Lorna Woods,
Professor of Internet Law, University of Essex
Last week a CJEU Advocate-General
gave an opinion
in the case of Schrems II, the latest
challenge to US national security rules as they apply to transfers of personal
data from the EU (via Facebook). The original Schrems case (discussed here)
shocked the data protection world when the Court of Justice of the EU (ECJ)
ruled that the adequacy decision with regards to the United States (which
simplified personal data transfers between the EU and the US) was invalid and –
effectively - that US practices were incompatible with the EU
Charter. Companies transferring data to the US turned to other legal
mechanisms to legitimise the transfer of data and Schrems II (Data Protection Commissioner v. Facebook Ireland Limited,
Maximillian Schrems (Case C-311/18)) concerns one of these mechanisms:
standard contractual clauses (SCCs). Surely, given the similar context and the
fact that those under US jurisdiction must comply with US law, the outcome must
be the same?
The Facts
Max Schrems aimed to stop the
transfer of his personal data from the EU to the US under SCCs, following on
from the finding in Schrems I that US
law did not provide sufficient safeguards for individuals’ privacy rights in
the context of bulk surveillance. This resulted in an action being brought by
the Irish Data Protection Commissioner (DPC). The DPC took the view that her
assessment of whether the transfers were valid depended on whether the model
SCCs (established by the European Commission by Decision
2010/87/EU) were valid and she brought an action before the Irish courts,
which resulted in an 152 page judgment and a
reference to the ECJ, to determine this.
The reference comprised 11
questions, which the Advocate General bundled into a number of topics:
-
the applicability of EU law when data
transferred is processed for national security purposes in third countries;
-
the level of protection required;
-
the impact of the non-binding nature of an SCC
on the authorities of a third country on the validity of Decision 2010/87;
-
the validity of Decision 2010/87 in the light of
the EU Charter; and
-
an assessment of the Privacy
Shield decision (the replacement adequacy decision for transfers to the US,
following the finding in Schrems I
that the previous decision, known as ‘Safe Harbour’, was invalid).
The Opinion
The first issue was whether the
fact that the concerns regarding privacy occur in the policy space of national
security (an area outwith EU competence) affects the applicability of the data
protection directive (DPD) or the replacement law, the GDPR. Those rules are designed for the
commercial sphere. As the Advocate General noted,
The
significance of that question … lies in the fact that, if such a transfer fell
out side the scope of EU law, all the objections raised ...would be rendered
baseless [101].
Given the Court’s approach in Schrems I, it is unsurprising that the
answer here was that the locus of regulation was the commercial activity that
was being undertaken. The purpose of the transfer was not that of allowing the
data to be processed for national security [106]. So, ‘the possibility that the
data will undergo processing by the authorities of the third country of
destination for the purposes of the protection of national security does not
render EU law inapplicable...’ [108].
The second issue at which the
Advocate General looked was that of the level of protection. He accepted that
the approach of the Court in Schrems I
to adequacy decisions (under Article 25(6) DPD, and now Article 45(3) GDPR) is
also relevant to SCCs so that the ‘appropriate safeguards’ envisaged by Article
46 GDPR should ensure data subjects benefit from a level of protection
‘essentially equivalent’ to that which follows from the GDPR [115]. While the
adequacy decision mechanism and the SCC mechanism both aim towards the same
objective, the way they each achieve it may be different: the underlying
difference between the mechanisms is that the adequacy decision considers
whether the protections provided by law in the destination country are
adequate; the SCCs accept that they are not and provide other safeguards [120,
see also 123-4].
Validity of Decision 2010/87
Moving on to the question of
validity of Decision 2010/87 in the light of the EU Charter, the fact that SCCs
are not binding on the third country undermines the ability of the recipient of
the data always to respect the data protection safeguards contained in the SCC.
The Advocate General considered this in the context of the question the Irish
Court raised regarding the obligations on the national supervisory authority to
suspend transfer [122]. The Advocate General proposed that:
-
SCCs may be assessed only on the ‘soundness of
the safeguards’ they each provide;
-
safeguards may be reduced/eliminated as a result
of the law of the third country;
-
the mechanism imposes on the exporter/controller
or the national supervisory authorities, on a case-by-case basis, to prohibit
or suspend transfers.
The Advocate General concluded that
this did not invalidate the Decision but rather raised the question of ‘whether
there are sufficiently sound mechanisms to ensure that transfers based on the
standard contractual clauses are suspended or prohibited where those clauses
are breached or impossible to honour’ [127]. He also highlighted the
requirement in Article 46(1) GDPR that data subjects’ rights must be
enforceable and remedies available.
