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Notice Paper

No. 36

Tuesday, January 28, 2014

10:00 a.m.


Introduction of Government Bills

January 27, 2014 — The President of the Treasury Board — Bill entitled “An Act to control the administrative burden that regulations impose on businesses”.

Introduction of Private Members' Bills

January 27, 2014 — Mr. Reid (Lanark—Frontenac—Lennox and Addington) — Bill entitled “An Act respecting the procedure for the appointment and removal of the Governor General”.

January 27, 2014 — Mr. Anders (Calgary West) — Bill entitled “An Act to amend the Criminal Code (mandatory minimum sentences for rape)”.

January 27, 2014 — Mr. Atamanenko (British Columbia Southern Interior) — Bill entitled “An Act to amend the Meat Inspection Act and the Safe Food for Canadians Act (slaughter of equines for human consumption)”.

Notices of Motions (Routine Proceedings)

Questions

Q-2312 — January 27, 2014 — Mr. Julian (Burnaby—New Westminster) — With regard to rail safety in Canada: (a) how many railway employee reports relating to safety, or to other safety concerns, has Transport Canada received since the amended Railway Safety Act came into force on May 1, 2013; (b) with regard to the reports in (a), what is Transport Canada's process for (i) reviewing, (ii) investigating, (iii) reporting, (iv) corrective measures, (v) safety advisories or bulletins; (c) with regard to the reports in (a), how many Transport Canada inspectors (i) have been assigned to review the reports, (ii) have performed on-site inspections as follow up to the reports; (d) how many railway employee reports relating to safety, or to other safety concerns, has the Transportation Safety Board of Canada received for the period of 2006-2013; and (e) for each year since 2006, with regard to the reports in (d), how many (i) were for unsafe conditions, (ii) were for unsafe procedures and practices, (iii) required corrective action, (iv) were satisfactorily resolved?
Q-2322 — January 27, 2014 — Mr. Cullen (Skeena—Bulkley Valley) — With regard to Canadian government oil sands advertising in the United States: (a) in which states did the government purchase advertising; (b) how many advertisements were purchased; (c) what form of advertisements were purchased; (d) what was the duration of the advertising; (e) how much was the cost per advertisement; and (f) what was the projected reach of the advertisement?
Q-2332 — January 27, 2014 — Ms. Borg (Terrebonne—Blainville) — With regard to requests by government agencies to telecommunications service providers (TSP) to provide information about customers’ usage of communications devices and services: (a) in 2012 and 2013, how many such requests were made; (b) of the total referred to in (a), how many requests were made by (i) RCMP, (ii) Canadian Security Intelligence Service, (iii) Competition Bureau, (iv) Canada Revenue Agency, (v) Canada Border Services Agency, (vi) Communications Security Establishment Canada; (c) for the requests referred to in (a), how many of each of the following types of information were requested, (i) geolocation of device (broken down by real-time and historical data), (ii) call detail records (as obtained by number recorders or by disclosure of stored data), (iii) text message content, (iv) voicemail, (v) cell tower logs, (vi) real-time interception of communications (i.e. wire-tapping), (vii) subscriber information, (viii) transmission data (e.g. duration of interaction, port numbers, communications routing data, etc.), (ix) data requests (e.g. web sites visited, IP address logs), (x) any other kinds of data requests pertaining to the operation of TSPs’ networks and businesses, broken down by type; (d) for each of the request types referred to in (c), what are all of the data fields that are disclosed as part of responding to a request; (e) of the total referred to in (a), how many of the requests were made (i) for real-time disclosures, (ii) retroactively, for stored data, (iii) in exigent circumstances, (iv) in non-exigent circumstances, (v) subject to a court order; (f) of the total referred to in (a), (i) how many of the requests did TSPs fulfill, (ii) how many requests did they deny and for what reasons; (g) do the government agencies that request information from TSPs notify affected TSP subscribers that information pertaining to their telecommunications service has been accessed by the government, (i) if so, how many subscribers are notified per year, (ii) by which government agencies; (h) for each type of request referred to in (c), broken down by agency, (i) how long is the information obtained by such requests retained by government agencies, (ii) what is the average time period for which government agencies request such information (e.g. 35 days of records), (iii) what is the average amount of time that TSPs are provided to fulfil such requests, (iv) what is the average number of subscribers who have their information disclosed to government agencies; (i) what are the legal standards that agencies use to issue the requests for information referred to in (c); (j) how many times were the requests referred to in (c) based specifically on grounds of (i) terrorism, (ii) national