Director of the Northern
Territory Prison Medical Services. The respondent told the
psychologist that he could not provide a basis for his motivation
and said that he “had no distinct or dedicated animus” to any of
the victims. The psychologist did not proffer any explanation as
to the respondent’s motivation.
[129] Dr Wake has known the respondent since
1993. In his opinion the respondent is of above average
intelligence. Dr Wake “ventured” the view that, “in one moment of
madness”, the respondent committed the crimes. It appears that Dr
Wake regards alcohol and anger as the “offending precipitants”.
[130] Speaking colloquially, it might be said
with some justification that anyone who deliberately drives a 25
ton truck through a wall into a crowded bar was acting in a
“moment of madness”. However, in my view, that expression is not
appropriate to the respondent’s offending.
[131] The respondent’s crimes, while committed
on impulse, were not in the category of a spontaneous reaction to
a stressful set of circumstances. There was a significant element
of premeditation. Having been ejected from the hotel, the
respondent not only walked to his truck and drove it to the motel,
he uncoupled one of the two trailers before driving back to the
hotel. I am satisfied the respondent uncoupled the trailer because,
for some unexplained reason, in planning to drive the truck
through the wall of the hotel the respondent thought it would be
in his best interests to remove the second trailer. It might be
that the respondent had in mind backing away from the hotel after
he had driven the truck through the wall. Such a manoeuvre would
not be possible if a second trailer was attached. However, the
reason is not of particular significance. The conduct in driving
to the motel and removing the trailer is primarily relevant
because it demonstrates a significant degree of premeditation and
planning.
[132] As mentioned, this was not a spontaneous
and instant reaction to stressful circumstances. In that context
one of the serious features of the respondent’s crimes is that his
actions were directed towards people who had given him no cause
for animosity towards them. They were entirely innocent.
[133] The means by which the respondent
committed the crimes is also relevant. It is difficult to imagine
a more lethal weapon than a 25 ton Mack truck. It was a weapon
against which there was no defence. It was a weapon capable in one
action of destroying the lives of many people.
[134] In considering the relative seriousness
of the respondent’s criminal conduct, it is not appropriate to
attempt to isolate the individual crimes of murder and to consider
the relative seriousness of each individual crime. In the
particular circumstances of the respondent’s offending, it is the
totality of his conduct to which regard must be had. In its
totality, the respondent’s criminal conduct must be regarded as
falling within the worse category of crimes of murder. Whatever
might be said about the circumstances, in one action with a lethal
weapon that would inevitably kill and injure a significant number
of innocent victims, the respondent murdered five persons. The
severe and widespread harm caused by the crimes continues today,
over 20 years later.
[135] As mentioned earlier in these reasons, I
am satisfied that when the respondent left the mayhem in the bar
behind him he was utterly indifferent to the harm he had caused.
It is difficult, if not impossible, to identify when the
respondent came to accept responsibility and to experience true
remorse. In his affidavit in response to the Director’s
application, the respondent stated that after extensive self
analysis he now understands the circumstances which led to his
irresponsible behaviour and the devastating effects of that
behaviour. He said gaining an insight and understanding has been a
long, difficult and confronting exercise. The respondent now
accepts full responsibility for his actions.
[136] The respondent maintained his plea of not
guilty in his trial of October 1985. The conduct of that trial was
not based solely on putting the Crown to proof. I am satisfied
that at the time of his second trial in 1985, a little over two
years after the crimes were committed, the respondent had not
accepted responsibility. There is nothing in the material before
me to suggest that by the time of his second trial the respondent
was truly remorseful. I make that observation in the light of the
respondent’s evidence at the first trial which conveys the
distinct impression of a person not being entirely truthful about
his state of memory and of a person somewhat indifferent to the
harm he had caused. It might be that the respondent could not
bring himself to accept that he would have committed such terrible
crimes and, in the process of justifying that position, an
incorrect impression had been conveyed. At the least, however, on
the basis of the material before me I am unable to find that the
respondent was experiencing true remorse at any time prior to his
second trial. In these circumstances, I do not regard remorse
subsequently experienced as a factor affecting the relative
seriousness of the offence.
Conclusion
[137] I am required to assess the relative
seriousness of the respondent’s criminal conduct. The respondent
is not a serial killer who murdered five people on different
occasions in premeditated and planned attacks. The respondent did
not possess a specific intention to kill. Sentencing courts have
always regarded a murder committed with a specific intention to
kill as more aggravated than a murder committed with a reckless
state of mind. However, much will depend upon the circumstances
and the words of the High Court in a joint judgment in The Queen v
Crabbe (1985) 156 CLR 464 should be borne in mind (469):
“the conduct of a person who does an act, knowing that death or
grievous bodily harm is a probable consequence, can naturally be
regarded for the purposes of the criminal law as just as
blameworthy as the conduct of one who does an act intended to kill
or to do grievous bodily harm. … If an accused knows when he does
an act that death or grievous bodily harm is a probable
consequence, he does the act expecting that death or grievous
bodily harm will be the likely result, for the word “probable”
means likely to happen. That state of mind is comparable with an
intention to kill or to do grievous bodily harm.”