Obligations on data controllers
The SCC imposes obligations on
exporter and importer to comply with the terms of the contract. Given the
obligations on the data controller (the person in control of the uses to which
the data is put) imposed by the GDPR, where the exporter is aware that the
importer cannot honour the terms of the SCC, the controller does not have a
choice to suspend transfer but is required to do so [132]. The Advocate General
also suggested that the parties should carry out an examination into whether
the law of the third country would entail such a breach [135]. The rights of
the data subject are ensured as against the exporter/controller under the SCC in
Decision 2010/87 and the data subject may also apply to the national
supervisory authorities.
Obligations on the supervisory authorities
The Advocate General proposed
that national supervisory authorities are required to order the suspension of
the transfer. Specifically, the right to suspend is not only to be used in
exceptional cases (this follows amendment of the SCC terms in the light of Schrems
I) and recital 11 of Decision 2010/87 is ‘obsolete’ [143]. The Advocate General emphasised that
‘the exercise
of the powers to suspend and prohibit transfers …. is no longer merely an
option left to the supervisory authorities’ discretion’ [144].
Article 58(2) GDPR, which sets
out the powers of supervisory authorities, should be understood in the light of
Article 8(3) EUCFR and Article 16(2) TFEU (both of which provide that
compliance with data protection law should be overseen by an independent
authority) – the Advocate General inferred that this meant the authorities have
to act in such a way as to ensure the proper application of the GDPR. This
imposes a due diligence requirement on the authorities, as well as an
obligation to react appropriately to infringements. Failure to do so can lead
to judicial action, and this re-emphasises that the obligation on the national
supervisory authorities is ‘strict’, not discretionary [150].
The DPC had contended that this
obligation is insufficient: it fails to address the systemic problems of
inadequate safeguards; and that the approach leaves unprotected those whose
data have already been transferred. The Advocate General disagreed; while
problems existed they were not sufficient to invalidate the decision. He stated
that:
EU law does
not require that a general and preventive solution be applied for all transfers
to a given third country that might entail the same risks of violation of
fundamental rights [154].
As regards, effective redress for
those already affected, the Advocate General emphasised the roles of the
supervisory authorities to take corrective measures and the rights under
Article 82 GDPR.
Privacy Shield
The Advocate General than took
the view that it was unnecessary to consider the ‘Privacy Shield’ decision, in
part because it assumes that the general level of law and protection in the
recipient state need to afford adequate protection for SCCs to be available – a
point which the Advocate General had already rejected. Nonetheless the Advocate General did produce
some guidance for the Court were it to consider the issue.
The finding of adequacy under the
Privacy Shield does not preclude a national supervisory authority from exercising
its powers. A number of parties challenged (directly or indirectly) the finding
of adequacy in relation to the Privacy Shield. He suggested that when
considering the comparison between the law and safeguards of the third country
the appropriate comparison would be with the approach of the Member States to
their own national security within the framework of the European Convention on
Human Rights (ECHR) [207] and that those standards must be known in advance.
The Advocate General discussed the scope of the national security exception,
defined as:
activities
connected with the protection of national security in so far as they constitute
activities of the State or of States authorities that are unrelated to fields
in which individuals are active [para 210, citing inter alia Tele2 Sverige and Watson (Cases C-203/15 and C-698/15, discussed here)].
The Advocate General suggests
that the exclusion covers measures ‘that are directly implemented by the State
for the purposes of national security, without imposing specific obligations on
private operators’ [211]. He notes that where private operators are involved
the law is less clear with the earlier PNR
judgment
(Parliament v Council and Commission
(Cases C-317/04 and C-318/04)) seemingly pointing in a different direction from
more recent jurisprudence including Tele2/Watson. He proposed a number of ways to reconcile the
two lines of cases:
-
Tele2/Watson
arose where operators were required to keep data; the airlines kept the
data for their own commercial purposes [218];
-
Tele2/Watson
arises where operators are required to cooperate as regards the access to the
data, irrespective of whether there is a prior obligation to retain data -
because the provision required the operators to engage in data processing
[219-220].
The Advocate General favoured the
second approach, suggesting it was also in line with Schrems I and that, once national authorities have the data and
engage in further processing of them, such processing is not caught by the
scope of the GDPR. In this view of the Advocate General, this means
verification must take place by reference first to the GDPR and Charter and
secondly by reference to the ECHR.
A further issue was whether
continuity of protection means that measures must be in place during transit
(e.g. through submarine cables). Article 44 GDPR refers to ‘after transfer’
which could mean after arrival or once transfer has been initiated. Relying on
a teleological interpretation, the Advocate-General adopted the second
interpretation.