security, (iii) foreign intelligence, (iv) child exploitation; (k) what is the maximum number of subscribers that TSPs are required by government agencies to monitor for each of the information types identified in (c); (l) has the government ever ordered (e.g. through ministerial authorization or a court order) the increase of one of the maximum numbers referred to in (k); (m) do TSPs ever refuse to comply with requests for information identified in (c) and, if so, (i) why were such requests refused, (ii) how do government agencies respond when a TSP refuses to comply; and (n) in 2012 and 2013, did government agencies provide money or other forms of compensation to TSPs in exchange for the information referred to in (a) and, if so, (i) how much money have government agencies paid, (ii) are there different levels of compensation for exigent or non-exigent requests?
Q-2342 — January 27, 2014 — Ms. Borg (Terrebonne—Blainville) — With regard to tracking by government agencies of customers’ usage of communications devices and services: do government agencies use their own (i) tracking products (e.g. "IMSI Catchers"), (ii) infiltration software (e.g. zero day exploits, malware such as FinFisher, etc.), (iii) interception hardware (i.e. placed within or integrated with a company’s network)?
Q-2352 — January 27, 2014 — Ms. Laverdière (Laurier—Sainte-Marie) — With regard to government spending in the riding of Laurier–Sainte-Marie: what was the total amount of funding for each fiscal year from 2010 to 2013 to the present, broken down by (i) department or agency, (ii) initiative, (iii) amount?
Q-2362 — January 27, 2014 — Mr. Thibeault (Sudbury) — With regard to FedNor's Community Futures Program, broken down by fiscal year, since 2006-2007, up to and including the current fiscal year: (a) what is the total number of applications filed for financing under the program; and (b) how many applicants have been granted a loan and for what amount?
Q-2372 — January 27, 2014 — Mr. Dion (Saint-Laurent—Cartierville) — With regard to the Department of Fisheries and Oceans (DFO): (a) what is the Department’s information management (IM) strategy; (b) on what date was the IM strategy established;(c) who participated in the development of the IM strategy; (d) which groups or organizations were consulted or gave input in developing the IM strategy; (e) which departments, agencies or offices were consulted or gave input in developing the IM strategy; (f) which individuals were consulted or gave input in developing the IM strategy; (g) what is the DFO Records Retention Plan; (h) on what date was the Records Retention Plan established; (i) who participated in the development of the Records Retention Plan; (j) which groups were consulted or gave input in developing the Records Retention Plan; (k) which departments, agencies and offices were consulted or gave input in developing the Records Retention Plan; (l) which individuals were consulted in developing the Records Retention Plan; and (m) what are the benchmarks for record retention?
Q-2382 — January 27, 2014 — Mr. Dion (Saint-Laurent—Cartierville) — With regard to the Department of Fisheries and Oceans’ (DFO) consolidation of 11 DFO libraries into four DFO libraries: (a) which groups were consulted or gave input in developing the consolidation of DFO libraries; (b) which departments, agencies and offices were consulted or gave input in developing the consolidation of DFO libraries; (c) which individuals were consulted or gave input in developing the consolidation of DFO libraries; (d) how many titles were held by DFO libraries in each of the last five years; (e) how many titles are currently held in DFO libraries; (f) how many titles are projected to be held in DFO libraries in 2015; (g) which documents were digitized prior to consolidation andwhat was the criteria to determine priority/order of documents digitized; (h) how and by whom was the digitization plan developed and contracted; (i) how much time was given for digitization prior to the disposal of documents; (j) what documents are no longer available in DFO libraries; (k) what is the acquisition plan for new materials, (i) how was this acquisition plan developed, (ii) by whom, (iii) who was consulted, (iv) on what date, (v) when was this plan implemented; (l) how does the cost of acquisition compare with the cost of retention; (m) how do the findings in (y) compare with the projected trends for the acquisition and retention plans for the next five years; (n) what cost-benefit analyses were undertaken regarding the consolidation of DFO libraries, (i) by whom, (ii) on what date, (iii) what metrics were developed to assess the benefits of consolidation of DFO libraries, (iv) what metrics were developed to assess the benefits of material retention, (v) what qualitative factors were considered in the decision-making process, (vi) how were these considered, (vii) by whom, (viii) on what date; (o) in what way was the public informed of the consolidation plan, (i) on what dates, (ii) with what process for consultation, (iii) with what timeline for participation, (p) in what ways was public input considered in the decision to consolidate the DFO libraries; (q) in what ways was the