[138] Those remarks were addressed to the
mental state required for the crime of murder in the context of a
Crown application for special leave to appeal from a decision of
the full court of the Federal Court quashing the respondent’s
convictions on the first trial. The Court was not concerned with
assessing the relative seriousness of a particular crime.
Notwithstanding that distinction, the observations of the Court
represent a recognition of the underlying culpability of a person
who does an act knowing that death or grievous bodily harm is a
probable consequence.
[139] In the circumstances of the respondent’s
crimes, as the respondent admitted in evidence, it was highly
likely that a number of persons would be killed or injured
seriously when he drove his truck through the wall. The
respondent’s knowledge and callous indifference to the
consequences of his act mean that the difference between a
specific intention to kill and the respondent’s state of mind is
not of great significance for present purposes.
[140] Although the respondent did not commit
the crimes by multiple premeditated acts, nevertheless he
committed the crimes with a lethal weapon in circumstances that
would inevitably result in multiple deaths and injuries. The
inescapable fact is that the respondent murdered five innocent and
defenceless persons. There are no circumstances that significantly
mitigate the objective seriousness of the crimes. Similarly, there
are no subjective circumstances which mitigate the seriousness of
the criminal conduct.
[141] The community has determined that the
starting point for the commission of two crimes of murder is a
non–parole period of at least 25 years. This minimum applies
regardless of where the individual crimes sit in the scale of
seriousness. It applies regardless of the personal circumstances
of the offender. While it is inappropriate to engage in a
mathematical calculation based on 20 years for one crime of murder
and an additional five years for each additional murder, and while
the legislation plainly contemplates the possibility that the
minimum non-parole period of 25 years could be fixed in respect of
more than two crimes of murder, it is relevant to bear in mind
that the absolute minimum period that can be fixed for two crimes
of murder is 25 years.
[142] By reason of the factors affecting the
relative seriousness of the respondent’s crimes to which I have
referred, I am satisfied that a longer non-parole period is
warranted. The discretion having been enlivened, I must determine
whether to exercise that discretion.
[143] I have had regard to all of the material
relating to the circumstances of the crime and personal to the
respondent. As I have said, in connection with the commission of
the crime, there is little to mitigate the gravity of the
respondent’s criminal conduct. The respondent’s personal
circumstances do not attract mitigation. Nor is the respondent
entitled to the benefit of youth, a plea of guilty or immediate
remorse.
[144] Of particular importance to the exercise
of the discretion is the respondent’s subsequent rehabilitation.
As mentioned, the respondent has made every conceivable possible
effort to rehabilitate himself and has done so successfully. It is
impossible to predict with absolute certainty that if released the
respondent will not offend again. There is always an element of
risk that a person who has been convicted of serious crimes will
offend again when released. Through the terms of the legislation,
however, the community has recognised that notwithstanding a
degree of risk, in appropriate circumstances a person convicted of
serious crimes of murder should receive a non-parole period
thereby providing the offender with an opportunity to seek release
on parole.
[145] It must be emphasised that the fixing of
a non-parole period does not mean that at the expiration of the
period the respondent will be entitled to release on parole. He
will not be entitled to an automatic release. At the expiration of
the non-parole period the respondent will be able to apply for
release on parole. Whether he will be released on parole is a
matter for determination by the Parole Board.
[146] With the advantage of knowledge of the
prisoner’s response to imprisonment over the last 21 years, I must
determine the minimum period that justice requires that the
respondent must serve having regard to all the circumstances of
the offence. That determination must be made in the context of the
new Legislative scheme. That scheme provides for an absolute
minimum non-parole period of 25 yeas for two crimes of murder. In
my view the community expectation and intention reflected in the
scheme is that ordinarily an offender being sentenced in respect
of five crimes of murder could not expect to receive the minimum
non-parole period of 25 years. I do not exclude the possibility
that compelling objective and/or subjective factors might justify
the imposition of the minimum period of 25 years.
[147] While the respondent’s subsequent remorse
and remarkable efforts to achieve his rehabilitation are
particularly significant factors, I have reached the view that
they do not justify the imposition of the absolute minimum of 25
years. If it had not been for those factors, the period I would
have fixed would have been significantly longer.
[148] The non-parole periods of 25 years in
respect of each of the five sentences of life imprisonment are
revoked. I fix a single non-parole period of 30 years commencing
on 18 August 1983. The respondent will be eligible for parole in
August 2013 when he will be 66 years of age.