Moving on to the validity of the
Commission’s assessment of adequacy, the Advocate General assessed whether the
Commission’s findings warranted the adoption of an adequacy decision, recalling
the principles set down in Schrems I allowing
for ‘a certain flexibility in order to take the various legal and cultural
traditions into account’ but ‘that certain minimum safeguards and general
requirements for the protection of fundamental rights that follow from the
Charter and the ECHR have an equivalent ...’ [249]. It was this essential equivalence that the
referring court challenged. The Advocate General re-stated case law from both
Courts that recognised the existence of an interference, and as far as the ECJ
is concerned it does not matter whether the data are sensitive. Further:
the
obligation to make the data available to the NSA, in so far as it derogates
from the principle of confidentiality of communications, entails in itself an
interference even if those data are not subsequently consulted and used by the
intelligence authorities [259].
As regards the requirement that
interferences must be provided for by law, the Advocate General – treating the
approach of the ECJ and ECtHR together states that this test means that:
regulations
which entail an interference … lay down clear and precise rules governing the
scope and application of the measure at issue and imposing a minimum of
requirements, in such a way as provide the persons concerned with sufficient
guarantees to protect their data against the risks of abuse and also against
any unlawful access to or use of data [para 265, citing Digital Rights Ireland (discussed here),
Tele 2 Sverige, Opinion 1/15 (discussed here), Weber and Saravia, Zakharov (discussed here)
and Szabo
and Vissy].
The Advocate General doubted
whether the US framework met this threshold [266]. Following existing jurisprudence, however,
the Advocate General accepted that the very essence of Article 7 or 8 was not
compromised. In this, the Advocate
General noted that the position of the ECtHR was that such surveillance could,
in principle, be capable of justification [282].
National security has long been
accepted as a legitimate public interest ground justifying interferences with
rights. The scope of ‘national security’ was challenged. The Advocate General
accepted that some aspect of foreign affairs might fall within ‘national
security’; further objectives dealt with under ‘foreign intelligence
information’ could constitute other public interest objectives but that these
would have a lesser weighting in a proportionality analysis. However, ‘it may
be asked whether those measures are defined sufficiently clearly and precisely
to prevent the risk of abuse and to permit a review of the proportionality.’
[289].
The Advocate General nonetheless
considered the necessity and proportionality aspects, within the framing set
down by Schrems I in particular. The
Advocate General also noted the safeguards required by Article 23(2) GDPR. He
doubted whether the selection criteria were sufficiently clear and precise and
whether there were sufficient guarantees to prevent the risk of abuse noting in
particular the difference between the requirement that an activity be ‘as
tailored as feasible’ is not the same as an activity which is strictly
necessary [300], nor does it necessarily forewarn data subjects [307]. There is
no prior review. He therefore concluded that he had doubts about the adequacy
of protection provided.
The next issue was the right to
an effective remedy and the impact of the introduction of the Ombudsperson
Mechanism which is intended to compensate for some of the deficiencies in the
US system. The Advocate General noted
that the Article 47 right is in addition to the requirement that there be
independent oversight/authorisation of surveillance activities. Re-iterating Schrems I, where there is no possibility
to pursue legal remedies, the national rules do not respect the essence of the
right. The right include that of receiving confirmation from national
authorities whether or not they are processing data as well as being notified
about an investigation once it would no longer jeopardise that investigation
(though the ECtHR has not made this aspect a requirement). The US system is
deficient in these aspects. The Advocate General considered whether the
Ombudsperson Mechanism compensates but was not convinced. Such a body to be
effective must be established by law and be independent. The Advocate General
noted that the mechanism satisfied neither requirement and is not subject to
judicial control.
Comment
A cursory look at the conclusion
to the Opinion might suggest that there will be no change in the approach to
data transfers and that in general this was a bit of a defeat for Schrems. This
would mis-characterise the position (and also overlook the fact that it was the
DPC that was arguing for invalidity of the SCC decision, not Schrems). The Opinion is divided broadly into two
topics: the first which deals the legality of the SCC decision and the second
which deals with the Privacy Shield adequacy decision.
The Advocate General may have
suggested that the Decision underlying the SCCs should not be considered
invalid but this does not mean that those transferring data to the US can
ignore the privacy concerns. The response of the Advocate General - in avoiding
challenging the underlying system itself - is to rely on decentralised, and
ultimately private, enforcement by the exporter/data controllers, but also by
the national supervisory authority. This
obligation is described in rather strong terms; certainly a data exporter
cannot be passive but must investigate conditions and if it finds problems it
must act to suspend transfers. A head in the sand approach – if the Court
follows the reasoning of the Advocate General – is unlikely to be successful.