public informed of the ultimate decision; (r) which non-governmental stakeholders were identified in development of this policy; (s) in what ways were non-governmental stakeholders informed of the consolidation plan, (i) on what dates, (ii) with what process for consultation, (iii) with what timeline for participation; (t) in what ways was non-governmental stakeholders' input considered in the decision to consolidate the DFO libraries; (u) in what ways were non-governmental stakeholders informed of the ultimate decision; (v) in what way were parliamentarians informed of the consolidation plan, (i) on what dates, (ii) with what process for consultation, (iii) with what timeline for participation; (w) in what ways was the input of parliamentarians considered in the decision to consolidate the DFO libraries; (x) in what ways were parliamentarians informed of the ultimate decision; (y) for the last 10 years, broken down by DFO library, what equipment has been requested and provided, and which libraries were provided with additional resources for the purpose of digitizing their collections; (z) for the last 10 years, broken down by DFO library, how many staff have been employed in full-time equivalents (FTE); (aa) for the last 10 years, broken down by DFO library, how many staff have been trained in digitization, by FTE; (bb) for the last 10 years, broken down by DFO library, how many staff have been trained in retention by FTE; (cc) what partnership agreements or information-sharing agreements do DFO libraries have with other library institutions and how are these agreements impacted by library consolidation; (dd) what service standards does DFO develop for its libraries, (i) how have these standards been impacted by library consolidation, (ii) broken down by the last five years, what service standards were established, (iii) broken down by the next five years, what service standards are projected; (ee) were any collection documents shredded; (ff) were any collection documents incinerated; (gg) what plans were in place to ensure that disposal of collection materials would be done in an environmentally-friendly way; (hh) were the disposed materials considered for donations, (i) did the government reach out to any organizations or institutions to assess interest in the donation of these materials, (ii) did the government donate any titles to any organization or institution, (iii) did the government receive any requests for donations, (iv) how did the government respond to these requests; (ii) what plans and mechanisms are in place to assess the long-term impact of this policy change, and what reports will be published concerning any consequences; (jj) have any disposed titles been identified as having important scientific impact or value; (kk) have any disposed titles been identified as having important cultural impact or value; (ll) have any disposed titles been identified as having important historical impact or value; (mm) what percentage of disposed material was Canadian content; (nn) were any collection documents not digitized before disposal, and if so, why; and (oo) with the closure of the Maurice Lamontagne Institute, (i) what will the consequences and repercussions of the closure of this institution be, (ii) what were the plans and consultations around prioritization of digitalization and physical preservation of the Institute’s French-language documents, (iii) with whom did the plans and consultations take place, (iv) are there plans for the establishment of other French-language libraries?
Q-2392 — January 27, 2014 — Mr. Cotler (Mount Royal) — With regard to the appointment to the Supreme Court of Justice Marc Nadon, and the information provided to MPs on the ad hoc committee and available on the website of the Office of the Commissioner for Federal Judicial Affairs Canada which notes “Each candidate was asked to identify five decisions for particular consideration by the Panel, preferably dealing with issues coming within the usual scope of the Supreme Court of Canada […] As far as possible, the choice of five decisions was to reflect at least one of each of the following areas of law: constitutional law (Charter or federalism), criminal law (or national security), civil law, administrative law, and the candidates’ choice”: (a) how was this list of areas of law developed; (b) who determined which areas of law to be included; (c) by what criteria were the areas of law determined; (d) how were these areas identified; (e) how were areas of knowledge important to the court identified and assessed; (f) in what ways was the particular legal expertise of the departing justice assessed; (g) what impact does the particular legal expertise of the departing justice have on the development of the areas of law sought; (h) how was five determined to be the appropriate number of cases; (i) for each of the last eight appointment cycles, broken down by cycle, (i) how many cases were sought from candidates, (ii) which specific areas of law were to be reflected, (iii) what other judicial writings were sought if any, (iv) what is the equivalent wording to the phrases identified in the question, (v) how were the areas of law determined, (vi) how was the number of