For national supervisory authorities the obligation seems still stronger and
the obligation to assess on a case by case basis potentially increases their
workload. Underpinning this again is the threat of legal action by data
subjects. While empowering data subjects is probably to be regarded as
positive, viewing private enforcement of regulation as an essential element of
that scheme is problematic. It assumes
data subjects have the energy and the resources to take action – a real
weakness in this approach, despite the possibility for class actions.
It is noteworthy that while the
Advocate General heads the section on the acceptability of the Decision as its
acceptability under the Charter, in practice his analysis focuses on the right
to a remedy. This leaves the impact of the transfers on privacy and data protection
(especially against a backdrop of bulk surveillance) under-considered. Further, the Advocate-General seems to assume
that the ability to sue in the EU (under Article 80 causes of action)
compensates for the difficulties in standing and lack of remedies in the
relevant third country, and assumes that compensation is adequate (as opposed
to more behavioural remedies such as ceasing processing). This aspect of the analysis is in marked
contrast to the considerations discussed under the Privacy Shield section.
While the ruling on the impact of
national security in the early part of the Opinion may not come of much
surprise, it is potentially significant for the UK. At the moment, as a member
of the EU, the activities of its security and intelligence services mainly lie
outside the ECJ’s purview (though note pending reference on scope of this: Privacy
International v Secretary of State for Foreign and Commonwealth Affairs
(Case C-623/17)); once it becomes a third country (and subject to any
negotiated agreement) national security becomes a relevant consideration. This difference between EU States and third
countries did not escape the attention of those making representations before
the court. On this difference, the Advocate General when discussing the
comparison that must take place to come to any decision on whether a third State’s
data privacy protections are essentially equivalent argues that, in regards to
interferences arising in the context of national security (which falls outside
EU law and therefore the scope of the Charter), the relevant standards are to
be found in the ECHR.
As noted, however, that boundary
is somewhat uncertain and consequently the extent to which it is consistent
with earlier jurisprudence, including Schrems
I, open to question. The approach of the Advocate General does seem to move
away from the approach in the PNR
judgment, which was based on looking at the provision’s purpose to
determine whether it fell within the national security exception. Perhaps the
forthcoming cases will develop a clear and consistent line on this point going
forward. The significance of drawing a boundary between the EU Charter and the
ECHR lies in the extent of difference in approach of the Strasbourg and
Luxembourg courts to bulk surveillance, especially that in relation to
communications data. On this, the Big
Brother Watch case (discussed here
and here)
is heading to the ECtHR Grand Chamber.
As regards the second aspect,
having noted that the Advocate General seeks to avoid commenting on the Privacy
Shield, some of his comments in this regard (made ‘in the alternative’)
highlight some real problems for that system. In his discussion he beds his
reasoning both in the ECJ’s jurisprudence but also that of the ECtHR. The Opinion constitutes a clear statement as
to the applicability of the law to ‘automated’ surveillance and also as to the requirement
of legality (which is not particularly clear as regards the Strasbourg
jurisprudence). In this, as well as in
the context of necessity and proportionality of the measures the Advocate
General was not convinced the US framework passed the tests. This is not just
one problem to fix, but many. While the
Advocate General did not the difference in the jurisprudence between the two
courts, this difference did not seem to lead to a different outcome in terms of
his assessment of the acceptability of the US regime.
If the Court chooses to consider
this question, there will be some serious difficulties going forward for data
flows. Whether the approach will stick
is a question; the ECJ has been under pressure to step back from its stance on
bulk collection and automated assessment of data in particular. Some of the
surveillance issues will be returning to the Court in a bevy of cases: in
addition to Privacy International see
La
Quadrature du Net & Ors v Commission (Case T-738/16); La
Quadrature du Net & Ors and French Data Network & Ors (Cases
C-511-12/18); and Ordre
des barreaux francophones et germanophone, Académie Fiscale ASBL, UA, Liga voor Mensenrechten ASBL, Ligue des
Droits de l’Homme ASBL, VZ, WY, XX v
Conseil des ministres (Case C-520/18). Further Advocates-General
opinions in several of these cases are set for January.
Barnard & Peers: chapter 9
Photo credit: Forbes
I am writing about this. I'm a journalist, the one who gave evidence to the DCMS Select Committee 17th April 2018 & 14 Feb 2019 and to the Irish Supreme Court on 1st Nov 2018. There is a significant contradiction between the Irish Supreme Court judgment on 31st May 2019, and the 11 questions which were sent on 12th April 2018. In dismissing the USG and Facebook appeal against Hogan June 18th 2014, the court emphatically endorsed Judge Hogan's findings. 9 internet companies acting as agents of the NSA are intercepting communications and stealing data throughout the EU. The AJ's opinion is divorced totally from the facts. Pure legal waffle at odds with the Supreme Court. And no action by any EU regulator, especially ours. cahillkj1944@gmail.com
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