cases determined, (vii) how long were candidates given to provide cases and materials, (viii) were candidates given a choice between Charter or federalism within the area of constitutional law, (ix) were candidates given a choice between criminal or national security, (x) was national security in any way part of the area list, (xi) were candidates asked for academic or research works, (xii) were candidates allowed to provide academic or research works, (xiii) were candidates asked for speeches, (xiv) were candidates allowed to provide speeches, (xv) in what way were the case exegencies communicated to candidates; (j) what mechanisms exist for ensuring the appropriateness, relevance, and probative value of the materials sought from candidates; (k) what mechanisms or processes exist to ensure a candidate’s choice of cases conforms with the areas of law specified; (l) what restrictions are there on the areas of law for which cases could be sought; (m) what ensures that only cases of types that would be heard by the Supreme Court would be sought from candidates; (n) what ensures that the areas of law specified reflect the workload of the Supreme Court; (o) whose ultimate responsibility is the development of the list of areas of law for which candidates are asked to submit cases; (p) what role exists for Parliament in the determination of this list; (q) what is the role of the Minister of Justice in the determination of the number of cases sought from candidates; (r) what is the role of the Minister of Justice in the determination of the areas of law sought from candidates; (s) what is the role of the Prime Minister in the determination of the number of cases sought from candidates; (t) what is the role of the Prime Minister in the determination of the areas of law sought from candidates; (u) what is the role of the Office of the Commissioner for Federal Judicial Affairs in the determination of the number of cases sought from candidates; (v) what is the role of the Office of the Commissioner for Federal Judicial Affairs in the determination of the areas of law sought from candidates; (w) what is the role of Office of the Commissioner for Federal Judicial Affairs in the process of ensuring candidates provide the information sought; (x) does the Office of the Commissioner for Federal Judicial Affairs provide advice to the Minister of Justice or the Prime Minister on the information that should be sought from candidates; (y) does the Department of Justice provide advice to the Minister of Justice or the Prime Minister on the information that should be sought from candidates; (z) with whom does the Minister of Justice consult on the information that should be sought from candidates; (aa) with whom does the Prime Minister consult on the information that should be sought from candidates; (bb) with regard to the areas of law identified for the Nadon appointment, (i) how do these differ, if at all, from those identified for the vacancy that resulted in the appointment of Justice Wagner, (ii) with whom did the Minister of Justice consult in identifying these areas of law, (iii) with whom did the Prime Minister consult in identifying these areas of law; (cc) with what other agencies or departments does the Prime Minister’s Office work or consult in developing the list of areas of law; (dd) with what external organizations, individuals or groups did the Prime Minister’s Office work or consult in developing this list of areas of case law to be sought; (ee) how much did the development of this list cost and what is the breakdown for this figure; (ff) how much did the overall appointment process cost and what is the breakdown for this figure; (gg) how much have the previous five appointment cycles cost and what are the breakdowns for these figures; (hh) in what ways is Parliament informed of the number and type of cases being sought from candidates to the Supreme Court; (ii) what requirements are provided to candidates, if any, regarding how recent decisions must be in the areas of laws indicated; (jj) if cases provided are unilingual, whose responsibility is the translation of said judgment and who bears the cost for translation; (kk) for whose benefit are the cases provided; and (ll) who reviews the cases if not by a panel of MPs?
Q-2402 — January 27, 2014 — Ms. Duncan (Etobicoke North) — With regard to proposals approved for funding by the former Canadian International Development Agency (CIDA), for fiscal years 2010-2011, 2011-2012 and 2012-2013, in an Excel spreadsheet, broken down by (i) the fiscal year when the project was approved, (ii) the title of the project, (iii) the amount that was approved, (iv) the date (year-month-day) that the proposal was received by CIDA in its final form, (v) the date (year-month-day) that an approval memo was first delivered to the Minister’s Office for consideration as indicated in CIDA's memo tracking system, (vi) the date (year-month-day) that the proposal received final approval, what were:(a) all the proposals approved for funding by the Multilateral Branch;(b) all the proposals approved for funding by the Geographic or Bilateral Branch; and(c) all the proposals approved for funding by the Partnership with Canadians Branch?

Notices of Motions for the Production of Papers

Business of Supply

Tuesday, January 28, 2014 — 1st allotted day.

Government Business

Private Members' Notices of Motions

M-490 — January 27, 2014 — Mr. Vellacott (Saskatoon—Wanuskewin) — That the Standing Orders be amended as follows: (a) by deleting Standing Order 91.1 and replacing it with the following:
91.1 (1) Any item placed in the order of precedence is non-votable if it meets any of the following criteria:
(a) it concerns questions that are substantially the same as ones already voted on by the House of Commons in the current session of Parliament;
(b) it is substantially the same as items preceding it in the order of precedence or as ones currently on the Order Paper or Notice Paper as items of government business;
(c) it is a Senate public bill which is similar to a bill voted on by the House in the same Parliament.
Except for those so designated pursuant to Standing Order 87.1(d), any item designated non-votable shall be dropped to the bottom of the order of precedence.
(2) For the purposes of the application of the criteria pursuant to section (1) of this Standing Order, bills shall be assessed only against other bills and motions only against other motions.”
(b) by deleting Standing Order 92 and replacing it with the following:
92. Items designated non-votable pursuant to Standing Order 91.1, may be considered by the House only after the sponsor of the item has waived the right to substitute another item pursuant to Standing Order 92.1 (1) by so instructing the Clerk in writing.”
(c) by deleting Standing Order 92.1(1) and replacing it with the following:
92.1 (1) Pursuant to Standing Order 91.1, the sponsor of an item designated non-votable may, within five sitting days of being so informed, give written notice of his or her intention to substitute another item of Private Members’ Business for the item designated non-votable.”
(d) by deleting Standing Order 92.1(3) and replacing it with the following:
92.1 (3) When notice has been given pursuant to section (1) of this Standing Order, the sponsor of the item who does not have a notice of motion on the Order Paper or Notice Paper or a bill on the Order Paper set down for consideration at the second reading stage shall, within 20 days of being so informed, pursuant to Standing Order 91.1, have another notice of motion on the Order Paper or Notice Paper or a bill on the Order Paper set down for consideration at the second reading stage and, notwithstanding any other Standing Order, that item shall be placed at the bottom of the order of precedence and shall remain subject to the application of Standing Orders 86 to 99.”;
And that the Clerk of the House be authorized to make any required editorial and consequential alterations to the Standing Orders.

Private Members' Business

C-525 — October 29, 2013 — Resuming consideration of the motion of Mr. Calkins (Wetaskiwin), seconded by Mrs. Ambler (Mississauga South), — That Bill C-525, An Act to amend the Canada Labour Code, the Parliamentary Employment and Staff Relations Act and the Public Service Labour Relations Act (certification and revocation — bargaining agent), be now read a second time and referred to the Standing Committee on Human Resources, Skills and Social Development and the Status of Persons with Disabilities.
Debate — 1 hour remaining, pursuant to Standing Order 93(1).
Voting — at the expiry of the time provided for debate, pursuant to Standing Order 93(1).

2 Response requested within 45 days